Filed with the Securities and Exchange Commission on August 7, 2020
Securities Act of 19933 File No. 333-180308
Investment Company Act of 1940 File No. 811-22680
U.S. SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D.C.
FORM N-1A
REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933 | [X] |
Pre-Effective Amendment No. | |
Post-Effective Amendment No. 163 | |
REGISTRATION STATEMENT UNDER THE INVESTMENT COMPANY ACT OF 1940 | [X] |
Amendment No. 166 |
(Check appropriate box or boxes)
ULTIMUS MANAGERS TRUST
(Exact Name of Registrant as Specified in Charter)
225 Pictoria Drive, Suite 450
Cincinnati, Ohio 45246
(Address of Principal Executive Offices)
Registrant’s Telephone Number, including Area Code: (513) 587-3400
Matthew J. Beck
Ultimus Fund Solutions, LLC
225 Pictoria Drive, Suite 450
Cincinnati, Ohio 45246
(Name and Address of Agent for Service)
It is proposed that this filing will become effective (check appropriate box):
/ X / | immediately upon filing pursuant to paragraph (b) |
/ / | on pursuant to paragraph (b) |
/ / | 60 days after filing pursuant to paragraph (a) (1) |
/ / | on (date) pursuant to paragraph (a) (1) |
/ / | 75 days after filing pursuant to paragraph (a) (2) |
/ / | on (date) pursuant to paragraph (a) (2) of Rule 485(b) |
If appropriate, check the following box:
/ / | This post-effective amendment designates a new effective date for a previously filed post-effective amendment. |
EXPLANATORY NOTE
This Post-Effective Amendment No. 163 to the Registration Statement on Form N-1A, under Rule 485(b) under the Securities Act of 1933, as amended (No. 333-180308) is filed pursuant to Rule 462(d) solely to add certain exhibits not previously filed with respect to such Registration Statement. This Amendment does not modify any other part of the Registration Statement. Pursuant to Rule 462(d), this Amendment shall become effective immediately upon filing with the U.S. Securities and Exchange Commission.
PART C. | OTHER INFORMATION |
Item 28. | Exhibits |
(d)(6)(i) |
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(d)(6)(ii) | First Amendment to the Investment Advisory Agreement with Sun Life Capital Management (U.S.) LLC (formerly Ryan Labs Asset Management Inc.) will be filed by post-effective amendment.
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(d)(7)(A) |
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(d)(7)(B) |
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(d)(8) |
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(d)(9) |
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(d)(10) |
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(d)(11) |
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(d)(12) |
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(d)(13) | Investment Advisory Agreement with Karner Blue Capital, LLC, for the Karner Blue Animal Impact Fund, is incorporated by reference to Exhibit (d)(15) of Post-Effective Amendment No. 143 of Registrant’s Registration Statement on Form N-1A (File No. 333-180308), filed on September 27, 2019. |
(d)(14) |
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(d)(15)(i) | Investment Advisory Agreement with Blueprint Fund Management LLC, for the Blueprint Growth Fund (the “Blueprint Fund”), will be filed by post-effective amendmet.
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(d)(15)(ii) | Investment Sub-Advisory Agreement with Blueprint Investment Partners LLC, for the Blueprint Fund, will be filed by post-effective amendment.
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(d)(16) | Investment Advisory Agreement with Evolutionary Tree Capital Management LLC will be filed by post-effective amendment. |
(e)(1)(A)(i) |
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(e)(1)(A)(ii) |
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(f) | None
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(g)(1)(A) |
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(g)(1)(B) |
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(g)(1)(C) |
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(g)(1)(D) |
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(g)(1)(E) | Ninth Amendment, dated March 24, 2015, to the Custody Agreement with U.S. Bank, dated June 5, 2012, for Waycross Long/Short Equity Fund, is incorporated by reference to Exhibit (g)(x) of Post-Effective Amendment No. 38 of Registrant’s Registration Statement on Form N-1A (File No. 333-180308), filed on April 29, 2015. |
(g)(1)(F) | Tenth Amendment, dated April 6, 2015, to the Custody Agreement with U.S. Bank, dated June 5, 2012, is incorporated by reference to Exhibit (g)(1)(J) of Post-Effective Amendment No. 57 of Registrant’s Registration Statement on Form N-1A (File No. 333-180308), filed on November 12, 2015. |
(g)(1)(G) |
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(g)(1)(H) |
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(g)(1)(I) | Seventeenth Amendment to the Custody Agreement with U.S. Bank, dated December 3, 2019 for the Lyrical International Value Equity Fund and Q3 Funds, will be filed by post-effective amendment.
