Sextant Mutual Funds

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED
MANAGEMENT INVESTMENT COMPANY


Investment Company Act file number: 811-05071

SATURNA INVESTMENT TRUST
(Exact Name of Registrant as Specified in Charter)

1300 N. State Street
Bellingham, Washington 98225-4730

(Address of Principal Executive Offices, including ZIP Code)

Nicholas F. Kaiser
1300 N. State Street
Bellingham, Washington 98225-4730
(Name and Address of Agent for Service)

Registrant’s Telephone Number- (360) 734-9900

Date of fiscal year end: November 30, 2009
Date of reporting period: August 31, 2009

 

 

Item 1. Schedule of Investments

The unaudited schedule of investments as of the close of the reporting period is as follows:

Saturna Investment Trust, Sextant Growth Fund
 
Common Stock Quantity Market Value % Portfoio Industry
AT&T 10,000 $260,500 1.74% Telecommunctns - Services
Abbott Laboratories 7,000 $316,610 2.12% Medical - Drugs
Adobe Systems 7,600 $238,792 1.60% Computer - Software
Advanced Micro Devices 10,000 $43,600 0.29% Elec Components - Semicondtrs
Agilent Technologies 13,000 $333,840 2.23% Elec Components - Misc
Alaska Air Group 10,000 $252,300 1.69% Transportation - Airline
Alcoa 30,000 $361,500 2.42% Metal Ores - Non Ferrous
Allegiant Travel 10,000 $391,900 2.62% Transportation - Airline
Amazon.com 6,000 $487,140 3.26% Retail - Internet
Amgen 3,700 $221,186 1.48% Medical - Biomed/Genetics
Apple 8,000 $1,345,680 9.00% Computer - Mini/Micro
Banner Corporation 100,000 $324,000 2.17% Banks - West
Bed Bath & Beyond 5,000 $182,400 1.22% Retail - Misc/Diversified
Best Buy 8,000 $290,240 1.94% Retail - Consumer Elect
Chubb 7,000 $345,730 2.31% Insurance - Propt/Casul/Title
Devon Energy 4,500 $276,210 1.85% Oil & Gas - U S Explo & Prod
Dr Pepper Snapple 12,000 $317,280 2.12% Beverages - Soft Drink
Duke Energy 10,000 $154,900 1.04% Utility - Electric Power
FPL 7,000 $393,260 2.63% Utility - Electric Power
FTI Consulting 5,000 $217,700 1.46% Business Services
Freeport-McMoRan Copper & Gold 5,000 $314,900 2.11% Metal Ores - Misc
Harman International Industries 1,900 $56,981 0.38% Audio/Video Home Products
Hewlett-Packard 7,000 $314,230 2.10% Computer - Mini/Micro
Honeywell International 10,000 $367,600 2.46% Diversified Operations
Idacorp 6,000 $170,880 1.14% Utility - Electric Power
Intuit 9,000 $249,930 1.67% Computer - Software
KB Home 25,000 $455,250 3.04% Building - Resident/Commercl
Ligand Pharmaceuticals 10,000 $24,000 0.16% Medical - Biomed/Genetics
Eli Lilly 3,500 $117,110 0.78% Medical - Drugs
Lincoln Electric Holdings 4,000 $182,080 1.22% Machinery - Tools & Rel Prods
LoopNet 20,000 $159,800 1.07% Internet Content
Lowe's 9,000 $193,500 1.29% Buildg Prods - Retail/Whlsle
NRG Energy 10,000 $268,500 1.79% Utility - Electric Power
Norfolk Southern 4,500 $206,415 1.38% Transportation - Rail
Nucor 4,000 $178,160 1.19% Steel - Producers
Oracle 15,000 $328,200 2.19% Computer - Software
PepsiCo 6,000 $340,020 2.27% Beverages - Soft Drink
Pfizer 15,000 $250,500 1.67% Medical - Drugs
Pharmaceutical Product Development 15,000 $301,650 2.02% Medical - Drugs
Raytheon 6,500 $306,670 2.05% Aerospace - Equipment
Red Lion Hotels 50,000 $290,000 1.94% Hotels & Motels
Regal-Beloit 5,500 $250,030 1.67% Machinery - Tools & Rel Prods
Charles Schwab 25,000 $451,500 3.02% Finance - Investment Bkrs
Sempra Energy 3,000 $150,510 1.01% Utility - Gas Distribution
Spectra Energy 13,000 $244,660 1.64% Oil & Gas - Prods/Pipeline
Staples 6,000 $129,660 0.87% Office Equip & Supplies
3Com 60,000 $261,000 1.74% Computer - Local Networks
Trimble Navigation 14,000 $356,440 2.38% Instruments - Elec Measuring
United Parcel Service 2,500 $133,650 0.89% Transportation - Services
VCA Antech 8,000 $198,000 1.32% Medical - Hospitals
Verizon Communications 3,000 $93,120 0.62% Telecommunctns - Services
Washington Banking 10,000 $98,300 0.66% Banks - West
Weyerhaeuser 6,000 $224,340 1.50% Buildg Prods - Wood
John Wiley & Sons 8,000 $256,560 1.72% Publishing - Books
Noble 8,000 $280,240 1.87% Oil & Gas - Offshore Drillng
 
