NPORT-EX 2 s129092_nport-ex.htm DMAF NPORT EX PART F 11302020

Destra Multi-Alternative Fund

Schedule of Investments

As of November 30, 2020 (unaudited)

Shares/
Contracts

 

Security

 

Value

   

COMMON STOCKS – 8.8%

 

 

 
   

INTERNET – 0.4%

 

 

 

1,400

 

Facebook, Inc., Class A(1)

 

$

387,758

       

 

 
   

LISTED BUSINESS DEVELOPMENT COMPANIES – 6.2%

 

 

 

522,155

 

Owl Rock Capital Corp.

 

 

7,059,536

       

 

 
   

MINING – 1.3%

 

 

 

24,000

 

Newmont Mining Corp.

 

 

1,411,680

       

 

 
   

RETAIL – 0.6%

 

 

 

4,500

 

Lowe’s Companies, Inc.

 

 

701,190

       

 

 
   

SOFTWARE – 0.3%

 

 

 

1,100

 

MicroStrategy, Inc. – Class A(1)

 

 

377,047

   

TOTAL COMMON STOCKS
(Cost $10,429,373)

 

 

9,937,211

       

 

 
   

PREFERRED STOCK IN PRIVATE COMPANIES – 1.8%

 

 

 

542,467

 

GOSITE, Inc.(2)

 

 

2,099,998

   

TOTAL PREFERRED STOCK IN PRIVATE COMPANIES
(Cost $2,099,998)

 

 

2,099,998

       

 

 
   

PURCHASED OPTIONS CONTRACTS – 1.4%

 

 

 
   

CALL OPTIONS – 1.4%

 

 

 

140

 

DraftKings, Inc.
Exercise Price: $35,
Notional Amount: $490,000, Expiration Date: 01/15/2021(1)

 

 

247,800

200

 

DraftKings, Inc.
Exercise Price: $45,
Notional Amount: $900,000, Expiration Date: 01/15/2021(1)

 

 

186,000

150

 

MP Materials Corp.
Exercise Price:
$23, Notional Amount: $337,500, Expiration Date: 12/18/2020(1)

 

 

30,000

230

 

NXP Semiconductors NV
Exercise Price: $170,
Notional Amount: $3,910,000, Expiration Date: 01/15/2021(1)

 

 

79,350

110

 

Peloton Interactive Inc.
Exercise Price: $145,
Notional Amount: $1,595,000, Expiration Date: 01/15/2021(1)

 

 

39,050

100

 

Salesforce.com, Inc.
Exercise Price: $270,
Notional Amount: $2,700,000, Expiration Date: 05/21/2021(1)

 

 

180,000

Shares/
Contracts

 

Security

 

Value

   

PURCHASED OPTIONS CONTRACTS (continued)

 

 

 
   

CALL OPTIONS (continued)

 

 

 

150

 

Ulta Beauty Inc.
Exercise Price: $300,
Notional Amount: $4,500,000, Expiration Date: 01/15/2021(1)

 

$

144,300

100

 

Unity Software Inc.
Exercise Price: $120,
Notional Amount: $1,200,000, Expiration Date: 12/18/2020(1)

 

 

338,000

30

 

Workhorse Group Inc.
Exercise Price: $30,
Notional Amount: $90,000, Expiration Date: 04/16/2021(1)

 

 

18,000

300

 

Workhorse Group Inc.
Exercise Price: $20,
Notional Amount: $600,000, Expiration Date: 01/15/2021(1)

 

 

225,000

300

 

Workhorse Group Inc.
Exercise Price: $40,
Notional Amount: $1,200,000, Expiration Date: 01/15/2021(1)

 

 

57,600

   

TOTAL CALL OPTIONS

 

 

1,545,100

   

TOTAL PURCHASED OPTIONS CONTRACTS
(Cost $1,056,203)

 

 

1,545,100

       

 

 
   

RIGHTS – 0.5%

 

 