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(g)(2)(A) |
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(g)(2)(B) |
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(g)(3) |
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(h)(1)(A)(i) |
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(h)(1)(A)(ii) |
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(h)(1)(B) | Fund Accounting Addendum, dated July 24, 2018 to the Master Services Agreement with Ultimus Fund Solutions, LLC is incorporated by reference to Exhibit (h)(1)(A) of Post-Effective Amendment No. 125 of Registrant’s Registration Statement on Form N-1A (File No. 333-180308), filed on July 31, 2018. |
(h)(6)(N) |
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(h)(7) | Expense Limitation Agreement with Evolutionary Tree Capital Management LLC will be filed by post-effective amendment.
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(h)(7)(A) |
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(h)(7)(B) |
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(i) | Inapplicable.
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(j) | Consents of the Registered Independent Public Accounting Firm are filed herewith.
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(k) | Inapplicable.
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(l) |
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(m)(1)(A)(i) |
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(m)(1)(A)(ii) | Amended Appendix A to the Distribution (12b-1) Plan, for the Lyrical International Fund, Q3 Funds and Blueprint Fund will be filed by post-effective amendment.
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(n)(1) |
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(n)(2) |
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(o) | Reserved.
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(p)(1) |
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(p)(2)(A) |
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(p)(3) |
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(p)(4) |
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(p)(5) |
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(p)(6) | Amended Code of Ethics of Sun Life Capital Management (U.S.) LLC (formerly Ryan Labs Asset Management, Inc.) will be filed post-effective amendment.
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(p)(7) |
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(p)(8) |
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(p)(9) | Code of Ethics of Hudson Valley Investment Advisors, Inc. is incorporated by reference to Exhibit (p)(17) of Post-Effective Amendment No. 86 of Registrant’s Registration Statement on Form N-1A (File No. 333-180308), filed on September 20, 2016. |
(p)(10) |
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(p)(11) |
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(p)(12) |
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(p)(13) |
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(p)(14) |
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Item 29. | Persons Controlled by or Under Common Control with Registrant |
No person is directly or indirectly controlled by or under common control with the Registrant.
Item 30. | Indemnification |
Article VI of the Registrant’s Agreement and Declaration of Trust provides for indemnification of officers and Trustees as follows:
“Section 6.4 Indemnification of Trustees, Officers, etc.
Subject to and except as otherwise provided in the Securities Act of 1933, as amended, and the 1940 Act, the Trust shall indemnify each of its Trustees and officers, including persons who serve at the Trust’s request as directors, officers or trustees of another organization in which the Trust has any interest as a shareholder, creditor or otherwise (hereinafter referred to as a “Covered Person”) against all liabilities, including but not limited to amounts paid in satisfaction of judgments, in compromise or as fines and penalties, and expenses, including reasonable accountants’ and counsel fees, incurred by any Covered Person in connection with the defense or disposition of any action, suit or other proceeding, whether civil or criminal, before any court or administrative or legislative body, in which such Covered Person may be or may have been involved as a party or otherwise or with which such person may be or may have been threatened, while in office or thereafter, by reason of being or having been such a Trustee or officer, director or trustee, and except that no Covered Person shall be indemnified against any liability to the Trust or its Shareholders to which such Covered Person would otherwise be subject by reason of willful misfeasance, bad faith, gross negligence or reckless disregard of the duties involved in the conduct of such Covered Person’s office.
Section 6.5 Advances of Expenses. The Trust shall advance attorneys’ fees or other expenses incurred by a Covered Person in defending a proceeding to the full extent permitted by the Securities Act of 1933, as amended, the 1940 Act, as amended, and Ohio Revised Code Chapter 1707, as amended. In the event any of these Federal laws conflict with Ohio Revised Code Section 1701.13I, as amended, these Federal laws, and not Ohio Revised Code Section 1701.13I, shall govern.
Section 6.6 Indemnification Not Exclusive, etc. The right of indemnification provided by this Article VI shall not be exclusive of or affect any other rights to which any such Covered Person may be entitled. As used in this Article VI, “Covered Person” shall include such person’s heirs, executors and administrators. Nothing contained in this article shall affect any rights to indemnification to which personnel of the Trust, other than Trustees and officers, and other persons may be entitled by contract or otherwise under law, nor the power of the Trust to purchase and maintain liability insurance on behalf of any such person.”