  TOTAL $14,959,154 100.00%  
 
Saturna Investment Trust, Sextant Core Fund
 
Common Stock Quantity Market Value % Portfolio Industry
AT&T 2,600 $67,730 2.00% Telecommunctns - Services
Adobe Systems 1,100 $34,562 1.02% Computer - Software
Alcoa 2,000 $24,100 0.71% Metal Ores - Non Ferrous
Anglo American PLC ADR 1,119 $18,117 0.54% Metal Ores - Gold
Apple 250 $42,053 1.24% Computer - Mini/Micro
Arch Coal 2,000 $34,640 1.03% Coal
Australia & New Zealand Banking ADS 1,750 $31,343 0.93% Banks - Foreign
BASF SE ADS 400 $20,896 0.62% Chemicals - Diversified
Berkley WR Corp 100,000 $95,422 2.82% Insurance - Propt/Casul/Title
BHP Billiton ADS 650 $40,495 1.20% Metal Ores - Non Ferrous
Black & Decker 350 $15,442 0.46% Tools - Hand Held
CRH PLC ADS 600 $15,276 0.45% Building - Cement/Concrete/Ag
CSX Corp. 95,000 $100,911 2.99% Transportation - Rail
Canadian National Railway 800 $38,616 1.14% Transportation - Rail
China Mobile ADS 500 $24,610 0.73% Telecommunctns - Cellular
Chubb 750 $37,043 1.10% Insurance - Propt/Casul/Title
City Group 100,000 $91,621 2.71% Banks - Money Center
ConocoPhillips 1,250 $56,288 1.67% Oil & Gas - U S Integrated
EI du Pont de Nemours 100,000 $106,329 3.15% Chemicals - Diversified
Emerson Electric 100,000 $107,721 3.19% Elec Components - Misc
Express Scripts 500 $36,110 1.07% Medical - Hlth Maint Orgs
FPL 600 $33,708 1.00% Utility - Electric Power
Freeport-McMoRan Copper & Gold 200 $12,596 0.37% Metal Ores - Misc
Genentech Inc 150,000 $154,150 4.56% Medical - Drugs
General Mills 1,000 $59,730 1.77% Food - Misc Preparation
GlaxoSmithKline PLC ADS 500 $19,550 0.58% Medical - Drugs
Harris 550 $19,102 0.57% Telecommunctns - Equip
Harris Stratex Networks 136 $824 0.02% Telecommunctns - Services
Heinz (H.J.) 1,000 $38,500 1.14% Food - Canned
Hewlett-Packard 1,000 $44,890 1.33% Computer - Mini/Micro
Home Depot 100,000 $103,455 3.06% Buildg Prods - Retail/Whlsle
Honeywell International 850 $31,246 0.92% Diversified Operations
Idacorp 900 $25,632 0.76% Utility - Electric Power
ING Groep NV ADS 400 $6,028 0.18% Insurance - Multi Line
JP Morgan Chase & Co 550 $23,903 0.71% Banks - Money Center
Johnson & Johnson 700 $42,308 1.25% Medical - Supplies
Kimberly-Clark 625 $37,788 1.12% Paper & Paper Products
LAN Airlines SA ADS 3,500 $41,475 1.23% Transportation - Airline
Eli Lilly 1,000 $33,460 0.99% Medical - Drugs
Lockheed Martin 400 $29,992 0.89% Electronics - Military Sys
Lowe's 900 $19,350 0.57% Buildg Prods - Retail/Whlsle
McGraw-Hill 1,000 $33,610 0.99% Publishing - Books
Monsanto 600 $50,328 1.49% Medical - Drugs
Nike 900 $49,851 1.48% Shoes & Related Apparel
Nomura Holdings ADR 700 $6,209 0.18% Finance - Investment Bkrs
Norsk Hydro ASA ADS 2,000 $11,960 0.35% Oil & Gas - Intl Integrated
Novartis AG ADR 800 $37,176 1.10% Medical - Drugs
Novo Nordisk A/S ADS 400 $24,404 0.72% Medical - Drugs
Nucor 800 $35,632 1.05% Steel - Producers
PNC Bank 600 $25,554 0.76% Banks - Northeast
Parker Hannifin 450 $21,897 0.65% Instruments - Control
Pearson PLC ADS 3,100 $37,820 1.12% Publishing - Books
PepsiCo 1,000 $56,670 1.68% Beverages - Soft Drink
Praxair 700 $53,634 1.59% Chemicals - Specialty
Procter & Gamble 900 $48,699 1.44% Cosmetics & Toiletries
RPM International 1,000 $16,280 0.48% Chemicals - Specialty
Staples 90,000 $96,082 2.84% Office Equip & Supplies
StatoilHydro ASA ADS 603 $13,170 0.39% Oil & Gas - Intl Integrated
Taiwan Semiconductor ADS 4,034 $43,164 1.28% Elec Components - Semicondtrs
Telefonica SA ADS 500 $37,890 1.12% Utility - Telephone
Telefonos de Mexico SAB de CV ADS 1,200 $22,308 0.66% Utility - Telephone
Telemex International SAB de CV ADR 1,200 $15,456 0.46% Telecommunctns - Services
3M 600 $43,260 1.28% Diversified Operations
Tomkins PLC ADS 750 $8,595 0.25% Diversified Operations
Toronto-Dominion Bank 550 $33,924 1.00% Banks - Foreign
Total SA ADS 1,100 $62,997 1.86% Oil & Gas - Intl Integrated
Unilever PLC ADS 1,600 $43,824 1.30% Food - Misc Preparation
U.S. Treasury Bond 150,000 $210,797 6.24% U S Government
U.S. Treasury Bond 5-3/8 2/15/31 60,000 $70,191 2.08% U S Government
UnitedHealth 1,400 $39,200 1.16% Medical - Hlth Maint Orgs
Verizon 100,000 $107,716 3.19% Telecommunctns - Cellular
Williams Companies 3,000 $49,320 1.46% Oil & Gas - Prods/Pipeline
Xerox Corporate Bond 100,000 $102,713 3.04% Office Automation
Orient-Express Hotels 1,000 $9,960 0.29% Hotels & Motels
Noble 1,200 $42,036 1.24% Oil & Gas - Offshore Drillng
 
