0001752724-20-250440.txt : 20201127 0001752724-20-250440.hdr.sgml : 20201127 20201127104337 ACCESSION NUMBER: 0001752724-20-250440 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200930 FILED AS OF DATE: 20201127 PERIOD START: 20210630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JAMES ADVANTAGE FUNDS CENTRAL INDEX KEY: 0001045487 IRS NUMBER: 000000000 STATE OF INCORPORATION: OH FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08411 FILM NUMBER: 201353475 BUSINESS ADDRESS: STREET 1: 1349 FAIRGROUND RD CITY: BEAVERCREEK STATE: OH ZIP: 45385 BUSINESS PHONE: 9374267640 MAIL ADDRESS: STREET 1: 1349 FAIRGROUND RD CITY: BEAVERCREEK STATE: OH ZIP: 45385 FORMER COMPANY: FORMER CONFORMED NAME: JAMES FUNDS DATE OF NAME CHANGE: 19970904 0001045487 S000003563 James Small Cap Fund C000009903 James Small Cap Fund JASCX NPORT-P 1 primary_doc.xml NPORT-P false 0001045487 XXXXXXXX S000003563 C000009903 JAMES ADVANTAGE FUNDS 811-08411 0001045487 549300426TIVT528ZP40 1290 BROADWAY SUITE 1000 DENVER 80203 3036232577 James Small Cap Fund S000003563 54930078VSHCHGG5AQ06 2021-06-30 2020-09-30 N 28233006.85 34393.75 28198613.10 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 N FTI Consulting Inc 549300K17GM8EQD0FQ48 FTI Consulting, Inc. 302941109 4570.00000000 NS USD 484282.90000000 1.717399711406 Long EC CORP US N 1 N N N Helen of Troy Ltd N/A Helen of Troy, Ltd. G4388N106 3045.00000000 NS USD 589268.40000000 2.089707028889 Long EC CORP BM N 1 N N N First American Treasury Obligations Fund N/A First American Treasury Obligations Fund 31846V328 189030.74000000 NS USD 189030.74000000 0.670354741666 Long STIV RF US N 1 N N N National HealthCare Corp N/A National HealthCare Corp. 635906100 11650.00000000 NS USD 725911.50000000 2.574280860642 Long EC CORP US N 1 N N N TTEC Holdings Inc GTJS1N8S8I28A7L4WG97 TTEC Holdings, Inc. 89854H102 9700.00000000 NS USD 529135.00000000 1.876457534005 Long EC CORP US N 1 N N N First BanCorp/Puerto Rico N/A First BanCorp 318672706 77700.00000000 NS USD 405594.00000000 1.438347334890 Long EC CORP PR N 1 N N N Meritage Homes Corp 52990044W9UMFJO2FB97 Meritage Homes Corp. 59001A102 3800.00000000 NS USD 419482.00000000 1.487597984029 Long EC CORP US N 1 N N N EVERTEC Inc N/A EVERTEC, Inc. 30040P103 10800.00000000 NS USD 374868.00000000 1.329384529198 Long EC CORP PR N 1 N N N MasTec Inc 549300TMDIT8WREDOF45 MasTec, Inc. 576323109 6000.00000000 NS USD 253200.00000000 0.897916500723 Long EC CORP US N 1 N N N Generac Holdings Inc 529900S2H2AHJHSFFI84 Generac Holdings, Inc. 368736104 6580.00000000 NS USD 1274151.20000000 4.518488889795 Long EC CORP US N 1 N N N Ingles Markets Inc 549300XH5RYBMYP8TF26 Ingles Markets, Inc. 457030104 13275.00000000 NS USD 504981.00000000 1.790800839066 Long EC CORP US N 1 N N N Village Super Market Inc 25490069686XCNNEMQ07 Village Super Market, Inc. 927107409 16770.00000000 NS USD 412709.70000000 1.463581554654 Long EC CORP US N 1 N N N Piper Sandler Cos QUQDBTUSOAKFEVMRMF78 Piper Sandler Cos. 724078100 16875.00000000 NS USD 1231875.00000000 4.368565913619 Long EC CORP US N 1 N N N Boise Cascade Co 549300Z8B8LSRHC7XA55 Boise Cascade Co. 09739D100 24030.00000000 NS USD 959277.60000000 3.401860923436 Long EC CORP US N 1 N N N Portland General Electric Co GJOUP9M7C39GLSK9R870 Portland General Electric Co. 736508847 5935.00000000 NS USD 210692.50000000 0.747173271440 Long EC CORP US N 1 N N N Xenia Hotels & Resorts Inc 54930075IWIPHF5IQL62 Xenia Hotels & Resorts, Inc. 984017103 29280.00000000 NS USD 257078.40000000 0.911670368639 Long EC CORP US N 1 N N N Innospec Inc 213800SQBACNY5IWJO68 Innospec, Inc. 45768S105 5500.00000000 NS USD 348260.00000000 1.235025278601 Long EC CORP US N 1 N N N Encore Wire Corp N/A Encore Wire Corp. 292562105 18955.00000000 NS USD 879891.10000000 3.120334666388 Long EC CORP US N 1 N N N Hillenbrand Inc U246OE781574J2BUD366 Hillenbrand, Inc. 431571108 24198.00000000 NS USD 686255.28000000 2.433649050633 Long EC CORP US N 1 N N N Deckers Outdoor Corp 5493008LG4W3I6K8J118 Deckers Outdoor Corp. 243537107 3270.00000000 NS USD 719432.70000000 2.551305262598 Long EC CORP US N 1 N N N Ladder Capital Corp 549300Q6LLV2QCV67C06 Ladder Capital Corp. 505743104 55410.00000000 NS USD 394519.20000000 1.399073062923 Long EC CORP US N 1 N N N Tivity Health Inc U5UKZMHGMOP0CPFG4B24 Tivity Health, Inc. 88870R102 24240.00000000 NS USD 339844.80000000 1.205182676165 Long EC CORP US N 1 N N N PC Connection Inc 5299005WPRNIXDV2KM73 PC Connection, Inc. 69318J100 13500.00000000 NS USD 554310.00000000 1.965734974391 Long EC CORP US N 1 N N N AGCO Corp LYOM0B2GCF1JWXK5ZG04 AGCO Corp. 001084102 4800.00000000 NS USD 356496.00000000 1.264232388790 Long EC CORP US