UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM N-17f-2
Certificate of Accounting of Securities and Similar Investments in
the Custody
of Management Investment Companies
Pursuant to Rule 17f-2 [17 CFR 270.17f-2]
1. Investment Company Act File Number: Date examination
completed:
811-09813 June 30, 2013
2. State Identification Number:
AL
25681,
25685,
25689,
35407,
42611,
43023,
43581,
45537,
45351
AK
600692
46,
60038241
,
60069928
,
600382
38,
60038244
,
60057698
,
60071909
,
60074719
,
60074114
AZ 8465,
40607,
40470,
66633,
45014,
60272,
60274,
60273,
61385,
62170,
65648,
65338
AR
600001
11,
60004611
,
60008576
,
60018755
,
60025941
,
60026407
,
60026871
,
60028857
,
60028657
CA *
CO IC2000-
18-580
CT
214195,
214191,
1032086,
1040956,
1064394,
1065430,
1066899,
1072021,
1071582
DE 8681,
8680,
8684,
47516,
67530,
67909,
68331,
70076,
69925
DC 60012563,
60012558,
60012570,
60027597,
60043833,
60042569,
60042566,
60042567,
60043025,
60047848,
60047580,
60049012
FL *
GA SC-
MF-
040734
HI *
ID
48844,
48841,
48847,
60173,
68418,
67459,
67916,
70406,
70225
IL 60000033
IN 00-0346IC
IA I-
26193,
I-19076,
I-29840,
I-64026,
I-79779,
I-78167,
I-78169,
I-78168,
I-
78963,
I-
83180,
I-
82750,
I-
84191
KS
87S0001
009,
83S00007
25,
94S00000
15,
2007S000
0355,
2012S000
0407,
2011S000
1357,
2011S000
1820,
2013S000
0391,
2013S000
0214
KY M34790
LA
150611
ME
MFN200
609,
MFN20798
6,
MFN20801
3,
MFN10013
078,
MFN10032
145,
MFN10030
137,
MFN10030
135,
MFN10030
136,
MFN10031
242,
MFN10035
865,
MFN10035
564,
MFN10036
900
MD
SM19980
021,
SM1998001
9,
SM1998001
8,
SM2006231
2,
SM2011228
3,
SM2011074
5,
SM2011074
7,
SM2011074
6,
SM2011149
6,
SM2012246
1,
SM2012216
6,
SM2012344
5
MA
040458
37,
04045834
,
04045844
MI
935635,
935637,
935642,
948659,
962897,
962898,
962899,
963769,
964562,
968062,
967676,
968920
MN R-
42778.1
MS
6002898
8,
60028993
,
60028989
,
60042315
,
60057831
,
60056626
,
60056624
,
60056625
,
60057193
,
60061697
,
60061330
,
60062623
MO 2000-00609,
Q-
MT-1289,
1993-
00673,
R2011-
2,113,
R2011-
850,
R2012-
2,273,
R2012-
1,850
MT 28405,
9201,
28321,
58150,
77152,
71636,
71637,
71638,
73903,
84554,
84110,
85685
NE 22604,
11060,
25994,
66713,
81303,
81305,
81304,
82076,
82907,
86452,
86130,
87409
NV *
NH *
NJ MF-
0645,
NM 6819,
14071,
14065,
23838,
39463,
37878,
37879,
37880,
38672,
43040,
42679,
43987
NY S 27 53
23,
S
32 88 23,
S
27 53 21,
S
31 66 37,
S
32 99 82,
S
32 94 61,
S
27 53 22,
S
33 18 53,
S
33 17 65
NC 14485
ND U560,
|
U557,
U563,
AV916,
BM729,
BK690,
BK692,
BK691,
BL584,
BR812,
BR344,
BT683
OH 86467
OK SE-
2191382,
SE-
2191380,
SE-
2183899,
SE-
2183900,
SE-
2203842,
SE-
2203843,
SE-
2203844,
SE-
2204793,
SE-
2205678,
SE-
2210348,
SE-
2209844,
SE-
2211550
OR 2001-
1464,
2001-
1463,
2001-
1468,
2006-
1679,
2011-
1635,
2011-
690,
2011-
944,
2012-
1610,
2012-
1607
PA 2000-03-
120MF
RI *
SC MF
14035,
MF
11225,
MF
11220,
MF
16660,
MF
19139,
MF18887,
MF
19034,
MF
19691,
MF 19637
SD 9889,
10195,
10597,
37884,
53281,
51538,
51540,
51539,
52430,
56873,
56390,
57724
TN RM12-
1847,
M12-
2243,
M12-
1937,
M12-3033
TX C
39434,
C 39435,
C 42953,
C 81352,
C96338,
C96340,
C96339,
C97078,
C 97938,
C101605,
C
101267,
C102636
UT 006-
6364-13,
VT
1/16/9
8-23,
1/16/98-
21,
1/16/98-
25,
10/17/06
-02,
3/25/11-
04,
3/25/11-
05,
3/25/11-
06,
6/13/11-
01,
9/20/11-
01,
9/19/12-
04,
8/13/12-
12,
12/14/12
-06
VA
118050
WA
6001980
6,
60019819
,
60019803
,
60043000
,
60058957
,
60057497
,
60057498
,
60057499
,
60058188
,
60062348
,
60062049
,
60063334
WV MF-
24145,
MF-
24125,
MF-
24123,
MF-
56705,
MF-
73517,
MF-
71847,
MF-
71846,
MF-
71845,
MF-
72680,
MF-
76931,
MF-
76600,
MF-77957
WI
341392
-03,
341390-
03,
619502-
03,
341394-
03,
508542-
03,
608342-
03,
608343-
03,
608344-
03,
615414-
03
WY 21645
PUERTO RICO S-
19806,
S-29875,
S-31750,
S-41832,
S-40832,
S-40832-1,
S-40833,
S-40833-1,
S-41309,
S-43875,
S-43678,
S-41832-1
Other (specify):
*Indicates Fund is registered in state but state does not issue
identification numbers
Securities in the Scout Funds Prospectus included: International Fund,
International Discovery Fund, Emerging Markets Fund, Global Equity Fund,
Mid Cap Fund, Small Cap Fund, Low Duration Bond Fund, Core Bond Fund,
Core Plus Bond Fund and Unconstrained Bond Fund
3. Exact name of investment company as specified in registration
statement:
Scout Funds
4. Address of principal executive office: (number, street, city,
state, zip code)
803 West Michigan Street, Milwaukee, WI 53233
August 29, 2013
United States Securities and Exchange Commission
Office of Applications and Report Services
450 Fifth Street
N.W. Washington, DC 20549
Dear Sirs:
Enclosed is a copy of Form N-17f-2, along with our related report,
dated August 29, 2013, on our examination of the investment
portfolio of Scout Funds as of the close of business on June 30,
2013.