The Investment Advisory Agreements with Lyrical Asset Management LP, Wavelength Capital Management, LLC, Edge Capital Group, LLC, Sun Life Capital Management (U.S.) LLC, Waycross Partners, LLC, Marshfield Associates, Inc., Hudson Valley Investment Advisors, Inc., Stralem & Company Incorporated, Kempner Capital Management, Inc., Edgemoor Investment Advisors, Inc., Adler Asset Management, LLC, Karner Blue Capital, LLC, Q3 Asset Management Corporation, Blueprint Fund Management LLC, and Evolutionary Tree Capital Management LLC (the “Advisers”) and the Investment Sub-Advisory Agreement with Blueprint Investment Partners LLC (the “Sub-Adviser”) provide that the Advisers and Sub-Adviser shall not be liable for any error of judgment or for any loss suffered by the Trust or the Funds in connection with the performance of their duties, except a loss resulting from a breach of fiduciary duty with respect to receipt of compensation for services (in which case any award of damages shall be limited to the period and the amount set forth in Section 36(b)(3) of the 1940 Act) or a loss resulting from willful misfeasance, bad faith or gross negligence on the part of the Advisers in the performance of their duties, or from reckless disregard of its duties and obligations thereunder.
The Distribution Agreement with Ultimus Fund Distributors, LLC (the “Distributor”) provides that the Distributor, its directors, officers, employees, shareholders and control persons shall not be liable for any loss, damage or expense (including the reasonable costs of investigation and reasonable attorneys’ fees) reasonably incurred by any of them in connection with the matters to which the Agreement relates, except a loss resulting from the failure of Distributor or any such other person to comply with applicable law or the terms of the Agreement, or from willful misfeasance, bad faith or negligence, including clerical errors and mechanical failures, on the part of any of such persons in the performance of Distributor’s duties or from the reckless disregard by any of such persons of Distributor’s obligations and duties under the Agreement.
The Distribution Agreement with the Distributor further also provides that the Distributor agrees to indemnify and hold harmless the Trust and each person who has been, is, or may hereafter be a Trustee, officer, employee, shareholder or control person of the Trust against any loss, damage or expense (including the reasonable costs of investigation and reasonable attorneys’ fees) reasonably incurred by any of them in connection with any claim or in connection with any action, suit or proceeding to which any of them may be a party, which arises out of or is alleged to arise out of or is based upon (i) any untrue statement or alleged untrue statement of a material fact, or the omission or alleged omission to state a material fact necessary to make the statements not misleading, on the part of Distributor or any agent or employee of Distributor or any other person for whose acts Distributor is responsible, unless such statement or omission was made in reliance upon written information furnished by the Trust; (ii) Distributor’s failure to exercise reasonable care and diligence with respect to its services, if any, rendered in connection with investment, reinvestment, automatic withdrawal and other plans for Shares; and (iii) Distributor’s failure to comply with applicable laws and the Rules of FINRA.
The Registrant intends to maintain a standard mutual fund and investment advisory professional and directors and officers liability policy. The policy shall provide coverage to the Registrant, its Trustees and officers and the Adviser. Coverage under the policy will include losses by reason of any act, error, omission, misstatement, misleading statement, neglect or breach of duty.