N 1 N N N Schnitzer Steel Industries Inc 549300F62TK8VRDSM285 Schnitzer Steel Industries, Inc. 806882106 13120.00000000 NS USD 252297.60000000 0.894716343336 Long EC CORP US N 1 N N N Avnet Inc XJI53DCPL7QABOWK4Z75 Avnet, Inc. 053807103 10050.00000000 NS USD 259692.00000000 0.920938909580 Long EC CORP US N 1 N N N MDC Holdings Inc 5299005FV4VNV75R8R35 MDC Holdings, Inc. 552676108 23300.00000000 NS USD 1097430.00000000 3.891787146084 Long EC CORP US N 1 N N N TriNet Group Inc 5299003FJVBETSFKE990 TriNet Group, Inc. 896288107 2335.00000000 NS USD 138512.20000000 0.491202171925 Long EC CORP US N 1 N N N Sykes Enterprises Inc 549300JJ24XHULP7Q562 Sykes Enterprises, Inc. 871237103 21060.00000000 NS USD 720462.60000000 2.554957569881 Long EC CORP US N 1 N N N Super Micro Computer Inc 54930022CZO1N2UGVW07 Super Micro Computer, Inc. 86800U104 21500.00000000 NS USD 567600.00000000 2.012864951858 Long EC CORP US N 1 N N N Genworth Financial Inc 549300EMCG286BDNKJ33 Genworth Financial, Inc. 37247D106 36000.00000000 NS USD 120600.00000000 0.427680608164 Long EC CORP US N 1 N N N American Financial Group Inc/OH 549300AFOM7IVKIU1G39 American Financial Group, Inc. 025932104 3870.00000000 NS USD 259212.60000000 0.919238825969 Long EC CORP US N 1 N N N LGI Homes Inc 549300W02B4WNV8CV109 LGI Homes, Inc. 50187T106 2400.00000000 NS USD 278808.00000000 0.988729477621 Long EC CORP US N 1 N N N Insight Enterprises Inc 529900S8991TYW6YP792 Insight Enterprises, Inc. 45765U103 19890.00000000 NS USD 1125376.20000000 3.990892020146 Long EC CORP US N 1 N N N Frontline Ltd/Bermuda 5493004BCIKYU1YL3H63 Frontline, Ltd. G3682E192 51100.00000000 NS USD 332150.00000000 1.177894809301 Long EC CORP BM N 1 N N N IDACORP Inc N134NUJDWN8UEFA8B673 IDACORP, Inc. 451107106 3385.00000000 NS USD 270461.50000000 0.959130504187 Long EC CORP US N 1 N N N Integer Holdings Corp 549300SUD2ED5XG6X569 Integer Holdings Corp. 45826H109 8690.00000000 NS USD 512796.90000000 1.818518159675 Long EC CORP US N 1 N N N WPX Energy Inc ZXZE9GCS2BB547GJW219 WPX Energy, Inc. 98212B103 39365.00000000 NS USD 192888.50000000 0.684035414493 Long EC CORP US N 1 N N N Innoviva Inc 549300ACOX4QTBES6535 Innoviva, Inc. 45781M101 77560.00000000 NS USD 810502.00000000 2.874261926023 Long EC CORP US N 1 N N N Assured Guaranty Ltd 549300BBOQUJEPH87M14 Assured Guaranty, Ltd. G0585R106 8300.00000000 NS USD 178284.00000000 0.632243860248 Long EC CORP BM N 1 N N N Radian Group Inc 54930005OUP720S5U385 Radian Group, Inc. 750236101 31700.00000000 NS USD 463137.00000000 1.642410562383 Long EC CORP US N 1 N N N CMC Materials Inc 31F6V1MN00ZW3XWB4J69 CMC Materials Inc 12571T100 4465.00000000 NS USD 637646.65000000 2.261269544494 Long EC CORP US N 1 N N N SYNNEX Corp 5493004HI6PFLF46NS53 SYNNEX Corp. 87162W100 5035.00000000 NS USD 705202.10000000 2.500839660089 Long EC CORP US N 1 N N N Evercore Inc 529900P6KLPT95DW3W58 Evercore, Inc. 29977A105 13520.00000000 NS USD 885019.20000000 3.138520312546 Long EC CORP US N 1 N N N Nova Measuring Instruments Ltd 529900B2DSWE5V3SC292 Nova Measuring Instruments, Ltd. M7516K103 32945.00000000 NS USD 1717752.30000000 6.091619803812 Long EC CORP IL N 1 N N N American Equity Investment Life Holding Co 549300RK5RZQ740FPL83 American Equity Investment Life Holding Co. 025676206 36580.00000000 NS USD 804394.20000000 2.852601995521 Long EC CORP US N 1 N N N Chimera Investment Corp 2JBBQFJOL123LOUBE657 Chimera Investment Corp. 16934Q208 32325.00000000 NS USD 265065.00000000 0.939993038168 Long EC CORP US N 1 N N N Gray Television Inc 529900TM5726KDN7UU35 Gray Television, Inc. 389375106 21650.00000000 NS USD 298120.50000000 1.057216888443 Long EC CORP US N 1 N N N Sixth Street Specialty Lending Inc 549300TX61566GJWCN05 TPG Specialty Lending, Inc. 83012A109 40575.00000000 NS USD 698295.75000000 2.476347852724 Long EC RF US N 1 N N N PNM Resources Inc 5493003JOBJGLZSDDQ28 PNM Resources, Inc. 69349H107 10375.00000000 NS USD 428798.75000000 1.520637729520 Long EC CORP US N 1 N N N Patrick Industries Inc 549300FZ5ZTCCJ3Z5W14 Patrick Industries, Inc. 703343103 9680.00000000 NS USD 556793.60000000 1.974542499751 Long EC CORP US N 1 N N N Cleveland-Cliffs Inc 549300TM2WLI2BJMDD86 Cleveland-Cliffs, Inc. 185899101 16000.00000000 NS USD 102720.00000000 0.364273234416 Long EC CORP US N 1 N N N Weis Markets Inc N/A Weis Markets, Inc. 948849104 7355.00000000 NS USD 353040.00000000 1.251976466885 Long EC CORP US N 1 N N N HollyFrontier Corp 549300J3U2WK73C9ZK26 HollyFrontier Corp. 436106108 2500.00000000 NS USD 49275.00000000 0.174742636544 Long EC CORP US N 1 N N N 2020-10-30 JAMES ADVANTAGE FUNDS Lesley Ott Lesley Ott Chief Compliance Officer XXXX NPORT-EX 2 fp0059694_nportex.htm

