0001193125-16-700793.txt : 20160902 0001193125-16-700793.hdr.sgml : 20160902 20160902151552 ACCESSION NUMBER: 0001193125-16-700793 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 19 CONFORMED PERIOD OF REPORT: 20160630 FILED AS OF DATE: 20160902 DATE AS OF CHANGE: 20160902 EFFECTIVENESS DATE: 20160902 FILER: COMPANY DATA: COMPANY CONFORMED NAME: KP Funds CENTRAL INDEX KEY: 0001573386 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-22838 FILM NUMBER: 161868449 BUSINESS ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 BUSINESS PHONE: (800) 342-5734 MAIL ADDRESS: STREET 1: ONE FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456 0001573386 S000041501 KP LARGE CAP EQUITY FUND C000128993 INSTITUTIONAL SHARES 0001573386 S000041502 KP RETIREMENT PATH 2040 FUND C000128994 INSTITUTIONAL SHARES 0001573386 S000041503 KP RETIREMENT PATH 2045 FUND C000128995 INSTITUTIONAL SHARES 0001573386 S000041504 KP RETIREMENT PATH 2050 FUND C000128996 INSTITUTIONAL SHARES 0001573386 S000041505 KP RETIREMENT PATH 2055 FUND C000128997 INSTITUTIONAL SHARES 0001573386 S000041506 KP RETIREMENT PATH 2060 FUND C000128998 INSTITUTIONAL SHARES 0001573386 S000041507 KP SMALL CAP EQUITY FUND C000128999 INSTITUTIONAL SHARES 0001573386 S000041508 KP INTERNATIONAL EQUITY FUND C000129000 INSTITUTIONAL SHARES 0001573386 S000041509 KP FIXED INCOME FUND C000129001 INSTITUTIONAL SHARES 0001573386 S000041510 KP RETIREMENT PATH 2015 FUND C000129002 INSTITUTIONAL SHARES 0001573386 S000041511 KP RETIREMENT PATH 2020 FUND C000129003 INSTITUTIONAL SHARES 0001573386 S000041512 KP RETIREMENT PATH 2025 FUND C000129004 INSTITUTIONAL SHARES 0001573386 S000041513 KP RETIREMENT PATH 2030 FUND C000129005 INSTITUTIONAL SHARES 0001573386 S000041514 KP RETIREMENT PATH 2035 FUND C000129006 INSTITUTIONAL SHARES N-CSRS 1 d220636dncsrs.htm KP FUNDS KP Funds

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-CSRS

 

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-22838

 

 

The KP Funds

(Exact name of registrant as specified in charter)

 

 

CT Corporation

101 Federal Street

Boston, MA 02110

(Address of principal executive offices) (Zip code)

 

 

SEI Investments

One Freedom Valley Drive

Oaks, PA 19456

(Name and address of agent for service)

 

 

Registrant’s telephone number, including area code: 1-800-342-5734

Date of fiscal year end: December 31, 2016

Date of reporting period: June 30, 2016

 

 

 


Item 1. Reports to Stockholders.


 

The KP Funds   LOGO  

 

LOGO

 

KP Retirement Path 2015 Fund: KPRAX

KP Retirement Path 2020 Fund: KPRBX

KP Retirement Path 2025 Fund: KPRCX

KP Retirement Path 2030 Fund: KPRDX

KP Retirement Path 2035 Fund: KPREX

KP Retirement Path 2040 Fund: KPRFX

KP Retirement Path 2045 Fund: KPRGX

KP Retirement Path 2050 Fund: KPRHX

KP Retirement Path 2055 Fund: KPRIX

KP Retirement Path 2060 Fund: KPRJX

KP Large Cap Equity Fund: KPLCX

KP Small Cap Equity Fund: KPSCX

KP International Equity Fund: KPIEX

KP Fixed Income Fund: KPFIX

 

 

Semi-Annual Report

June 30, 2016

 


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

 

TABLE OF CONTENTS  

Schedules of Investments

    1   

Statements of Assets and Liabilities

    93   

Statements of Operations

    97   

Statements of Changes in Net Assets

    101   

Financial Highlights

    108   

Notes to Financial Statements

    110   

Disclosure of Fund Expenses

    121   

Approval of Sub-Advisory Agreement

    123   

Renewal of Investment Advisory and Sub-Advisory Agreements

    125   

 

The Funds file their complete schedules of investments with the Securities and Exchange Commission (the “Commission”) for the first and third quarters of each fiscal year on Form N-Q within sixty days after period end. The Funds’ Forms N-Q are available on the Commission’s website at http://www.sec.gov, and may be reviewed and copied at the Commission’s Public Reference Room in Washington, D.C. Information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330.

A description of the policies and procedures that the Funds use to determine how to vote proxies relating to portfolio securities, as well as information relating to how the Funds voted proxies relating to portfolio securities during the most recent 12-month period ended June 30, is available (i) without charge, upon request, by calling 855-457-3637 (855-4KPFNDS); and (ii) on the Commission’s website at http://www.sec.gov.


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2015 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 59.6%

  

KP Fixed Income Fund

     16,498,155         $ 170,261   

KP International Equity Fund

     3,167,977           27,625   

KP Large Cap Equity Fund

     7,464,712           79,798   

KP Small Cap Equity Fund

     1,423,910           13,840   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $283,680) (000)

          291,524   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 40.4%

  

DFA Commodity Strategy Portfolio

     910,360           5,562   

DFA International Real Estate Securities Portfolio

     897,824           4,929   

Lazard Global Listed Infrastructure Portfolio

     350,828           4,824   
Description    Shares            
Value (000)
 

T Rowe Price Institutional Floating Rate Fund

     496,722         $ 4,913   

T Rowe Price New Era Fund

     165,720           5,298   

Vanguard Inflation-Protected Securities Fund

     1,404,664           15,353   

Vanguard REIT Index Fund

     555,129           10,797   

Vanguard Short-Term Bond Index Fund

     7,587,917           80,584   

Vanguard Short-Term Inflation-Protected Securities Index Fund

     2,630,342           65,311   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $194,088) (000)

          197,571   
       

 

 

 

Total Investments — 100.0%
(Cost $477,768) (000)

        $ 489,095   
       

 

 

 

Percentages are based on Net Assets of $489,070 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 169,178       $ 16,232       $ (24,128    $ 8,680       $ 299       $ 170,261       $   
KP International Equity Fund      28,750         1,499         (2,227      (150      (247      27,625           
KP Large Cap Equity Fund      80,962         4,302         (6,393      548         379         79,798           
KP Small Cap Equity Fund      13,967         740         (1,098      296         (65      13,840           

 

The accompanying notes are an integral part of the financial statements.

 

1


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2020 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 68.1%

  

KP Fixed Income Fund

     23,722,353         $ 244,815   

KP International Equity Fund

     8,970,904           78,226   

KP Large Cap Equity Fund

     13,733,323           146,809   

KP Small Cap Equity Fund

     4,390,065           42,671   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $501,629) (000)

          512,521   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 31.9%

  

DFA Commodity Strategy Portfolio

     1,441,852           8,810   

DFA International Real Estate Securities Portfolio

     1,425,844           7,828   

Lazard Global Listed Infrastructure Portfolio

     557,843           7,670   
Description    Shares            
Value (000)
 

T Rowe Price Institutional Floating Rate Fund

     789,645         $ 7,810   

T Rowe Price New Era Fund

     262,571           8,394   

Vanguard Inflation-Protected Securities Fund

     2,112,707           23,092   

Vanguard REIT Index Fund

     835,277           16,246   

Vanguard Short-Term Bond Index Fund

     8,280,148           87,936   

Vanguard Short-Term Inflation-Protected Securities Index Fund

     2,921,466           72,540   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $236,034) (000)

          240,326   
       

 

 

 

Total Investments — 100.0%
(Cost $737,663) (000)

        $ 752,847   
       

 

 

 

Percentages are based on Net Assets of $752,817 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 221,728       $ 27,266       $ (16,537    $ 12,163       $ 195       $ 244,815       $   
KP International Equity Fund      77,118         5,387         (3,262      (663      (354      78,226           
KP Large Cap Equity Fund      140,979         10,022         (6,072      1,555         325         146,809           
KP Small Cap Equity Fund      40,717         2,928         (1,772      916         (118      42,671           

 

The accompanying notes are an integral part of the financial statements.

 

2


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2025 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 76.1%

  

KP Fixed Income Fund

     20,161,110         $ 208,062   

KP International Equity Fund

     15,232,021           132,823   

KP Large Cap Equity Fund

     17,335,255           185,314   

KP Small Cap Equity Fund

     7,024,049           68,274   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $587,505) (000)

          594,473   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 23.9%

  

DFA Commodity Strategy Portfolio

     1,515,939           9,262   

DFA International Real Estate Securities Portfolio

     1,503,074           8,252   

Lazard Global Listed Infrastructure Portfolio

     588,352           8,090   
    
Description
   Shares        Value (000)  

T Rowe Price Institutional Floating Rate Fund

     832,335         $ 8,232   

T Rowe Price New Era Fund

     276,366           8,835   

Vanguard Inflation-Protected Securities Fund

     2,165,780           23,672   

Vanguard REIT Index Fund

     856,407           16,657   

Vanguard Short-Term Bond Index Fund

     5,573,894           59,195   

Vanguard Short-Term Inflation-Protected Securities Index Fund

     1,779,476           44,185   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $183,156) (000)

          186,380   
       

 

 

 

Total Investments — 100.0%
(Cost $770,661) (000)

        $ 780,853   
       

 

 

 

Percentages are based on Net Assets of $780,830 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 181,849       $ 23,971       $ (8,040    $ 10,202       $ 80       $ 208,062       $   
KP International Equity Fund      127,484         10,464         (3,512      (1,244      (369      132,823           
KP Large Cap Equity Fund      173,397         14,189         (4,761      2,249         240         185,314           
KP Small Cap Equity Fund      63,440         5,254         (1,762      1,466         (124      68,274           

 

The accompanying notes are an integral part of the financial statements.

 

3


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2030 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 84.7%

  

KP Fixed Income Fund

     13,680,654         $ 141,184   

KP International Equity Fund

     20,123,647           175,478   

KP Large Cap Equity Fund

     18,178,334           194,327   

KP Small Cap Equity Fund

     8,465,027           82,280   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $591,887) (000)

          593,269   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 15.3%

  

DFA Commodity Strategy Portfolio

     1,360,487           8,312   

DFA International Real Estate Securities Portfolio

     1,349,282           7,408   

Lazard Global Listed Infrastructure Portfolio

     528,287           7,264   
    
Description
   Shares        Value (000)  

T Rowe Price Institutional Floating Rate Fund

     747,377         $ 7,392   

T Rowe Price New Era Fund

     248,099           7,932   

Vanguard Inflation-Protected Securities Fund

     1,931,209           21,108   

Vanguard REIT Index Fund

     763,795           14,855   

Vanguard Short-Term Bond Index Fund

     1,840,949           19,551   

Vanguard Short-Term Inflation-Protected Securities Index Fund

     526,086           13,063   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $105,218) (000)

          106,885   
       

 

 

 

Total Investments — 100.0%
(Cost $697,105) (000)

        $ 700,154   
       

 

 

 

Percentages are based on Net Assets of $700,140 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 123,062       $ 14,658       $ (3,511    $ 6,933       $ 42       $ 141,184       $   
KP International Equity Fund      166,221         14,823         (3,535      (1,706      (325      175,478           
KP Large Cap Equity Fund      179,313         16,164         (3,857      2,490         217         194,327           
KP Small Cap Equity Fund      75,370         6,871         (1,639      1,776         (98      82,280           

 

The accompanying notes are an integral part of the financial statements.