  TOTAL $3,379,333 100.00%  
 
Saturna Investment Trust, Sextant International Fund
 
Common Stock Quantity Market Value % Portfolio Industry Country
Aegon NV 100,000 $754,000 1.67% Insurance - Multi Line NETHERLANDS
Air France-KLM ADR 25,000 $379,250 0.84% Transportation - Airline FRANCE
America Movil SAB de CV ADS 18,000 $812,700 1.80% Telecommunctns - Cellular MEXICO
American Oriental Bioengineering 100,000 $509,000 1.13% Medical - Biomed/Genetics CHINA
Anglo American PLC ADR 80,000 $1,295,200 2.87% Metal Ores - Gold UNITED KINGDOM
Australia & New Zealand Banking ADS 20,000 $358,200 0.79% Banks - Foreign AUSTRALIA
AXA SA ADS 17,000 $388,790 0.86% Banks - Foreign FRANCE
BASF SE ADS 3,400 $177,616 0.39% Chemicals - Diversified GERMANY
BCE 45,000 $1,105,650 2.45% Telecommunctns - Equip CANADA
Banco Bilbao Vizcaya Argentaria SA 30,000 $533,700 1.18% Banks - Foreign SPAIN
Banco Santander ADS 100,000 $1,543,000 3.41% Banks - Foreign SPAIN
Barrick Gold 25,000 $867,500 1.92% Metal Ores - Gold CANADA
BHP Billiton ADS 14,000 $872,200 1.93% Metal Ores - Non Ferrous AUSTRALIA
CPFL Energia S A ADR 6,000 $314,040 0.69% Utility - Electric Power BRAZIL
CRH PLC ADS 10,000 $254,600 0.56% Building - Cement/Concrete/Ag IRELAND
Cadbury PLC ADS 20,000 $755,800 1.67% Food - Confectionery UNITED KINGDOM
Canadian Pacific Railway 32,000 $1,531,520 3.39% Transportation - Rail CANADA
Canon ADS 11,000 $420,310 0.93% Office Automation JAPAN
China Mobile ADS 9,000 $442,980 0.98% Telecommunctns - Cellular CHINA
China Techfaith Wireless ADR 10,000 $25,000 0.06% Telecommunctns - Cellular CHINA
Coca-Cola Femsa SAB de CV ADS 20,000 $891,600 1.97% Beverages - Soft Drink MEXICO
Dassault Systems SA ADR 5,000 $256,150 0.57% Computer - Software FRANCE
EnCana 15,000 $779,850 1.73% Oil & Gas - Canadn Integrated CANADA
Enersis SA ADS 40,000 $692,400 1.53% Utility - Electric Power CHILE
51job ADR 8,000 $101,600 0.22% Business Services CHINA
GlaxoSmithKline PLC ADS 18,000 $703,800 1.56% Medical - Drugs UNITED KINGDOM
ICICI Bank Ltd ADS 30,000 $915,600 2.03% Banks - Foreign INDIA
Infosys ADS 32,000 $1,383,360 3.06% Computer - Software INDIA
ING Groep NV ADS 25,000 $376,750 0.83% Insurance - Multi Line NETHERLANDS
Korea Electric Power ADS 20,000 $247,000 0.55% Utility - Electric Power KOREA
LAN Airlines SA ADS 100,000 $1,185,000 2.62% Transportation - Airline CHILE
Lihir Gold Limited ADS 45,000 $1,040,400 2.30% Metal Ores - Gold INDONESIA
Metso Oyj ADS 12,100 $304,073 0.67% Paper & Paper Products FINLAND
Mitsubishi UFJ Financial ADR 50,000 $317,000 0.70% Banks - Foreign JAPAN
Nidec ADR 13,000 $232,960 0.52% Machinery - Electrical JAPAN
Nintendo 17,000 $570,350 1.27% Toys/Games/Hobby Prod JAPAN
Nissan Motor ADS 45,000 $627,750 1.39% Auto/Truck - Mfg Foreign JAPAN
Nomura Holdings ADR 30,000 $266,100 0.59% Finance - Investment Bkrs JAPAN
Novartis AG ADR 10,000 $464,700 1.03% Medical - Drugs SWITZERLAND
Novo Nordisk A/S ADS 7,000 $427,070 0.94% Medical - Drugs DENMARK
Pearson PLC ADS 50,000 $610,000 1.35% Publishing - Books UNITED KINGDOM
Potash Corp of Saskatchewan 13,000 $1,150,630 2.55% Fertilizers CANADA
PT Indosat Tbk ADR 5,000 $129,450 0.29% Utility - Telephone INDONESIA
Repsol YPF SA ADS 40,000 $993,600 2.20% Oil & Gas - Intl Integrated SPAIN
Rio Tinto PLC ADS 4,000 $620,640 1.37% Metal Ores - Misc UNITED KINGDOM
Ritchie Bros Auctioneers 22,000 $551,320 1.22% Building - Heavy Const CANADA
Ryanair Holdings plc ADS 20,000 $547,800 1.21% Transportation - Airline IRELAND
SK Telecom ADR 18,000 $280,080 0.62% Telecommunctns - Services KOREA
SAP AG ADS 12,000 $585,120 1.29% Computer - Software GERMANY
Shire PLC ADR 20,000 $991,200 2.19% Medical - Drugs UNITED KINGDOM
StatoilHydro ASA ADS 5,173 $112,978 0.25% Oil & Gas - Intl Integrated NORWAY
Teck Cominco Ltd 100,000 $2,406,000 5.32% Metal Ores - Non Ferrous CANADA
Telecom New Zealand ADS 20,000 $186,600 0.41% Utility - Telephone NEW ZEALAND
Telefonica SA ADS 15,000 $1,136,700 2.51% Utility - Telephone SPAIN
Telefonos de Mexico SAB de CV ADS 15,000 $278,850 0.62% Utility - Telephone MEXICO
Telus 20,000 $591,400 1.31% Telecommunctns - Services CANADA
Tenaris SA ADR 2,500 $72,450 0.16% Steel - Pipe & Tubes ARGENTINA
Teva Pharmaceutical Industries ADS 13,000 $669,500 1.48% Medical - Generic Drugs ISRAEL
Toronto-Dominion Bank 15,000 $925,200 2.05% Banks - Foreign CANADA
Total SA ADS 20,000 $1,145,400 2.53% Oil & Gas - Intl Integrated FRANCE
Turkcell Iletisim Hizmetleri ADR 70,000 $1,127,700 2.49% Telecommunctns - Cellular TURKEY
Unilever PLC ADS 20,000 $547,800 1.21% Food - Misc Preparation UNITED KINGDOM
UPM-Kymmene Oyj ADS 3,500 $41,860 0.09% Paper & Paper Products FINLAND
Vale SA-SP ADR 60,000 $1,152,600 2.55% Metal Prods - Fabrication BRAZIL
Vodafone Group PLC ADS 50,000 $1,086,000 2.40% Telecommunctns - Cellular UNITED KINGDOM
Votorantim Celulose e Papel SA ADS 45,500 $719,355 1.59% Paper & Paper Products BRAZIL
Orient-Express Hotels 100,000 $996,000 2.20% Hotels & Motels BERMUDA
Copa Holdings SA 10,000 $417,700 0.92% Transportation - Airline PANAMA
 