JAMES BALANCED: GOLDEN RAINBOW FUND

SCHEDULE OF INVESTMENTS

 

September 30, 2020 (Unaudited)

  

Shares or Principal Amount  Value 
COMMON STOCKS-45.17% 
     Communication Services-4.53%     
 8,411   Alphabet, Inc., Class A*  $12,327,161 
 80,904   Comcast Corp., Class A   3,742,619 
 23,700   Facebook, Inc., Class A*   6,207,030 
 5,930   NetEase, Inc., ADR   2,696,193 
 90,000   Verizon Communications, Inc.   5,354,100 
         30,327,103 
           
     Consumer Discretionary-5.05%     
 14,610   Alibaba Group Holding, Ltd., Sponsored ADR*   4,295,048 
 1,800   Amazon.com, Inc.*   5,667,714 
 40,000   Best Buy Co., Inc.   4,451,600 
 25,400   Helen of Troy, Ltd.*   4,915,408 
 16,930   Home Depot, Inc.   4,701,630 
 30,000   McDonald's Corp.   6,584,700 
 20,540   Target Corp.   3,233,407 
         33,849,507 
           
     Consumer Staples-3.73%     
 35,000   Coca-Cola Co.   1,727,950 
 6,220   Costco Wholesale Corp.   2,208,100 
 7,059   Kimberly-Clark Corp.   1,042,332 
 100,000   Kroger Co.   3,391,000 
 56,000   Procter & Gamble Co.   7,783,440 
 62,785   Walmart, Inc.   8,784,249 
         24,937,071 
           
     Energy-0.93%     
 34,185   Chevron Corp.   2,461,320 
 15,000   Pioneer Natural Resources Co.   1,289,850 
 53,000   TOTAL SE, Sponsored ADR   1,817,900 
 15,780   Valero Energy Corp.   683,590 
         6,252,660 
           
     ExchangeTraded Funds-2.70%     
 457,836   iShares® Gold Trust*   8,236,470 
 45,830   iShares® Russell 2000® ETF   6,864,876 
 30,469   iShares® Silver Trust ETF*   659,349 
 12,974   SPDR® Gold Shares ETF*   2,297,955 
         18,058,650 
           
     Financials-3.35%     
 7,000   BlackRock, Inc.   3,944,850 
 35,000   Fifth Third Bancorp   746,200 
 83,070   JPMorgan Chase & Co.   7,997,149 
 29,534   LPL Financial Holdings, Inc.   2,264,372 
 5,500   MSCI, Inc.   1,962,290 
 17,630   Nelnet, Inc., Class A   1,062,207 
 10,000   PNC Financial Services Group, Inc.   1,099,100 
 35,000   Progressive Corp.   3,313,450 
         22,389,618 
           
     Health Care-6.84%     
 40,003   Abbott Laboratories   4,353,526 
 26,160   Amgen, Inc.   6,648,826 
 6,000   Anthem, Inc.   1,611,540 

 

 

 

Shares or Principal Amount  Value 
     Health Care (continued)     
 95,000   AstraZeneca PLC, Sponsored ADR  $5,206,000 
 59,940   CVS Health Corp.   3,500,496 
 33,955   Eli Lilly & Co.   5,026,019 
 43,170   Johnson & Johnson   6,427,150 
 10,000   Medtronic PLC   1,039,200 
 180,000   Pfizer, Inc.   6,606,000 
 3,265   Regeneron Pharmaceuticals, Inc.*   1,827,682 
 11,280   UnitedHealth Group, Inc.   3,516,766 
         45,763,205 
           
     Industrials-4.26%     
 17,352   Caterpillar, Inc.   2,588,051 
 27,300   Eaton Corp. PLC   2,785,419 
 15,000   FedEx Corp.   3,772,800 
 27,000   Generac Holdings, Inc.*   5,228,280 
 11,300   Lockheed Martin Corp.   4,331,064 
 4,540   Northrop Grumman Corp.   1,432,325 
 10,000   Old Dominion Freight Line, Inc.   1,809,200 
 50,000   Schneider Electric SE, ADR   1,245,500 
 21,500   Union Pacific Corp.   4,232,705 
 6,000   United Rentals, Inc.*   1,047,000 
         28,472,344 
           
     Information Technology-10.29%     
 10,000   Adobe, Inc.*   4,904,300 
 135,000   Apple, Inc.   15,634,350 
 10,000   ASML Holding NV   3,692,700 
 16,048   Cadence Design Systems, Inc.*   1,711,198 
 16,950   CMC Materials, Inc.   2,420,629 
 60,000   Intel Corp.   3,106,800 
 5,175   Lam Research Corp.   1,716,806 
 13,561   Logitech International SA   1,048,401 
 18,500   Mastercard, Inc., Class A   6,256,145 
 94,325   Microsoft Corp.   19,839,377 
 5,411   NVIDIA Corp.   2,928,541 
 12,500   PayPal Holdings, Inc.*   2,462,875 
 7,819   SYNNEX Corp.   1,095,129 
 10,000   VeriSign, Inc.*   2,048,500 
         68,865,751 
           
     Materials-1.02%     
 5,000   Air Products and Chemicals, Inc.   1,489,300 
 21,770   Avery Dennison Corp.   2,783,077 
 16,145   Celanese Corp.   1,734,780 
 4,000   Ecolab, Inc.   799,360 
         6,806,517 
           
     Real Estate-1.20%     
 16,400   Crown Castle International Corp., REIT   2,730,600 
 10,000   Digital Realty Trust, Inc., REIT   1,467,600 
 5,000   Equinix, Inc., REIT   3,800,650 
         7,998,850 
           
     Utilities-1.27%     
 30,000   American Water Works Co., Inc.   4,346,400 
 60,000   Xcel Energy, Inc.   4,140,600 
         8,487,000 
           
 TOTAL COMMON STOCKS     
 (Cost $240,986,800)   302,208,276 

 

 

 