Item 31. | Business and Other Connections of the Investment Advisers |
(a) | Lyrical Asset Management LP (“Lyrical”), located at 250 West 55th Street, 37th Floor, New York, New York 10022, has been registered as an investment adviser since 2008. Lyrical provides investment advisory services to high net worth individuals, pension and profit sharing plans, corporations and other businesses and a UCITS fund. |
The directors, officers, and partners of Lyrical are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Andrew Wellington – Managing Partner and Chief Investment Officer |
(2) | Jeffrey Keswin – Managing Partner |
(3) | Jeffrey Moses, Chief Compliance Officer |
(4) | Edward Peyton Gage, Chief Financial Officer |
(b) | Wavelength Capital Management, LLC (“Wavelength”), located at 250 West 57th Street, Suite 2032, New York, New York 10107, has been registered as an investment adviser since 2013. |
The directors, officers, and partners of Wavelength are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Andrew G. Dassori – Founding Partner and Chief Investment Officer |
a. | Partner at Den LLC / Den II LLC |
(2) | Mark Landis – Founding Partner |
(c) | Edge Capital Group, LLC (“Edge”), located at 1380 Paces Ferry Road, NW, Suite 1000, Atlanta, Georgia 30327, has been registered as an investment adviser since 2006. |
The directors, officers, and partners of Edge are listed below along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Henry M.T. Jones – Managing Partner |
(2) | Albert Rayle – Partner |
(3) | William Skeean – Partner |
(4) | Barrett Karvis – Chief Operating Officer |
(5) | Mary Johnston – Chief Compliance Officer |
(6) | Dennis Sabo – Partner |
(7) | Elizabeth Mackie - Partner |
(d) | Sun Life Capital Management (U.S.) LLC (formerly Ryan Labs Asset Management, Inc.) (“SLC Management”), located at 500 Fifth Avenue, Suite 2500, New York, New York 10110, has been registered as an investment adviser since 1989. |
The directors, officers, and partners of SLC Management are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Richard Familetti – Board Member, President, and Chief Investment Officer |
(2) | Stephen Preacher – Chairman of the Board |
a. | President of Sun Life Investment Management under Sun Life Financial |
(3) | Thomas Keresztes, Chief Compliance Officer and Chief Operating Officer |
(4) | William C. Adair – Board Member, Head of Sales, Client Service and Strategy |
(5) | Peter Murphy, Chairman of the Board, Head of Institutional Business, SLC Management |
(6) | James Blue, Board Member, Head of Legal, SLC Management |
(e) | Waycross Partners, LLC (“Waycross”) located at 4965 U.S. Highway 42, Suite 2900, Louisville, Kentucky 40202, has been registered as an investment adviser since 2015. |
The directors, officers, and partners of Waycross are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Larry Walker – Member |
a. | Manager at Walker One, LLC |
b. | Member of Boca Properties, LLC |
(2) | John Ferreby – Member |
(3) | Matthew Bevin – Member |
a. | Governor of the Commonwealth of Kentucky |
b. | Owner of Integrity Holdings, Inc. |
c. | President Board Chair of Brittiney’s Wish, Inc. |
d. | Member of Heart and Soul Candies, LLC |
e. | Member of Golden Rule Signs, LLC |
f. | President of Bevin Bros. |
g. | Board Member and Investor in Neuronetric Solutions |
h. | Investor, Munder Capital Management |
(4) | Emily O’Leary, Chief Compliance Officer |
(f) | Marshfield Associates, Inc. (“Marshfield”), located at 21 Dupont Circle NW, Suite 500, Washington, D.C. 20036, has been registered as an investment adviser since 1989. |
The directors, officers, and partners of Marshfield are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Christopher M. Niemczewski – Managing Principal |
(2) | Elise J. Hoffmann – Principal |
(3) | Carolyn Miller – Principal |
(4) | Melissa Vinick – Principal |
(5) | William G. Stott – Principal |
(6) | Chad Goldberg – Principal |
(7) | Kimberly Vinick – Director of Operations |
(8) | Carmen Colt – Chief Compliance Officer |
The above individuals are also all principals and employees of Yogi Advisors, LLC and Bushido Capital Partners LLC.