 
   

PHARMACEUTICALS – 0.5%

 

 

 

475,000

 

Bristol-Myers Squibb Co. CVR(1)

 

 

560,500

   

TOTAL RIGHTS
(Cost $860,866)

 

 

560,500

   

REAL ESTATE INVESTMENT TRUSTS – 51.3%

 

 

 
   

LISTED REAL ESTATE INVESTMENT TRUSTS – 2.7%

 

 

 

40,000

 

American Campus Communities, Inc.(3)

 

 

1,592,000

25,000

 

QTS Realty Trust, Inc.(3)

 

 

1,485,250

   

TOTAL LISTED REAL ESTATE INVESTMENT TRUSTS

 

 

3,077,250

       

 

 
   

NON-LISTED REAL ESTATE INVESTMENT TRUSTS – 14.8%

 

 

 

281,878

 

Healthcare Trust, Inc.(2)

 

 

4,306,398

456,540

 

Hospitality Investor Trust, Inc.(1)(2)

 

 

3,594,588

1,061,081

 

NorthStar Healthcare Income,
Inc.(1)(2)

 

 

6,492,824

161,451

 

Steadfast Apartment REIT, Inc.(2)

 

 

2,328,880

   

TOTAL NON-LISTED REAL ESTATE INVESTMENT TRUSTS

 

 

16,722,690

1

Destra Multi-Alternative Fund

Schedule of Investments (continued)

As of November 30, 2020 (unaudited)

Shares/
Contracts

 

Security

 

Value

   

REAL ESTATE INVESTMENT TRUSTS (continued)

 

 

 
   

PRIVATE REAL ESTATE INVESTMENT TRUSTS – 33.8%

 

 

 

4,113

 

Clarion Lion Industrial Trust(2)

 

$

9,282,279

275,000

 

GreenAcreage Real Estate Corp.(2)

 

 

5,500,000

159

 

Preservation REIT 1, Inc.(2)

 

 

6,333,080

715,000

 

Treehouse Real Estate Investment Trust, Inc.(2)

 

 

17,160,000

   

TOTAL PRIVATE REAL ESTATE INVESTMENT TRUSTS

 

 

38,275,359

   

TOTAL REAL ESTATE INVESTMENT TRUSTS
(Cost $55,133,148)

 

 

58,075,299

       

 

 
   

NON-LISTED BUSINESS DEVELOPMENT COMPANIES – 0.7%

 

 

 

101,405

 

Cion Investment Corp.(2)

 

 

772,709

   

TOTAL NON-LISTED BUSINESS DEVELOPMENT COMPANIES
(Cost $978,155)

 

 

772,709

       

 

 
   

PRIVATE INVESTMENT FUNDS – 40.0%

 

 

 
   

AIM Infrastructure MLP
Fund II, LP
(2)

 

 

2,493,633

   

Arboretum Core Asset Fund, LP(2)

 

 

2,379,707

   

Canyon CLO Fund II LP(2)

 

 

7,263,663

   

Clarion Lion Properties Fund(2)

 

 

4,740,892

   

Longley Partners Ventures, LP(1)(2)

 

 

5,498,912

   

Mosaic Real Estate Credit, LLC(2)

 

 

10,389,939

   

Ovation Alternative Income Fund(2)

 

 

4,865,485

   

Stepstone Capital Partners IV,
LP(1)(2)

 

 

7,616,567

   

TOTAL PRIVATE INVESTMENT FUNDS
(Cost $42,719,778)

 

 

45,248,798

       

 

 
   

CLOSED-END FUND – 1.6%

 

 

 

135,000

 

Sprott Physical Gold Trust(1)

 

 

1,875,150

   

TOTAL CLOSED-END FUND
(Cost $1,959,797)

 

 

1,875,150

       

 

 
   

HEDGE FUND – 1.0%

 

 

 
   

Collins Master Access Fund, LLC(1)(2)

 

 

1,114,714

   