 

4


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2035 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 90.5%

  

KP Fixed Income Fund

     11,626,827         $ 119,989   

KP International Equity Fund

     25,171,421           219,495   

KP Large Cap Equity Fund

     22,487,996           240,397   

KP Small Cap Equity Fund

     10,661,909           103,634   
       

 

 

 

Total Affiliated Registered
Investment Companies
(Cost $684,298) (000)

          683,515   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 9.5%

  

DFA Commodity Strategy Portfolio

     1,189,722           7,269   

DFA International Real Estate Securities Portfolio

     1,180,396           6,480   

Lazard Global Listed Infrastructure Portfolio

     462,185           6,355   
    
Description
   Shares        Value (000)  

T Rowe Price Institutional Floating Rate Fund

     653,760         $ 6,465   

T Rowe Price New Era Fund

     216,934           6,935   

Vanguard Inflation-Protected Securities Fund

     1,681,863           18,383   

Vanguard REIT Index Fund

     665,240           12,939   

Vanguard Short-Term Bond Index Fund

     642,551           6,824   
       

 

 

 

Total Unaffiliated Registered
Investment Companies
(Cost $70,470) (000)

          71,650   
       

 

 

 

Total Investments — 100.0%
(Cost $754,768) (000)

        $ 755,165   
       

 

 

 

Percentages are based on Net Assets of $755,153 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016 , there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 105,958       $ 11,461       $ (3,389    $ 5,927       $ 32       $ 119,989       $   
KP International Equity Fund      207,592         20,512         (6,066      (1,907      (636      219,495           
KP Large Cap Equity Fund      221,641         21,893         (6,475      3,003         335         240,397           
KP Small Cap Equity Fund      94,783         9,565         (2,829      2,306         (191      103,634           

 

The accompanying notes are an integral part of the financial statements.

 

5


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2040 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 93.5%

  

KP Fixed Income Fund

     7,558,462         $ 78,003   

KP International Equity Fund

     24,822,536           216,453   

KP Large Cap Equity Fund

     21,990,300           235,076   

KP Small Cap Equity Fund

     10,219,510           99,334   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $632,177) (000)

          628,866   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 6.5%

  

DFA Commodity Strategy Portfolio

     800,794           4,893   

DFA International Real Estate Securities Portfolio

     795,300           4,366   

Lazard Global Listed Infrastructure Portfolio

     311,316           4,280   
    
Description
   Shares        Value (000)  

T Rowe Price Institutional Floating Rate Fund

     440,337         $ 4,354   

T Rowe Price New Era Fund

     146,069           4,670   

Vanguard Inflation-Protected Securities Fund

     1,124,766           12,294   

Vanguard REIT Index Fund

     444,799           8,652   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $42,761) (000)

          43,509   
       

 

 

 

Total Investments — 100.0%
(Cost $674,938) (000)

        $ 672,375   
       

 

 

 

Percentages are based on Net Assets of $672,365 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 68,440       $ 7,769       $ (2,071    $ 3,841       $ 24       $ 78,003       $   
KP International Equity Fund      202,440         22,387         (5,958      (1,817      (599      216,453           
KP Large Cap Equity Fund      214,291         23,753         (6,321      2,995         358         235,076           
KP Small Cap Equity Fund      89,769         10,195         (2,712      2,247         (165      99,334           

 

The accompanying notes are an integral part of the financial statements.

 

6


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2045 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 94.6%

  

KP Fixed Income Fund

     3,796,445         $ 39,179   

KP International Equity Fund

     18,182,051           158,547   

KP Large Cap Equity Fund

     16,024,805           171,305   

KP Small Cap Equity Fund

     7,055,626           68,581   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $441,798) (000)

          437,612   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 5.4%

  

DFA Commodity Strategy Portfolio

     463,145           2,830   

DFA International Real Estate Securities Portfolio

     460,212           2,527   

Lazard Global Listed Infrastructure Portfolio

     180,320           2,479   
    
Description
   Shares        Value (000)  

T Rowe Price Institutional Floating Rate Fund

     255,013         $ 2,522   

T Rowe Price New Era Fund

     84,498           2,701   

Vanguard Inflation-Protected Securities Fund

     639,045           6,985   

Vanguard REIT Index Fund

     252,791           4,917   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $24,531) (000)

          24,961   
       

 

 

 

Total Investments — 100.0%
(Cost $466,329) (000)

        $ 462,573   
       

 

 

 

Percentages are based on Net Assets of $462,566 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 33,738       $ 4,711       $ (1,194    $ 1,911       $ 13       $ 39,179       $   
KP International Equity Fund      145,354         19,962         (5,060      (1,080      (629      158,547           
KP Large Cap Equity Fund      153,047         21,107         (5,350      2,207         294         171,305           
KP Small Cap Equity Fund      60,686         8,592         (2,177      1,622         (142      68,581           

 

The accompanying notes are an integral part of the financial statements.

 

7


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2050 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 94.6%

  

KP Fixed Income Fund

     1,696,225         $ 17,505   

KP International Equity Fund

     8,202,238           71,524   

KP Large Cap Equity Fund

     7,242,506           77,422   

KP Small Cap Equity Fund

     3,186,414           30,972   
       

 

 

 

Total Affiliated Registered
Investment Companies
(Cost $200,417) (000)

          197,423   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 5.4%

  

DFA Commodity Strategy Portfolio

     213,760           1,306   

DFA International Real Estate Securities Portfolio

     213,144           1,170   

Lazard Global Listed Infrastructure Portfolio

     83,625           1,150   
    
Description
   Shares        Value (000)  

T Rowe Price Institutional Floating Rate Fund

     118,183         $ 1,169   

T Rowe Price New Era Fund

     39,036           1,248   

Vanguard Inflation-Protected Securities Fund

     280,621           3,067   

Vanguard REIT Index Fund

     111,088           2,160   
       

 

 

 

Total Unaffiliated Registered
Investment Companies
(Cost $10,979) (000)

          11,270   
       

 

 

 

Total Investments — 100.0%
(Cost $211,396) (000)

        $ 208,693   
       

 

 

 

Percentages are based on Net Assets of $208,690 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016 , there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 14,013       $ 3,203       $ (544    $ 827       $ 6       $ 17,505       $   
KP International Equity Fund      60,493         14,014         (2,381      (358      (244      71,524           
KP Large Cap Equity Fund      63,855         14,814         (2,518      1,124         147         77,422           
KP Small Cap Equity Fund      25,226         6,006         (1,020      819         (59      30,972           

 

The accompanying notes are an integral part of the financial statements.

 

8


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2055 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 94.6%

  

KP Fixed Income Fund

     312,159         $   3,221   

KP International Equity Fund

     1,517,796           13,235   

KP Large Cap Equity Fund

     1,340,942           14,335   

KP Small Cap Equity Fund

     591,216           5,747   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $37,240) (000)

          36,538   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 5.4%

  

DFA Commodity Strategy Portfolio

     41,220           252   

DFA International Real Estate Securities Portfolio

     41,420           227   
    
Description
   Shares        Value (000)  

Lazard Global Listed Infrastructure Portfolio

     16,292         $      224   

T Rowe Price Institutional Floating Rate Fund

     22,982           227   

T Rowe Price New Era Fund

     7,548           241   

Vanguard Inflation-Protected Securities Fund

     48,368           529   

Vanguard REIT Index Fund

     19,166           373   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $1,975) (000)

          2,073   
       

 

 

 

Total Investments — 100.0%
(Cost $39,215) (000)

        $ 38,611   
       

 

 

 

Percentages are based on Net Assets of $38,611 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 2,212       $ 1,082       $ (217    $ 144       $       $ 3,221       $   
KP International Equity Fund      9,504         4,732         (945      116         (172      13,235           
KP Large Cap Equity Fund      10,050         5,003         (999      266         15         14,335           
KP Small Cap Equity Fund      3,953         2,028         (405      204         (33      5,747           

 

The accompanying notes are an integral part of the financial statements.

 

9


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Retirement Path 2060 Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

AFFILIATED REGISTERED INVESTMENT COMPANIES — 94.6%

  

KP Fixed Income Fund

     56,530         $    583   

KP International Equity Fund

     273,737           2,387   

KP Large Cap Equity Fund

     242,155           2,589   

KP Small Cap Equity Fund

     106,376           1,034   
       

 

 

 

Total Affiliated Registered Investment Companies
(Cost $6,575) (000)

          6,593   
       

 

 

 

UNAFFILIATED REGISTERED INVESTMENT COMPANIES — 5.4%

  

DFA Commodity Strategy Portfolio

     7,030           43   

DFA International Real Estate Securities Portfolio

     7,004           38   
    
Description
   Shares        Value (000)  

Lazard Global Listed Infrastructure Portfolio

     2,750         $      38   

T Rowe Price Institutional Floating Rate Fund

     3,886           38   

T Rowe Price New Era Fund

     1,284           41   

Vanguard Inflation-Protected Securities Fund

     9,534           104   

Vanguard REIT Index Fund

     3,776           74   
       

 

 

 

Total Unaffiliated Registered Investment Companies
(Cost $353) (000)

          376   
       

 

 

 

Total Investments — 100.0%
(Cost $6,928) (000)

        $ 6,969   
       

 

 

 

Percentages are based on Net Assets of $6,969 (000).

REIT — Real Estate Investment Trust

As of June 30, 2016, all of the Fund’s investments were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period. During the period ended June 30, 2016, there were no Level 3 investments.

For further financial information on individual registered investment companies, available upon request at no charge, please go to the Securities Exchange Commission’s website at http://www.sec.gov or the individual registered investment company’s website.

 

The following is a summary of the transactions with affiliates for the period ended June 30, 2016 (000):

 

      Value
12/31/2015
     Purchases
at Cost
     Proceeds
from Sales
     Change in
Unrealized
Appreciation
(Depreciation)
     Realized
Gain
(Loss)
     Value
6/30/2016
     Dividend
Income
 
KP Fixed Income Fund    $ 467       $ 228       $ (140    $ 29       $ (1    $ 583       $   
KP International Equity Fund      2,017         997         (612      91         (106      2,387           
KP Large Cap Equity Fund      2,133         1,054         (648      111         (61      2,589           
KP Small Cap Equity Fund      841         427         (262      75         (47      1,034           

 

The accompanying notes are an integral part of the financial statements.

 

10


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

COMMON STOCK — 97.3%

  

Consumer Discretionary — 14.1%

  

Aaron’s

     3,256         $ 71   

Advance Auto Parts

     5,802           938   

Amazon.com*

     44,701           31,989   

AutoNation*

     1,013           48   

AutoZone*

     432           343   

Bed Bath & Beyond

     2,474           107   

Best Buy

     35,226           1,078   

BorgWarner

     3,097           91   

Brinker International

     2,620           119   

Brunswick

     4,900           222   

CarMax*

     2,989           147   

Carnival

     52,654           2,327   

Carter’s

     4,926           524   

CBS, Cl B

     27,791           1,513   

Charter Communications, Cl A*

     1,603           366   

Chipotle Mexican Grill, Cl A*

     451           182   

Choice Hotels International

     2,644           126   

Coach

     3,989           162   

Comcast, Cl A

     176,137           11,482   

Darden Restaurants

     14,491           918   

Delphi Automotive PLC

     25,606           1,603   

Dick’s Sporting Goods

     5,336           240   

Dillard’s, Cl A

     5,859           355   

Discovery Communications, Cl A*

     6,486           158   

Dollar General

     46,714           4,391   

Dollar Tree*

     3,401           320   

DR Horton

     39,812           1,253   

DSW, Cl A

     15,231           323   

Expedia

     1,680           179   
    
Description
   Shares        Value (000)  

Ferrari

     31,060         $ 1,271   

Foot Locker

     7,781           427   

Ford Motor

     88,133           1,108   

Fossil Group*

     700           20   

GameStop, Cl A

     10,083           268   

Gannett

     26,672           368   

Gap

     3,562           76   

Garmin

     2,049           87   

General Motors

     49,760           1,408   

Genuine Parts

     8,874           898   

GNC Holdings, Cl A

     17,608           428   

Goodyear Tire & Rubber

     46,619           1,196   

GoPro, Cl A*

     27,522           298   

Groupon, Cl A*

     77,396           252   

H&R Block

     3,576           82   

Hanesbrands

     99,900           2,510   

Harley-Davidson

     27,555           1,248   

Harman International Industries

     1,103           79   

Hasbro

     10,264           862   

Hilton Worldwide Holdings

     233,568           5,262   

Home Depot

     56,213           7,178   

Hyatt Hotels, Cl A*

     5,416           266   

International Game Technology

     7,991           150   

Interpublic Group of Companies

     32,951           761   

John Wiley & Sons, Cl A

     8,939           466   

Johnson Controls

     62,143           2,750   

Kohl’s

     5,089           193   

L Brands

     8,067           542   

Las Vegas Sands

     14,618           636   

Lear

     8,952           911   

Leggett & Platt

     2,146           110   

Lennar, Cl A

     2,795           129   

Liberty Braves Group, Cl A*

     572           9   

Liberty Interactive QVC Group, Cl A*

     4,127           105   

Liberty Media Group, Cl A*

     1,431           27   

Liberty SiriusXM Group, Cl A*

     5,727           180   

Live Nation Entertainment*

     12,271           288   

LKQ*

     4,800           152   

Lowe’s

     114,345           9,053   

Macy’s

     27,322           918   

Marriott International, Cl A

     2,692           179   

Mattel

     4,890           153   

McDonald’s

     38,272           4,606   

MGM Resorts International*

     192,418           4,354   

Michael Kors Holdings*

     11,182           553   

Mohawk Industries*

     1,001           190   

Murphy USA*

     9,386           696   
 

 

The accompanying notes are an integral part of the financial statements.