Shares or Principal Amount  Value 
CORPORATE BONDS-12.39% 
     Consumer, Cyclical-2.65%     
$5,000,000   eBay, Inc., 2.600%, 7/15/22  $5,164,297 
 5,000,000   Home Depot, Inc., 2.700%, 4/1/23   5,268,333 
 785,000   McDonald's Corp., 5.700%, 2/1/39   1,097,245 
 1,000,000   Ross Stores, Inc., 4.700%, 4/15/27   1,179,428 
 2,000,000   Starbucks Corp., 2.550%, 11/15/30   2,115,184 
 2,000,000   Walmart, Inc., 5.250%, 9/1/35   2,896,156 
         17,720,643 
     Consumer, Non-cyclical-1.79%     
 2,000,000   Automatic Data Processing, Inc., 1.250%, 9/1/30   1,970,197 
 3,000,000   Hershey Co., 4.125%, 12/1/20   3,018,969 
 5,000,000   Johnson & Johnson, 1.300%, 9/1/30   5,046,748 
 1,950,000   Keurig Dr Pepper, Inc., 2.530%, 11/15/21   1,990,288 
         12,026,202 
     Exchange Traded Funds-0.79%     
 25,000   iShares® Convertible Bond ETF   2,018,750 
 25,000   iShares® Trust 5-10 Year Investment Grade Corporate Bond ETF   1,520,250 
 25,000   SPDR® Bloomberg Barclays Convertible Securities ETF   1,722,250 
         5,261,250 
     Financial-2.63%     
 8,100,000   Berkshire Hathaway, Inc., 3.750%, 8/15/21   8,336,737 
 1,000,000   Citigroup, Inc., 2.650%, 10/26/20   1,001,606 
 2,000,000   Citigroup, Inc., 3.875%, 3/26/25   2,200,211 
 5,000,000   Wells Fargo & Co., 2.500%, 3/4/21   5,047,151 
 1,000,000   Wells Fargo & Co., 2.000%, 5/15/25   1,002,629 
         17,588,334 
     Industrial-0.80%     
 1,000,000   Caterpillar, Inc., 8.250%, 12/15/38   1,785,480 
 1,000,000   General Electric Co., 2.700%, 10/9/22   1,035,380 
 2,000,000   General Electric Co., 6.875%, 1/10/39   2,558,515 
         5,379,375 
     Technology-3.73%     
 2,500,000   Apple, Inc., 2.050%, 9/11/26   2,672,295 
 5,000,000   Intel Corp., 3.300%, 10/1/21   5,148,095 
 5,000,000   Intel Corp., 2.875%, 5/11/24   5,404,061 
 3,700,000   Microsoft Corp., 5.200%, 6/1/39   5,473,771 
 5,000,000   Oracle Corp., 2.500%, 5/15/22   5,156,331 
 1,000,000   PayPal Holdings, Inc., 2.650%, 10/1/26   1,090,902 
         24,945,455 
 TOTAL CORPORATE BONDS     
 (Cost $76,458,873)       82,921,259 

 

Shares or Principal Amount  Value 
MUNICIPAL BONDS-2.85% 
     Hawaii-1.47%     
 9,000,000   City and County of Honolulu General Obligation Unlimited Bonds, Series B, 5.000%, 11/1/25   9,866,160 
           
     Ohio-1.38%     
 7,450,000   Beavercreek City School District General Obligation Unlimited Bonds, 3.250%, 12/1/36   7,837,623 
 1,000,000   Ohio State University General Recipients Revenue Bonds, Series C, 4.910%, 6/1/40   1,392,800 
         9,230,423 
 TOTAL MUNICIPAL BONDS     
 (Cost $17,840,431)       19,096,583 

 

Shares or Principal Amount  Value 
U.S. GOVERNMENT AGENCIES-6.06% 
     Federal Farm Credit Banks Funding Corp.-0.97%     
 $5,725,000   2.750%, 11/6/26   6,476,558 

 

 

 

  

Shares or Principal Amount  Value 
    Federal Home Loan Banks-2.79%    
$10,000,000   2.875%, 6/13/25  $11,196,163 
 5,000,000   4.080%, 5/25/33   5,480,737 
 2,000,000   2.200%, 4/23/35   1,982,466 
         18,659,366 
     Tennessee Valley Authority-2.30%     
 10,000,000   5.250%, 9/15/39   15,415,175 
           
 TOTAL U.S. GOVERNMENT AGENCIES     
 (Cost $35,868,334)       40,551,099 

 

Shares or Principal Amount  Value 
MORTGAGE BACKED SECURITIES-3.91% 
     Fannie Mae Pool-3.58%     
 6,420,606   3.500%, 9/1/33   6,936,979 
 16,083,958   2.500%, 1/1/57   16,991,156 
         23,928,135 
     Fannie Mae REMICS-0.33%     
 2,131,728   3.500%, 5/25/47   2,196,091 
           
 TOTAL MORTGAGE BACKED SECURITIES     
 (Cost $24,159,846)       26,124,226 

 

Shares or Principal Amount  Value 
U.S. TREASURY BONDS & NOTES-24.81% 
     Federal Farm Credit Banks Funding Corp.-0.30%     
$2,000,000   0.670%, 8/4/25   2,002,674 
           
     Federal Home Loan Banks-0.30%     
 2,000,000   0.580%, 9/11/25   1,997,968 
           
     U.S. Treasury Bonds-15.31%     
 5,000,000   2.625%, 11/15/20   5,015,368 
 29,000,000   2.000%, 8/15/25   31,418,555 
 28,000,000   2.750%, 2/15/28   32,569,688 
 12,500,000   2.625%, 2/15/29   14,597,656 
 14,000,000   1.625%, 8/15/29   15,238,125 
 3,000,000   2.250%, 8/15/49   3,567,539 
         102,406,931 
     U.S. Treasury Notes-6.05%     
 40,000,000   2.375%, 4/15/21   40,482,812 
           
     United States Treasury Inflation Indexed Bonds-2.85%     
 18,251,450   0.625%, 4/15/23   19,087,024 
           
 TOTAL U.S. TREASURY BONDS & NOTES     
 (Cost $154,576,035)   165,977,409 

 

Shares or Principal Amount  Value 
FOREIGN BONDS-1.11% 
     Singapore Government Bond-1.11%    
SGD 10,000,000   2.250%, 6/1/21   7,423,958 
           
 TOTAL FOREIGN BONDS     
 (Cost $7,434,865)      7,423,958 

  

 

 

Shares or Principal Amount  Value 
SHORT TERM INVESTMENTS-3.50%
   Mutual Fund-3.50%     
23,391,880  First American Treasury Obligations Fund, Class X, 7-Day Yield 0.060%  $23,391,880 
         
TOTAL SHORT TERM INVESTMENTS     
(Cost $23,391,880)      23,391,880 
         
TOTAL INVESTMENT SECURITIES-99.80%     
(Cost $580,717,064)      667,694,690 
OTHER ASSETS IN EXCESS OF LIABILITIES-0.20%   1,338,150 
NET ASSETS-100.00%  $669,032,840 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

  

* Non-income producing security.

  

SGD - Singapore Dollar

  

See Notes to Quarterly Schedule of Investments.

