Form N-CEN Filer Information | UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 FORM N-CEN ANNUAL REPORT FOR REGISTERED INVESTMENT COMPANIES | OMB APPROVAL |
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N-CEN: Filer Information
Filer CIK | 0001026977 |
Filer CCC | ******** |
Filer Investment Company Type | Form N-1A Filer (Mutual Fund) |
Is this a LIVE or TEST Filing? | LIVE TEST |
Is this an electronic copy of an official filing submitted in paper format? | |
Would you like a Return Copy? |
Submission Contact Information | |
Name | |
Phone | |
E-Mail Address |
Notification Information |
Notify via Filing Website only? |
N-CEN:Series/Class (Contract) Information
All? |
N-CEN:Part A: General Information
Item A.1. Reporting period covered.
a. Report for period ending: | 2019-09-30 |
b. Does this report cover a period of less than 12 months? | Yes No |
N-CEN:Part B: Information About the Registrant
Item B.1. Background information.
a. Full name of Registrant | City National Rochdale Funds |
b. Investment Company Act file number ( e.g., 811-) | 811-07923 |
c. CIK | 0001026977 |
d. LEI | 549300QMC7FYNN5LU818 |
Item B.2. Address and telephone number of Registrant.
a. Street 1 | 400 NORTH ROXBURY DRIVE |
Street 2 | |
b. City | BEVERLY HILLS |
c. State, if applicable | CALIFORNIA |
d. Foreign country, if applicable | UNITED STATES OF AMERICA |
e. Zip code and zip code extension, or foreign postal code | 90210 |
f. Telephone number (including country code if foreign) | 8888890799 |
g. Public Website, if any | http://www.citynationalrochdalefunds.com/ |
Item B.3. Location of books and records.
Instruction. Provide the requested information for each person maintaining physical possession of each account, book, or other document required to be maintained by section 31(a) of the Act (15 U.S.C. 80a-30(a)) and the rules under that section. |
Location books Record: 1 | |
a. Name of person (e.g., a custodian of records) | Alcentra NY, LLC |
b. Street 1 | 200 Park Ave |
Street 2 | |
c. City | New York |
d. State, if applicable | NEW YORK |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Zip code and zip code extension, or foreign postal code | 10166 |
g. Telephone number (including country code if foreign) | 212-922-8240 |
h. Briefly describe the books and records kept at this location: | Records as Sub-Advisor to Trust |
Location books Record: 2 | |
a. Name of person (e.g., a custodian of records) | ALCENTRA LIMITED |
b. Street 1 | 160 Queen Victoria Street |
Street 2 | |
c. City | London |
d. State, if applicable | |
e. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
f. Zip code and zip code extension, or foreign postal code | EC4V 4LA |
g. Telephone number (including country code if foreign) | 44-20-7163-6000 |
h. Briefly describe the books and records kept at this location: | Records as Sub-Advisor to Trust |
Location books Record: 3 | |
a. Name of person (e.g., a custodian of records) | GML CAPITAL LLP |
b. Street 1 | The Met Building |
Street 2 | 22 Percy Street |
c. City | London |
d. State, if applicable | |
e. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
f. Zip code and zip code extension, or foreign postal code | W1T 2BU |
g. Telephone number (including country code if foreign) | 44-20-7580-8588 |
h. Briefly describe the books and records kept at this location: | Records as Sub-Advisor to Trust |
Location books Record: 4 | |
a. Name of person (e.g., a custodian of records) | Ashmore Investment Management Limited |
b. Street 1 | 61 Aldwych |
Street 2 | 5th Floor |
c. City | London |
d. State, if applicable | |
e. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
f. Zip code and zip code extension, or foreign postal code | WC2B 4AE |
g. Telephone number (including country code if foreign) | 44-20-3077-6000 |
h. Briefly describe the books and records kept at this location: | Records as Sub-Advisor to Trust |
Location books Record: 5 | |
a. Name of person (e.g., a custodian of records) | City National Rochdale, LLC |
b. Street 1 | 400 North Roxbury Dr |
Street 2 | |
c. City | Beverly Hills |
d. State, if applicable | CALIFORNIA |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Zip code and zip code extension, or foreign postal code | 90210 |
g. Telephone number (including country code if foreign) | 310-888-6000 |
h. Briefly describe the books and records kept at this location: | Records for Advisor of Trust |
Location books Record: 6 | |
a. Name of person (e.g., a custodian of records) | U.S. Bank Global Fund Services |
b. Street 1 | 615 East Michigan Street |
Street 2 | |
c. City | Milwaukee |
d. State, if applicable | WISCONSIN |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Zip code and zip code extension, or foreign postal code | 53202 |
g. Telephone number (including country code if foreign) | 800-300-3863 |
h. Briefly describe the books and records kept at this location: | Records as Custodian and Transfer Agent for Trust |
Location books Record: 7 | |
a. Name of person (e.g., a custodian of records) | Federated Investment Management Company |
b. Street 1 | 1001 Liberty Avenue |
Street 2 | |
c. City | Pittsburgh |
d. State, if applicable | PENNSYLVANIA |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Zip code and zip code extension, or foreign postal code | 15222-3779 |
g. Telephone number (including country code if foreign) | 412-288-1900 |
h. Briefly describe the books and records kept at this location: | Records as Sub-Advisor to Trust |
Location books Record: 8 | |
a. Name of person (e.g., a custodian of records) | SEI Investments Global Funds Services |
b. Street 1 | 1 Freedom Valley Drive |
Street 2 | |
c. City | OAKS |
d. State, if applicable | PENNSYLVANIA |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Zip code and zip code extension, or foreign postal code | 19456 |
g. Telephone number (including country code if foreign) | 610-676-1000 |
h. Briefly describe the books and records kept at this location: | Records as Administrator for Trust |
Location books Record: 9 | |
a. Name of person (e.g., a custodian of records) | SEIX INVESTMENT ADVISORS |
b. Street 1 | One Maynard Drive |
Street 2 | Suite 3200 |
c. City | Park Ridge |
d. State, if applicable | NEW JERSEY |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Zip code and zip code extension, or foreign postal code | 07656 |
g. Telephone number (including country code if foreign) | 201-391-0300 |
h. Briefly describe the books and records kept at this location: | Records as Sub-Advisor to Trust |
Location books Record: 10 | |
a. Name of person (e.g., a custodian of records) | AllFinancial Partners II, LLC |
b. Street 1 | 4800 N Federal Hwy |
Street 2 | |
c. City | Boca Raton |
d. State, if applicable | FLORIDA |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Zip code and zip code extension, or foreign postal code | 33431 |
g. Telephone number (including country code if foreign) | 561-430-5317 |
h. Briefly describe the books and records kept at this location: | Records as Sub-Advisor to Trust |
Item B.4. Initial of final filings.
Instruction. Respond "yes" to Item B.4.b only if the Registrant has filed an application to deregister or will file an application to deregister before its next required filing on this form. |
a. Is this the first filing on this form by the Registrant? | Yes No |
b. Is this the last filing on this form by the Registrant? | Yes No |
Item B.5. Family of investment companies.
Instruction. "Family of investment companies" means, except for insurance company separate accounts, any two or more registered investment companies that (i) share the same investment adviser or principal underwriter; and (ii) hold themselves out to investors as related companies for purposes of investment and investor services.In responding to this item, all Registrants in the family of investment companies should report the name of the family of investment companies identically. |
Insurance company separate accounts that may not hold themselves out to investors as related companies (products) for purposes of investment and investor services should consider themselves part of the same family if the operational or accounting or control systems under which these entities function are substantially similar. |
a. Is the Registrant part of a family of investment companies? | Yes No |
i. Full name of family of investment companies | City National Rochdale Funds |
Item B.6. Organization.
Instruction. For Item B.6.a.i., the Registrant should include all Series that have been established by the Registrant and have shares outstanding (other than shares issued in connection with an initial investment to satisfy section 14(a) of the Act). |
Indicate the classification of the Registrant by checking the applicable item below. |
i. Total number of Series of the Registrant | 10 | |
ii. If a Series of the Registrant with a fiscal year end covered by the report was terminated during the reporting period, provide the following information: | ||
Terminated Organization Record: 1 | ||
i. Name of the Series | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND | |
ii. Series identification number | S000005828 | |
iii. Date of termination (month/year) | 09/2019 |
Item B.7. Securities Act registration.
Is the Registrant the issuer of a class of securities registered under the Securities Act of 1933 ("Securities Act")? | Yes No |
Item B.8. Directors.
Provide the information requested below about each person serving as director of the Registrant (management investment companies only): |
Director Record: 1 | |
a. Full Name | Vernon C. Kozlen |
b. CRD number, if any | N/A |
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? | Yes No |
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-) | |
File Number Record: 1 | |
File Number Record: | N/A |
Director Record: 2 | |
a. Full Name | James R. Wolford |
b. CRD number, if any | N/A |
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? | Yes No |
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-) | |
File Number Record: 1 | |
File Number Record: | N/A |
Director Record: 3 | |
a. Full Name | Daniel A. Hanwacker |
b. CRD number, if any | N/A |
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? | Yes No |
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-) | |
File Number Record: 1 | |
File Number Record: | N/A |
Director Record: 4 | |
a. Full Name | Andrew S. Clare |
b. CRD number, if any | N/A |
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? | Yes No |
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-) | |
File Number Record: 1 | |
File Number Record: | N/A |
Director Record: 5 | |
a. Full Name | Jon C. Hunt |
b. CRD number, if any | N/A |
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? | Yes No |
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-) | |
File Number Record: 1 | |
File Number Record: | 811-23091 |
File Number Record: 2 | |
File Number Record: | 811-23028 |
File Number Record: 3 | |
File Number Record: | 811-23004 |
File Number Record: 4 | |
File Number Record: | 811-22920 |
Director Record: 6 | |
a. Full Name | Jay C. Nadel |
b. CRD number, if any | N/A |
c. Is the person an "interested person" of the Registrant as that term is defined in section 2(a)(19) of the Act (15 U.S.C. 80a-2(a)(19))? | Yes No |
d. Investment Company Act file number of any other registered investment company for which the person also serves as a director (e.g., 811-) | |
File Number Record: 1 | |
File Number Record: | 811-23028 |
File Number Record: 2 | |
File Number Record: | 811-22920 |
File Number Record: 3 | |
File Number Record: | 811-23091 |
File Number Record: 4 | |
File Number Record: | 811-23004 |
Item B.9. Chief compliance officer.