(g) | Hudson Valley Investment Advisors, Inc. (“Hudson Valley”), located at 117 Grand Street, Suite 201, Goshen, New York 10924, has been registered as investment adviser since 1995. |
The directors, officers, and partners of Hudson Valley are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Gustave Scacco – CEO and Chief Investment Officer |
a. | Chief Operating Officer and Senior Equity Analyst at TigerShark Management, LLC (February 2011 – February 2015) |
(2) | Mark Lazarczyk –Chief Compliance Officer |
(3) | Louis Heimbach –Director |
a. | Chairman, President and CEO of Sterling Forest LLC |
b. | Chairman of the Board of Directors of Orange County Trust Company |
c. | Director at Hudson Valley Economic Development Corporation |
d. | Trustee of Orange County Citizens Foundation |
e. | Chairman of Stewart Airport Commission |
(4) | Michael Gilfeather – Director |
a. | President and CEO of Orange County Trust Company |
(5) | Thomas Guarino – Director |
(6) | Peter Larkin – Director |
(7) | Michael Markhoff – Director |
a. | Partner at Danziger & Markhoff LLP |
(8) | Elizabeth Stradar - Director |
(h) | Stralem & Company Incorporated (“Stralem”), located at 551 Madison Avenue, 10th Floor, New York, New York 10022, has been registered as investment adviser since 1966. |
The directors, officers, and partners of Stralem are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Hirschel B. Abelson – Chairman |
(2) | Adam S. Abelson – Chief Investment Officer |
(3) | Andrea Baumann Lustig – President |
(4) | Joanne Paccione – Chief Compliance Officer |
(i) | Edgemoor Investment Advisors, Inc. (“Edgemoor”), located at 7250 Woodmont Avenue, Suite 315, Bethesda, Maryland 20814, has been registered as an investment adviser since 1999. |
The directors, officers, and partners of Edgemoor are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Thomas P. Meehan – President |
(2) | Paul P. Meehan – Managing Director and Chief Compliance Officer |
(3) | R. Jordan Smyth, Jr. – Managing Director |
(j) | Kempner Capital Management, Inc. (“Kempner”), located at 2201 Market Street, Galveston, 12th Floor, Texas 77550, has been registered as an investment adviser since 1982. |
The directors, officers, and partners of Kempner are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Harris Leon Kempner, Jr. – President |
(2) | Diana Bartula – Vice President, Treasurer, and Chief Compliance Officer |
(3) | Vera, Greene – Vice President and Head Trader |
(4) | Michael S. Gault – Vice President and Portfolio Manager |
(5) | Bridgette Landis – Asst. Vice President and Trader |
(k) | Adler Asset Management, LLC (“Adler”), located at 600 Third Avenue, Suite 26, New York, New York 10016 |
The directors, officers, and partners of Adler are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | David R. Adler – Chief Executive Officer |
(l) | Karner Blue Capital, LLC (“Karner Blue”), located at 2175 Cole Street, Birmingham, MI 48009 |
The directors, officers, and partners of Karner Blue are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Andrew K. Niebler – Managing Member, Executive Vice President, General Counsel and Chief Compliance Officer |
(2) | Vicky L. Benjamin – Managing Member, President and Treasurer |
(3) | Wayne P. Pacelle, Managing Member |
(m) | Q3 Asset Management Corporation (“Q3AM”), located at 7315 Wisconsin Avenue, #400, Bethesda, Maryland 20814 |
The directors, officers, and partners of Q3AM are listed below, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(1) | Bradford Giaimo – President and Chief Compliance Officer |
(2) | Adam Quiring – Vice President |
(n) | Blueprint Fund Management LLC (“Blueprint”), located at 1250 Revolution Mill Drive, Suite 150, Greensboro, NC 27405 |
The directors, officers, and partners of Blueprint, to be added by Post-Effective Amendment, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
(o) | Evolutionary Tree Capital Management LLC (“Evolutionary Tree”), located at 1199 N. FAIRFAX ST., Suite 801, Alexandria, VA 22314 |
The directors, officers, and partners of Blueprint, to be added by Post-Effective Amendment, along with their position(s) within the firm and any other position in the capacity of director, officer, partner, or trustee, in any other business, profession, vocation or employment of a substantial nature that they have engaged at any time during the past two years, if any.
Item 32. | Principal Underwriters |
(a) | The Distributor also acts as the principal underwriter for the following other open-end investment companies: |
AlphaMark Investment Trust | Oak Associates Funds |
Capitol Series Trust | Papp Investment Trust |
Centaur Mutual Funds Trust | Piedmont Investment Trust |
Caldwell & Orkin Funds Inc. | Peachtree Alternative Strategies Fund |
Conestoga Funds | Red Cedar Fund Trust |
Segall Bryant & Hamill Trust | |
Schwartz Investment Trust | |
CM Advisors Family of Funds | Unified Series Trust |
Chesapeake Investment Trust | Valued Advisers Trust |
Commonwealth International Series Trust | Wilshire Mutual Funds, Inc. |
The Cutler Trust | HC Capital Trust |
Eubel Brady & Suttman Mutual Fund Trust | Wilshire Variable Insurance Trust |
Bruce Fund, Inc. | Williamsburg Investment Trust |
The First Western Funds Trust | WST Investment Trust |
FSI Low Beta Absolute Return Fund | Yorktown Funds |
Hussman Investment Trust | |
The Investment House Funds |
(b) |
Name | Position with Distributor | Position with Registrant |
Kevin M. Guerette | President | None |
Stephen L. Preston | Chief Compliance Officer | None |
Douglas K. Jones | Vice President | None |
Melvin Van Cleave | Vice President | None |
The address of the Distributor and each of the above-named persons is 225 Pictoria Drive, Suite 450, Cincinnati, Ohio 45246.