 

 

JAMES SMALL CAP FUND

SCHEDULE OF INVESTMENTS

 

September 30, 2020 (Unaudited)

  

Shares   Value 
COMMON STOCKS-99.29% 
     Communication Services-1.06%     
 21,650   Gray Television, Inc.*  $298,120 
         298,120 
           
     Consumer Discretionary-11.01%     
 3,270   Deckers Outdoor Corp.*   719,433 
 3,045   Helen of Troy, Ltd.*   589,268 
 2,400   LGI Homes, Inc.*   278,808 
 23,300   MDC Holdings, Inc.   1,097,430 
 3,800   Meritage Homes Corp.*   419,482 
         3,104,421 
           
     Consumer Staples-4.50%     
 13,275   Ingles Markets, Inc., Class A   504,981 
 16,770   Village Super Market, Inc., Class A   412,710 
 7,355   Weis Markets, Inc.   353,040 
         1,270,731 
           
     Energy-2.04%     
 51,100   Frontline, Ltd.   332,150 
 2,500   HollyFrontier Corp.   49,275 
 39,365   WPX Energy, Inc.*   192,889 
         574,314 
           
     Financials-20.24%     
 36,580   American Equity Investment Life Holding Co.   804,394 
 3,870   American Financial Group, Inc.   259,213 
 8,300   Assured Guaranty, Ltd.   178,284 
 32,325   Chimera Investment Corp., REIT   265,065 
 13,520   Evercore, Inc., Class A   885,019 
 77,700   First BanCorp   405,594 
 36,000   Genworth Financial, Inc., Class A*   120,600 
 55,410   Ladder Capital Corp., REIT   394,519 
 16,875   Piper Sandler Cos.   1,231,875 
 31,700   Radian Group, Inc.   463,137 
 40,575   Sixth Street Specialty Lending, Inc.   698,296 
         5,705,996 
           
     Health Care-8.47%     
 77,560   Innoviva, Inc.*   810,502 
 8,690   Integer Holdings Corp.*   512,797 
 11,650   National HealthCare Corp.   725,911 
 24,240   Tivity Health, Inc.*   339,845 
         2,389,055 
           
     Industrials-16.42%     
 4,800   AGCO Corp.   356,496 
 18,955   Encore Wire Corp.   879,891 
 4,570   FTI Consulting, Inc.*   484,283 
 6,580   Generac Holdings, Inc.*   1,274,151 
 24,198   Hillenbrand, Inc.   686,255 
 6,000   MasTec, Inc.*   253,200 
 9,680   Patrick Industries, Inc.   556,794 
 2,335   TriNet Group, Inc.*   138,512 
         4,629,582 

 

 

 

Shares   Value 
    Information Technology-25.51%    
 10,050   Avnet, Inc.  $259,692 
 4,465   CMC Materials, Inc.   637,647 
 10,800   EVERTEC, Inc.   374,868 
 19,890   Insight Enterprises, Inc.*   1,125,376 
 32,945   Nova Measuring Instruments, Ltd.*   1,717,752 
 13,500   PC Connection, Inc.   554,310 
 21,500   Super Micro Computer, Inc.*   567,600 
 21,060   Sykes Enterprises, Inc.*   720,463 
 5,035   SYNNEX Corp.   705,202 
 9,700   TTEC Holdings, Inc.   529,135 
         7,192,045 
           
     Materials-5.90%     
 24,030   Boise Cascade Co.   959,278 
 16,000   Cleveland-Cliffs, Inc.   102,720 
 5,500   Innospec, Inc.   348,260 
 13,120   Schnitzer Steel Industries, Inc., Class A   252,298 
         1,662,556 
           
     Real Estate-0.91%     
 29,280   Xenia Hotels & Resorts, Inc., REIT   257,078 
         257,078 
           
     Utilities-3.23%     
 3,385   IDACORP, Inc.   270,461 
 10,375   PNM Resources, Inc.   428,799 
 5,935   Portland General Electric Co.   210,692 
         909,952 
           
 TOTAL COMMON STOCKS     
 (Cost $26,298,034)       27,993,850 

 

Shares  Value 
SHORT TERM INVESTMENTS-0.69%
   Mutual Fund-0.69%     
194,047  First American Treasury Obligations Fund, Class X, 7-Day Yield 0.060%   194,047 
         
TOTAL SHORT TERM INVESTMENTS     
(Cost $194,047)      194,047 
         
TOTAL INVESTMENT SECURITIES-99.98%     
(Cost $26,492,081)      28,187,897 
OTHER ASSETS IN EXCESS OF LIABILITIES-0.02%   4,650 
NET ASSETS-100.00%  $28,192,547 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

 

* Non-income producing security.

  

See Notes to Quarterly Schedule of Investments.

 

 

JAMES MICRO CAP FUND

SCHEDULE OF INVESTMENTS

 

September 30, 2020 (Unaudited)

  

Shares   Value 
COMMON STOCKS-94.96% 
     Consumer Discretionary-14.27%     
 16,230   Century Communities, Inc.*  $687,016 
 30,210   Haverty Furniture Cos., Inc.   632,597 
 31,660   M/I Homes, Inc.*   1,457,943 
         2,777,556 
           
     Consumer Staples-8.07%     
 19,230   Ingles Markets, Inc., Class A   731,509 
 6,557   John B Sanfilippo & Son, Inc.   494,267 
 14,030   Village Super Market, Inc., Class A   345,278 
         1,571,054 
           
     Energy-0.67%     
 7,145   NACCO Industries, Inc., Class A   130,110 
         130,110 
           
     Financials-17.97%     
 57,215   Ares Commercial Real Estate Corp., REIT   522,945 
 48,590   Enova International, Inc.*   796,390 
 9,320   Federal Agricultural Mortgage Corp., Class C   593,311 
 34,030   OFG Bancorp   424,014 
 10,830   Piper Sandler Cos.   790,590 
 26,675   Universal Insurance Holdings, Inc.   369,182 
         3,496,432 
           
     Health Care-15.71%     
 6,405   BioSpecifics Technologies Corp.*   338,376 
 24,730   Innoviva, Inc.*   258,428 
 5,270   Integer Holdings Corp.*   310,983 
 48,010   Kamada, Ltd.*   401,364 
 33,200   Lantheus Holdings, Inc.*   420,644 
 7,050   National HealthCare Corp.   439,286 
 11,475   PetIQ, Inc.*   377,757 
 6,030   Semler Scientific, Inc.*   321,942 
 19,495   Vanda Pharmaceuticals, Inc.*   188,322 
         3,057,102 
           
     Industrials-20.61%     
 102,175   ACCO Brands Corp.   592,615 
 13,035   ArcBest Corp.   404,867 
 27,900   CAI International, Inc.   768,087 
 24,726   Patrick Industries, Inc.   1,422,240 
 21,680   Vectrus, Inc.*   823,840 
         4,011,649 
           
     Information Technology-15.88%     
 6,240   Insight Enterprises, Inc.*   353,059 
 28,615   Nova Measuring Instruments, Ltd.*   1,491,986 

 

 

 

Shares   Value 
    Information Technology (continued)    
 30,368   PC Connection, Inc.  $1,246,910 
         3,091,955 
           
     Materials-1.78%     
 18,045   Schnitzer Steel Industries, Inc., Class A   347,005 
         347,005 
           
 TOTAL COMMON STOCKS     
 (Cost $16,108,981)       18,482,863 

 

Shares  Value 
SHORT TERM INVESTMENTS-5.02%
   Mutual Fund-5.02%     
977,667  First American Treasury Obligations Fund, Class X, 7-Day Yield 0.060%   977,667 
         
TOTAL SHORT TERM INVESTMENTS     
(Cost $977,667)      977,667 
         
TOTAL INVESTMENT SECURITIES-99.98%     
(Cost $17,086,648)      19,460,530 
OTHER ASSETS IN EXCESS OF LIABILITIES-0.02%   4,572 
NET ASSETS-100.00%  $19,465,102 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

 

*Non-income producing security.