  TOTAL $45,198,502 100.00%    
 
Saturna Investment Trust, Sextant Short-Term Bond Fund
 
Corporate Bond Quantity Market Value % Portfolio Maturity Industry
Apache Corporation 150,000 $160,413 4.63% 4/15/13 Oil & Gas - Intl Integrated
Astrazeneca PLC 125,000 $137,230 3.96% 9/15/12 Medical - Drugs
Bank of New York Mellon 160,000 $168,097 4.86% 4/1/12 Banks - Money Center
Berkshire Hathaway Financial 100,000 $106,901 3.09% 5/15/15 Insurance - Multi Line
Caterpillar Inc. 100,000 $100,203 2.89% 9/15/09 Machinery - Const/Mining
Commerce Charter TWP Michigan 125,000 $131,124 3.79% 12/1/13 General Obligations
Dawson Springs KY ISD Bldg Rev 95,000 $94,761 2.74% 8/1/13 Schools
Dover Corporation 100,000 $107,060 3.09% 2/15/11 Machinery - Genrl Industrial
Florida Power & Light Group Capital 140,000 $150,359 4.34% 9/1/11 Utility - Electric Power
Federal National Mortgae Assoc. 120,000 $122,568 3.54% 2/23/10 U S Government
Fortune Brands 120,000 $122,151 3.53% 1/15/11 Beverages - Alcoholic
Genentech Inc 100,000 $102,767 2.97% 7/15/10 Medical - Drugs
General Electric Capital Corp 100,000 $104,675 3.02% 10/19/12 Diversified Operations
Halliburton Co. 132,000 $137,581 3.97% 10/15/10 Oil & Gas - Field Services
HSBC Finance Corp. (Household Finc) 100,000 $104,192 3.01% 10/15/11 Finance - Consumer Loans
IBM Corporation 135,000 $147,053 4.25% 10/22/12 Computer - Services
International Lease Finance (AIG) 125,000 $120,469 3.48% 4/15/10 Finance - Leasing Cos
Marathon Oil 120,000 $131,254 3.79% 7/1/12 Oil & Gas - U S Integrated
Passaic NJ Taxable Pension GO 100,000 $103,202 2.98% 2/1/13 General Obligations
ConocoPhillips Co 100,000 $106,184 3.07% 5/25/10 Oil & Gas - Intl Integrated
Rhode Island Econ Dev Corp Rev 175,000 $179,606 5.19% 3/15/13 Real Estate - Development
Roche Holdings Inc 150,000 $158,968 4.59% 3/1/12 Medical - Misc Products
Scottish Power PLC 100,000 $101,815 2.94% 3/15/10 Utility - Electric Power
Southwester Mich. Comm. College 125,000 $129,080 3.73% 5/1/15 Schools
TJ X Companies 95,000 $96,295 2.78% 12/15/09 Retail - Discount & Variety
US Treasury Note 200,000 $204,609 5.91% 4/15/10 U S Government
Verizon New England Tel. 129,000 $132,652 3.83% 10/1/13 Utility - Telephone
 