 

11


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Netflix*

     43,266         $ 3,958   

Newell Brands

     25,778           1,252   

News, Cl A

     30,972           352   

NIKE, Cl B

     59,687           3,295   

Nordstrom

     2,049           78   

NVR*

     51           91   

Omnicom Group

     52,415           4,271   

O’Reilly Automotive*

     1,369           371   

priceline.com*

     11,356           14,177   

PulteGroup

     4,802           94   

PVH

     1,242           117   

Ralph Lauren, Cl A

     804           72   

Ross Stores

     7,835           444   

Royal Caribbean Cruises

     18,300           1,229   

Sally Beauty Holdings*

     3,602           106   

Scripps Networks Interactive, Cl A

     1,491           93   

Signet Jewelers

     1,300           107   

Sirius XM Holdings*

     159,266           629   

Skechers U.S.A., Cl A*

     9,448           281   

Staples

     23,552           203   

Starbucks

     91,417           5,222   

Starwood Hotels & Resorts Worldwide

     4,650           344   

Target

     63,737           4,450   

TEGNA

     30,848           715   

Tesla Motors*

     18,650           3,959   

Thomson Reuters

     42,532           1,719   

Tiffany

     1,692           103   

Time

     2,659           44   

Time Warner

     77,353           5,689   

TJX

     26,522           2,048   

TopBuild*

     36,154           1,309   

Tractor Supply

     42,869           3,909   

TripAdvisor*

     1,793           115   

Tupperware Brands

     9,040           509   

Twenty-First Century Fox, Cl A

     21,835           592   

Ulta Salon Cosmetics & Fragrance*

     900           219   

Under Armour, Cl A*

     5,821           223   

Urban Outfitters*

     17,346           477   

VF

     4,814           296   

Viacom, Cl B

     40,969           1,699   

Visteon

     3,843           253   

Walt Disney

     66,043           6,460   

Whirlpool

     3,988           665   

Wyndham Worldwide

     3,268           233   

Wynn Resorts

     1,291           117   

Yum! Brands

     27,824           2,307   
       

 

 

 
          190,174   
       

 

 

 
    
Description
   Shares        Value (000)  

Consumer Staples — 9.2%

  

Altria Group

     76,307         $ 5,262   

Archer-Daniels-Midland

     120,484           5,168   

Brown-Forman, Cl B

     1,582           158   

Bunge

     15,437           913   

Campbell Soup

     15,028           1,000   

Church & Dwight

     1,800           185   

Clorox

     1,825           253   

Coca-Cola

     140,723           6,379   

Coca-Cola European Partners

     15,181           542   

Colgate-Palmolive

     12,931           946   

ConAgra Foods

     20,298           970   

Constellation Brands, Cl A

     8,708           1,440   

Costco Wholesale

     20,847           3,274   

CVS Health

     86,435           8,275   

Danone

     29,565           2,080   

Diageo PLC

     107,759           2,993   

Dr Pepper Snapple Group

     17,114           1,654   

Energizer Holdings

     6,072           313   

Estee Lauder, Cl A

     14,659           1,334   

Flowers Foods

     6,968           131   

General Mills

     108,955           7,771   

Hershey

     1,961           222   

Hormel Foods

     3,870           142   

Ingredion

     12,639           1,636   

JM Smucker

     18,610           2,836   

Kellogg

     3,603           294   

Kimberly-Clark

     13,310           1,830   

Kraft Heinz

     15,567           1,377   

Kroger

     42,923           1,579   

McCormick

     1,630           174   

Mead Johnson Nutrition, Cl A

     2,652           241   

Molson Coors Brewing, Cl B

     7,130           721   

Mondelez International, Cl A

     46,266           2,106   

Monster Beverage*

     3,151           506   

Nestle

     55,429           4,266   

Nu Skin Enterprises, Cl A

     17,663           816   

PepsiCo

     76,878           8,144   

Philip Morris International

     161,279           16,405   

Pilgrim’s Pride

     41,838           1,066   

Procter & Gamble

     153,913           13,032   

Reynolds American

     21,563           1,163   

Rite Aid*

     11,397           85   

Sysco

     35,506           1,802   

Tyson Foods, Cl A

     55,396           3,700   

Walgreens Boots Alliance

     21,905           1,824   

Wal-Mart Stores

     102,949           7,517   
 

 

The accompanying notes are an integral part of the financial statements.

 

12


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Whole Foods Market

     5,049         $ 162   
       

 

 

 
          124,687   
       

 

 

 

Energy — 5.0%

  

Anadarko Petroleum

     9,008           480   

Antero Resources*

     12,707           330   

Apache

     20,371           1,134   

Baker Hughes

     6,323           285   

Cabot Oil & Gas

     6,634           171   

California Resources

     21,737           265   

Chesapeake Energy

     11,281           48   

Chevron

     84,890           8,899   

Cimarex Energy

     1,300           155   

Columbia Pipeline Group

     5,646           144   

Concho Resources*

     1,900           227   

ConocoPhillips

     71,790           3,130   

Denbury Resources

     113,908           409   

Devon Energy

     25,246           915   

Diamond Offshore Drilling

     921           22   

Ensco, Cl A

     50,646           492   

EOG Resources

     52,879           4,411   

EP Energy, Cl A*

     38,084           197   

EQT

     2,463           191   

Exxon Mobil

     156,844           14,703   

FMC Technologies*

     13,781           368   

Frank’s International

     10,237           150   

Halliburton

     30,930           1,401   

Helmerich & Payne

     1,687           113   

Hess

     3,796           228   

HollyFrontier

     30,715           730   

Kinder Morgan

     74,278           1,390   

Marathon Oil

     25,833           388   

Marathon Petroleum

     53,447           2,029   

Murphy Oil

     13,248           421   

Nabors Industries

     34,791           350   

National Oilwell Varco

     34,785           1,170   

Newfield Exploration*

     3,137           139   

Noble

     25,040           206   

Noble Energy

     6,126           220   

Occidental Petroleum

     54,230           4,098   

Oceaneering International

     2,359           70   

Oil States International*

     7,038           231   

ONEOK

     3,360           159   

PBF Energy, Cl A

     12,606           300   

PDC Energy*

     7,981           460   

Phillips 66

     24,479           1,942   

Pioneer Natural Resources

     4,095           619   

QEP Resources

     20,414           360   
    
Description
   Shares        Value (000)  

Range Resources

     2,685         $ 116   

Rowan, Cl A

     11,336           200   

Schlumberger

     86,797           6,864   

Southwestern Energy*

     11,952           150   

Spectra Energy

     32,607           1,194   

Superior Energy Services

     24,208           446   

Teekay

     65,943           470   

Tesoro

     15,558           1,166   

Transocean

     6,291           75   

Valero Energy

     28,436           1,450   

Williams

     43,923           950   

World Fuel Services

     2,987           142   
       

 

 

 
          67,373   
       

 

 

 

Financials — 15.2%

  

Affiliated Managers Group*

     800           113   

Aflac

     5,913           427   

Alleghany*

     846           465   

Allied World Assurance Holdings

     9,484           333   

Allstate

     29,420           2,058   

American Express

     63,511           3,859   

American Financial Group

     8,523           630   

American International Group

     36,572           1,934   

American National Insurance

     4,741           536   

American Tower, Cl A‡

     6,088           692   

Ameriprise Financial

     10,555           948   

Aon PLC

     42,557           4,648   

Apartment Investment & Management, Cl A‡

     24,456           1,080   

Arthur J Gallagher

     2,800           133   

Aspen Insurance Holdings

     32,465           1,506   

Assurant

     927           80   

Assured Guaranty

     28,569           725   

AvalonBay Communities‡

     2,012           363   

Axis Capital Holdings

     18,258           1,004   

Bank of America

     362,526           4,811   

Bank of New York Mellon

     95,458           3,709   

BB&T

     50,873           1,812   

Berkshire Hathaway, Cl B*

     49,071           7,105   

BlackRock, Cl A

     8,805           3,016   

Boston Properties‡

     7,535           994   

Brixmor Property Group

     11,987           317   

Camden Property Trust‡

     1,489           132   

Capital One Financial

     32,675           2,075   

Care Capital Properties‡

     11,277           296   

CBL & Associates Properties‡

     39,345           366   

CBRE Group, Cl A*

     42,169           1,117   

Charles Schwab

     17,323           438   
 

 

The accompanying notes are an integral part of the financial statements.

 

13


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Chubb

     47,828         $ 6,252   

Cincinnati Financial

     2,057           154   

Citigroup

     200,358           8,493   

Citizens Financial Group

     7,500           150   

CME Group, Cl A

     21,650           2,109   

CNA Financial

     5,964           187   

Columbia Property Trust‡

     25,848           553   

Comerica

     2,819           116   

Corporate Office Properties Trust

     13,179           390   

Corrections Corp of America‡

     24,726           866   

Crown Castle International‡

     14,322           1,453   

Digital Realty Trust‡

     2,100           229   

Discover Financial Services

     31,952           1,712   

E*TRADE Financial*

     3,901           92   

Equinix‡

     994           385   

Equity Commonwealth‡ *

     7,155           208   

Equity LifeStyle Properties‡

     18,342           1,468   

Equity Residential‡

     9,017           621   

Essex Property Trust‡

     932           213   

Everest Re Group

     4,786           874   

Extra Space Storage‡

     1,800           167   

Federal Realty Investment Trust‡

     1,000           166   

Federated Investors, Cl B

     12,454           358   

Fifth Third Bancorp

     10,914           192   

Franklin Resources

     71,149           2,374   

General Growth Properties‡

     70,331           2,097   

Goldman Sachs Group

     37,155           5,520   

Hanover Insurance Group

     21,173           1,792   

Hartford Financial Services Group

     17,711           786   

HCP‡

     6,695           237   

Healthcare Trust of America, Cl A‡

     2,675           87   

Host Hotels & Resorts‡

     10,618           172   

Huntington Bancshares

     13,348           119   

Intercontinental Exchange

     19,478           4,986   

Invesco

     5,973           153   

Iron Mountain‡

     3,386           135   

Jones Lang LaSalle

     6,036           588   

JPMorgan Chase

     321,901           20,003   

KeyCorp

     46,495           514   

Kimco Realty‡

     27,141           852   

Lamar Advertising, Cl A‡

     1,193           79   

Legg Mason

     1,885           56   

Leucadia National

     5,447           94   

Lincoln National

     9,756           378   

Loews

     3,833           157   

M&T Bank

     2,324           275   

Macerich‡

     1,845           158   
    
Description
   Shares        Value (000)  

Marsh & McLennan

     7,501         $ 514   

MetLife

     116,216           4,629   

Mid-America Apartment Communities‡

     17,088           1,818   

Moody’s

     15,036           1,409   

Morgan Stanley

     287,351           7,465   

Morningstar

     588           48   

MSCI, Cl A

     8,645           667   

Nasdaq

     60,474           3,911   

Navient

     5,308           63   

Northern Trust

     3,092           205   

Old Republic International

     37,676           727   

Outfront Media‡

     26,937           651   

People’s United Financial

     5,454           80   

PNC Financial Services Group

     55,957           4,554   

Popular

     23,594           691   

Post Properties‡

     20,815           1,271   

Principal Financial Group

     25,735           1,058   

Progressive

     8,362           280   

Prologis‡

     7,569           371   

Prudential Financial

     39,524           2,820   

Public Storage‡

     6,317           1,615   

Realty Income‡

     18,644           1,293   

Regions Financial

     18,001           153   

Reinsurance Group of America, Cl A

     1,185           115   

Retail Properties of America, Cl A‡

     9,580           162   

S&P Global

     12,003           1,287   

Senior Housing Properties Trust‡

     6,168           128   

Simon Property Group‡

     10,846           2,352   

SL Green Realty‡

     2,914           310   

SLM*

     153,939           951   

State Street

     75,903           4,093   

SunTrust Banks

     93,728           3,850   

Synchrony Financial

     47,403           1,198   

Synovus Financial

     52,063           1,509   

T Rowe Price Group

     3,555           259   

Tanger Factory Outlet Centers‡

     3,398           137   

TD Ameritrade Holding

     92,171           2,625   

Torchmark

     1,787           110   

Travelers

     70,754           8,423   

UDR‡

     3,800           140   

Unum Group

     10,283           327   

US Bancorp

     155,486           6,271   

Validus Holdings

     13,474           655   

Ventas‡

     4,813           350   

Vornado Realty Trust‡

     2,503           251   

Waddell & Reed Financial, Cl A

     6,167           106   
 

 

The accompanying notes are an integral part of the financial statements.