 

See Notes to Quarterly Schedule of Investments.

 

 

 

JAMES AGGRESSIVE ALLOCATION FUND

SCHEDULE OF INVESTMENTS

 

September 30, 2020 (Unaudited)

  

Shares or Principal Amount  Value 
COMMON STOCKS-64.69% 
     Communication Services-6.35%     
 200   Alphabet, Inc., Class A*  $293,120 
 6,160   Comcast Corp., Class A   284,962 
 2,500   Communication Services Select Sector SPDR® Fund   148,500 
 800   Facebook, Inc., Class A*   209,520 
 455   NetEase, Inc., ADR   206,875 
 3,875   Verizon Communications, Inc.   230,524 
         1,373,501 
           
     Consumer Discretionary-9.20%     
 1,480   Alibaba Group Holding, Ltd., Sponsored ADR*   435,090 
 40   Amazon.com, Inc.*   125,949 
 4,000   Best Buy Co., Inc.   445,160 
 90   Chipotle Mexican Grill, Inc.*   111,934 
 1,100   Helen of Troy, Ltd.*   212,872 
 1,450   Home Depot, Inc.   402,679 
 575   McDonald's Corp.   126,207 
 885   Tractor Supply Co.   126,856 
         1,986,747 
           
     Consumer Staples-4.46%     
 9,300   Kroger Co.   315,363 
 1,690   Procter & Gamble Co.   234,893 
 2,950   Walmart, Inc.   412,734 
         962,990 
           
     Energy-1.70%     
 2,350   Chevron Corp.   169,200 
 5,550   EOG Resources, Inc.   199,467 
         368,667 
           
     Exchange Traded Funds-2.49%     
 16,125   iShares® Gold Trust*   290,089 
 5,600   iShares® MSCI Emerging Markets ETF   246,904 
         536,993 
           
     Financials-4.86%     
 365   BlackRock, Inc.   205,696 
 300   FactSet Research Systems, Inc.   100,464 
 1,150   Goldman Sachs Group, Inc.   231,115 
 2,000   JPMorgan Chase & Co.   192,540 
 1,250   LPL Financial Holdings, Inc.   95,837 
 2,355   Progressive Corp.   222,948 
         1,048,600 
           
     Health Care-9.96%     
 1,500   Abbott Laboratories   163,245 
 1,575   Amgen, Inc.   400,302 
 775   Anthem, Inc.   208,157 
 6,000   ARK Genomic Revolution ETF*   382,260 
 1,295   Johnson & Johnson   192,800 
 3,125   Medtronic PLC   324,750 
 3,220   Pfizer, Inc.   118,174 
 175   Regeneron Pharmaceuticals, Inc.*   97,961 

 

 

 

Shares or Principal Amount  Value 
    Health Care (continued)    
 1,595   Zoetis, Inc.  $263,765 
         2,151,414 
           
     Industrials-5.66%     
 3,475   AGCO Corp.   258,088 
 785   Caterpillar, Inc.   117,083 
 1,240   FedEx Corp.   311,885 
 575   Lockheed Martin Corp.   220,386 
 320   Northrop Grumman Corp.   100,957 
 1,220   United Rentals, Inc.*   212,890 
         1,221,289 
           
     Information Technology-16.87%     
 720   Adobe, Inc.*   353,110 
 6,000   Apple, Inc.   694,860 
 667   ASML Holding NV   246,303 
 4,535   Cisco Systems, Inc.   178,634 
 1,035   KLA Corp.   200,521 
 715   Lam Research Corp.   237,201 
 3,650   Logitech International SA   282,182 
 820   Mastercard, Inc., Class A   277,299 
 2,525   Microsoft Corp.   531,083 
 600   NVIDIA Corp.   324,732 
 1,600   PayPal Holdings, Inc.*   315,248 
         3,641,173 
           
     Materials-1.31%     
 4,475   Newmont Mining Corp.   283,939 
         283,939 
           
     Real Estate-0.95%     
 4,350   CBRE Group, Inc., Class A*   204,319 
         204,319 
           
     Utilities-0.88%     
 6,155   NRG Energy, Inc.   189,205 
         189,205 
           
 TOTAL COMMON STOCKS     
 (Cost $12,347,927)       13,968,837 

 

Shares or Principal Amount  Value 
CORPORATE BONDS-11.23% 
     Consumer, Cyclical-2.45%     
$500,000   Starbucks Corp., 2.550%, 11/15/30   528,796 
           
     Consumer, Non-cyclical-2.28%     
 250,000   AstraZeneca PLC, 0.700%, 4/8/26   245,140 
 250,000   Automatic Data Processing, Inc., 1.250%, 9/1/30   246,275 
         491,415 
     Exchange Traded Funds-4.53%     
 6,000   iShares® Convertible Bond ETF   484,500 
 7,170   SPDR® Bloomberg Barclays Convertible Securities ETF   493,941 
         978,441 
     Financial-1.73%     
$250,000   Citigroup, Inc., 3.875%, 3/26/25   275,026 
 100,000   Wells Fargo & Co., 2.000%, 5/15/25   100,263 
         375,289 

 

 

 

Shares or Principal Amount  Value 
   Industrial-0.24%     
$50,000  General Electric Co., 2.700%, 10/9/22  $51,769 
         
TOTAL CORPORATE BONDS     
(Cost $2,303,510)      2,425,710 

 

Shares or Principal Amount  Value 
 U.S. TREASURY BONDS & NOTES-17.88%     
     Federal Farm Credit Banks Funding Corp.-2.32%     
$500,000   0.670%, 8/4/25   500,669 
           
     U.S. Treasury Bonds-11.39%     
 700,000   2.625%, 11/15/20   702,151 
 1,200,000   2.625%, 2/15/29   1,401,375 
 300,000   2.250%, 8/15/49   356,754 
         2,460,280 
     U.S. Treasury Notes-2.41%     
 500,000   1.125%, 2/28/25   519,473 
           
     United States Treasury Inflation Indexed Bonds-1.76%     
 373,558   0.625%, 7/15/21   379,118 
           
 TOTAL U.S. TREASURY BONDS & NOTES     
 (Cost $3,649,725)       3,859,540 

 

Shares or Principal Amount  Value 
SHORT TERM INVESTMENTS-6.16%     
   Mutual Fund-6.16%     
1,329,801  First American Treasury Obligations Fund, Class X, 7-Day Yield 0.060%   1,329,801 
         
TOTAL SHORT TERM INVESTMENTS     
(Cost $1,329,801)      1,329,801 
         
TOTAL INVESTMENT SECURITIES-99.96%     
(Cost $19,630,963)      21,583,888 
OTHER ASSETS IN EXCESS OF LIABILITIES-0.04%   8,693 
NET ASSETS-100.00%  $21,592,581 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

  

*Non-income producing security.