Provide the information requested below about each person serving as chief compliance officer of the Registrant for purposes of rule 38a-1 (17 CFR 270.38a- 1): |
Chief compliance officer Record: 1 | |
a. Full Name | Don Andrews |
b. CRD Number, if any | N/A |
c. Street Address 1 | 555 South Flower Street |
Street Address 2 | Eleventh Floor |
d. City | Los Angeles |
e. State, if applicable | CALIFORNIA |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Zip code and zip code extension, or foreign postal code | 90071 |
h. Telephone number (including country code if foreign) | XXXXXX |
i. Has the chief compliance officer changed since the last filing? | Yes No |
If the chief compliance officer is compensated or employed by any person other than the Registrant, or an affiliated person of the Registrant, for providing chief compliance officer services, provide: |
CCO employer Record: 1 | |
i. Name of the person | N/A |
ii. Person's IRS Employer Identification Number | N/A |
Item B.10. Matters for security holder vote.
Instruction. Registrants registered on Forms N-3, N-4 or N-6, should respond "yes" to this Item only if security holder votes were solicited on contract-level matters. |
Were any matters submitted by the Registrant for its security holders' vote during the reporting period? | Yes No |
Item B.11. Legal proceeding.
Instruction. For purposes of this Item, the following proceedings should be described: (1) any bankruptcy, receivership or similar proceeding with respect to the Registrant or any of its significant subsidiaries; (2) any proceeding to which any director, officer or other affiliated person of the Registrant is a party adverse to the Registrant or any of its subsidiaries; and (3) any proceeding involving the revocation or suspension of the right of the Registrant to sell securities. |
a. Have there been any material legal proceedings, other than routine litigation incidental to the business, to which the Registrant or any of its subsidiaries was a party or of which any of their property was the subject during the reporting period? | Yes No |
b. Has any proceeding previously reported been terminated? | Yes No |
Item B.12. Fidelity bond and insurance (management investment companies only).
a. Were any claims with respect to the Registrant filed under a fidelity bond (including, but not limited to, the fidelity insuring agreement of the bond) during the reporting period? | Yes No |
Item B.13. Directors and officers/errors and omissions insurance (management investment companies only).
a. Are the Registrant's officers or directors covered in their capacities as officers or directors under any directors and officers/errors and omissions insurance policy owned by the Registrant or anyone else? | Yes No |
i. If yes, were any claims filed under the policy during the reporting period with respect to the Registrant? | Yes No |
Item B.14. Provision of financial support.
Instruction. For purposes of this Item, a provision of financial support includes any (1) capital contribution, (2) purchase of a security from a Money Market Fund in reliance on rule 17a-9 under the Act (17 CFR 270.17a-9), (3) purchase of any defaulted or devalued security at fair value reasonably intended to increase or stabilize the value or liquidity of the Registrant's portfolio, (4) execution of letter of credit or letter of indemnity, (5) capital support agreement (whether or not the Registrant ultimately received support), (6) performance guarantee, or (7) other similar action reasonably intended to increase or stabilize the value or liquidity of the Registrant's portfolio. Provision of financial support does not include any (1) routine waiver of fees or reimbursement of Registrant's expenses, (2) routine inter-fund lending, (3) routine inter-fund purchases of Registrant's shares, or (4) action that would qualify as financial support as defined above, that the board of directors has otherwise determined not to be reasonably intended to increase or stabilize the value or liquidity of the Registrant's portfolio. |
Did an affiliated person, promoter, or principal underwriter of the Registrant, or an affiliated person of such a person, provide any form of financial support to the Registrant during the reporting period? | Yes No |
Item B.15. Exemptive orders.
a. During the reporting period, did the Registrant rely on any orders from the Commission granting an exemption from one or more provisions of the Act, Securities Act or Exchange Act? | Yes No |
Item B.16. Principal underwriters.
a. Provide the information requested below about each principal underwriter: |
Principal underwriter Record: 1 | |
i. Full name | SEI INVESTMENTS DISTRIBUTION COMPANY |
ii. SEC file number (e.g., 8-) | 008-27897 |
iii. CRD number | 000010690 |
iv. LEI, if any | N/A |
v. State, if applicable | PENNSYLVANIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Is the principal underwriter an affiliated person of the Registrant, or its investment adviser(s) or depositor? | Yes No |
b. Have any principal underwriters been hired or terminated during the reporting period? | Yes No |
Item B.17. Independent public accountant.
Provide the following information about eachthe independent public accountant: |
Public accountant Record: 1 | |
a. Full Name | BRIGGS, BUNTING, & DOUGHERTY LLP |
b. PCAOB Number | 552 |
c. LEI, if any | N/A |
d. State, if applicable | PENNSYLVANIA |
e. Foreign country, if applicable | UNITED STATES OF AMERICA |
f. Has the independent public accountant changed since the last filing? | Yes No |
Item B.18. Report on internal control (management investment companies only).
Instruction. Small business investment companies are not required to respond to this item. |
For the reporting period, did an independent public accountant's report on internal control note any material weaknesses? | Yes No |
Item B.19. Audit opinion.
For the reporting period, did an independent public accountant issue an opinion other than an unqualified opinion with respect to its audit of the Registrant's financial statements? | Yes No |
Item B.20. Change in valuation methods.
Instruction. Responses to this item need not include changes to valuation techniques used for individual securities (e.g., changing from market approach to income approach for a private equity security). In responding to Item B.20.c., provide the applicable "asset type" category specified in Item C.4.a. of Form N-PORT. In responding to Item B.20.d., provide a brief description of the type of investments involved. If the change in valuation methods applies only to certain sub-asset types included in the response to Item B.20.c., please provide the sub-asset types in the response to Item B.20.d. The responses to Item B.20.c. and Item B.20.d. should be identical only if the change in valuation methods applies to all assets within that category. |
Have there been material changes in the method of valuation (e.g., change from use of bid price to mid price for fixed income securities or change in trigger threshold for use of fair value factors on international equity securities) of the Registrant's assets during the reporting period? | Yes No |
Item B.21. Change in accounting principles and practices.
Have there been any changes in accounting principles or practices, or any change in the method of applying any such accounting principles or practices, which will materially affect the financial statements filed or to be filed for the current year with the Commission and which has not been previously reported? | Yes No |
Item B.22. Net asset value error corrections (open-end management investment companies only).
a. During the reporting period, were any payments made to shareholders or shareholder accounts reprocessed as a result of an error in calculating the Registrant's net asset value (or net asset value per share)? | Yes No |
Payment error series info Record: 1 | |
a. If yes, and to the extent the response relates only to certain series of the Registrant, indicate the series involved: | |
1. Series name | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
2. Series identification number | S000005836 |
Item B.23. Rule 19a-1 notice (management investment companies only).
During the reporting period, did the Registrant pay any dividend or make any distribution in the nature of a dividend payment, required to be accompanied by a written statement pursuant to section 19(a) of the Act (15 U.S.C. 80a-19(a)) and rule 19a-1 thereunder (17 CFR 270.19a-1)? | Yes No |
Payment dividend series info Record: 1 | |
a. If yes, and to the extent the response relates only to certain series of the Registrant, indicate the series involved: | |
i. Series name | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
ii. Series identification number | S000039721 |
N-CEN:Part C: Additional Questions for Management Investment Companies
General Instruction.Management investment companies that offer multiple series must complete Part C as to each series separately, even if some information is the same for two or more series. To begin this section or add an additional series(s), click on the bar labeled "Add a New Series" below. |
Management Investment Record: 1 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
b. Series identication number, if any | S000005836 |
c. LEI | 549300T01QLWU7UQ5455 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 2 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000016007 |
iii. Ticker symbol, if any | CCBAX |
Shares Outstanding Record: 2 | |
i. Full name of Class | Servicing |
ii. Class identification number, if any | C000016008 |
iii. Ticker symbol, if any | CNCIX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-27265 |
iii.CRD number | 000117198 |
iv. LEI, if any | 549300EOOYRQIBYP3C02 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | MORGAN STANLEY & CO, INC |
ii. LEI, if any, or provide and describe other identifying number | 9R7GPTSO7KV3UQJZQ078 |
Description of other identifying number | |
iii. State, if applicable | MARYLAND |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | J.P. MORGAN SECURITIES |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | BARCLAYS CAPITAL INC. |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | MIZUHO SECURITIES |
ii. LEI, if any, or provide and describe other identifying number | 7TK5RJIZDFROZCA6XF66 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | WELLS FARGO |
ii. LEI, if any, or provide and describe other identifying number | VYVVCKR63DVZZN70PB21 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
i. Full name of broker | |
ii. SEC file number | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Gross commissions paid by the Fund for the reporting period |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 0 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | JP MORGAN |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4511675 |
Principal Transactions Record: 2 | |
i. Full name of dealer | GOLDMAN, SACHS & CO. |
ii. SEC file number | 008-00129 |
iii. CRD number | 000000361 |
iv. LEI, if any | FOR8UP27PHTHYVLBNG30 |
v. State, if applicable | UTAH |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5889403.58 |
Principal Transactions Record: 3 | |
i. Full name of dealer | WELLS FARGO MUNICIPAL |
ii. SEC file number | 008-65876 |
iii. CRD number | 000126292 |
iv. LEI, if any | VYVVCKR63DVZZN70PB21 |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 3427500 |
Principal Transactions Record: 4 | |
i. Full name of dealer | MONTGOMERY/BANK OF AMERICA |
ii. SEC file number | 008-69787 |
iii. CRD number | 000283942 |
iv. LEI, if any | 549300HN4UKV1E2R3U73 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 9987261.92999999 |
Principal Transactions Record: 5 | |
i. Full name of dealer | BANK OF AMERICA SECURITIES LLC |
ii. SEC file number | 008-69787 |
iii. CRD number | 000283942 |
iv. LEI, if any | 549300HN4UKV1E2R3U73 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 3499967.8 |
Principal Transactions Record: 6 | |
i. Full name of dealer | MIZUHO SECURITIES USA INC. |
ii. SEC file number | 008-37710 |
iii. CRD number | 000019647 |
iv. LEI, if any | 7TK5RJIZDFROZCA6XF66 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 6972411.17999999 |