TOTAL HEDGE FUND
(Cost $0)

 

 

1,114,714

Shares/
Contracts

 

Security

 

Value

   

SHORT-TERM INVESTMENTS – 10.0%

 

 

 

 

   

MONEY MARKET FUND – 10.0%

 

 

 

 

11,305,428

 

Fidelity Investments Money Market Funds – Government Portfolio, Class I, 0.01%(3)(4)

 

$

11,305,428

 

   

TOTAL SHORT-TERM INVESTMENTS
(Cost
$11,305,428)

 

 

11,305,428

 

   

TOTAL INVESTMENTS – 117.1%
(Cost $126,542,746)

 

 

132,534,907

 

   

Liabilities in Excess of Other Assets – (17.1)%

 

 

(19,331,095

)

   

TOTAL NET ASSETS – 100.0%

 

$

113,203,812

 

       

 

 

 

   

WRITTEN OPTIONS CONTRACTS – (0.7)%

 

 

 

 

   

CALL OPTIONS – (0.7)%

 

 

 

 

(100)

 

DraftKings, Inc.
Exercise Price: $55,
Notional Amount: $(550,000), Expiration Date: 01/15/2021

 

 

(43,100

)

(150)

 

MP Materials Corp.
Exercise Price: $30,
Notional Amount: $(450,000), Expiration Date: 12/18/2020

 

 

(12,000

)

(90)

 

Peloton Interactive Inc.
Exercise Price:
$185, Notional Amount: $(1,665,000), Expiration Date: 01/15/2021

 

 

(6,030

)

(200)

 

Salesforce.com, Inc.
Exercise
Price: $270, Notional Amount: $(5,400,000), Expiration Date: 12/18/2020

 

 

(88,000

)

(290)

 

Ulta Beauty Inc.
Exercise Price: $330,
Notional Amount: $(9,570,000), Expiration Date: 01/15/2021

 

 

(98,600

)

(200)

 

Unity Software Inc.
Exercise Price: $150,
Notional Amount: $(3,000,000), Expiration Date: 12/18/2020

 

 

(274,400

)

(600)

 

Workhorse Group Inc.
Exercise Price: $30,
Notional Amount: $(1,800,000), Expiration Date: 01/15/2021

 

 

(222,000

)

(300)

 

Workhorse Group Inc.
Exercise Price: $45,
Notional Amount: $(1,350,000), Expiration Date: 01/15/2021

 

 

(43,500

)

   

TOTAL CALL OPTIONS

 

 

(787,630

)

2

Destra Multi-Alternative Fund

Schedule of Investments (continued)

As of November 30, 2020 (unaudited)

Shares/
Contracts

 

Security

 

Value

   

WRITTEN OPTIONS CONTRACTS (continued)

 

 

 

 

   

PUT OPTIONS – (0.0)%(5)

 

 

 

 

(100)

 

Salesforce.com, Inc.
Exercise Price: $220,
Notional Amount: $(2,200,000), Expiration Date: 12/18/2020

 

$

(31,800

)

   

TOTAL WRITTEN OPTIONS CONTRACTS
(Proceeds $(503,445))

 

 

(819,430

)

       

 

 

 

   

EXCHANGE-TRADED FUNDS SOLD SHORT – (2.4)%

 

 

 

 

(14,000)

 

Direxion Daily S&P 500 Bull 3X

 

 

(911,260

)

(3,000)

 

iShares Transportation Average ETF

 

 

(659,460

)

(3,897)

 

ProShares UltraPro QQQ

 

 

(615,804

)

(8,000)

 

SPDR S&P Retail ETF

 

 

(480,640

)

   

TOTAL EXCHANGE-TRADED FUNDS SOLD SHORT
(Proceeds $(1,778,665))

 

 

(2,667,164

)

   

TOTAL SECURITIES SOLD SHORT
(Proceeds $(2,282,110))

 

$

(3,486,594

)