  

See Notes to Quarterly Schedule of Investments.

 

 

 

 

James Advantage Funds Notes to Quarterly Schedule of Investments

 
  September 30, 2020 (Unaudited)

 

1. ORGANIZATION

 

 

James Advantage Funds (the “Trust”) is an open-end management investment company that was organized as an Ohio business trust on August 29, 1997. The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”). James Balanced: Golden Rainbow Fund, James Small Cap Fund, James Micro Cap Fund and James Aggressive Allocation Fund are each a diversified series of the Trust (individually a “Fund,” collectively the “Funds”). Each class of James Balanced: Golden Rainbow Fund represents an interest in the same portfolio of investments and has the same rights, but differs primarily in distribution fees and shareholder features. The Retail Class shares are subject to distribution (12b-1) fees but have a lower minimum investment requirement and offer certain shareholder services not available to Institutional Class shareholders. The Institutional Class shares are not subject to distribution (12b-1) fees and are available only through investment advisers and bank trust departments that have made arrangements for shares of all of their clients investing in the Fund to be held in an omnibus account (as well as other investors that are approved by management of the Trust).

 

James Balanced: Golden Rainbow Fund seeks to provide total return through a combination of growth and income and preservation of capital in declining markets. The James Balanced: Golden Rainbow Fund seeks to achieve its objective by investing primarily in common stocks and/or debt securities that the Fund’s adviser, James Investment Research, Inc. (“James” or the “Adviser”), believes are undervalued.

 

James Small Cap Fund seeks to provide long-term capital appreciation. The James Small Cap Fund seeks to achieve its objective by investing primarily in common stocks of small capitalization companies. The Adviser defines small capitalization as those companies with market capitalizations at the time of purchase no larger than the stocks in the James Small Cap Fund’s benchmark, the Russell 2000® Index.

 

James Micro Cap Fund seeks to provide long-term capital appreciation. The James Micro Cap Fund seeks to achieve its objective by investing primarily in common stocks of micro capitalization companies. Micro capitalization companies are defined as those companies with market capitalizations at the time of purchase no larger than the stocks in the Russell Microcap® Index, including exchange traded funds (“ETFs”) that invest primarily in such securities.

 

James Aggressive Allocation Fund seeks to provide total return through a combination of growth and income. Preservation of capital in declining markets is a secondary objective. The James Aggressive Allocation Fund will generally run equity allocations of 60% or higher and, therefore, could be more volatile than a more conservative fund that holds a smaller percentage of its assets in stocks. Due to its aggressive nature, the James Aggressive Allocation Fund will generally have a turnover ratio much higher than the James Balanced: Golden Rainbow Fund.

 

2. SIGNIFICANT ACCOUNTING POLICIES

 

 

The following is a summary of significant accounting policies followed by the Funds in preparation of their financial statements, in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The Funds are considered an investment company for financial reporting purposes under U.S. GAAP.

 

Share Valuation

The net asset value per share of each Fund, other than the James Balanced: Golden Rainbow Fund, is calculated daily by dividing the total value of the Fund’s assets, less liabilities, by the number of shares outstanding. The net asset value per share of each class of shares of the James Balanced: Golden Rainbow Fund is calculated daily by dividing the total value of the Fund’s assets attributable to that class, less liabilities attributable to that class, by the number of outstanding shares of that class. The offering price and redemption price per share is equal to the net asset value per share, except that shares of the James Micro Cap Fund are subject to a redemption fee of 2% if redeemed within 180 days of purchase.

 

Securities Valuation

Securities are valued at fair value. The Funds' portfolio securities, including short positions, are valued as of the close of the New York Stock Exchange (“NYSE”) (generally, 4:00 p.m., Eastern Time) on each day that the NYSE is open for business. Equity securities that are traded on any exchange, including closed-end funds and exchange-traded funds, are valued at the last quoted sale price on the exchange or market in which such securities are principally traded. Lacking a last sale price, a security is valued at its last bid price except when, in James’ opinion, the last bid price does not accurately reflect the current value of the security. Securities that are traded on the NASDAQ® over-the-counter market are valued at their NASDAQ® Official Closing Price (“NOCP”) for all NASDAQ® National Market (“NNM”) and NASDAQ® Capital Market® securities. When market quotations are not readily available, if an event occurs after the close of the trading market (but before the time as of which a Fund calculates its net asset value) that materially affects a security’s value, when James determines that the market quotation does not accurately reflect the current value or when a non-144A restricted security is being valued, that security will be valued at its fair value as determined in good faith in conformity with guidelines adopted by and subject to review of the Board of Trustees (the “Board”). Corporate bonds, U.S. government agencies, U.S. Treasury bonds and notes, foreign, and municipal bonds are generally valued at the mean between the closing bid and asked prices provided by an independent pricing service. The pricing services generally use market models that consider trade data, yields, spreads, quotations from dealers and active market makers, credit worthiness, market information of comparable securities, and other relevant security specific information. Asset backed/commercial mortgage backed securities are generally valued at the mean between the closing bid and asked prices provided by an independent pricing service. The pricing service generally uses models that consider trade data, prepayment, and default projections, benchmark yield and spread data and estimated cash flows of each tranche of the issuer. If the Adviser decides that a price provided by the pricing service does not accurately reflect the fair market value of the securities or when prices are not readily available from a pricing service, those securities will be priced at fair value as determined in good faith by the Adviser. Shares of open-end investment companies are valued at net asset value.

 

 

 

 

Notes to Quarterly Schedule of Investments

James Advantage Funds
September 30, 2020 (Unaudited)

 

 

For valuation purposes, quotations of foreign securities in a foreign currency are converted to U.S. dollar equivalents at the time of pricing the Funds. The values of foreign portfolio securities are generally based upon market quotations which, depending upon the exchange or market, may be last sale price, last bid price or the average of the last bid and asked prices as of, in each case, the close of the appropriate exchange or another designated time.