Principal Transactions Record: 7 | |
i. Full name of dealer | BARCLAYS CAPITAL INC. |
ii. SEC file number | 008-41342 |
iii. CRD number | 000019714 |
iv. LEI, if any | AC28XWWI3WIBK2824319 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 50135094.95 |
Principal Transactions Record: 8 | |
i. Full name of dealer | CHASE SECURITIES, INC. |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 7485829.43999999 |
Principal Transactions Record: 9 | |
i. Full name of dealer | WACHOVIA SECURITIES, INC. |
ii. SEC file number | 008-65876 |
iii. CRD number | 000126292 |
iv. LEI, if any | VYVVCKR63DVZZN70PB21 |
v. State, if applicable | NORTH CAROLINA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 8229165.61 |
Principal Transactions Record: 10 | |
i. Full name of dealer | CITIGROUP |
ii. SEC file number | 008-08177 |
iii. CRD number | 000007059 |
iv. LEI, if any | MBNUM2BPBDO7JBLYG310 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4130683 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 280766517.41 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 135277347 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 2 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
b. Series identication number, if any | S000039066 |
c. LEI | 549300IX2L60NZ3OPJ65 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 3 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Servicing |
ii. Class identification number, if any | C000120111 |
iii. Ticker symbol, if any | CNRVX |
Shares Outstanding Record: 2 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000120109 |
iii. Ticker symbol, if any | CNRWX |
Shares Outstanding Record: 3 | |
i. Full name of Class | Institutional |
ii. Class identification number, if any | C000120110 |
iii. Ticker symbol, if any | CNRUX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | INSTINET |
ii. LEI, if any, or provide and describe other identifying number | 549300MGMN3RKMU8FT57 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
Brokers Record: 1 | |
i. Full name of broker | MERRILL LYNCH, PIERCE, FENNER & SMITH |
ii. SEC file number | 008-07221 |
iii. CRD number | 000007691 |
iv. LEI, if any | 8NAV47T0Y26Q87Y0QP81 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 945 |
Brokers Record: 2 | |
i. Full name of broker | UBS SECURITIES LLC |
ii. SEC file number | 008-22651 |
iii. CRD number | 000007654 |
iv. LEI, if any | T6FIZBDPKLYJKFCRVK44 |
v. State, if applicable | CONNECTICUT |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 2415 |
Brokers Record: 3 | |
i. Full name of broker | INSTINET |
ii. SEC file number | 008-23669 |
iii. CRD number | 000007897 |
iv. LEI, if any | 549300MGMN3RKMU8FT57 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 71292.75999999 |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 74652.75999999 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
i. Full name of dealer | |
ii. SEC file number | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 0 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 297524592 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 3 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
b. Series identication number, if any | S000005835 |
c. LEI | 5493006JDQW8REHGMD29 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 2 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000016005 |
iii. Ticker symbol, if any | CCTEX |
Shares Outstanding Record: 2 | |
i. Full name of Class | Servicing |
ii. Class identification number, if any | C000016006 |
iii. Ticker symbol, if any | CNTIX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | ALAMO CAPITAL |
ii. LEI, if any, or provide and describe other identifying number | 254900PX6PJH5Z19A906 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | BLOOMBERG TRADEBOOK LLC |
ii. LEI, if any, or provide and describe other identifying number | 549300P0PVQNO43T7K36 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | SUNTRUST |
ii. LEI, if any, or provide and describe other identifying number | N/A |
Description of other identifying number | |
iii. State, if applicable | GEORGIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | USBANK |
ii. LEI, if any, or provide and describe other identifying number | H85Z6XZP8B10ES0M2G89 |
Description of other identifying number | |
iii. State, if applicable | MINNESOTA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | JONES TRADING |
ii. LEI, if any, or provide and describe other identifying number | 2138008JJ5PA8H5UIL69 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | STIFEL NICOLAUS & CO., INC. |
ii. LEI, if any, or provide and describe other identifying number | 5WUVMA08EYG4KEUPW589 |
Description of other identifying number | |
iii. State, if applicable | MISSOURI |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 8 | |
i. Full name | BARCLAYS CAPITAL INC. |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 9 | |
i. Full name | COWEN GROUP |
ii. LEI, if any, or provide and describe other identifying number | 5493008QI0EFC5WBED75 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 10 | |
i. Full name | DEUTSCHE BANK SECURITIES, INC. |
ii. LEI, if any, or provide and describe other identifying number | 9J6MBOOO7BECTDTUZW19 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 11 | |
i. Full name | RAYMOND JAMES |
ii. LEI, if any, or provide and describe other identifying number | 549300Q3FSJ44RJLP108 |
Description of other identifying number | |
iii. State, if applicable | FLORIDA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 12 | |
i. Full name | UBS SECURITIES LLC |
ii. LEI, if any, or provide and describe other identifying number | T6FIZBDPKLYJKFCRVK44 |
Description of other identifying number | |
iii. State, if applicable | CONNECTICUT |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 13 | |
i. Full name | CITIGROUP |
ii. LEI, if any, or provide and describe other identifying number | MBNUM2BPBDO7JBLYG310 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 14 | |
i. Full name | GOLDMAN, SACHS & CO. |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 15 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 16 | |
i. Full name | GOLDMAN SACHS & CO |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 17 | |
i. Full name | MORGAN STANLEY & CO, INC |
ii. LEI, if any, or provide and describe other identifying number | 9R7GPTSO7KV3UQJZQ078 |
Description of other identifying number | |
iii. State, if applicable | MARYLAND |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
i. Full name of broker | |
ii. SEC file number | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Gross commissions paid by the Fund for the reporting period |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 0 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | STIFEL NICOLAUS & CO., INC. |
ii. SEC file number | 008-01447 |
iii. CRD number | 000000793 |
iv. LEI, if any | 5WUVMA08EYG4KEUPW589 |
v. State, if applicable | MISSOURI |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 3000900 |
Principal Transactions Record: 2 | |
i. Full name of dealer | WACHOVIA SECURITIES, INC. |
ii. SEC file number | 008-65876 |
iii. CRD number | 000126292 |
iv. LEI, if any | VYVVCKR63DVZZN70PB21 |
v. State, if applicable | NORTH CAROLINA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4000000 |
Principal Transactions Record: 3 | |
i. Full name of dealer | CITIGROUP GLOBAL MARKETS |
ii. SEC file number | 008-08177 |
iii. CRD number | 000007059 |
iv. LEI, if any | MBNUM2BPBDO7JBLYG310 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 3165482.5 |
Principal Transactions Record: 4 | |
i. Full name of dealer | GOLDMAN, SACHS & CO. |
ii. SEC file number | 008-00129 |
iii. CRD number | 000000361 |
iv. LEI, if any | FOR8UP27PHTHYVLBNG30 |
v. State, if applicable | UTAH |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5399280.56 |
Principal Transactions Record: 5 | |
i. Full name of dealer | MORGAN STANLEY & CO, INC |
ii. SEC file number | 008-15869 |
iii. CRD number | 000008209 |
iv. LEI, if any | 9R7GPTSO7KV3UQJZQ078 |
v. State, if applicable | MARYLAND |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4167000 |
Principal Transactions Record: 6 | |
i. Full name of dealer | MONTGOMERY/BANK OF AMERICA |
ii. SEC file number | 008-69787 |
iii. CRD number | 000283942 |
iv. LEI, if any | 549300HN4UKV1E2R3U73 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 3510000 |
Principal Transactions Record: 7 | |
i. Full name of dealer | GOLDMAN SACHS & CO |
ii. SEC file number | 008-00129 |
iii. CRD number | 000000361 |
iv. LEI, if any | FOR8UP27PHTHYVLBNG30 |
v. State, if applicable | UTAH |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 3298321.44 |
Principal Transactions Record: 8 | |
i. Full name of dealer | BARCLAYS CAPITAL INC. |
ii. SEC file number | 008-41342 |
iii. CRD number | 000019714 |
iv. LEI, if any | AC28XWWI3WIBK2824319 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 28100072 |
Principal Transactions Record: 9 | |
i. Full name of dealer | MESIROW FINANCIAL INC |
ii. SEC file number | 8-28816 |
iii. CRD number | 000002764 |
iv. LEI, if any | N/A |
v. State, if applicable | ILLINOIS |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 2452403.7 |
Principal Transactions Record: 10 | |
i. Full name of dealer | PERSHING LLC |
ii. SEC file number | 008-17574 |
iii. CRD number | 000007560 |
iv. LEI, if any | ZI8Q1A8EI8LQFJNM0D94 |
v. State, if applicable | NEW JERSEY |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 3012521.46999999 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 152921614.25 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 83843763 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 4 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
b. Series identication number, if any | S000039724 |
c. LEI | 549300UGJ6X6Q0P5WR53 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 2 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Institutional |
ii. Class identification number, if any | C000133171 |
iii. Ticker symbol, if any | CNRIX |
Shares Outstanding Record: 2 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000123070 |
iii. Ticker symbol, if any | RIMCX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | MORGAN STANLEY & CO, INC |
ii. LEI, if any, or provide and describe other identifying number | 9R7GPTSO7KV3UQJZQ078 |
Description of other identifying number | |
iii. State, if applicable | MARYLAND |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | GOLDMAN SACHS & CO |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | CITIGROUP |
ii. LEI, if any, or provide and describe other identifying number | MBNUM2BPBDO7JBLYG310 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | DAIWA SECURITIES AMERICA, INC. |
ii. LEI, if any, or provide and describe other identifying number | N/A |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | BARCLAY BANK PLC |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 8 | |
i. Full name | WELLS FARGO |
ii. LEI, if any, or provide and describe other identifying number | VYVVCKR63DVZZN70PB21 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 9 | |
i. Full name | BANK OF AMERICA |
ii. LEI, if any, or provide and describe other identifying number | 549300HN4UKV1E2R3U73 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 10 | |
i. Full name | U.S. Bank |
ii. LEI, if any, or provide and describe other identifying number | H85Z6XZP8B10ES0M2G89 |
Description of other identifying number | |
iii. State, if applicable | MINNESOTA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 11 | |
i. Full name | MILLENNIUM ADVISORS |
ii. LEI, if any, or provide and describe other identifying number | 254900E1P6Z2XZYSA163 |
Description of other identifying number | |
iii. State, if applicable | NORTH CAROLINA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
Brokers Record: 1 | |
i. Full name of broker | U.S. BANK |
ii. SEC file number | 008-35359 |
iii. CRD number | 000017868 |
iv. LEI, if any | H85Z6XZP8B10ES0M2G89 |
v. State, if applicable | MINNESOTA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 693 |
Brokers Record: 2 | |
i. Full name of broker | INSTINET |
ii. SEC file number | 008-23669 |
iii. CRD number | 000007897 |