1      Non-income producing security.

2      Restricted investments as to resale.

3      All or a portion of this security is segregated as collateral for securities sold short.

4      The rate is the annualized seven-day yield as of November 30, 2020.

5      Rounds to less than (0.05%).

CVR — Contingent Value Right

REIT — Real Estate Investment Trusts

MLP — Master Limited Partnership

LLC — Limited Liability Company

LP — Limited Partnership

ETF — Exchange-Traded Fund

SPDR — Standard & Poor’s Depository Receipts

3

Destra Multi-Alternative Fund

Schedule of Investments (continued)

As of November 30, 2020 (unaudited)

Restricted securities — Restricted securities are securities that may be resold only upon registration under federal securities laws or in transactions exempt from such registration. In some cases, the issuer of restricted securities has agreed to register such securities for resale, at the issuer’s expense either upon demand by the Fund or in connection with another registered offering of the securities. Many restricted securities may be resold in the secondary market in transactions exempt from registration. Such restricted securities may be determined to be liquid under criteria established by the Board. The restricted securities are valued at the price provided by dealers in the secondary market or, if no market prices are available, the fair value as determined in good faith using methods approved by the Board.

Additional information on each restricted investment held by the Fund at November 30, 2020 is as follows:

Security Description

 

Acquisition
Date

 

Cost

 

Value

 

% of Net
Assets

AIM Infrastructure MLP Fund II, LP

 

3/12/2014

 

$

3,515,523

 

$

2,493,633

 

2.2

%

Arboretum Core Asset Fund, LP

 

8/2/2018

 

 

2,500,000

 

 

2,379,707

 

2.1

%

Canyon CLO Fund II LP

 

2/25/2019

 

 

7,166,456

 

 

7,263,663

 

6.4

%

Cion Investment Corp.

 

4/21/2014

 

 

978,155

 

 

772,709

 

0.7

%

Clarion Lion Industrial Trust

 

6/29/2015

 

 

5,372,686

 

 

9,282,279

 

8.2

%

Clarion Lion Properties Fund

 

4/1/2014

 

 

3,376,078

 

 

4,740,892

 

4.2

%

Collins Master Access Fund, LLC

 

6/2/2015

 

 

 

 

1,114,714

 

1.0

%

GOSITE, Inc.

 

7/31/2020

 

 

2,099,998

 

 

2,099,998

 

1.8

%

GreenAcreage Real Estate Corp.

 

8/7/2019

 

 

5,500,000

 

 

5,500,000

 

4.9

%

Healthcare Trust, Inc.

 

3/30/2012

 

 

4,381,100

 

 

4,306,398

 

3.8

%

Hospitality Investor Trust, Inc.

 

2/17/2015

 

 

9,236,371

 

 

3,594,588

 

3.2

%

Longley Partners Ventures, LP

 

2/28/2020

 

 

4,916,166

 

 

5,498,912

 

4.9

%

Mosaic Real Estate Credit, LLC

 

7/6/2017

 

 

9,999,997

 

 

10,389,939

 

9.2

%

NorthStar Healthcare Income, Inc.

 

3/29/2012

 

 

7,237,071

 

 

6,492,824

 

5.7

%

Ovation Alternative Income Fund

 

7/25/2014

 

 

4,922,790

 

 

4,865,485

 

4.3

%

Preservation REIT 1, Inc.

 

10/22/2019

 

 

4,954,009

 

 

6,333,080

 

5.6

%

Steadfast Apartment REIT, Inc.

 

4/12/2012

 

 

1,019,079

 

 

2,328,880

 

2.1

%

Stepstone Capital Partners IV, LP

 

7/30/2018

 

 

6,322,768

 

 

7,616,567

 

6.7

%

Treehouse Real Estate Investment Trust, Inc.

 

12/31/2018

 

 

14,885,460

 

 

17,160,000

 

15.2

%

Total

     

$

98,383,707

 

$

104,234,268

   

 

4