  TOTAL $3,461,270 100.00%    
 
Saturna Investment Trust, Sextant Bond Income Fund
 
Corporate Bond Quantity Market Value % Portfolio Maturity Industry
Air Products & Chemicals 50,000 $65,844 1.97% 4/15/21 Chemicals - Specialty
Allstate Corp. 50,000 $56,088 1.68% 6/15/13 Insurance - Multi Line
Archer Daniels Midlands 100,000 $116,915 3.50% 2/1/31 Agricultural Operations
AutoZone Inc. 95,000 $98,532 2.95% 11/15/15 Auto Parts - Replacement
BHP Finance USA 125,000 $131,491 3.94% 12/15/15 Metal Ores - Misc
Baker Hughes Inc 100,000 $112,025 3.36% 1/15/29 Oil & Gas - Field Services
Becton Dickinson Corp. 40,000 $40,174 1.20% 10/1/09 Medical - Supplies
Burlington VT Taxable Pub Imp Ser B 160,000 $163,715 4.91% 11/1/28 General Obligations
Caterpillar INC 40,000 $44,835 1.34% 8/15/11 Machinery - Const/Mining
Cingular Wireless (AT&T) 140,000 $161,400 4.84% 12/15/31 Utility - Telephone
CitiCorp 50,000 $50,783 1.52% 10/15/11 Banks - Money Center
Comerica Bank 50,000 $48,364 1.45% 12/1/13 Banks - Midwest
Commonwealth Edison Corp. 50,000 $56,075 1.68% 7/1/13 Utility - Electric Power
Conagra Inc. 4,000 $4,253 0.13% 9/15/10 Food - Misc Preparation
Dayton Hudson Corp. (Target Stores) 50,000 $54,179 1.62% 1/1/11 Retail - Discount & Variety
Dean Witter Discovery & Company 50,000 $52,819 1.58% 10/15/13 Finance - Investment Bkrs
Deere & Co. 95,000 $114,862 3.44% 5/15/30 Machinery - Farm
Dupage Co. IL Cmnty Coll Dist #502 150,000 $152,355 4.57% 1/1/26 General Obligations
Federal Farm Credit Bank 150,000 $154,499 4.63% 1/15/18 U S Government
Federal Home Loan Bank 150,000 $163,829 4.91% 9/15/16 Finance - Mrtg & R.E. Service
Florida Power & Light 100,000 $111,199 3.33% 10/1/33 Utility - Electric Power
Graves CO KY SCD Bldg Lease Rev 150,000 $149,834 4.49% 6/1/24 Schools
Heinz H. J. Co. 75,000 $81,100 2.43% 3/15/12 Food - Misc Preparation
Hershey Foods Co. 50,000 $56,641 1.70% 8/15/12 Food - Confectionery
Lowe's Companies 50,000 $52,743 1.58% 6/1/10 Buildg Prods - Retail/Whlsle
Masco 60,000 $58,096 1.74% 8/15/13 Buildg Prods - Miscellaneous
Milan Cnty Michigan Area Schools 150,000 $153,665 4.61% 5/1/24 General Obligations
Oklahoma City Fin Auth Ed Lease Rev 160,000 $176,346 5.29% 9/1/22 State Education
Paine Webber Group 50,000 $55,141 1.65% 2/15/14 Finance - Investment Bkrs
Pharmacia (PFE) 100,000 $115,801 3.47% 12/1/18 Medical - Drugs
Phillips Electronics Corp 75,000 $84,435 2.53% 8/15/13 Electronics - Misc Products
Progressive 75,000 $81,523 2.44% 10/1/13 Insurance - Propt/Casul/Title
St. Pauls Travelers Insurance 125,000 $134,189 4.02% 12/1/15 Insurance - Propt/Casul/Title
Sempra Energy Corp 50,000 $51,380 1.54% 3/1/10 Utility - Gas Distribution
Southwest Airlines 75,000 $78,827 2.36% 3/1/12 Transportation - Airline
Wal-Mart Stores 45,000 $52,678 1.58% 6/1/13 Retail - Discount & Variety
 