iv. LEI, if any | 549300MGMN3RKMU8FT57 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 3244.52 |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 3937.52 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | PERSHING LLC |
ii. SEC file number | 008-17574 |
iii. CRD number | 000007560 |
iv. LEI, if any | ZI8Q1A8EI8LQFJNM0D94 |
v. State, if applicable | NEW JERSEY |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5528806.79999999 |
Principal Transactions Record: 2 | |
i. Full name of dealer | BARCLAYS CAPITAL INC. FIXED INCOME |
ii. SEC file number | 008-41342 |
iii. CRD number | 000019714 |
iv. LEI, if any | AC28XWWI3WIBK2824319 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5486665.83 |
Principal Transactions Record: 3 | |
i. Full name of dealer | JP MORGAN - OLD BEAR STEARNS |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5536817.92999999 |
Principal Transactions Record: 4 | |
i. Full name of dealer | STIFEL NICOLAUS & CO., INC. |
ii. SEC file number | 008-01447 |
iii. CRD number | 000000793 |
iv. LEI, if any | 5WUVMA08EYG4KEUPW589 |
v. State, if applicable | MISSOURI |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 6999617.5 |
Principal Transactions Record: 5 | |
i. Full name of dealer | US BANCORP INVESTMENTS INC. |
ii. SEC file number | 008-35359 |
iii. CRD number | 000017868 |
iv. LEI, if any | H85Z6XZP8B10ES0M2G89 |
v. State, if applicable | MINNESOTA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4970550 |
Principal Transactions Record: 6 | |
i. Full name of dealer | CHASE SECURITIES, INC. |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5536817.92999999 |
Principal Transactions Record: 7 | |
i. Full name of dealer | JP MORGAN |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 10707298 |
Principal Transactions Record: 8 | |
i. Full name of dealer | MARKETAXESS CORPORATION |
ii. SEC file number | 008-50727 |
iii. CRD number | 000044542 |
iv. LEI, if any | 5493002U1CA1XJOVID83 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 12758948.55 |
Principal Transactions Record: 9 | |
i. Full name of dealer | MITSUBISHI SEC |
ii. SEC file number | 008-43026 |
iii. CRD number | 000019685 |
iv. LEI, if any | K5HU16E3LMSVCCJJJ255 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4953550 |
Principal Transactions Record: 10 | |
i. Full name of dealer | MORGAN STANLEY |
ii. SEC file number | 008-15869 |
iii. CRD number | 000008209 |
iv. LEI, if any | 9R7GPTSO7KV3UQJZQ078 |
v. State, if applicable | MARYLAND |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 9892970 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 224267020.46 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 152636299 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 5 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
b. Series identication number, if any | S000039723 |
c. LEI | 549300OYV3O0YZ7U4D17 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 1 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000123069 |
iii. Ticker symbol, if any | RIMOX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
b. If yes, provide the following information: | |
Foreign Investments Record: 1 | |
Full name of subsidiary | CNR FIOF IRISH SUBSIDIARY |
LEI of subsidiary, if any | N/A |
Foreign Investments Record: 2 | |
Full name of subsidiary | CNR Fixed Income Opportunities (Ireland) Limited |
LEI of subsidiary, if any | N/A |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
Sub Advisors Record: 1 | |
i. Full name | ALCENTRA LIMITED |
ii. SEC file number ( e.g., 801- ), if applicable | 801-74223 |
iii. CRD number | 000160617 |
iv. LEI, if any | 213800NWZWYYTIEXU364 |
v. State, if applicable | |
vi. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
Sub Advisors Record: 2 | |
i. Full name | SEIX INVESTMENT ADVISORS |
ii. SEC file number ( e.g., 801- ), if applicable | 801-68743 |
iii. CRD number | 000146029 |
iv. LEI, if any | 549300L7I4W19C7JV575 |
v. State, if applicable | NEW JERSEY |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
Sub Advisors Record: 3 | |
i. Full name | GML CAPITAL LLC |
ii. SEC file number ( e.g., 801- ), if applicable | 801-68918 |
iii. CRD number | 000146411 |
iv. LEI, if any | 2138003OH3SXO9J3ME75 |
v. State, if applicable | |
vi. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
Sub Advisors Record: 4 | |
i. Full name | ASHMORE INVESTMENTS |
ii. SEC file number ( e.g., 801- ), if applicable | 801-79169 |
iii. CRD number | 000170303 |
iv. LEI, if any | 549300WDXXY180HK8248 |
v. State, if applicable | |
vi. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
Sub Advisors Record: 5 | |
i. Full name | FEDERATED INVESTMENT MANAGEMENT COMPANY |
ii. SEC file number ( e.g., 801- ), if applicable | 801-34612 |
iii. CRD number | 000105138 |
iv. LEI, if any | 549300SP92SGS5AXSV67 |
v. State, if applicable | PENNSYLVANIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
Sub Advisors Record: 6 | |
i. Full name | Alcentra NY, LLC |
ii. SEC file number ( e.g., 801- ), if applicable | 801-62417 |
iii. CRD number | 000128557 |
iv. LEI, if any | 5493006C55WUHGKZX458 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
Sub Advisors Record: 7 | |
i. Full name | AllFinancial Partners II, LLC |
ii. SEC file number ( e.g., 801- ), if applicable | 801-79231 |
iii. CRD number | 000170142 |
iv. LEI, if any | N/A |
v. State, if applicable | FLORIDA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | CANTOR FITZGERALD & CO. |
ii. LEI, if any, or provide and describe other identifying number | 5493004J7H4GCPG6OB62 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | NOMURA SECURITIES |
ii. LEI, if any, or provide and describe other identifying number | OXTKY6Q8X53C9ILVV871 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | MORGAN STANLEY & CO, INC |
ii. LEI, if any, or provide and describe other identifying number | 9R7GPTSO7KV3UQJZQ078 |
Description of other identifying number | |
iii. State, if applicable | MARYLAND |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | J.P. MORGAN SECURITIES |
ii. LEI, if any, or provide and describe other identifying number | 5493007C5MW3TG916H27 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | UBS FINANCIAL SERVICES INC |
ii. LEI, if any, or provide and describe other identifying number | ETYRV6ORNFJB5NONI676 |
Description of other identifying number | |
iii. State, if applicable | NEW JERSEY |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | CITIGROUP |
ii. LEI, if any, or provide and describe other identifying number | MBNUM2BPBDO7JBLYG310 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 8 | |
i. Full name | DEUTSCHE BANK SECURITIES, INC. |
ii. LEI, if any, or provide and describe other identifying number | 9J6MBOOO7BECTDTUZW19 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 9 | |
i. Full name | GOLDMAN SACHS & CO |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 10 | |
i. Full name | NOMURA |
ii. LEI, if any, or provide and describe other identifying number | OXTKY6Q8X53C9ILVV871 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 11 | |
i. Full name | CREDIT SUISSE - FIRST BOSTON |
ii. LEI, if any, or provide and describe other identifying number | 1V8Y6QCX6YMJ2OELII46 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 12 | |
i. Full name | BANCO SANTANDER |
ii. LEI, if any, or provide and describe other identifying number | 549300FT36TF8GQFTL08 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 13 | |
i. Full name | BARCLAYS CAPITAL INC. |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 14 | |
i. Full name | JEFFERIES LLC |
ii. LEI, if any, or provide and describe other identifying number | 58PU97L1C0WSRCWADL48 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 15 | |
i. Full name | NOMURA |
ii. LEI, if any, or provide and describe other identifying number | OXTKY6Q8X53C9ILVV871 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 16 | |
i. Full name | GOLDMAN SACHS & CO |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 17 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 18 | |
i. Full name | MINT LONDON |
ii. LEI, if any, or provide and describe other identifying number | ZWNFQ48RUL8VJZ2AIC12 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 19 | |
i. Full name | Merrill Lynch |
ii. LEI, if any, or provide and describe other identifying number | 8NAV47T0Y26Q87Y0QP81 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
Brokers Record: 1 | |
i. Full name of broker | MINT brokers |
ii. SEC file number | 8-29616 |
iii. CRD number | 000013681 |
iv. LEI, if any | N/A |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 50.16 |
Brokers Record: 2 | |
i. Full name of broker | INSTINET |
ii. SEC file number | 008-23669 |
iii. CRD number | 000007897 |
iv. LEI, if any | 549300MGMN3RKMU8FT57 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 209551.99 |
Brokers Record: 3 | |
i. Full name of broker | U.S. Bank |
ii. SEC file number | 008-35359 |
iii. CRD number | 000017868 |
iv. LEI, if any | H85Z6XZP8B10ES0M2G89 |
v. State, if applicable | MINNESOTA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 1590.72 |
Brokers Record: 4 | |
i. Full name of broker | BARCLAYS CAPITAL INC. |
ii. SEC file number | 008-41342 |
iii. CRD number | 000019714 |
iv. LEI, if any | AC28XWWI3WIBK2824319 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 1142.44 |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 212335.31 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | MORGAN STANLEY & CO, INC |
ii. SEC file number | 008-15869 |
iii. CRD number | 000008209 |
iv. LEI, if any | 9R7GPTSO7KV3UQJZQ078 |
v. State, if applicable | MARYLAND |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 293466485.22 |
Principal Transactions Record: 2 | |
i. Full name of dealer | JEFFERIES LLC |
ii. SEC file number | 008-15074 |
iii. CRD number | 000002347 |
iv. LEI, if any | 58PU97L1C0WSRCWADL48 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 683082692.34 |
Principal Transactions Record: 3 | |
i. Full name of dealer | UBS SECURITIES |
ii. SEC file number | 008-22651 |
iii. CRD number | 000007654 |
iv. LEI, if any | T6FIZBDPKLYJKFCRVK44 |
v. State, if applicable | CONNECTICUT |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 356823001.56 |
Principal Transactions Record: 4 | |
i. Full name of dealer | CITIGROUP GLOBAL MARKETS |
ii. SEC file number | 008-08177 |
iii. CRD number | 000007059 |
iv. LEI, if any | MBNUM2BPBDO7JBLYG310 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 679474067.17 |
Principal Transactions Record: 5 | |
i. Full name of dealer | GOLDMAN, SACHS & CO. |
ii. SEC file number | 008-00129 |
iii. CRD number | 000000361 |
iv. LEI, if any | FOR8UP27PHTHYVLBNG30 |
v. State, if applicable | UTAH |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 318130248.03 |
Principal Transactions Record: 6 | |
i. Full name of dealer | MERRILL LYNCH, PIERCE, FENNER & SMITH |
ii. SEC file number | 008-07221 |
iii. CRD number | 000007691 |
iv. LEI, if any | 8NAV47T0Y26Q87Y0QP81 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 440274582.26 |
Principal Transactions Record: 7 | |
i. Full name of dealer | JP MORGAN CHASE SECURITIES |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 299487133.89 |
Principal Transactions Record: 8 | |
i. Full name of dealer | BARCLAYS CAPITAL |
ii. SEC file number | 008-41342 |
iii. CRD number | 000019714 |
iv. LEI, if any | AC28XWWI3WIBK2824319 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 566407324.25 |
Principal Transactions Record: 9 | |
i. Full name of dealer | BANK OF AMERICA |
ii. SEC file number | 008-69787 |
iii. CRD number | 000283942 |
iv. LEI, if any | 549300HN4UKV1E2R3U73 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 266920190.36 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 10824745101.28 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 3125143113 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 6 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
b. Series identication number, if any | S000039721 |
c. LEI | 549300V00F5T6OPUKU87 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 1 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000123067 |
iii. Ticker symbol, if any | RIMHX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-27265 |
iii.CRD number | 000117198 |