Very truly yours,
Patrick DiStefano
REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
To the Board of Trustees of
Scout Funds:
We have examined management's assertion included in the
accompanying Management Statement Regarding Compliance with Certain
Provisions of the Investment Company Act of 1940 that Scout Funds
(the "Trust"), comprising the Scout Mid Cap Fund, Scout Small Cap
Fund, Scout International Fund, Scout Global Equity Fund, Scout
Core Bond Fund, Scout Core Plus Bond Fund, Scout Unconstrained Bond
Fund, Scout Emerging Markets Fund, and Scout Low Duration Bond Fund
(each a "Fund" and collectively, the "Funds"), complied with the
requirements of subsections (b) and (c) of Rule 17f-2 under the
Investment Company Act of 1940 ("the Act") as of June 30, 2013.
Management is responsible for the Trust's compliance with those
requirements. Our responsibility is to express an opinion on
management's assertion about the Trust's compliance based on our
examination.
Our examination was conducted in accordance with attestation
standards established by the Public Company Accounting Oversight
Board (United States), and accordingly, included examining on a
test basis, evidence about the Trust's compliance with those
requirements and performing such other procedures as we considered
necessary in the circumstances. Included among our procedures were
the following tests performed as of June 30, 2013, and with respect
to agreement of security purchases and sales, for the period from
April 30, 2013 (the date of our last examination) through June 30,
2013:
* Confirmation of all securities held by institutions in book entry
form with The Depository Trust Company, Federal Reserve Bank of
Kansas City, Fidelity Investments, Federated Investors, and
Citibank Global Transaction Services;
* Reconciliation of all such securities to the books and records of
each of the Funds and the Custodian (UMB Bank, n.a., an
affiliated entity); and
* Agreement of 25 security purchases and 25 security sales or
maturities since our last examination from the books and records of
the corresponding Funds to the source documentation from the
brokers.
We believe that our examination provides a reasonable basis for our
opinion. Our examination does not provide a legal determination on
the Trust's compliance with specified requirements.
In our opinion, management's assertion that the Trust complied with
the requirements of subsections (b) and (c) of Rule 17f-2 of the
Investment Company Act of 1940 as of June 30, 2013, with respect to
securities reflected in the investment account of the Trust is
fairly stated, in all material respects.
This report is intended solely for the information and use of
management and the Board of Trustees of Scout Funds and the
Securities and Exchange Commission and is not intended to be and
should not be used by anyone other than these specified parties.
Milwaukee, Wisconsin
August 29, 2013
Scout Investments
Mana gement Statement Regarding Com pliance with Certain
Provisions of the Investment
Com pany Act of 1940
We, as members of management of Scout Funds (the "Trust"),
comprising the Scout International Fund, Scout Global Equity Fund,
Scout Mid Cap Fund, Scout Small Cap Fund, Scout Unconstrained Bond
Fund, Scout Core Bond Fund, Scout Core Plus Bond Fund, Scout
Emerging Markets Fund, and Scout Low Duration Bond Fund
(collectively, the "Funds"), are responsible for complying with
the requirements of subsections (b) and (c) ofRule I 7f-2,
"Custody oflnvestments by Registered Management Investment
Companies," of the Investment Company Act of I 940. We are also
responsible for establishing and maintaining effective internal
controls over compliance with those requirements. We have
performed an evaluation of the Trust's compliance with the
requirements of subsection (b) and (c) of Rule 17f-2 as of June
30, 2013, and from April 30, 2013 through June 30, 2013.
Based on this evaluation, we asse1t that the Tmst was in compliance
with requirements of subsections (b) and (c) of Rule 17f-2 of the
Investment Company Act of 1940 as of June 30,
2013, and from April 30, 2013 through June 30, 2013, with respect
to securities reflected in the investment accounts of the Funds.
Scout Funds
By:
Scott Betz, Treasurer
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