  TOTAL $3,336,633 100.00%    
 
Saturna Investment Trust, Idaho Tax-Exempt Fund
 
Municpal Bond Quantity Market Value % Portfolio Maturity Industry
Ada & Canyon JSD #2 Meridian 50,000 $58,967 0.44% 7/30/15 Schools
Ada & Canyon JSD #2 Meridian 165,000 $181,254 1.36% 8/15/20 General Obligations
Ada & Canyon JSD #2 Merdian 155,000 $169,215 1.27% 8/15/21 General Obligations
Ada & Canyon JSD # 3 Kuna 500,000 $548,335 4.12% 9/15/19 General Obligations
Washington & Adams Co.s JSDC # 432 100,000 $106,647 0.80% 8/15/19 General Obligations
Bingham Co. SCD #52 Snake HS 400,000 $403,312 3.03% 9/1/27 General Obligations
Bingham Co. Id. SCD # 55 Blackfoot 285,000 $303,086 2.28% 8/1/17 General Obligations
Blackfoot ID COP Series 2000 135,000 $138,837 1.04% 2/1/18 Utility - Waste Mangmt
Blaine County Idaho Series A 150,000 $154,086 1.16% 8/1/23 General Obligations
Boise Co. ID SD # 73 Horseshoe Bend 125,000 $126,991 0.95% 7/31/10 Schools
Boise City ID Gen Fund Rev 160,000 $168,397 1.27% 12/1/17 Finance - Services
Boise City ID Gen Fund Rev 100,000 $104,910 0.79% 12/1/18 Finance - Services
Boise State Univerity ID Rev's 250,000 $253,198 1.90% 4/1/27 Schools
Boise State University Rev 09 Ser A 385,000 $395,907 2.97% 4/1/34 Schools
Boise City Urb Ren Agy Lease Rev 160,000 $171,987 1.29% 8/15/20 Real Estate - Development
Boise City Urb Ren Agy Lease Rev 90,000 $96,020 0.72% 8/15/21 Real Estate - Development
Bonneville & Bingham Co ID SCD 93 150,000 $162,590 1.22% 9/15/16 General Obligations
Bonneville & Bingham Co JSD #93 GO 350,000 $371,231 2.79% 9/15/17 General Obligations
Caldwell ID GO 150,000 $153,494 1.15% 5/15/14 General Obligations
Canyon Co. ID SCD # 131 Nampa 325,000 $345,283 2.59% 8/15/19 Schools
Canyon Co. ID SCD # 131 Nampa 105,000 $109,661 0.82% 8/15/23 General Obligations
Canyon Co. ID SCD #134 Middleton 170,000 $179,054 1.35% 7/31/16 General Obligations
Canyon Co. Id SCD #139 Vallivue 350,000 $353,801 2.66% 9/15/25 Schools
Fremont & Madison JSD 215 St. Antho 200,000 $213,596 1.60% 8/15/19 General Obligations
Idaho Bond Bank Authority Rev 135,000 $138,663 1.04% 9/1/22 Pollution Control - Servcs
Idaho Bond Bank Authority 250,000 $264,563 1.99% 9/15/26 Utility - Water Supply
Idaho Bond Bank Authority 75,000 $76,226 0.57% 9/15/23 Utility - Waste Mangmt
Idaho Bond Bank Authority 90,000 $93,304 0.70% 9/15/19 Finance - Services
Idaho Bond Bank Authority Rev Ser B 100,000 $102,557 0.77% 9/15/24 Diversified Operations
Idaho Falls ID Electric 140,000 $164,895 1.24% 4/1/19 Utility - Electric Power
Idaho Health Fac Ath Holy Cross Rev 50,000 $50,089 0.38% 12/1/28 Medical - Hospitals
Idaho Health Facs Auth Rev Ref. 110,000 $110,589 0.83% 12/1/14 Medical - Hospitals
Idaho Health Facs Auth Corp 115,000 $115,575 0.87% 12/1/22 Medical - Hospitals
Idaho Health Facs Aith Rev 200,000 $216,800 1.63% 12/1/23 Medical - Hospitals