iv. LEI, if any | 549300EOOYRQIBYP3C02 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | BANK OF AMERICA |
ii. LEI, if any, or provide and describe other identifying number | 549300HN4UKV1E2R3U73 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | WELLS FARGO BROKERAGE SERVICES, LLC |
ii. LEI, if any, or provide and describe other identifying number | VYVVCKR63DVZZN70PB21 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | PRECISION SECURITIES LLC |
ii. LEI, if any, or provide and describe other identifying number | 635400GBP4QTL7NATT68 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | WELLS FARGO SECURITIES |
ii. LEI, if any, or provide and describe other identifying number | VYVVCKR63DVZZN70PB21 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
Brokers Record: 1 | |
i. Full name of broker | PRECISION SECURITIES LLC |
ii. SEC file number | 8-52441 |
iii. CRD number | 000103976 |
iv. LEI, if any | 635400GBP4QTL7NATT68 |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 4274.80999999 |
Brokers Record: 2 | |
i. Full name of broker | FIRST CLEARING CORP |
ii. SEC file number | 8-35158 |
iii. CRD number | 000017344 |
iv. LEI, if any | 549300ZMKHE2W4ILX759 |
v. State, if applicable | DELAWARE |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Gross commissions paid by the Fund for the reporting period | 48.5 |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 4323.30999999 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | FIRST CLEARING CORP |
ii. SEC file number | 8-35158 |
iii. CRD number | 000017344 |
iv. LEI, if any | 549300ZMKHE2W4ILX759 |
v. State, if applicable | DELAWARE |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 250000 |
Principal Transactions Record: 2 | |
i. Full name of dealer | WELLS FARGO SECURITIES |
ii. SEC file number | 008-65876 |
iii. CRD number | 000126292 |
iv. LEI, if any | VYVVCKR63DVZZN70PB21 |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 250000 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 65923768 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 233533631 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
2223000
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b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 7 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
b. Series identication number, if any | S000005837 |
c. LEI | 549300FYGSV93MB0M935 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 3 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Institutional |
ii. Class identification number, if any | C000107178 |
iii. Ticker symbol, if any | CNIGX |
Shares Outstanding Record: 2 | |
i. Full name of Class | Servicing |
ii. Class identification number, if any | C000016010 |
iii. Ticker symbol, if any | CNBIX |
Shares Outstanding Record: 3 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000016009 |
iii. Ticker symbol, if any | CGBAX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | BB&T CAPITAL MARKETS |
ii. LEI, if any, or provide and describe other identifying number | N/A |
Description of other identifying number | |
iii. State, if applicable | VIRGINIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | CORMARK SECURITIES |
ii. LEI, if any, or provide and describe other identifying number | 549300SUH8XF18ZB7M51 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | NOMURA SECURITIES INTERNATIONAL, INC. |
ii. LEI, if any, or provide and describe other identifying number | OXTKY6Q8X53C9ILVV871 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | CREDIT SUISSE - FIRST BOSTON |
ii. LEI, if any, or provide and describe other identifying number | 1V8Y6QCX6YMJ2OELII46 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | WELLS FARGO |
ii. LEI, if any, or provide and describe other identifying number | VYVVCKR63DVZZN70PB21 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 8 | |
i. Full name | INTL FC STONE (FORMERLY G.X. CLARKE) |
ii. LEI, if any, or provide and describe other identifying number | 549300JUF07L8VF02M60 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 9 | |
i. Full name | ARBOR TRADING GROUP |
ii. LEI, if any, or provide and describe other identifying number | ZXV72XFMG8HDWWYVKP59 |
Description of other identifying number | |
iii. State, if applicable | ILLINOIS |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 10 | |
i. Full name | MORGAN STANLEY & CO, INC |
ii. LEI, if any, or provide and describe other identifying number | 9R7GPTSO7KV3UQJZQ078 |
Description of other identifying number | |
iii. State, if applicable | MARYLAND |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 11 | |
i. Full name | BARCLAYS CAPITAL INC. |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
i. Full name of broker | |
ii. SEC file number | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Gross commissions paid by the Fund for the reporting period |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 0 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | TD SECURITIES (USA) INC. |
ii. SEC file number | 008-36747 |
iii. CRD number | 000018476 |
iv. LEI, if any | SUVUFHICNZMP2WKHG940 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 1306769.1 |
Principal Transactions Record: 2 | |
i. Full name of dealer | MIZUHO SECURITIES |
ii. SEC file number | 008-37710 |
iii. CRD number | 000019647 |
iv. LEI, if any | 7TK5RJIZDFROZCA6XF66 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 395320 |
Principal Transactions Record: 3 | |
i. Full name of dealer | MORGAN STANLEY & CO, INC |
ii. SEC file number | 008-15869 |
iii. CRD number | 000008209 |
iv. LEI, if any | 9R7GPTSO7KV3UQJZQ078 |
v. State, if applicable | MARYLAND |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4902337.3 |
Principal Transactions Record: 4 | |
i. Full name of dealer | WELLS FARGO BROKERAGE SERVICES, LLC |
ii. SEC file number | 008-65876 |
iii. CRD number | 000126292 |
iv. LEI, if any | VYVVCKR63DVZZN70PB21 |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4918265 |
Principal Transactions Record: 5 | |
i. Full name of dealer | KEYBANC CAPITAL MARKETS |
ii. SEC file number | 008-30177 |
iii. CRD number | 000000566 |
iv. LEI, if any | 2EQWV0180Z211YVAD813 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 2091312.8 |
Principal Transactions Record: 6 | |
i. Full name of dealer | BNY Mellon |
ii. SEC file number | 8-35255 |
iii. CRD number | 000017454 |
iv. LEI, if any | 549300GYL9XGY3ZTF246 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 1636829.5 |
Principal Transactions Record: 7 | |
i. Full name of dealer | WELLS FARGO SECURITIES LLC |
ii. SEC file number | 008-65876 |
iii. CRD number | 000126292 |
iv. LEI, if any | VYVVCKR63DVZZN70PB21 |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 1640090.9 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 48601893.47 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 49616852 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 8 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
b. Series identication number, if any | S000043469 |
c. LEI | 549300TQO52D8X5ZM377 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 2 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000134824 |
iii. Ticker symbol, if any | CNRNX |
Shares Outstanding Record: 2 | |
i. Full name of Class | Servicing |
ii. Class identification number, if any | C000134825 |
iii. Ticker symbol, if any | CNRMX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | MESIROW FINANCIAL INC |
ii. LEI, if any, or provide and describe other identifying number | 549300BIV46SUHPOFE54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | CITIGROUP |
ii. LEI, if any, or provide and describe other identifying number | MBNUM2BPBDO7JBLYG310 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | DAVIDSON D.A., & COMPANY INC. |
ii. LEI, if any, or provide and describe other identifying number | 549300094RQ5A7DYLF51 |
Description of other identifying number | |
iii. State, if applicable | MONTANA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | WELLS FARGO |
ii. LEI, if any, or provide and describe other identifying number | VYVVCKR63DVZZN70PB21 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | MORGAN STANLEY & CO, INC |
ii. LEI, if any, or provide and describe other identifying number | 9R7GPTSO7KV3UQJZQ078 |
Description of other identifying number | |
iii. State, if applicable | MARYLAND |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 8 | |
i. Full name | JEFFERIES LLC |
ii. LEI, if any, or provide and describe other identifying number | 58PU97L1C0WSRCWADL48 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 9 | |
i. Full name | BARCLAYS CAPITAL INC. |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 10 | |
i. Full name | PIPER JAFFRAY |
ii. LEI, if any, or provide and describe other identifying number | 549300GRQCWQ3XGH0H10 |
Description of other identifying number | |
iii. State, if applicable | MINNESOTA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 11 | |
i. Full name | B.C. ZIEGLER & CO. |
ii. LEI, if any, or provide and describe other identifying number | N/A |
Description of other identifying number | |
iii. State, if applicable | ILLINOIS |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
i. Full name of broker | |
ii. SEC file number | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Gross commissions paid by the Fund for the reporting period |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 0 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | MESIROW FINANCIAL INC |
ii. SEC file number | 8-28816 |
iii. CRD number | 000002764 |
iv. LEI, if any | N/A |
v. State, if applicable | ILLINOIS |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 44854055.85 |
Principal Transactions Record: 2 | |
i. Full name of dealer | MORGAN STANLEY |
ii. SEC file number | 008-15869 |
iii. CRD number | 000008209 |
iv. LEI, if any | 9R7GPTSO7KV3UQJZQ078 |
v. State, if applicable | MARYLAND |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 38199138.8 |
Principal Transactions Record: 3 | |
i. Full name of dealer | MESIROW FINANCIAL INC |
ii. SEC file number | 8-28816 |
iii. CRD number | 000002764 |
iv. LEI, if any | N/A |
v. State, if applicable | ILLINOIS |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 24431980.1 |
Principal Transactions Record: 4 | |
i. Full name of dealer | JP Morgan Chase Securities |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 15936292.03 |
Principal Transactions Record: 5 | |
i. Full name of dealer | CHASE SECURITIES, INC. |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 47000000 |
Principal Transactions Record: 6 | |
i. Full name of dealer | B.C. ZIEGLER & CO. |
ii. SEC file number | 8-00094 |
iii. CRD number | 000000061 |
iv. LEI, if any | N/A |
v. State, if applicable | ILLINOIS |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 29786124 |
Principal Transactions Record: 7 | |
i. Full name of dealer | CITIGROUP GLOBAL MARKETS |
ii. SEC file number | 008-08177 |
iii. CRD number | 000007059 |
iv. LEI, if any | MBNUM2BPBDO7JBLYG310 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 107270452.6 |
Principal Transactions Record: 8 | |
i. Full name of dealer | Davidson D.A. & Co |
ii. SEC file number | 8-2399 |
iii. CRD number | 000000199 |
iv. LEI, if any | 549300094RQ5A7DYLF51 |
v. State, if applicable | MONTANA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 17182048 |
Principal Transactions Record: 9 | |
i. Full name of dealer | JP MORGAN (SUMMIT FINANCIAL SVCS) |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 19387101.5 |
Principal Transactions Record: 10 | |
i. Full name of dealer | JEFFERIES LLC |
ii. SEC file number | 008-15074 |
iii. CRD number | 000002347 |
iv. LEI, if any | 58PU97L1C0WSRCWADL48 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 32910487.5 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 575036444.98 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 1316067001 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | US Bank | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE HIGH YIELD BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | City National Rochdale Short Term Emerging Markets Debt Fund |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
Management Investment Record: 9 |
Item C.1. Background information.