 

14


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Wells Fargo

     280,391         $ 13,271   

Welltower‡

     5,103           389   

Weyerhaeuser‡

     10,682           318   

Willis Towers Watson

     1,949           242   

WP Glimcher‡

     7,357           82   

WR Berkley

     23,371           1,400   

XL Group, Cl A

     9,084           303   

Zions Bancorporation

     3,522           89   
       

 

 

 
          204,738   
       

 

 

 

Health Care — 15.2%

  

Abbott Laboratories

     155,544           6,114   

AbbVie

     23,373           1,447   

ACADIA Pharmaceuticals*

     20,787           675   

Aetna

     40,851           4,989   

Agilent Technologies

     32,473           1,440   

Agios Pharmaceuticals*

     10,510           440   

Alexion Pharmaceuticals*

     39,577           4,621   

Allergan*

     29,005           6,703   

Allscripts Healthcare Solutions*

     27,247           346   

AmerisourceBergen, Cl A

     16,124           1,279   

Amgen

     15,377           2,340   

Anthem

     39,104           5,136   

Baxter International

     42,214           1,909   

Becton Dickinson & Company

     3,055           518   

Biogen*

     9,813           2,373   

BioMarin Pharmaceutical*

     8,000           622   

Boston Scientific*

     19,528           456   

Bristol-Myers Squibb

     157,575           11,590   

Brookdale Senior Living*

     7,068           109   

Bruker

     25,937           590   

Cardinal Health

     35,108           2,739   

Celgene*

     34,167           3,370   

Centene*

     21,600           1,542   

Cerner*

     4,315           253   

Charles River Laboratories International*

     12,279           1,012   

Cigna

     35,512           4,545   

Community Health Systems*

     60,540           730   

CR Bard

     11,061           2,601   

DaVita HealthCare Partners*

     2,348           182   

Dentsply Sirona

     11,486           713   

Edwards Lifesciences*

     3,082           307   

Eli Lilly

     33,355           2,627   

Endo International*

     19,226           300   

Express Scripts Holding*

     54,952           4,165   

Gilead Sciences

     48,925           4,081   

HCA Holdings*

     10,041           773   
    
Description
   Shares        Value (000)  

Henry Schein*

     1,200         $ 212   

Hologic*

     55,164           1,909   

Humana

     23,754           4,273   

Illumina*

     6,900           969   

IMS Health Holdings*

     13,149           333   

Incyte*

     22,870           1,829   

Intuitive Surgical*

     10,560           6,984   

Ionis Pharmaceuticals*

     57,281           1,334   

Johnson & Johnson

     197,721           23,984   

Laboratory Corp of America Holdings*

     1,452           189   

LifePoint Health*

     7,857           514   

Mallinckrodt*

     1,800           109   

McKesson

     20,917           3,904   

Medivation*

     1,834           111   

Medtronic

     98,826           8,575   

Merck

     198,635           11,443   

Mettler-Toledo International*

     1,592           581   

Mylan*

     6,167           267   

Novartis

     9,078           745   

Patterson

     1,145           55   

PerkinElmer

     1,596           84   

Perrigo

     2,032           184   

Pfizer

     396,266           13,953   

Quest Diagnostics

     4,428           360   

Quintiles Transnational Holdings*

     1,143           75   

Regeneron Pharmaceuticals*

     4,003           1,398   

ResMed

     20,904           1,322   

Roche Holding

     3,650           957   

St. Jude Medical

     53,162           4,147   

Stryker

     23,815           2,854   

Teleflex

     3,240           574   

Thermo Fisher Scientific

     26,365           3,896   

United Therapeutics*

     8,185           867   

UnitedHealth Group

     90,744           12,813   

Universal Health Services, Cl B

     9,623           1,290   

Varian Medical Systems*

     12,434           1,022   

Vertex Pharmaceuticals*

     41,705           3,587   

VWR*

     17,441           504   

Waters*

     7,308           1,028   

WellCare Health Plans*

     8,326           893   

Zimmer Biomet Holdings

     2,898           349   

Zoetis, Cl A

     6,572           312   
       

 

 

 
          204,426   
       

 

 

 

Industrials — 12.4%

  

3M

     62,460           10,938   

Acuity Brands

     600           149   

AECOM*

     14,602           464   
 

 

The accompanying notes are an integral part of the financial statements.

 

15


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Alaska Air Group

     62,837         $ 3,663   

Allegion

     1,456           101   

American Airlines Group

     185,656           5,256   

AMETEK

     3,627           168   

AO Smith

     3,094           273   

Babcock & Wilcox Enterprises*

     7,326           108   

Boeing

     97,955           12,721   

BWX Technologies, Cl W

     40,148           1,436   

Canadian National Railway

     21,122           1,247   

Carlisle

     817           86   

Caterpillar

     19,282           1,462   

CH Robinson Worldwide

     2,064           153   

Chicago Bridge & Iron

     11,984           415   

Cintas

     7,871           772   

Crane

     3,183           181   

CSX

     41,889           1,092   

Cummins

     13,131           1,476   

Danaher

     150,740           15,225   

Deere

     12,808           1,038   

Delta Air Lines

     47,204           1,720   

Dover

     2,197           152   

Dun & Bradstreet

     467           57   

Eaton PLC

     47,861           2,859   

Emerson Electric

     9,218           481   

Equifax

     11,931           1,532   

Expeditors International of Washington

     2,558           125   

Fastenal

     4,076           181   

FedEx

     33,728           5,119   

Flowserve

     27,123           1,225   

Fluor

     1,985           98   

Fortune Brands Home & Security

     2,200           128   

General Dynamics

     23,754           3,308   

General Electric

     250,411           7,883   

HD Supply Holdings*

     4,943           172   

Honeywell International

     60,082           6,989   

Huntington Ingalls Industries

     24,865           4,178   

Illinois Tool Works

     25,816           2,689   

Ingersoll-Rand

     19,370           1,233   

Jacobs Engineering Group*

     11,922           594   

JB Hunt Transport Services

     1,300           105   

JetBlue Airways*

     83,855           1,389   

Joy Global

     19,063           403   

Kansas City Southern

     1,492           134   

KBR

     6,924           92   

Kennametal

     29,439           651   

L-3 Communications Holdings, Cl 3

     6,867           1,007   
    
Description
   Shares        Value (000)  

Lockheed Martin

     20,685         $ 5,133   

Manitowoc

     99,714           543   

ManpowerGroup

     3,131           201   

Masco

     22,276           689   

MSC Industrial Direct, Cl A

     16,720           1,180   

Nielsen Holdings

     5,200           270   

Norfolk Southern

     8,518           725   

Northrop Grumman

     30,075           6,685   

Owens Corning

     18,326           944   

PACCAR

     22,695           1,177   

Parker-Hannifin

     7,522           813   

Pentair PLC

     23,237           1,355   

Pitney Bowes

     13,217           235   

Quanta Services*

     77,647           1,795   

Raytheon

     10,548           1,434   

Regal Beloit

     5,913           326   

Republic Services, Cl A

     19,699           1,011   

Robert Half International

     2,242           86   

Rockwell Automation

     7,072           812   

Rockwell Collins

     1,836           156   

Roper Technologies

     1,473           251   

RR Donnelley & Sons

     29,676           502   

Ryder System

     992           61   

Snap-on

     929           147   

Southwest Airlines

     31,496           1,235   

Spirit AeroSystems Holdings, Cl A*

     59,293           2,550   

SPX

     10,587           157   

SPX FLOW*

     15,306           399   

Stanley Black & Decker

     14,641           1,628   

Stericycle*

     1,321           138   

Textron

     61,378           2,244   

Timken

     18,695           573   

TransDigm Group*

     800           211   

Trinity Industries

     24,219           450   

Triumph Group

     7,505           266   

Tyco International PLC

     94,058           4,007   

Union Pacific

     34,315           2,994   

United Continental Holdings*

     52,048           2,136   

United Parcel Service, Cl B

     58,066           6,255   

United Rentals*

     4,875           327   

United Technologies

     88,965           9,123   

Valmont Industries

     2,272           307   

Verisk Analytics, Cl A*

     2,200           178   

Wabtec

     16,000           1,124   

Waste Management

     12,775           847   

WESCO International*

     6,683           344   

WW Grainger

     765           174   
 

 

The accompanying notes are an integral part of the financial statements.

 

16


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Xylem

     2,522         $ 113   
       

 

 

 
          167,239   
       

 

 

 

Information Technology — 18.6%

  

Accenture PLC, Cl A

     87,611           9,925   

Activision Blizzard

     7,300           289   

Adobe Systems*

     15,988           1,531   

Akamai Technologies*

     12,099           677   

Alliance Data Systems*

     880           172   

Alphabet, Cl C*

     43,868           30,649   

Amdocs

     20,292           1,171   

Amphenol, Cl A

     31,006           1,778   

Analog Devices

     18,609           1,054   

Apple

     250,458           23,944   

Applied Materials

     28,348           680   

Arrow Electronics*

     17,658           1,093   

ASML Holding, Cl G

     31,300           3,105   

Autodesk*

     3,208           174   

Automatic Data Processing

     6,568           603   

Avnet

     39,661           1,607   

Broadcom

     12,416           1,929   

Broadridge Financial Solutions

     9,220           601   

Brocade Communications Systems

     87,595           804   

CA

     4,166           137   

Cadence Design Systems*

     42,234           1,026   

CDW

     10,585           424   

Cisco Systems

     234,077           6,716   

Citrix Systems*

     21,948           1,758   

Cognizant Technology Solutions, Cl A*

     43,778           2,506   

Computer Sciences

     16,471           818   

CoreLogic*

     28,225           1,086   

Corning

     15,423           316   

CSRA

     1,857           44   

DST Systems

     3,445           401   

eBay*

     67,013           1,569   

Electronic Arts*

     15,206           1,152   

EMC

     50,633           1,376   

F5 Networks*

     16,667           1,897   

Facebook, Cl A*

     193,238           22,083   

Fidelity National Information Services

     37,687           2,777   

First Solar*

     24,002           1,164   

Fiserv*

     26,164           2,845   

FLIR Systems

     1,947           60   

Fortinet*

     3,726           118   

Genpact*

     39,210           1,052   

Global Payments

     12,982           927   

Harris

     1,786           149   
    
Description
   Shares        Value (000)  