Idaho Housing & Finance Assoc. 100,000 $109,660 0.82% 6/1/17 Schools
Idaho Housing & Finance Assoc 200,000 $214,128 1.61% 7/15/24 Transportation - Services
Idaho Housing & Finance GARVEE TR-A 250,000 $251,800 1.89% 7/15/23 Roads
Idaho Housing & Finance GARVEE TR-A 50,000 $52,231 0.39% 7/15/27 Roads
Idaho Housing & Fin Ass SF Rev 100,000 $102,846 0.77% 7/1/28 Housing
Idaho State Building Authority 110,000 $112,215 0.84% 9/1/23 Building - Resident/Commercl
Idaho State University Ref & Impt 150,000 $150,048 1.13% 4/1/17 State Education
Idaho State University Rev. 220,000 $226,153 1.70% 4/1/24 State Education
Jefferson & Madison SCD 251 Rigby 100,000 $103,461 0.78% 9/1/24 General Obligations
Jerome ID Urban Renewal District 200,000 $202,952 1.52% 9/1/13 Real Estate - Development
Jerome Lincoln Gooding Co's JSC 261 125,000 $131,281 0.99% 9/15/18 General Obligations
Jerome Lincoln Gooding Co's JSD 261 250,000 $272,950 2.05% 9/15/22 General Obligations
Kootenai-Shonshone Area Librarys 220,000 $230,652 1.73% 8/1/21 General Obligations
Latah Nez Perce Clearwater JSD 283 190,000 $198,685 1.49% 8/15/27 General Obligations
Lemhi County ID GO 100,000 $105,222 0.79% 8/1/15 General Obligations
Madison Co. SCD # 321 Rexburg UTGO 410,000 $420,430 3.16% 8/15/24 General Obligations
Madison Co. SCD # 321 Rexburg UTGO 250,000 $252,360 1.90% 8/15/26 Schools
Meridian ID Free Library District 100,000 $101,129 0.76% 8/1/15 General Obligations
Minidoka & Jerome JSD # 331 75,000 $77,852 0.58% 8/15/18 General Obligations
Minidoka & Jerome JSD # 331 75,000 $76,883 0.58% 8/15/20 General Obligations
Minidoka & Jerome JSD 331 225,000 $225,731 1.70% 8/15/24 General Obligations
Minidoka & Jerome JSD # 331 160,000 $160,755 1.21% 8/15/25 General Obligations
Moscow Idaho Sewer Revenue 200,000 $205,344 1.54% 5/1/28 Utilities - Sewer
Nampa Idaho Series B 200,000 $209,464 1.57% 8/1/20 General Obligations
Nez Perce County (Jail) 2007 COP 150,000 $154,862 1.16% 2/1/21 Municipal Leases
Owyhee & Canyon Co SD 370 Homedale 160,000 $182,118 1.37% 8/15/16 Schools
Owyhee & Elmore SD 365 Grandview 350,000 $370,052 2.78% 8/15/27 Schools
Payette Co ID SCD #373 100,000 $107,856 0.81% 9/15/24 Schools
Pocatello ID Water Rev 100,000 $100,763 0.76% 2/1/24 Utility - Water Supply
Pocatello ID. Water Revenue 350,000 $357,287 2.68% 2/1/26 Utility - Water Supply
Post Falls LID 2004-1 300,000 $299,985 2.25% 5/1/21 Real Estate - Development
Troy ID Sewer System 20,000 $20,021 0.15% 2/1/10 Utilities - Sewer
University of Idaho Rev.s 200,000 $211,234 1.59% 4/1/19 State Education
University of Idaho Rev's 260,000 $273,671 2.06% 4/1/20 State Education
Valley & Adams JSD # 421 McCall 135,000 $139,119 1.05% 8/1/22 General Obligations
Valley & Adams JSD 421 McCall 290,000 $295,684 2.22% 8/1/24 Schools
 