a. Full Name of the Fund | CITY NATIONAL ROCHDALE GOVERNMENT MONEY MARKET FUND |
b. Series identication number, if any | S000005833 |
c. LEI | 549300ODC9DFYFPHOT65 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 3 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Class N |
ii. Class identification number, if any | C000015999 |
iii. Ticker symbol, if any | CNGXX |
Shares Outstanding Record: 2 | |
i. Full name of Class | Servicing |
ii. Class identification number, if any | C000016000 |
iii. Ticker symbol, if any | CNIXX |
Shares Outstanding Record: 3 | |
i. Full name of Class | Class S |
ii. Class identification number, if any | C000016001 |
iii. Ticker symbol, if any | CNFXX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | GOLDMAN SACHS & CO |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | WELLS FARGO BROKERAGE SERVICES, LLC |
ii. LEI, if any, or provide and describe other identifying number | VYVVCKR63DVZZN70PB21 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | CITIGROUP |
ii. LEI, if any, or provide and describe other identifying number | MBNUM2BPBDO7JBLYG310 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | STERNE, AGEE & LEACH, INC. |
ii. LEI, if any, or provide and describe other identifying number | 549300B0SBRC3H0BII50 |
Description of other identifying number | |
iii. State, if applicable | ALABAMA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | BARCLAYS CAPITAL INC. |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | CHASE SECURITIES, INC. |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 8 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 9 | |
i. Full name | INTL FC STONE (FORMERLY G.X. CLARKE) |
ii. LEI, if any, or provide and describe other identifying number | 549300JUF07L8VF02M60 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 10 | |
i. Full name | DAIWA SECURITIES AMERICA, INC. |
ii. LEI, if any, or provide and describe other identifying number | N/A |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 11 | |
i. Full name | MIZUHO SECURITIES |
ii. LEI, if any, or provide and describe other identifying number | 7TK5RJIZDFROZCA6XF66 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
i. Full name of broker | |
ii. SEC file number | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Gross commissions paid by the Fund for the reporting period |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 0 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | JP MORGAN |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4660000000 |
Principal Transactions Record: 2 | |
i. Full name of dealer | DAIWA SECURITIES AMERICA, INC. |
ii. SEC file number | 008-12242 |
iii. CRD number | 000001576 |
iv. LEI, if any | M67H5PRC0NQKM73ZAS82 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 1186515027.31 |
Principal Transactions Record: 3 | |
i. Full name of dealer | CHASE SECURITIES, INC. |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 902192241.11 |
Principal Transactions Record: 4 | |
i. Full name of dealer | GOLDMAN, SACHS & CO. |
ii. SEC file number | 008-00129 |
iii. CRD number | 000000361 |
iv. LEI, if any | FOR8UP27PHTHYVLBNG30 |
v. State, if applicable | UTAH |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 708704630.55 |
Principal Transactions Record: 5 | |
i. Full name of dealer | U.S. Bank |
ii. SEC file number | 008-35359 |
iii. CRD number | 000017868 |
iv. LEI, if any | H85Z6XZP8B10ES0M2G89 |
v. State, if applicable | MINNESOTA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 970000000 |
Principal Transactions Record: 6 | |
i. Full name of dealer | BARCLAYS CAPITAL INC. |
ii. SEC file number | 008-41342 |
iii. CRD number | 000019714 |
iv. LEI, if any | AC28XWWI3WIBK2824319 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 17051182600 |
Principal Transactions Record: 7 | |
i. Full name of dealer | STERNE, AGEE, & LEACH, INC. |
ii. SEC file number | 008-51269 |
iii. CRD number | 000045993 |
iv. LEI, if any | 549300LNKU6K5TJCRG93 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 593374802.04 |
Principal Transactions Record: 8 | |
i. Full name of dealer | WACHOVIA SECURITIES, INC. |
ii. SEC file number | 008-65876 |
iii. CRD number | 000126292 |
iv. LEI, if any | VYVVCKR63DVZZN70PB21 |
v. State, if applicable | NORTH CAROLINA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 1758327402.53 |
Principal Transactions Record: 9 | |
i. Full name of dealer | MIZUHO SECURITIES USA INC. |
ii. SEC file number | 008-37710 |
iii. CRD number | 000019647 |
iv. LEI, if any | 7TK5RJIZDFROZCA6XF66 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 1155881914.73 |
Principal Transactions Record: 10 | |
i. Full name of dealer | BANK OF AMERICA |
ii. SEC file number | 008-69787 |
iii. CRD number | 000283942 |
iv. LEI, if any | 549300HN4UKV1E2R3U73 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 2270000000 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 48055386267.69 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | |
b. Provide the money market fund's daily average net assets during the reporting period | 3703722313 |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Management Investment Record: 10 |
Item C.1. Background information.
a. Full Name of the Fund | City National Rochdale Short Term Emerging Markets Debt Fund |
b. Series identication number, if any | S000063940 |
c. LEI | 549300R7LDK84FIHEX42 |
d. Is this the first filing on this form by the Fund? | Yes No |
Item C.2. Classes of open-end management investment companies.
a. How many Classes of shares of the Fund (if any) are authorized? | 1 |
b. How many new Classes of shares of the Fund were added during the reporting period? | 0 |
c. How many Classes of shares of the Fund were terminated during the reporting period? | 0 |
d. For each Class with shares outstanding, provide the information requested below: | |
Shares Outstanding Record: 1 | |
i. Full name of Class | Class Y |
ii. Class identification number, if any | C000206961 |
iii. Ticker symbol, if any | CNRGX |
Item C.3. Type of fund.
Instructions. 1. "Fund of Funds" means a fund that acquires securities issued by any other investment company in excess of the amounts permitted under paragraph (A) of section 12(d)(1) of the Act (15 U.S.C. 80a-12(d)(1)(A)), but, for purposes of this Item, does not include a fund that acquires securities issued by another company solely in reliance on rule 12d1-1 under the Act (CFR 270.12d1-1). 2. "Index Fund" means an investment company, including an Exchange-Traded Fund, that seeks to track the performance of a specified index. 3. "Interval Fund" means a closed-end management investment company that makes periodic repurchases of its shares pursuant to rule 23c-3 under the Act (17 CFR 270.23c-3). 4. "Master-Feeder Fund" means a two-tiered arrangement in which one or more funds (each a feeder fund) holds shares of a single Fund (the master fund) in accordance with section 12(d)(1)(E) of the Act (15 U.S.C. 80a-12(d)(1)(E)) or pursuant to exemptive relief granted by the Commission. 5. "Target Date Fund" means an investment company that has an investment objective or strategy of providing varying degrees of long-term appreciation and capital preservation through a mix of equity and fixed income exposures that changes over time based on an investor's age, target retirement date, or life expectancy. |
Indicate if the Fund is any one of the types listed below. Check all that apply. |
a. Exchange-Traded Fund or Exchange-Traded Managed Fund or offers a Class that itself is an Exchange-Traded Fund or Exchange-Traded Managed Fund i. Exchange-Traded Fund ii. Exchange-Traded Managed Fund b. Index Fund c. Seeks to achieve performance results that are a multiple of a benchmark, the inverse of a benchmark, or a multiple of the inverse of a benchmark d. Interval Fund e. Fund of Funds f. Master-Feeder Fund g. Money Market Fund h. Target Date Fund i. Underlying fund to a variable annuity or variable life insurance contract N/A |
Item C.4. Diversification.
Does the Fund seek to operate as a “non-diversified company” as such term is defined in section 5(b)(2) of the Act (15 U.S.C. 80a- 5(b) (2))? | Yes No |
Item C.5. Investments in certain foreign corporations.
Instruction. "Controlled foreign corporation" has the meaning provided in section 957 of the Internal Revenue Code [26 U.S.C. 957]. |
a. Does the fund invest in a controlled foreign corporation for the purpose of investing in certain types of instruments such as, but not limited to, commodities? | Yes No |
Item C.6. Securities lending.
Instruction. For purposes of this Item, other adverse impacts would include, for example, (1) a loss to the Fund if collateral and indemnification were not sufficient to replace the loaned securities or their value, (2) the Fund's ineligibility to vote shares in a proxy, or (3) the Fund's ineligibility to receive a direct distribution from the issuer. |
a. Is the Fund authorized to engage in securities lending transactions? | Yes No |
b. Did the Fund lend any of its securities during the reporting period? | Yes No |
c. Provide the information requested below about each securities lending agent, if any, retained by the Fund: |
i. Full name of securities lending agent | |
ii. LEI, if any | |
iii. Is the securities lending agent an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
iv. Does the securities lending agent or any other entity indemnify the fund against borrower default on loans administered by this agent? | Yes No |
v. If the entity providing the indemnification is not the securities lending agent, provide the following information: |
1. Name of person providing indemnification | |
2. LEI, if any, of person providing indemnification |
vi. Did the Fund exercise its indemnification rights during the reporting period? | Yes No |
d. If a person providing cash collateral management services to the Fund in connection with the Fund's securities lending activities does not also serve as securities lending agent, provide the following information about each cash collateral manager: |
i. Full name of cash collateral manager: | |
ii. LEI, if any: | |
iii. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of a securities lending agent retained by the Fund? | Yes No |
iv. Is the cash collateral manager an affiliated person, or an affiliated person of an affiliated person, of the Fund? | Yes No |
e. Types of payments made to one or more securities lending agents and cash collateral managers (check all that apply): | i. Revenue sharing split ii. Non-revenue sharing split (other than administrative fee) iii. Administrative fee iv. Cash collateral reinvestment fee v. Indemnification fee vi. Other N/A |
f. Provide the monthly average of the value of portfolio securities on loan during the reporting period | N/A |
g. Provide the net income from securities lending activities | N/A |
Item C.7. Reliance on certain rules.
Did the Fund rely on any of the following rules under the Act during the reporting period? (check all that apply) | a. Rule 10f-3 (17 CFR 270.10f-3) b. Rule 12d1-1 (17 CFR 270.12d1-1) c. Rule 15a-4 (17 CFR 270.15a-4) d. Rule 17a-6 (17 CFR 270.17a-6) e. Rule 17a-7 (17 CFR 270.17a-7) f. Rule 17a-8 (17 CFR 270.17a-8) g. Rule 17e-1 (17 CFR 270.17e-1) h. Rule 22d-1 (17 CFR 270.22d-1) i. Rule 23c-1 (17 CFR 270.23c-1) j. Rule 32a-4 (17 CFR 270.32a-4) N/A |
Item C.8. Expense limitations.