Hewlett Packard Enterprise

     23,945         $ 437   

HP

     104,800           1,315   

IAC

     7,777           438   

Ingram Micro, Cl A

     16,318           568   

Intel

     176,420           5,787   

International Business Machines

     43,766           6,643   

Intuit

     7,003           782   

Jabil Circuit

     12,712           235   

Juniper Networks

     96,476           2,170   

KLA-Tencor

     2,491           182   

Lam Research

     2,229           187   

Leidos Holdings

     20,166           965   

Linear Technology

     11,515           536   

Lumentum Holdings*

     20,765           503   

Marvell Technology Group

     93,804           894   

MasterCard, Cl A

     14,038           1,236   

Maxim Integrated Products

     6,055           216   

Microchip Technology

     3,046           155   

Micron Technology*

     84,017           1,156   

Microsoft

     490,274           25,087   

Mobileye*

     47,600           2,196   

Motorola Solutions

     8,272           546   

NCR*

     22,163           615   

NetApp

     4,494           111   

NetSuite*

     27,600           2,009   

Nuance Communications*

     77,745           1,215   

NVIDIA

     7,309           344   

NXP Semiconductors*

     49,350           3,866   

ON Semiconductor*

     43,090           380   

Oracle

     129,437           5,298   

Palo Alto Networks*

     6,900           846   

Paychex

     4,567           272   

PayPal Holdings*

     84,331           3,079   

Qorvo*

     2,100           116   

QUALCOMM

     45,094           2,416   

Rackspace Hosting*

     40,749           850   

Red Hat*

     19,628           1,425   

salesforce.com*

     99,387           7,892   

Seagate Technology

     4,169           102   

ServiceNow*

     31,900           2,118   

Skyworks Solutions

     9,838           623   

Symantec

     8,737           179   

Synopsys*

     11,061           598   

Tableau Software, Cl A*

     12,977           635   

TE Connectivity

     5,115           292   

Tencent Holdings ADR

     115,500           2,653   

Teradata*

     12,009           301   
 

 

The accompanying notes are an integral part of the financial statements.

 

17


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Teradyne

     43,619         $ 859   

Texas Instruments

     83,358           5,222   

Total System Services

     19,284           1,024   

Vantiv, Cl A*

     9,785           554   

VeriSign*

     1,457           126   

Viavi Solutions*

     96,702           641   

Visa, Cl A

     180,156           13,362   

VMware, Cl A*

     5,737           328   

Western Digital

     4,001           189   

Western Union

     33,779           648   

Workday, Cl A*

     15,500           1,157   

Xerox

     89,536           850   

Xilinx

     3,580           165   

Yahoo!*

     12,545           471   

Yelp, Cl A*

     2,862           87   

Zynga, Cl A*

     169,097           421   
       

 

 

 
          250,760   
       

 

 

 

Materials — 2.6%

  

Air Products & Chemicals

     2,768           393   

Albemarle

     1,600           127   

Alcoa

     18,765           174   

Ashland

     2,251           258   

Avery Dennison

     1,268           95   

Ball

     2,052           148   

Bemis

     2,360           121   

Cabot

     28,790           1,315   

Celanese, Cl A

     3,095           203   

CF Industries Holdings

     3,550           86   

Crown Holdings*

     38,727           1,962   

Dow Chemical

     96,465           4,795   

Eastman Chemical

     2,368           161   

Ecolab

     3,809           452   

EI du Pont de Nemours

     56,023           3,630   

FMC

     2,232           103   

Freeport-McMoRan

     17,848           199   

GCP Applied Technologies*

     13,071           340   

Graphic Packaging Holding

     34,371           431   

Huntsman

     47,041           633   

International Flavors & Fragrances

     1,242           157   

International Paper

     8,475           359   

LyondellBasell Industries, Cl A

     44,773           3,332   

Martin Marietta Materials

     1,000           192   

Monsanto

     21,850           2,259   

Mosaic

     5,381           141   

Newmont Mining

     7,568           296   

Nucor

     18,735           926   

Owens-Illinois*

     2,188           39   
    
Description
   Shares        Value (000)  

PPG Industries

     55,388         $ 5,769   

Praxair

     4,114           462   

Reliance Steel & Aluminum

     4,968           382   

Sealed Air

     2,842           131   

Sherwin-Williams

     1,459           428   

Steel Dynamics

     5,578           137   

United States Steel

     4,392           74   

Vulcan Materials

     24,627           2,964   

Westlake Chemical

     15,862           681   

WestRock

     3,578           139   
       

 

 

 
          34,494   
       

 

 

 

Telecommunication Services — 2.1%

  

AT&T

     239,216           10,336   

CenturyLink

     19,552           567   

Frontier Communications

     18,742           93   

Level 3 Communications*

     4,100           211   

Telephone & Data Systems

     13,425           398   

T-Mobile US*

     50,400           2,181   

Verizon Communications

     257,115           14,357   

Vodafone Group PLC

     190,774           578   
       

 

 

 
          28,721   
       

 

 

 

Utilities — 2.9%

  

AES

     10,537           132   

AGL Resources

     1,907           126   

Alliant Energy

     3,300           131   

Ameren

     49,532           2,654   

American Electric Power

     61,882           4,337   

American Water Works

     2,500           211   

CenterPoint Energy

     48,261           1,158   

CMS Energy

     3,964           182   

Consolidated Edison

     21,622           1,739   

Dominion Resources

     8,915           695   

DTE Energy

     2,608           259   

Duke Energy

     39,234           3,366   

Edison International

     8,656           672   

Entergy

     25,597           2,082   

Eversource Energy

     4,549           273   

Exelon

     35,657           1,297   

FirstEnergy

     82,661           2,886   

Great Plains Energy

     51,315           1,560   

NextEra Energy

     7,638           996   

NiSource

     20,442           542   

NRG Energy

     4,564           68   

PG&E

     23,013           1,471   

Pinnacle West Capital

     26,269           2,129   

PPL

     15,330           579   
 

 

The accompanying notes are an integral part of the financial statements.

 

18


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Large Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Public Service Enterprise Group

     81,973         $ 3,821   

SCANA

     21,351           1,615   

Sempra Energy

     3,396           387   

Southern

     13,537           726   

TECO Energy

     3,811           105   

Vectren

     5,906           311   

WEC Energy Group

     4,520           295   

Westar Energy, Cl A

     11,284           633   

Xcel Energy

     21,808           977   
       

 

 

 
          38,415   
       

 

 

 

Total Common Stock
(Cost $1,221,693) (000)

          1,311,027   
       

 

 

 

PREFERRED STOCK — 0.3%

  

Air BNB, Ser D* (A)

     11,406           998   

Air BNB, Ser E* (A)

     6,939           607   

Dropbox, Cl A* (A)

     29,866           237   

Dropbox, Cl C* (A)

     1,097           9   

Flipkart Online Services* (A)

     5,739           553   

Magic Leap, Ser C* (A)

     13,521           311   

Snapchat, Ser F* (A)

     12,575           386   

Uber Technologies* (A)

     28,993           1,414   
       

 

 

 

Total Preferred Stock
(Cost $4,163) (000)

          4,515   
       

 

 

 

SHORT-TERM INVESTMENT — 1.8%

  

State Street Institutional Liquid Reserves Fund,
Institutional Class,
0.471%, (B)

     23,894,001           23,894   
       

 

 

 

Total Short-Term Investment
(Cost $23,894) (000)

          23,894   
       

 

 

 

Total Investments — 99.4%
(Cost $1,249,750) (000)

        $ 1,339,436   
       

 

 

 

Percentages are based on net assets of $1,348,101 (000).

A list of the open futures contracts held by the Fund at June 30, 2016, is as follows:

 

Type of Contract    Number of
Contracts
Long
   Expiration
Date
   Unrealized
Appreciation
 
S&P 500 Index E-MINI    224    Sep-2016    $ 92   
        

 

 

 

For the period ended June 30, 2016, the monthly average value of futures contracts held was $14,129 (000).                    

 

* Non-income producing security.
Real Estate Investment Trust
(A) Security is fair valued using methods determined in good faith by the Fair Value Committee of the Board of Trustees. The total value of such securities as of June 30, 2016, was $4,515 (000) and represented 0.33% of net assets.
(B) The rate reported is the 7-day effective yield as of June 30, 2016.

ADR — American Depositary Receipt

Cl — Class

PLC — Public Limited Company

S&P — Standard & Poors

Ser — Series

The following is a list of the level of inputs used as of June 30, 2016, in valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments in Securities   Level 1     Level 2     Level 3^     Total  

Common Stock

  $ 1,311,027      $      $      $ 1,311,027   

Preferred Stock

                  4,515        4,515   

Short-Term Investment

    23,894                      23,894   
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments in Securities

  $ 1,334,921      $      $ 4,515      $ 1,339,436   
 

 

 

   

 

 

   

 

 

   

 

 

 
Other Financial Instruments   Level 1     Level 2     Level 3     Total  

Futures Contracts**

  

     

Unrealized Appreciation

  $ 92      $      $      $ 92   
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments

  $ 92      $      $      $ 92   
 

 

 

   

 

 

   

 

 

   

 

 

 

 

** Futures contracts are valued at the unrealized appreciation on the instrument.
^ A reconciliation of Level 3 investments and disclosures of significant unobservable inputs are presented when the Fund has a significant amount of Level 3 investments at the beginning and/or end of the year in relation to net assets. Management has concluded that Level 3 investments are not material in relation to net assets.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

 

The accompanying notes are an integral part of the financial statements.

 

19


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

COMMON STOCK — 96.1%

       

Consumer Discretionary — 14.1%

       

1-800-Flowers.com, Cl A*

     177,090         $ 1,597   

2U*

     3,800           112   

A H Belo, Cl A

     51,686           258   

Aaron’s

     6,900           151   

Abercrombie & Fitch, Cl A

     6,800           121   

AMC Entertainment Holdings, Cl A

     2,100           58   

American Axle & Manufacturing Holdings*

     7,630           110   

American Eagle Outfitters

     17,800           284   

American Public Education*

     1,900           53   

America’s Car-Mart*

     600           17   

Apollo Education Group, Cl A*

     9,500           87   

Arctic Cat

     900           15   

Asbury Automotive Group*

     2,089           110   

Ascena Retail Group*

     18,059           126   

Ascent Capital Group, Cl A*

     1,108           17   

Barnes & Noble

     6,597           75   

Barnes & Noble Education*

     4,226           43   

Bassett Furniture Industries

     1,200           29   

Beazer Homes USA*

     167,157           1,295   

Belmond, Cl A*

     20,651           204   

Big 5 Sporting Goods

     1,400           13   

Big Lots

     5,200           261   

Biglari Holdings*

     104           42   

BJ’s Restaurants*

     2,461           108   

Bloomin’ Brands

     91,520           1,635   

Blue Nile

     1,486           41   
    
Description
   Shares        Value (000)  

Bob Evans Farms

     1,931         $ 73   

Bojangles’*

     108,458           1,838   

Boot Barn Holdings*

     1,000           9   

Boyd Gaming*

     63,606           1,170   

Bravo Brio Restaurant Group*

     77,547           635   

Bridgepoint Education*

     1,200           9   

Bright Horizons Family Solutions*

     4,600           305   

Buckle

     3,000           78   

Buffalo Wild Wings*

     2,027           282   

Build-A-Bear Workshop, Cl A*

     1,000           13   

Burlington Stores*

     34,669           2,313   

Caesars Acquisition, Cl A*

     5,300           59   

Caesars Entertainment*

     6,500           50   

Caleres

     36,454           883   

Callaway Golf

     9,798           100   

Cambium Learning Group*

     1,200           5   

Capella Education

     1,100           58   

Career Education*

     5,800           35   

Carmike Cinemas*

     2,268           68   

Carriage Services, Cl A

     1,300           31   

Carrols Restaurant Group*

     3,900           46   

Carter’s

     21,998           2,341   

Cato, Cl A

     2,700           102   

Cavco Industries*

     1,000           94   

Central European Media Enterprises, Cl A*

     4,900           10   

Century Casinos*

     2,200           14   

Century Communities*

     2,000           35   

Cheesecake Factory

     4,863           234   

Chegg*

     6,873           34   

Chico’s FAS

     179,504           1,922   

Children’s Place

     2,000           160   

Churchill Downs

     1,407           178   

Chuy’s Holdings*

     1,878           65   

Citi Trends

     1,300           20   

ClubCorp Holdings

     119,279           1,551   

Collectors Universe

     400           8   

Columbia Sportswear

     2,900           167   

Conn’s*

     2,160           16   

Container Store Group*

     1,500           8   

Cooper Tire & Rubber

     5,774           172   

Cooper-Standard Holding*

     1,500           118   

Core-Mark Holding

     4,712           221   

Cracker Barrel Old Country Store

     2,017           346   

Crocs*

     7,690           87   

CSS Industries

     800           21   

Culp

     1,000           28   
 

 

The accompanying notes are an integral part of the financial statements.