 

In accordance with the Trust’s good faith pricing guidelines, James is required to consider all appropriate factors relevant to the value of securities for which it has determined other pricing sources are not available or reliable as described above. There is no single standard for determining fair value, since fair value depends upon the circumstances of each individual case. As a general principle, the current fair value of an issue of securities being valued by the Adviser would appear to be the amount that the owner might reasonably expect to receive for them upon their current sale. Methods which are in accordance with this principle may, for example, be based on (i) a multiple of earnings, (ii) a discount from market of a similar freely traded security (including a derivative security or a basket of securities traded on other markets, exchanges or among dealers), or (iii) yield to maturity with respect to debt issues, or a combination of these and other methods.

 

Various inputs are used in determining the value of the Funds’ investments. These inputs are summarized in the three broad levels listed below:

 

Level 1 - Unadjusted quoted prices in active markets for identical, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;
Level 2 - Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; or
Level 3 - Significant unobservable prices or inputs (including a Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

 

The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

 

 

James Advantage Funds

Notes to Quarterly Schedule of Investments
 

September 30, 2020 (Unaudited)

  

The following is a summary of the inputs used to value the Funds’ investments as of September 30, 2020:

 

James Balanced: Golden Rainbow Fund

   Valuation Inputs     
Investments in Securities at Value*  Level 1   Level 2   Level 3   Total 
Common Stocks  $302,208,276   $   $   $302,208,276 
Corporate Bonds       82,921,259        82,921,259 
Municipal Bonds       19,096,583        19,096,583 
U.S. Government Agencies       40,551,099        40,551,099 
Mortgage Backed Securities       26,124,226        26,124,226 
U.S. Treasury Bonds & Notes   161,976,767    4,000,642        165,977,409 
Foreign Bonds       7,423,958        7,423,958 
Short Term Investments   23,391,880            23,391,880 
Total  $487,576,923   $180,117,767   $   $667,694,690 

 

James Small Cap Fund

   Valuation Inputs     
Investments in Securities at Value*  Level 1   Level 2   Level 3   Total 
Common Stocks  $27,993,850   $   $   $27,993,850 
Short Term Investments   194,047            194,047 
Total  $28,187,897   $   $   $28,187,897 

  

James Micro Cap Fund

 

   Valuation Inputs     
Investments in Securities at Value*  Level 1   Level 2   Level 3   Total 
Common Stocks  $18,482,863   $   $   $18,482,863 
Short Term Investments   977,667            977,667 
Total  $19,460,530   $   $   $19,460,530 

 

James Aggressive Allocation Fund

 

   Valuation Inputs     
Investments in Securities at Value*  Level 1   Level 2   Level 3   Total 
Common Stocks  $13,968,837   $   $   $13,968,837 
Corporate Bonds       2,425,710        2,425,710 
U.S. Treasury Bonds & Notes   3,358,871    500,669        3,859,540 
Short Term Investments   1,329,801            1,329,801 
Total  $18,657,509   $2,926,379   $   $21,583,888 

  

*For detailed descriptions of sector and industry, see the accompanying Schedule of Investments.

 

 

 

 

 

Notes to Quarterly Schedule of Investments James Advantage Funds

September 30, 2020 (Unaudited)

 

Investment Transactions

Investment transactions are recorded on a trade date basis. Gains and losses are determined using the specific identification method, which liquidates all losses first, before any gains. Securities purchased or sold on a when-issued or delayed delivery basis may have extended settlement periods. Any securities so purchased are subject to market fluctuation during this period. The Funds will instruct its custodian to segregate assets in a separate account with a current value at least equal to the amount of its when-issued and delayed delivery purchase commitments. As of September 30, 2020, the Funds did not hold when-issued securities or delayed delivery purchase commitments.

 

Withholding taxes on foreign dividends have been provided for in accordance with the Trust’s understanding of the applicable country’s tax rules and rates.

 

Foreign Currency Translation

The market value of investment securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars at the current exchange rate, provided by WM Reuters, at the close of each business day. Purchases and sales of securities, income receipts and expense payments are translated into U.S. dollars based at the exchange rate on the date of the transaction.

 

Reported net realized foreign exchange gains or losses arise from sales and maturities of short-term securities, sales of foreign currencies, currency gains or losses realized and between the trade and settlement dates on securities transactions, and the difference between the amounts of dividends, interest, and foreign withholding taxes recorded on the Funds’ books and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign exchange gains and losses arise from the changes in the value of assets and liabilities including investments in securities at the reporting period, resulting from changes in the exchange rate. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

 

Exchange Traded Funds (ETFs)

Each Fund may invest in shares of ETFs. The ETFs in which a Fund invests will not be able to replicate exactly the performance of the indices they track because the total return generated by the securities will be reduced by transaction costs incurred in adjusting the actual balance of the securities. In addition, the ETFs and other investment companies in which a Fund invests will incur expenses not incurred by their applicable indices. Certain securities comprising the indices tracked by the ETFs may, from time to time, temporarily be unavailable, which may further impede the ability of the ETFs to track their applicable indices. The market value of the ETF shares may differ from their net asset value. This difference in price may be due to the fact that the supply and demand in the market for ETF shares at any point in time is not always identical to the supply and demand in the market for the underlying basket of securities. Accordingly, there may be times when an ETF’s shares trade at a discount to its net asset value.

 

3. LINE OF CREDIT

 

Each Fund has a revolving line of credit agreement with U.S. Bank, N.A. (the “Bank”). Borrowings under these arrangements are secured by investments held in the Funds’ portfolios as notated on the Schedules of Investments and bear interest at the Bank’s prime rate. For the nine months ended September 30, 2020, only the James Balanced: Golden Rainbow Fund utilized their line of credit. The average amount of borrowings was $180,000 over 1 day with a weighted-average interest rate of 3.25% for the James Balanced: Golden Rainbow Fund. Interest on funded and unfunded loans was $16 for the James Balanced: Golden Rainbow Fund for the three month period ended September 30, 2020. Each Fund’s line of credit agreement expired on July 8, 2020 and was renewed for one year. The terms of the agreements can be characterized as follows:

 

Fund  Maximum Balance Available   Interest Rate  Expiration Date
James Balanced: Golden Rainbow Fund  $35,000,000   Prime Rate*  July 7, 2021
James Small Cap Fund  $1,250,000   Prime Rate*  July 7, 2021
James Micro Cap Fund  $750,000   Prime Rate*  July 7, 2021
James Aggressive Allocation Fund  $500,000   Prime Rate*  July 7, 2021

 

*The rate at which the Bank announces its prime lending rate.