Instruction. Provide information concerning any direct or indirect limitations, waivers or reductions, on the level of expenses incurred by the fund during the reporting period. A limitation, for example, may be applied indirectly (such as when an adviser agrees to accept a reduced fee pursuant to a voluntary fee waiver) or it may apply only for a temporary period such as for a new fund in its start-up phase. |
a. Did the Fund have an expense limitation arrangement in place during the reporting period? | Yes No |
b. Were any expenses of the Fund reduced or waived pursuant to an expense limitation arrangement during the reporting period? | Yes No |
c. Are the fees waived subject to recoupment? | Yes No |
d. Were any expenses previously waived recouped during the period? | Yes No |
Item C.9. Investment advisers.
a. Provide the following information about each investment adviser (other than a sub-adviser) of the Fund: |
Investment Advisers Record: 1 | |
i. Full name | City National Rochdale, LLC |
ii. SEC file number ( e.g., 801- ) | 801-60150 |
iii.CRD number | 000111759 |
iv. LEI, if any | N/A |
v. State, if applicable | CALIFORNIA |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Was the investment adviser hired during the reporting period? | Yes No |
b. If an investment adviser (other than a sub- adviser) to the Fund was terminated during the reporting period, provide the following with respect to each investment adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
c. For each sub-adviser to the Fund, provide the information requested: |
i. Full name | |
ii. SEC file number ( e.g., 801- ), if applicable | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Is the sub-adviser an affiliated person of the Fund's investment adviser(s)? | Yes No |
viii. Was the sub-adviser hired during the reporting period? | Yes No |
d. If a sub-adviser was terminated during the reporting period, provide the following with respect to such sub-adviser: |
i. Full name | |
ii. SEC file number ( e.g., 801- ) | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Termination date |
Item C.10. Transfer agents.
a. Provide the following information about each person providing transfer agency services to the Fund: |
Transfer Agents Record: 1 | |
i. Full name | U.S. Bank Global Fund Services |
ii.SEC file number ( e.g., 84- or 85- ) | 85-11357 |
iii. LEI, if any | N1GZ7BBF3NP8GI976H15 |
iv. State, if applicable | WISCONSIN |
v. Foreign country, if applicable | UNITED STATES OF AMERICA |
vi. Is the transfer agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vii. Is the transfer agent a sub-transfer agent? | Yes No |
b. Has a transfer agent been hired or terminated during the reporting period? | Yes No |
Item C.11. Pricing services.
a. Provide the following information about each person that provided pricing services to the Fund during the reporting period: |
Pricing Services Record: 1 | |
i. Full name | Intercontinental Exchange, Inc. |
ii. LEI, if any, or provide and describe other identifying number | 5493000F4ZO33MV32P92 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 2 | |
i. Full name | Thomson Reuters Corporation |
ii. LEI, if any, or provide and describe other identifying number | 549300561UZND4C7B569 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | CANADA (FEDERAL LEVEL) |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 3 | |
i. Full name | Pricing Direct |
ii. LEI, if any, or provide and describe other identifying number | 549300WIC0TOJ7N7GD54 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 4 | |
i. Full name | Bloomberg |
ii. LEI, if any, or provide and describe other identifying number | 254900BF4G8VMW8GG471 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 5 | |
i. Full name | S&P |
ii. LEI, if any, or provide and describe other identifying number | 549300U4VWNITEKO2881 |
Description of other identifying number | |
iii. State, if applicable | DELAWARE |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
Pricing Services Record: 6 | |
i. Full name | IHS Markit |
ii. LEI, if any, or provide and describe other identifying number | 549300HLPTRASHS0E726 |
Description of other identifying number | |
iii. State, if applicable | |
iv. Foreign country, if applicable | UNITED KINGDOM OF GREAT BRITAIN AND NORTHERN IRELAND |
v. Is the pricing service an affiliated person of the Fund or its investment adviser(s)? | Yes No |
b. Was a pricing service hired or terminated during the reporting period? | Yes No |
Item C.12. Custodians.
a. Provide the following information about each person that provided custodial services to the Fund during the reporting period: |
Custodians Record: 1 | |
i. Full name | US BANK, N.A. |
ii. LEI, if any | N/A |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the custodian an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the custodian a sub-custodian? | Yes No |
vii. With respect to the custodian, check below to indicate the type of custody: | 1.Bank - section 17(f)(1) (15 U.S.C. 80a-17(f)(1)) 2.Member national securities exchange - rule 17f-1 (17 CFR 270.17f-1) 3.Self - rule 17f-2 (17 CFR 270.17f-2) 4.Securities depository - rule 17f-4 (17 CFR 270.17f-4) 5.Foreign custodian - rule 17f-5 (17 CFR 270.17f-5) 6.Futures commission merchants and commodity clearing organizations - rule 17f-6 (17 CFR 270.17f-6) 7.Foreign securities depository - rule 17f-7 (17 CFR 270.17f-7) 8.Insurance company sponsor - rule 26a-2 (17 CFR 270.26a-2) 9.Other |
b. Has a custodian been hired or terminated during the reporting period?* | Yes No |
Item C.13. Shareholder servicing agents.
a. Provide the following information about each shareholder servicing agent of the Fund: |
Shareholder servicing agents Record: 1 | |
i. Full name | UBS SECURITIES LLC |
ii. LEI, if any, or provide and describe other identifying number | T6FIZBDPKLYJKFCRVK44 |
Description of other identifying number | |
iii. State, if applicable | CONNECTICUT |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 2 | |
i. Full name | JONES TRADING |
ii. LEI, if any, or provide and describe other identifying number | 2138008JJ5PA8H5UIL69 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 3 | |
i. Full name | USBANK |
ii. LEI, if any, or provide and describe other identifying number | H85Z6XZP8B10ES0M2G89 |
Description of other identifying number | |
iii. State, if applicable | MINNESOTA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 4 | |
i. Full name | GOLDMAN SACHS & CO |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 5 | |
i. Full name | ALAMO CAPITAL |
ii. LEI, if any, or provide and describe other identifying number | 254900PX6PJH5Z19A906 |
Description of other identifying number | |
iii. State, if applicable | CALIFORNIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 6 | |
i. Full name | U.S. Bank Global Fund Services |
ii. LEI, if any, or provide and describe other identifying number | 85-11357 |
Description of other identifying number | |
iii. State, if applicable | WISCONSIN |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 7 | |
i. Full name | DEUTSCHE BANK SECURITIES, INC. |
ii. LEI, if any, or provide and describe other identifying number | 9J6MBOOO7BECTDTUZW19 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 8 | |
i. Full name | BLOOMBERG TRADEBOOK LLC |
ii. LEI, if any, or provide and describe other identifying number | 549300P0PVQNO43T7K36 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 9 | |
i. Full name | BARCLAYS CAPITAL INC. |
ii. LEI, if any, or provide and describe other identifying number | AC28XWWI3WIBK2824319 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 10 | |
i. Full name | COWEN GROUP |
ii. LEI, if any, or provide and describe other identifying number | 5493008QI0EFC5WBED75 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 11 | |
i. Full name | RAYMOND JAMES |
ii. LEI, if any, or provide and describe other identifying number | 549300Q3FSJ44RJLP108 |
Description of other identifying number | |
iii. State, if applicable | FLORIDA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 12 | |
i. Full name | SUNTRUST |
ii. LEI, if any, or provide and describe other identifying number | N/A |
Description of other identifying number | |
iii. State, if applicable | GEORGIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 13 | |
i. Full name | MORGAN STANLEY & CO, INC |
ii. LEI, if any, or provide and describe other identifying number | 9R7GPTSO7KV3UQJZQ078 |
Description of other identifying number | |
iii. State, if applicable | MARYLAND |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 14 | |
i. Full name | GOLDMAN, SACHS & CO. |
ii. LEI, if any, or provide and describe other identifying number | FOR8UP27PHTHYVLBNG30 |
Description of other identifying number | |
iii. State, if applicable | UTAH |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 15 | |
i. Full name | CITIGROUP |
ii. LEI, if any, or provide and describe other identifying number | MBNUM2BPBDO7JBLYG310 |
Description of other identifying number | |
iii. State, if applicable | NEW YORK |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 16 | |
i. Full name | JP MORGAN |
ii. LEI, if any, or provide and describe other identifying number | ZBUT11V806EZRVTWT807 |
Description of other identifying number | |
iii. State, if applicable | OHIO |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
Shareholder servicing agents Record: 17 | |
i. Full name | STIFEL NICOLAUS & CO., INC. |
ii. LEI, if any, or provide and describe other identifying number | 5WUVMA08EYG4KEUPW589 |
Description of other identifying number | |
iii. State, if applicable | MISSOURI |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the shareholder servicing agent an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the shareholder servicing agent a sub-shareholder servicing agent? | Yes No |
b. Has a shareholder servicing agent been hired or terminated during the reporting period? | Yes No |
Item C.14. Administrators.
a. Provide the following information about each administrator of the Fund: |
Administrators Record: 1 | |
i. Full name | SEI INVESTMENTS GLOBAL FUNDS SERVICES |
ii. LEI, if any, or other identifying number | 801-24593 |
Description of other identifying number | SEC File Number |
iii. State, if applicable | PENNSYLVANIA |
iv. Foreign country, if applicable | UNITED STATES OF AMERICA |
v. Is the administrator an affiliated person of the Fund or its investment adviser(s)? | Yes No |
vi. Is the administrator a sub-administrator? | Yes No |
b.Has a third-party administrator been hired or terminated during the reporting period? | Yes No |
Item C.15. Affiliated broker-dealers.
Provide the following information about each affiliated broker-dealer: |
Broker Dealers Record: 1 | |
a. Full name | CNR Securities, LLC |
b. SEC file number | 8-36759 |
c. CRD number | 000018466 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Broker Dealers Record: 2 | |
a. Full name | SYMPHONIC SECURITIES LLC |
b. SEC file number | 8-67220 |
c. CRD number | 000139512 |
d. LEI, if any | N/A |
e. State, if applicable | NEW YORK |
f. Foreign country, if applicable | UNITED STATES OF AMERICA |
g. Total commissions paid to the affiliated broker-dealer for the reporting period: | 0 |
Item C.16. Brokers.