 

20


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Daily Journal*

     150         $ 36   

Dana Holding

     15,572           164   

Dave & Buster’s Entertainment*

     4,000           187   

Deckers Outdoor*

     3,400           196   

Del Frisco’s Restaurant Group*

     164,275           2,353   

Del Taco Restaurants*

     2,400           22   

Delta Apparel*

     700           16   

Denny’s*

     7,684           82   

Destination XL Group*

     2,800           13   

DeVry Education Group

     6,600           118   

Diamond Resorts International*

     4,434           133   

DineEquity

     1,800           153   

Dixie Group*

     197,266           702   

Domino’s Pizza

     4,000           526   

Dorman Products*

     23,374           1,338   

DreamWorks Animation SKG, Cl A*

     8,100           331   

Drew Industries

     2,482           211   

DSW, Cl A

     40,743           863   

Duluth Holdings, Cl B*

     1,100           27   

El Pollo Loco Holdings*

     2,100           27   

Eldorado Resorts*

     3,100           47   

Empire Resorts*

     559           9   

Entercom Communications, Cl A

     2,100           28   

Entravision Communications, Cl A

     6,800           46   

Eros International, Cl A*

     3,100           50   

Escalade

     800           8   

Ethan Allen Interiors

     2,481           82   

Etsy*

     11,000           105   

EW Scripps, Cl A*

     6,226           99   

Express*

     8,045           117   

Federal-Mogul Holdings*

     2,600           22   

Fiesta Restaurant Group*

     83,108           1,813   

Finish Line, Cl A

     109,819           2,217   

Five Below*

     5,563           258   

Flexsteel Industries

     700           28   

Fogo De Chao*

     700           9   

Fossil Group*

     4,400           126   

Fox Factory Holding*

     2,300           40   

Francesca’s Holdings*

     4,100           45   

Fred’s, Cl A

     76,893           1,239   

FTD*

     2,100           52   

Gaiam, Cl A*

     1,400           11   

Gannett

     12,300           170   

Genesco*

     2,089           134   

Gentherm*

     3,804           130   

G-III Apparel Group*

     4,500           206   

Global Eagle Entertainment*

     4,300           29   
    
Description
   Shares        Value (000)  

GNC Holdings, Cl A

     112,460         $ 2,732   

Golden Entertainment

     1,100           13   

GoPro, Cl A*

     10,600           115   

Grand Canyon Education*

     4,544           181   

Gray Television*

     60,933           661   

Green Brick Partners*

     1,400           10   

Group 1 Automotive

     2,299           113   

Guess?

     6,196           93   

Habit Restaurants, Cl A*

     1,000           16   

Haverty Furniture

     2,500           45   

Helen of Troy*

     2,939           302   

Hemisphere Media Group, Cl A*

     700           8   

Hibbett Sports*

     2,300           80   

Hooker Furniture

     1,200           26   

Horizon Global*

     1,439           16   

Houghton Mifflin Harcourt*

     12,979           203   

Hovnanian Enterprises, Cl A*

     9,898           17   

HSN

     38,233           1,871   

Iconix Brand Group*

     3,823           26   

IMAX*

     6,100           180   

Installed Building Products*

     2,100           76   

International Speedway, Cl A

     3,000           100   

Interval Leisure Group

     11,800           188   

Intrawest Resorts Holdings*

     1,100           14   

iRobot*

     3,050           107   

Isle of Capri Casinos*

     36,975           677   

J Alexander’s Holdings*

     1,174           12   

Jack in the Box

     10,203           877   

JAKKS Pacific*

     1,500           12   

Jamba*

     1,200           12   

JC Penney*

     57,020           506   

John Wiley & Sons, Cl A

     19,067           995   

Johnson Outdoors, Cl A

     400           10   

K12*

     3,500           44   

Kate Spade*

     90,550           1,866   

KB Home

     8,754           133   

Kirkland’s*

     125,968           1,849   

Kona Grill*

     86,931           932   

Krispy Kreme Doughnuts*

     5,800           122   

La Quinta Holdings*

     9,300           106   

Lands’ End*

     1,400           23   

La-Z-Boy, Cl Z

     119,567           3,327   

LGI Homes*

     1,600           51   

Libbey

     2,010           32   

Liberty Braves Group, Cl A*

     4,300           63   

Liberty Media Group, Cl C*

     7,200           137   

Liberty Tax

     400           5   
 

 

The accompanying notes are an integral part of the financial statements.

 

21


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Liberty TripAdvisor Holdings, Cl A*

     7,200         $ 158   

LifeLock*

     9,695           153   

Lifetime Brands

     900           13   

Lindblad Expeditions Holdings*

     122,144           1,176   

Lithia Motors, Cl A

     2,435           173   

Loral Space & Communications*

     1,200           42   

Luby’s*

     2,000           10   

lululemon athletica*

     29,000           2,142   

Lumber Liquidators Holdings*

     2,749           42   

M/I Homes*

     25,488           480   

Malibu Boats, Cl A*

     113,549           1,372   

Marcus

     1,900           40   

Marine Products

     600           5   

MarineMax*

     104,453           1,773   

Marriott Vacations Worldwide

     2,289           157   

Mattel

     68,900           2,156   

Mattress Firm Holding*

     2,000           67   

MCBC Holdings

     800           9   

MDC Holdings

     116,037           2,825   

MDC Partners, Cl A

     29,055           531   

Media General*

     11,389           196   

Meredith

     41,298           2,145   

Meritage Homes*

     3,887           146   

Metaldyne Performance Group

     48,233           663   

Modine Manufacturing*

     26,113           230   

Monarch Casino & Resort*

     1,400           31   

Monro Muffler Brake

     18,213           1,158   

Motorcar Parts of America*

     1,700           46   

Movado Group

     1,351           29   

MSG Networks*

     6,200           95   

NACCO Industries, Cl A

     400           22   

Nathan’s Famous*

     300           13   

National CineMedia

     6,394           99   

Nautilus*

     3,200           57   

New Home*

     700           7   

New Media Investment Group

     4,104           74   

New York Times, Cl A

     13,489           163   

Nexstar Broadcasting Group, Cl A

     2,995           143   

Noodles, Cl A*

     800           8   

Nutrisystem

     2,900           74   

Office Depot*

     57,800           191   

Ollie’s Bargain Outlet Holdings*

     2,100           52   

Outerwall

     1,626           68   

Overstock.com*

     1,000           16   

Oxford Industries

     63,982           3,622   

Panera Bread, Cl A*

     13,110           2,780   

Papa John’s International

     2,800           190   
    
Description
   Shares        Value (000)  

Party City Holdco*

     2,300         $ 32   

Penn National Gaming*

     7,819           109   

Performance Sports Group*

     4,100           12   

Perry Ellis International*

     1,000           20   

PetMed Express

     2,200           41   

Pier 1 Imports

     338,143           1,738   

Pinnacle Entertainment*

     5,616           62   

Planet Fitness, Cl A*

     1,500           28   

Polaris Industries

     31,520           2,578   

Popeyes Louisiana Kitchen*

     32,905           1,798   

Potbelly*

     2,100           26   

Reading International, Cl A*

     1,400           17   

Red Lion Hotels*

     1,500           11   

Red Robin Gourmet Burgers*

     1,400           66   

Red Rock Resorts, Cl A

     3,100           68   

Regis*

     3,700           46   

Rent-A-Center, Cl A

     5,900           72   

Restoration Hardware Holdings*

     97,200           2,787   

Ruby Tuesday*

     5,200           19   

Ruth’s Hospitality Group

     3,500           56   

Saga Communications, Cl A

     300           12   

Scholastic

     2,800           111   

Scientific Games, Cl A*

     5,358           49   

Scripps Networks Interactive, Cl A

     8,700           542   

Sears Holdings*

     1,200           16   

SeaWorld Entertainment

     128,380           1,840   

Select Comfort*

     86,226           1,844   

Sequential Brands Group*

     4,172           33   

Shake Shack, Cl A*

     1,600           58   

Shoe Carnival

     1,665           42   

Shutterfly*

     3,521           164   

Sinclair Broadcast Group, Cl A

     6,809           203   

Six Flags Entertainment

     12,400           719   

Smith & Wesson Holding*

     5,745           156   

Sonic

     4,700           127   

Sonic Automotive, Cl A

     2,931           50   

Sotheby’s

     5,497           151   

Spartan Motors

     3,500           22   

Speedway Motorsports

     900           16   

Sportsman’s Warehouse Holdings*

     2,700           22   

Stage Stores

     2,581           13   

Standard Motor Products

     2,214           88   

Stein Mart

     261,414           2,018   

Steven Madden*

     6,465           221   

Stoneridge*

     2,400           36   

Strattec Security

     272           11   

Strayer Education*

     1,208           59   
 

 

The accompanying notes are an integral part of the financial statements.

 

22


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Sturm Ruger

     1,889         $ 121   

Superior Industries International

     2,431           65   

Superior Uniform Group

     700           13   

Systemax*

     1,100           9   

Tailored Brands

     4,968           63   

Taylor Morrison Home, Cl A*

     2,900           43   

Tenneco*

     27,788           1,296   

Texas Roadhouse, Cl A

     7,060           322   

Tile Shop Holdings*

     3,400           68   

Tilly’s, Cl A*

     900           5   

Time

     10,485           173   

TopBuild*

     30,314           1,097   

Tower International

     1,954           40   

Townsquare Media, Cl A*

     900           7   

Tractor Supply

     23,500           2,143   

TRI Pointe Group*

     15,343           181   

tronc

     3,100           43   

Tuesday Morning*

     5,000           35   

Tumi Holdings*

     5,900           158   

UCP, Cl A*

     54,349           436   

Ulta Salon Cosmetics & Fragrance*

     8,540           2,081   

Unifi*

     1,798           49   

Unique Fabricating

     33,417           447   

Universal Electronics*

     1,500           108   

Vail Resorts

     8,300           1,147   

Vera Bradley*

     1,900           27   

Vince Holding*

     3,254           18   

Visteon

     14,880           980   

Vitamin Shoppe*

     2,605           80   

Wayfair, Cl A*

     3,300           129   

WCI Communities*

     2,300           39   

Weight Watchers International*

     2,400           28   

West Marine*

     1,300           11   

Weyco Group

     500           14   

William Lyon Homes, Cl A*

     2,500           40   

Wingstop*

     1,600           44   

Winmark

     200           20   

Winnebago Industries

     2,700           62   

Wolverine World Wide

     101,874           2,070   

World Wrestling Entertainment, Cl A

     63,137           1,162   

ZAGG*

     2,100           11   

Zoe’s Kitchen*

     1,900           69   

Zumiez*

     1,670           24   
       

 

 

 
          115,305   
       

 

 

 

Consumer Staples — 3.2%

       

Alico

     200           6   

Alliance One International*

     900           14   
    
Description
   Shares        Value (000)  

Amplify Snack Brands*

     3,100         $ 46   

Andersons

     64,915           2,308   

Avon Products

     46,000           174   

B&G Foods

     25,617           1,235   

Blue Buffalo Pet Products*

     29,000           677   

Boston Beer, Cl A*

     879           150   

Calavo Growers

     1,600           107   

Cal-Maine Foods

     3,100           137   

Central Garden & Pet*

     4,900           107   

Chefs’ Warehouse*

     55,829           893   

Coca-Cola Bottling Consolidated

     500           74   

Craft Brew Alliance*

     900           10   

Darling Ingredients*

     17,197           256   

Dean Foods

     9,555           173   

Elizabeth Arden*

     2,225           31   

Energizer Holdings

     25,920           1,335   

Farmer Brothers*

     1,000           32   

Flowers Foods

     96,173           1,803   

Fresh Del Monte Produce

     3,400           185   

Freshpet*

     1,800           17   

Herbalife*

     13,733           803   

HRG Group*

     12,421           171   

Ingles Markets, Cl A

     1,500           56   

Inter Parfums

     1,787           51   

Inventure Foods*

     132,598           1,036   

J&J Snack Foods

     1,580           188   

John B Sanfilippo & Son

     900           38   

Lancaster Colony

     1,941           248   

Landec*

     2,200           24   

Lifevantage*

     1,400           19   

Lifeway Foods*

     300           3   

Limoneira

     900           16   

Medifast

     1,000           33   

MGP Ingredients

     1,300           50   

National Beverage*

     1,300           82   

Natural Grocers by Vitamin Cottage*

     700           9   

Natural Health Trends

     600           17   

Nature’s Sunshine Products

     800           8   

Nu Skin Enterprises, Cl A

     14,081           650   

Nutraceutical International*

     600           14   

Oil-Dri Corp of America

     300           10   

Omega Protein*

     2,500           50   

Orchids Paper Products

     900           32   

Performance Food Group*

     3,900           105   

Post Holdings*

     16,580           1,371   

PriceSmart

     2,052           192   
 

 

The accompanying notes are an integral part of the financial statements.