  TOTAL $13,310,003 100.00%    
*Fair valued, see explanation below          

 

Fair Value Measurments Disclosure:

The Funds adopted Financial Accounting Standards Board Statement of Financial Accounting Standards No. 157, "Fair Value Measurements" ("FAS 157"), effective December 1, 2007 (March 30, 2007 for Core Fund). In accordance with FAS 157, fair value is defined as the price that the Fund would receive to sell an investment or pay to transfer a liabilityin an orderly transaction with an independent buyer in the principal market, or in the absence of a principal market the most advantageous market for the investment or liability. FAS 157 establishes a three-tier hierarchy to distinguish between (1) inputs that reflect the assumptions market participants would use in pricing an asset or liability developed based on market data obtained from sources independent of the reporting entity (observable inputs) and (2) inputs that reflect the reporting entity's own assumptions about the assumptions market participants would use in pricing an asset or liability developed based on the best information available in the circumstances (unobservable inputs) and to establish classification of fair value measurements for disclosure purposes. Various inputs are used in determining the value of the Fund's investments. The inputs are summarized in the three broad levels listed below.

Level 1 — quoted prices in active markets for identical investments
Level 2 — other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 — significant unobservable inputs (including the Fund's own assumptions in determining the fair value of investments)

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The following is a summary of the inputs used as of August 31, 2009 in valuing the Funds' investments carried at value:

LEVEL
VALUATION INPUTS
INVESTMENTS IN SECURITIES
    STBFX SBFIX SCORX SSGFX SSIFX NITEX
LEVEL 1 Quoted Prices $- $- $3,379,333 $14,959,154 $45,198,502 $-
LEVEL 2 Other Significant Observable Inputs $3,461,270 $3,336,633 $1,344,954 $- $- $12,708,410
LEVEL 3 Significant Unobservable Inputs $- $- $- $- $- $601,593
TOTAL   $3,461,270 $3,336,633 $4,724,287 $14,959,154 $45,198,502 $13,310,003
 

 

Level 3 Roll-Forward
Municipal Securities

   
Beginning Balance
$599,236
Total unrealized gains or losses
$2,357
Ending Balance
$601,593


Odd Lots:

The bid-side valuations provided by the independent pricing service are for institutional "round-lot" holdings ("Round Lots"). Round Lots consist of 100 bonds (approximately $100,000 each). Some of the Fund's holdings consist of less than an institutional Round Lot and are considered "Odd Lots." Odd Lots trade at a discount to Round Lots to compensate for the effect of the fixed costs associated with any trade. To reflect this discount, the Fund applies a discount to the valuation of Odd Lot holdings as shown in the following chart:

Total Face Value

Adjustment to Price

Under 10,000
-0.750
10,000-24,999
-0.625
25,000-49,999
-0.500
50,000-74,999
-0.375
75,000-99,999
-0.250
100,000 and up
none

In April 2009, the Financial Accounting Standards Board ("FASB") issued FASB Staff Position No. 157-4, Determining Fair Value When the Volume and Level of Activity for the Asset or Liability Have Significantly Decreased and Identifying Transactions That Are Not Orderly ("FSP 157-4"). FSP 157-4 provides additional guidance for estimating fair value in accordance with FASB Statement of Financial Accounting Standards No. 157, "Fair Value Measurements" ("FAS 157"), when the volume and level of activity for the asset or liability have significantly decreased as well as guidance on identifying circumstances that indicate a transaction is not orderly. FSP 157-4 is effective for fiscal years and interim periods ending after June 15, 2009. Management is currently evaluating the impact the adoption of FSP 157-4 will have on the Funds' financial statement disclosures.

Item 2. Controls and Procedures

Internal control over financial reporting is under the supervision of the principal executive and financial officers. On October 21, 2009, Mr. Nicholas Kaiser (President) and Mr. Christopher Fankhauser (Treasurer), reviewed the internal control procedures for Saturna Investment Trust and found them reasonable and adequate.

Item 3. Exhibits

Certification of Principal Executive Officer and Principal Financial Officer of the Registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)) is attached hereto as Exhibit 99CERT.

 

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

SATURNA INVESTMENT TRUST

By:

/s/ Nicholas Kaiser
Nichola Kaiser, President

Date: October 26, 2009



Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By:

/s/ Nicholas Kaiser
Nicholas Kaiser, President

Date: October 26, 2009


By:

/s/ Christopher Fankhauser
Christopher Fankhauser, Treasurer

Date: October 26, 2009