Instructions to Item C.16 and Item C.17. To help Registrants distinguish between agency and principal transactions, and to promote consistent reporting of the information required by these items, the following criteria should be used: 1. If a security is purchased or sold in a transaction for which the confirmation specifies the amount of the commission to be paid by the Registrant, the transaction should be considered an agency transaction and included in determining the answers to Item C.16. 2. If a security is purchased or sold in a transaction for which the confirmation specifies only the net amount to be paid or received by the Registrant and such net amount is equal to the market value of the security at the time of the transaction, the transaction should be considered a principal transaction and included in determining the amounts in Item C.17. 3. If a security is purchased by the Registrant in an underwritten offering, the acquisition should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the underwriters are receiving from the issuer. 4. If a security is sold by the Registrant in a tender offer, the sale should be considered a principal transaction and included in answering Item C.17 even though the Registrant has knowledge of the amount the offeror is paying to soliciting brokers or dealers. 5. If a security is purchased directly from the issuer (such as a bank CD), the purchase should be considered a principal transaction and included in answering Item C.17. 6. The value of called or maturing securities should not be counted in either agency or principal transactions and should not be included in determining the amounts shown in Item C.16 and Item C.17. This means that the acquisition of a security may be included, but it is possible that its disposition may not be included. Disposition of a repurchase agreement at its expiration date should not be included. 7. The purchase or sales of securities in transactions not described in paragraphs (1) through (6) above should be evaluated by the Fund based upon the guidelines established in those paragraphs and classified accordingly. The agents considered in Item C.16 may be persons or companies not registered under the Exchange Act as securities brokers. The persons or companies from whom the investment company purchased or to whom it sold portfolio instruments on a principal basis may be persons or entities not registered under the Exchange Act as securities dealers. |
a. For each of the ten brokers that received the largest dollar amount of brokerage commissions (excluding dealer concessions in underwritings) by virtue of direct or indirect participation in the Fund’s portfolio transactions, provide the information below: |
i. Full name of broker | |
ii. SEC file number | |
iii. CRD number | |
iv. LEI, if any | |
v. State, if applicable | |
vi. Foreign country, if applicable | |
vii. Gross commissions paid by the Fund for the reporting period |
b. Aggregate brokerage commissions paid by Fund during the reporting period: | 0 |
Item C.17. Principal transactions.
a. For each of the ten entities acting as principals with which the Fund did the largest dollar amount of principal transactions (include all short-term obligations, and U.S. government and tax-free securities) in both the secondary market and in underwritten offerings, provide the information below: |
Principal Transactions Record: 1 | |
i. Full name of dealer | MORGAN STANLEY |
ii. SEC file number | 008-15869 |
iii. CRD number | 000008209 |
iv. LEI, if any | 9R7GPTSO7KV3UQJZQ078 |
v. State, if applicable | MARYLAND |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 9983200 |
Principal Transactions Record: 2 | |
i. Full name of dealer | BCP SECURITIES LLC |
ii. SEC file number | 8-42836 |
iii. CRD number | 000027063 |
iv. LEI, if any | 2549006Q2SCXK1988H68 |
v. State, if applicable | CONNECTICUT |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5398483.31 |
Principal Transactions Record: 3 | |
i. Full name of dealer | MERRILL LYNCH, PIERCE, FENNER & SMITH |
ii. SEC file number | 008-07221 |
iii. CRD number | 000007691 |
iv. LEI, if any | 8NAV47T0Y26Q87Y0QP81 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 11096039.2 |
Principal Transactions Record: 4 | |
i. Full name of dealer | HSBC SECURITIES, INC. |
ii. SEC file number | 008-41562 |
iii. CRD number | 000019585 |
iv. LEI, if any | CYYGQCGNHMHPSMRL3R97 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 11848628.28 |
Principal Transactions Record: 5 | |
i. Full name of dealer | GOLDMAN, SACHS & CO. |
ii. SEC file number | 008-00129 |
iii. CRD number | 000000361 |
iv. LEI, if any | FOR8UP27PHTHYVLBNG30 |
v. State, if applicable | UTAH |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 4755875 |
Principal Transactions Record: 6 | |
i. Full name of dealer | JP Morgan Chase Securities |
ii. SEC file number | 008-35008 |
iii. CRD number | 000000079 |
iv. LEI, if any | ZBUT11V806EZRVTWT807 |
v. State, if applicable | OHIO |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 10985087.5 |
Principal Transactions Record: 7 | |
i. Full name of dealer | UBS SECURITIES |
ii. SEC file number | 008-22651 |
iii. CRD number | 000007654 |
iv. LEI, if any | T6FIZBDPKLYJKFCRVK44 |
v. State, if applicable | CONNECTICUT |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 14871995.06 |
Principal Transactions Record: 8 | |
i. Full name of dealer | CITIGROUP GLOBAL MARKETS |
ii. SEC file number | 008-08177 |
iii. CRD number | 000007059 |
iv. LEI, if any | MBNUM2BPBDO7JBLYG310 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 23262886 |
Principal Transactions Record: 9 | |
i. Full name of dealer | MIZUHO SECURITIES |
ii. SEC file number | 008-37710 |
iii. CRD number | 000019647 |
iv. LEI, if any | 7TK5RJIZDFROZCA6XF66 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 5605000 |
Principal Transactions Record: 10 | |
i. Full name of dealer | JEFFERIES LLC |
ii. SEC file number | 008-15074 |
iii. CRD number | 000002347 |
iv. LEI, if any | 58PU97L1C0WSRCWADL48 |
v. State, if applicable | NEW YORK |
vi. Foreign country, if applicable | UNITED STATES OF AMERICA |
vii. Total value of purchases and sales (excluding maturing securities) with Fund: | 7084291.65 |
b. Aggregate value of principal purchase/sale transactions of Fund during the reporting period: | 668440896.67 |
Item C.18. Payments for brokerage and research.
During the reporting period, did the Fund pay commissions to broker-dealers for "brokerage and research services" within the meaning of section 28(e) of the Exchange Act (15 U.S.C. 78bb)? | Yes No |
Item C.19. Average net assets.
a. Provide the Fund's (other than a money market fund's) monthly average net assets during the reporting period | 147877823 |
b. Provide the money market fund's daily average net assets during the reporting period |
Item C.20. Lines of credit, interfund lending and interfund borrowing.
a. Does the Fund have available a line of credit? | Yes No |
Line of Credit details Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
i. Is the line of credit a committed or uncommitted line of credit? | Committed Uncommitted | |||||||||||||||||||||||||||||||||||||||||||
ii. What size is the line of credit? | 200000000 | |||||||||||||||||||||||||||||||||||||||||||
iii. With which institution(s) is the line of credit? | ||||||||||||||||||||||||||||||||||||||||||||
Line Institutions Record: 1 | ||||||||||||||||||||||||||||||||||||||||||||
Name of institution | U.S. Bank N.A. | |||||||||||||||||||||||||||||||||||||||||||
iv. Is the line of credit just for the Fund, or is it shared among multiple funds? | Sole Shared | |||||||||||||||||||||||||||||||||||||||||||
Shared Credit Users Record: 1 |
Name of fund | CITY NATIONAL ROCHDALE U.S. CORE EQUITY FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE MUNICIPAL HIGH INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE INTERMEDIATE FIXED INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE FIXED INCOME OPPORTUNITIES FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CORPORATE BOND FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE GOVERNMENT MONEY MARKET FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE DIVIDEND & INCOME FUND |
SEC File number( e.g., 811- ) | N/A |
Name of fund | CITY NATIONAL ROCHDALE CALIFORNIA TAX EXEMPT BOND FUND |
SEC File number( e.g., 811- ) | N/A |
b. Did the Fund engage in interfund lending? | Yes No |
c.Did the Fund engage in interfund borrowing? | Yes No |
Item C.21. Swing pricing.
For open-end management investment companies, respond to the following: |
a. Did the Fund (if not a Money Market Fund, Exchange-Traded Fund, or Exchange-Traded Managed Fund) engage in swing pricing? | Yes No |
N-CEN:Part G: Attachments
Item G.1a. Attachments.
Attachments applicable to all Registrants. All Registrants shall file the following attachments, as applicable, with the current report. Indicate the attachments filed with the current report by checking the applicable items below: | i. Legal proceedings ii. Provision of financial support iii. Independent public accountant's report on internal control (management investment companies other than small business investment companies only) iv. Change in accounting principles and practices v. Information required to be filed pursuant to exemptive orders vi. Other information required to be included as an attachment pursuant to Commission rules and regulations |
Instructions. 1. Item G.1.a.i. Legal proceedings. (a) If the Registrant responded "YES" to Item B.11.a., provide a brief description of the proceedings. As part of the description, provide the case or docket number (if any), and the full names of the principal parties to the proceeding. (b) If the Registrant responded "YES" to Item B.11.b., identify the proceeding and give its date of termination. 2. Item G.1.a.ii. Provision of financial support. If the Registrant responded "YES" to Item B.14., provide the following information (unless the Registrant is a Money Market Fund): (a) Description of nature of support. (b) Person providing support. (c) Brief description of relationship between the person providing support and the Registrant. (d) Date support provided. (e) Amount of support. (f) Security supported (if applicable). Disclose the full name of the issuer, the title of the issue (including coupon or yield, if applicable) and at least two identifiers, if available (e.g., CIK, CUSIP, ISIN, LEI). (g) Value of security supported on date support was initiated (if applicable). (h) Brief description of reason for support. (i) Term of support. (j) Brief description of any contractual restrictions relating to support. 3. Item G.1.a.iii. Independent public accountant's report on internal control (management investment companies other than small business investment companies only). Each management investment company shall furnish a report of its independent public accountant on the company's system of internal accounting controls. The accountant's report shall be based on the review, study and evaluation of the accounting system, internal accounting controls, and procedures for safeguarding securities made during the audit of the financial statements for the reporting period. The report should disclose any material weaknesses in: (a) the accounting system; (b) system of internal accounting control; or (c) procedures for safeguarding securities which exist as of the end of the Registrant's fiscal year. The accountant's report shall be furnished as an exhibit to the form and shall: (1) be addressed to the Registrant's shareholders and board of directors; (2) be dated; (3) be signed manually; and (4) indicate the city and state where issued. Attachments that include a report that discloses a material weakness should include an indication by the Registrant of any corrective action taken or proposed. The fact that an accountant's report is attached to this form shall not be regarded as acknowledging any review of this form by the independent public accountant. 4. Item G.1.a.iv. Change in accounting principles and practices. If the Registrant responded "YES" to Item B.21, provide an attachment that describes the change in accounting principles or practices, or the change in the method of applying any such accounting principles or practices. State the date of the change and the reasons therefor. A letter from the Registrant's independent accountants, approving or otherwise commenting on the change, shall accompany the description. 5. Item G.1.a.v. Information required to be filed pursuant to exemptive orders. File as an attachment any information required to be reported on Form N-CEN or any predecessor form to Form N-CEN (e.g., Form N-SAR) pursuant to exemptive orders issued by the Commission and relied on by the Registrant. 6. Item G.1.a.vi. Other information required to be included as an attachment pursuant to Commission rules and regulations. File as an attachment any other information required to be included as an attachment pursuant to Commission rules and regulations. |
N-CEN: Signature
Pursuant to the requirements of the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized. | ||
Registrant | City National Rochdale Funds | |
Date | 2019-12-10 | |
Signature | Don Andrews | |
Title | Chief Compliance Officer |