 

23


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Primo Water*

     2,200         $ 26   

Revlon, Cl A*

     1,300           42   

Sanderson Farms

     2,226           193   

Seaboard*

     893           2,563   

Seneca Foods, Cl A*

     700           25   

Smart & Final Stores*

     2,000           30   

Snyder’s-Lance

     16,231           550   

SpartanNash

     3,841           117   

SUPERVALU*

     27,825           131   

Synutra International*

     1,100           4   

Tootsie Roll Industries

     1,988           77   

TreeHouse Foods*

     34,080           3,498   

United Natural Foods*

     27,629           1,293   

Universal

     2,261           131   

USANA Health Sciences*

     500           56   

Vector Group

     9,246           207   

Village Super Market, Cl A

     500           14   

WD-40

     1,487           175   

Weis Markets

     1,197           61   

WhiteWave Foods, Cl A*

     34,040           1,598   
       

 

 

 
          25,837   
       

 

 

 

Energy — 2.7%

       

Abraxas Petroleum*

     7,700           9   

Adams Resources & Energy

     200           8   

Alon USA Energy

     2,800           18   

Archrock

     7,252           68   

Ardmore Shipping

     144,142           976   

Atwood Oceanics

     7,100           89   

Bill Barrett*

     5,671           36   

Bristow Group

     3,187           36   

California Resources

     3,300           40   

Callon Petroleum*

     71,990           808   

Capital Product Partners (A)

     128,660           383   

CARBO Ceramics

     1,559           20   

Carrizo Oil & Gas*

     29,435           1,055   

Clayton Williams Energy*

     500           14   

Clean Energy Fuels*

     9,152           32   

Cobalt International Energy*

     42,600           57   

Contango Oil & Gas*

     1,841           23   

CVR Energy

     1,700           26   

Dawson Geophysical*

     2,100           17   

Delek US Holdings

     148,692           1,965   

Denbury Resources

     36,700           132   

DHT Holdings

     8,500           43   

Diamondback Energy*

     14,900           1,359   

Dorian LPG*

     1,800           13   
    
Description
   Shares        Value (000)  

Eclipse Resources*

     5,400         $ 18   

EP Energy, Cl A*

     4,000           21   

Era Group*

     1,600           15   

Evolution Petroleum

     1,500           8   

EXCO Resources*

     12,700           17   

Exterran*

     3,026           39   

Fairmount Santrol Holdings*

     7,699           59   

Forum Energy Technologies*

     6,300           109   

Frontline

     6,740           53   

GasLog

     4,527           59   

Gener8 Maritime*

     4,100           26   

Geospace Technologies*

     1,114           18   

Golar LNG

     9,300           144   

Green Plains

     97,299           1,919   

Helix Energy Solutions Group*

     9,771           66   

Hornbeck Offshore Services*

     2,900           24   

Independence Contract Drilling*

     4,500           24   

Isramco*

     39           3   

Jones Energy, Cl A*

     2,600           11   

Matador Resources*

     8,700           172   

Matrix Service*

     2,800           46   

McDermott International*

     24,084           119   

Nabors Industries

     232,243           2,335   

Natural Gas Services Group*

     1,000           23   

Navios Maritime Acquisition

     6,900           11   

Newpark Resources*

     9,798           57   

Nordic American Tankers

     8,800           122   

Northern Oil and Gas*

     5,000           23   

Oasis Petroleum*

     78,685           735   

Oceaneering International

     24,056           718   

Oil States International*

     5,200           171   

Overseas Shipholding Group, Cl A

     3,800           42   

Pacific Ethanol*

     2,000           11   

Panhandle Oil and Gas, Cl A

     2,000           33   

Par Pacific Holdings*

     2,900           44   

Parker Drilling*

     9,402           22   

Parsley Energy, Cl A*

     47,200           1,277   

PDC Energy*

     4,725           272   

PHI*

     1,000           18   

Pioneer Energy Services*

     5,274           24   

Renewable Energy Group*

     3,700           33   

REX American Resources*

     500           30   

RigNet*

     900           12   

Ring Energy*

     126,333           1,114   

RSP Permian*

     8,200           286   

Sanchez Energy*

     5,796           41   

Scorpio Tankers

     19,275           81   
 

 

The accompanying notes are an integral part of the financial statements.

 

24


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

SEACOR Holdings*

     1,600         $ 93   

Seadrill*

     39,500           128   

SemGroup, Cl A

     4,423           144   

Ship Finance International

     6,200           91   

Synergy Resources*

     233,642           1,556   

Teekay

     4,600           33   

Teekay Tankers, Cl A

     12,200           36   

TerraVia Holdings*

     6,500           17   

Tesco

     4,400           29   

TETRA Technologies*

     105,682           673   

Tidewater

     4,200           19   

Unit*

     5,500           86   

US Silica Holdings

     30,677           1,058   

W&T Offshore*

     2,600           6   

Western Refining

     7,097           146   

Westmoreland Coal*

     1,324           13   

Willbros Group*

     4,500           11   
       

 

 

 
          21,871   
       

 

 

 

Financials — 20.3%

       

1st Source

     1,720           56   

Acadia Realty Trust‡

     7,400           263   

Access National

     700           14   

ACNB

     600           15   

Agree Realty‡

     2,500           121   

Alexander & Baldwin

     4,753           172   

Alexander’s‡

     175           72   

Allegiance Bancshares*

     1,100           27   

Altisource Portfolio Solutions*

     1,064           30   

Altisource Residential‡

     5,100           47   

Ambac Financial Group*

     4,400           72   

American Assets Trust‡

     4,038           171   

American Capital Mortgage Investment‡

     4,700           74   

American Equity Investment Life Holding

     62,842           895   

American Financial Group

     35,535           2,627   

American National Bankshares

     800           20   

Ameris Bancorp

     3,300           98   

AMERISAFE

     1,966           120   

Ames National

     700           19   

Anworth Mortgage Asset‡

     8,498           40   

Apollo Commercial Real Estate Finance‡

     6,036           97   

Apollo Residential Mortgage‡

     3,500           47   

Ares Commercial Real Estate‡

     2,400           29   

Argo Group International Holdings

     3,078           160   

Arlington Asset Investment, Cl A

     2,900           38   
    
Description
   Shares        Value (000)  

Armada Hoffler Properties‡

     3,300         $ 45   

ARMOUR Residential‡

     3,612           72   

Arrow Financial

     928           28   

Ashford Hospitality Prime‡

     3,267           46   

Ashford Hospitality Trust‡

     8,633           46   

Associated Capital Group

     500           14   

Assurant

     34,320           2,962   

Astoria Financial

     9,167           141   

Atlantic Capital Bancshares*

     1,800           26   

Atlas Financial Holdings*

     900           15   

AV Homes*

     900           11   

Avenue Financial Holdings*

     900           18   

B. Riley Financial

     1,000           10   

Baldwin & Lyons, Cl B

     700           17   

Banc of California

     5,100           92   

BancFirst

     800           48   

Banco Latinoamericano de Comercio Exterior, Cl E

     3,200           85   

Bancorp*

     77,908           469   

BancorpSouth

     9,344           212   

Bank Mutual

     3,900           30   

Bank of Hawaii

     38,350           2,638   

Bank of Marin Bancorp

     500           24   

Bank of the Ozarks

     8,805           330   

BankFinancial

     1,600           19   

Bankwell Financial Group

     600           13   

Banner

     3,116           133   

Bar Harbor Bankshares

     400           14   

BBCN Bancorp

     7,936           118   

BBX Capital, Cl A*

     519           8   

Bear State Financial

     1,400           13   

Beneficial Bancorp*

     7,539           96   

Berkshire Hills Bancorp

     36,280           977   

BGC Partners, Cl A

     22,753           198   

Blue Capital Reinsurance Holdings

     600           11   

Blue Hills Bancorp

     2,400           35   

Bluerock Residential Growth, Cl A‡

     1,300           17   

BNC Bancorp

     91,533           2,079   

BofI Holding*

     5,900           104   

Boston Private Financial Holdings

     8,174           96   

Brandywine Realty Trust‡

     96,455           1,620   

Bridge Bancorp

     55,110           1,565   

Brookline Bancorp

     89,286           985   

Bryn Mawr Bank

     1,600           47   

BSB Bancorp*

     800           18   

C&F Financial

     300           13   

C1 Financial*

     700           16   
 

 

The accompanying notes are an integral part of the financial statements.

 

25


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Calamos Asset Management, Cl A

     1,300         $ 10   

Camden National

     1,100           46   

Capital Bank Financial, Cl A

     1,834           53   

Capital City Bank Group

     800           11   

Capitol Federal Financial

     13,785           192   

Capstead Mortgage‡

     10,100           98   

Cardinal Financial

     24,052           528   

CareTrust‡

     6,137           85   

Carolina Financial

     1,100           21   

Cascade Bancorp*

     90,926           504   

Cash America International

     2,300           98   

CatchMark Timber Trust, Cl A‡

     3,700           45   

Cathay General Bancorp

     7,611           215   

CBL & Associates Properties‡

     17,600           164   

Cedar Realty Trust‡

     8,925           66   

CenterState Banks

     4,500           71   

Central Pacific Financial

     3,200           76   

Central Valley Community Bancorp

     900           13   

Century Bancorp, Cl A

     300           13   

Charter Financial

     1,159           15   

Chatham Lodging Trust‡

     4,200           92   

Chemical Financial

     4,002           149   

Chemung Financial

     300           9   

Chesapeake Lodging Trust‡

     6,179           144   

Citizens, Cl A*

     5,500           42   

Citizens & Northern

     900           18   

City Holding

     1,537           70   

City Office‡

     2,000           26   

Clifton Bancorp

     2,189           33   

CNB Financial

     1,200           21   

CNO Financial Group

     18,726           327   

CoBiz Financial

     199,619           2,336   

Codorus Valley Bancorp

     800           16   

Cohen & Steers

     44,590           1,802   

Colony Capital, Cl A‡

     11,500           177   

Colony Starwood Homes‡

     6,796           207   

Columbia Banking System

     65,583           1,840   

Commerce Bancshares

     59,430           2,848   

Community Bank System

     4,354           179   

Community Healthcare Trust‡

     1,300           27   

Community Trust Bancorp

     1,488           52   

CommunityOne Bancorp*

     900           11   

ConnectOne Bancorp

     3,460           54   

Consolidated-Tomoka Land

     300           14   

CorEnergy Infrastructure Trust‡

     1,140           33   

CoreSite Realty‡

     3,500           310   

Corporate Office Properties Trust

     73,111           2,162   
    
Description
   Shares        Value (000)  