(c) | Inapplicable |
Item 33. | Location of Accounts and Records |
Accounts, books, and other documents required to be maintained by Section 31(a) of the Investment Company Act of 1940 and the Rules promulgated thereunder will be maintained by the Registrant at the principal executive offices of its administrator or investment advisers:
Ultimus Fund Solutions, LLC
225 Pictoria Drive, Suite 450
Cincinnati, Ohio 45246
Adler Asset Management, LLC
600 Third Avenue, Suite 226
New York, New York 10016
Blueprint Fund Management LLC
1250 Revolution Mill Drive, Suite 150
Greensboro, NC 27405Edge Capital Group, LLC
1380 West Paces Ferry Rd., Suite 1000
Atlanta, Georgia 30327
Edgemoor Investment Advisors, Inc.
7250 Woodmont Avenue, Suite 315
Bethesda, Maryland 20814
Evolutionary Tree Capital Management LLC
1199 N. Fairfax Street, Sutie 801
Alexandria, VA 22314
Hudson Valley Investment Advisors, Inc.
117 Grand Street, Suite 201
Goshen, New York 10924
Karner Blue Capital, LLC
7315 Wisconsin Avenue, #400
Bethesda, Maryland 20814
Kempner Capital Management, Inc.
2201 Market Street
Galveston, Texas 77550
Lyrical Asset Management LP
250 West 55th Street, 37th Floor
New York, New York 10022
Marshfield Associates, Inc.
21 Dupont Circle NW, Suite 500
Washington, District of Columbia 20036
Q3 Asset Management Corporation
2175 Cole Street
Birmingham, MI 48009
SLC Management
500 Fifth Avenue, Suite 2520
New York, NY 10110
Stralem & Company Incorporated
551 Madison Avenue, 10th Floor
New York, New York 10022
Wavelength Capital Management, LLC
545 Madison Avenue, 16th Floor
New York, New York 10022
Waycross Partners, LLC
4965 U.S. Highway 42, Suite 2900
Louisville, Kentucky 40202
Certain records, including records relating to the possession of Registrant’s securities, may be maintained at the offices of Registrant’s custodians:
U.S. Bank, N.A.
425 Walnut Street
Cincinnati, Ohio 45202
MUFG Union Bank, N.A.
350 California Street, Suite 2018
San Francisco, California 94104
Pershing, LLC
One Pershing Plaza
Jersey City, New Jersey 07399
Item 34. | Management Services Not Discussed in Parts A or B |
Inapplicable
Item 35. | Undertakings |
Inapplicable
SIGNATURES
Pursuant to the requirements of the Securities Act of 1933 (the “Securities Act”) and the Investment Company Act of 1940, each as amended, the Registrant certifies that the Fund has caused this Post-Effective Amendment (“PEA”) to the Registrant’s Registration Statement on Form N-1A, under Rule 485(b) under the Securities Act, to be signed below on its behalf by the undersigned, thereto duly authorized, in Cincinnati, Ohio on August 7, 2020.
ULTIMUS MANAGERS TRUST | |||
By: | /s/ David R. Carson | ||
David R. Carson | |||
President |
Pursuant to the requirements of the Securities Act, this PEA has been signed below by the following persons in the capacities and on the dates indicated.
Signature | Title | Date | ||
/s/ Robert G. Dorsey | Trustee | August 7, 2020 | ||
Robert G. Dorsey | ||||
* | Trustee | August 7, 2020 | ||
David M. Deptula | ||||
* | Trustee | August 7, 2020 | ||
Janine L. Cohen | ||||
* | Trustee | August 7, 2020 | ||
Jacqueline A. Williams | ||||
* | Trustee | August 7, 2020 | ||
Clifford N. Schireson | ||||
* | Trustee | August 7, 2020 | ||
Robert E. Morrison | ||||
/s/ Jennifer L. Leamer | Treasurer/Controller/Principal Financial Officer | August 7, 2020 | ||
Jennifer L. Leamer | ||||
/s/ Todd Heim | Vice President | August 7, 2020 | ||
Todd Heim | ||||
/s/ Matthew J. Beck | Attorney-in-Fact* | August 7, 2020 | ||
Matthew J. Beck |
EXHIBITS
(j) | Consents of the Registered Independent Public Accounting Firm |