County Bancorp

     500         $ 10   

Cousins Properties‡

     199,994           2,080   

Cowen Group, Cl A*

     9,004           27   

Crawford, Cl B

     2,200           19   

CU Bancorp*

     24,201           550   

Customers Bancorp*

     76,311           1,918   

CVB Financial

     10,418           171   

CyrusOne‡

     15,090           840   

CYS Investments‡

     15,004           126   

Diamond Hill Investment Group

     300           57   

DiamondRock Hospitality‡

     20,954           189   

Dime Community Bancshares

     3,343           57   

Donegal Group, Cl A

     700           12   

DuPont Fabros Technology‡

     27,955           1,329   

Dynex Capital‡

     4,600           32   

Eagle Bancorp*

     51,654           2,485   

Easterly Government Properties‡

     2,500           49   

EastGroup Properties‡

     3,293           227   

Education Realty Trust‡

     6,985           322   

eHealth*

     1,500           21   

EMC Insurance Group

     950           26   

Employers Holdings

     3,200           93   

Encore Capital Group*

     2,300           54   

Enova International*

     1,972           15   

Enstar Group*

     1,200           194   

Enterprise Bancorp

     626           15   

Enterprise Financial Services

     1,800           50   

Equity Bancshares, Cl A*

     500           11   

ESSA Bancorp

     900           12   

Essent Group*

     110,107           2,401   

EverBank Financial

     10,741           160   

Evercore Partners, Cl A

     4,063           180   

EZCORP, Cl A*

     6,200           47   

Farmers Capital Bank

     500           14   

Farmers National Banc

     2,600           23   

Farmland Partners‡

     1,200           14   

FBL Financial Group, Cl A

     1,100           67   

FBR

     700           10   

FCB Financial Holdings, Cl A*

     2,900           99   

Federal Agricultural Mortgage, Cl C

     900           31   

Federated National Holding

     1,300           25   

FelCor Lodging Trust‡

     14,472           90   

Fidelity & Guaranty Life

     900           21   

Fidelity Southern

     2,212           35   

Fifth Street Asset Management, Cl A

     300           1   

Financial Engines

     5,635           146   

Financial Institutions

     1,200           31   
 

 

The accompanying notes are an integral part of the financial statements.

 

26


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

First Bancorp

     3,900         $ 74   

First BanCorp*

     12,600           50   

First Busey

     3,369           72   

First Business Financial Services

     600           14   

First Cash Financial Services

     2,817           145   

First Citizens BancShares, Cl A

     744           193   

First Commonwealth Financial

     9,638           89   

First Community Bancshares

     1,300           29   

First Community Financial Partners*

     1,400           12   

First Connecticut Bancorp

     55,971           927   

First Defiance Financial

     1,000           39   

First Financial

     900           33   

First Financial Bancorp

     50,356           979   

First Financial Bankshares

     6,642           218   

First Financial Northwest

     900           12   

First Foundation*

     27,090           582   

First Industrial Realty Trust‡

     12,177           339   

First Internet Bancorp

     500           12   

First Interstate BancSystem, Cl A

     1,800           51   

First Merchants

     46,112           1,150   

First Mid-Illinois Bancshares

     600           15   

First Midwest Bancorp

     73,774           1,295   

First NBC Bank Holding*

     1,200           20   

First Northwest Bancorp*

     1,200           15   

First of Long Island

     1,546           44   

First Potomac Realty Trust‡

     5,418           50   

First Republic Bank

     24,200           1,694   

FirstMerit

     17,270           350   

Flagstar Bancorp*

     2,200           54   

Flushing Financial

     3,186           63   

FNB

     236,436           2,966   

FNFV Group*

     6,800           78   

Forestar Group*

     3,522           42   

Four Corners Property Trust‡

     6,300           130   

Fox Chase Bancorp

     800           16   

Franklin Financial Network*

     36,936           1,158   

Franklin Street Properties‡

     10,151           125   

FRP Holdings*

     500           17   

Fulton Financial

     17,400           235   

GAIN Capital Holdings

     2,900           18   

GAMCO Investors, Cl A

     500           16   

Genworth Financial, Cl A*

     52,600           136   

GEO Group‡

     7,752           265   

German American Bancorp

     1,500           48   

Getty Realty‡

     2,717           58   

Glacier Bancorp

     7,949           211   

Gladstone Commercial‡

     2,400           41   
    
Description
   Shares        Value (000)  

Global Indemnity, Cl A*

     700         $ 19   

Global Net Lease‡

     17,800           142   

Government Properties Income Trust‡

     7,000           161   

Gramercy Property Trust‡

     44,109           407   

Great Ajax‡

     1,400           19   

Great Southern Bancorp

     1,000           37   

Great Western Bancorp

     42,523           1,341   

Green Bancorp*

     2,200           19   

Green Dot, Cl A*

     4,100           94   

Greenhill

     60,665           976   

Greenlight Capital, Cl A*

     2,651           53   

Guaranty Bancorp

     1,100           18   

Hallmark Financial Services*

     1,100           13   

Hampton Roads Bankshares*

     2,000           4   

Hancock Holding

     95,514           2,494   

Hanmi Financial

     3,283           77   

Hannon Armstrong Sustainable Infrastructure Capital‡

     102,136           2,206   

Hatteras Financial‡

     9,500           156   

HCI Group

     700           19   

Healthcare Realty Trust‡

     10,947           383   

Heartland Financial USA

     2,300           81   

Hennessy Advisors

     300           10   

Heritage Commerce

     53,181           560   

Heritage Financial

     131,034           2,304   

Heritage Insurance Holdings

     2,200           26   

Heritage Oaks Bancorp

     1,900           15   

Hersha Hospitality Trust, Cl A‡

     4,300           74   

HFF, Cl A

     3,821           110   

Hilltop Holdings*

     7,699           162   

Hingham Institution for Savings

     100           12   

Home Bancorp

     600           16   

Home BancShares

     12,626           250   

HomeStreet*

     2,600           52   

HomeTrust Bancshares*

     1,800           33   

Horace Mann Educators

     88,870           3,003   

Horizon Bancorp

     1,100           28   

Houlihan Lokey, Cl A

     1,300           29   

Hudson Pacific Properties‡

     8,374           244   

IBERIABANK

     50,782           3,034   

Impac Mortgage Holdings*

     800           13   

Independence Holding

     500           9   

Independence Realty Trust‡

     4,175           34   

Independent Bank

     59,685           2,670   

Independent Bank Group

     1,100           47   

Infinity Property & Casualty

     1,182           95   
 

 

The accompanying notes are an integral part of the financial statements.

 

27


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

InfraREIT‡

     4,200         $ 74   

International Bancshares

     5,481           143   

INTL. FCStone*

     1,400           38   

Invesco Mortgage Capital‡

     11,752           161   

Investment Technology Group

     3,400           57   

Investors Bancorp

     30,853           342   

Investors Real Estate Trust‡

     12,206           79   

Investors Title

     100           10   

iStar‡ *

     88,791           852   

James River Group Holdings

     1,500           51   

Janus Capital Group

     14,987           209   

KCG Holdings, Cl A*

     5,524           73   

Kearny Financial

     9,632           121   

Kemper

     4,413           137   

Kennedy-Wilson Holdings

     9,320           178   

Kite Realty Group Trust‡

     8,618           242   

Ladder Capital, Cl A‡

     3,951           48   

Ladenburg Thalmann Financial Services*

     8,400           20   

Lake Sunapee Bank Group

     800           14   

Lakeland Bancorp

     4,189           48   

Lakeland Financial

     1,500           71   

LaSalle Hotel Properties‡

     11,493           271   

LCNB

     900           14   

LegacyTexas Financial Group

     42,735           1,150   

LendingClub*

     34,400           148   

LendingTree*

     5,935           524   

Lexington Realty Trust‡

     24,024           243   

Live Oak Bancshares

     2,000           28   

LTC Properties‡

     3,900           202   

Macatawa Bank

     2,800           21   

Mack-Cali Realty‡

     9,064           245   

Maiden Holdings

     6,134           75   

MainSource Financial Group

     2,700           60   

Manning & Napier, Cl A

     1,600           15   

Marcus & Millichap*

     1,200           30   

MarketAxess Holdings

     5,373           781   

Marlin Business Services

     800           13   

MB Financial

     7,414           269   

MBIA*

     13,700           94   

MBT Financial

     1,900           15   

Medical Properties Trust‡

     24,811           377   

Medley Management, Cl A

     300           2   

Mercantile Bank

     1,900           45   

Merchants Bancshares

     600           18   

Meridian Bancorp

     4,934           73   

Meta Financial Group

     900           46   
    
Description
   Shares        Value (000)  

MGIC Investment*

     35,610         $ 212   

Middleburg Financial

     500           14   

MidWestOne Financial Group

     600           17   

Moelis, Cl A

     1,900           43   

Monmouth Real Estate Investment, Cl A‡

     6,760           90   

Monogram Residential Trust‡

     17,600           180   

Mortgage Investment Trust‡

     3,400           49   

MutualFirst Financial

     600           16   

National Bank Holdings, Cl A

     155,309           3,163   

National Bankshares

     500           17   

National Commerce*

     600           14   

National General Holdings

     5,100           109   

National Health Investors‡

     3,899           293   

National Interstate

     1,000           30   

National Storage Affiliates Trust

     2,200           46   

National Western Life Group, Cl A

     193           38   

Nationstar Mortgage Holdings*

     3,600           41   

Navigators Group

     1,187           109   

NBT Bancorp

     4,522           129   

Nelnet, Cl A

     2,259           79   

New Residential Investment‡

     23,343           323   

New Senior Investment Group‡

     7,700           82   

New York‡

     17,300           160   

New York Mortgage Trust‡

     11,510           70   

NewStar Financial*

     2,200           19   

NexPoint Residential Trust‡

     2,300           42   

Nicolet Bankshares*

     800           30   

NMI Holdings, Cl A*

     4,300           24   

Northfield Bancorp

     4,700           70   

Northrim BanCorp

     700           18   

NorthStar Realty Europe‡

     6,200           57   

Northwest Bancshares

     122,519           1,817   

OceanFirst Financial

     2,400           44   

Ocwen Financial*

     9,500           16   

OFG Bancorp

     5,183           43   

Old Line Bancshares

     900           16   

Old National Bancorp

     202,882           2,542   

Old Second Bancorp

     2,700           18   

OM Asset Management

     4,200           56   

On Deck Capital*

     5,000           26   

One Liberty Properties‡

     1,400           33   

OneBeacon Insurance Group, Cl A

     1,925           27   

Oppenheimer Holdings, Cl A

     704           11   

Opus Bank

     64,304           2,173   

Orchid Island Capital, Cl A‡

     2,300           24   

Oritani Financial

     4,259           68   
 

 

The accompanying notes are an integral part of the financial statements.

 

28


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Orrstown Financial Services

     800         $ 14   

Outfront Media‡

     171,406           4,143   

Owens Realty Mortgage‡

     1,000           17   

Pacific Continental

     1,500           24   

Pacific Mercantile Bancorp*

     1,600           11   

Pacific Premier Bancorp*

     28,437           682   

PacWest Bancorp

     23,791           946   

Park National

     1,389           127   

Park Sterling

     331,054           2,347   

Parkway Properties‡

     165,484           2,769   

Patriot National*

     800           7   

Peapack Gladstone Financial

     1,900           35   

Pebblebrook Hotel Trust‡

     7,224           190   

Penns Woods Bancorp

     352           15   

Pennsylvania‡

     6,938           149   

PennyMac Financial Services, Cl A*

     1,100           14   

PennyMac Mortgage Investment Trust‡

     7,167           116   

Peoples Bancorp

     1,700           37   

Peoples Financial Services

     600           23   

People’s Utah Bancorp

     1,400           23   

PHH*

     5,517           73   

Physicians Realty Trust‡

     14,100           296   

PICO Holdings*

     1,900           18   

Pinnacle Financial Partners

     4,200           205   

Piper Jaffray*

     1,600           60   

PJT Partners

     1,900           44   

Potlatch‡

     58,631           1,999   

PRA Group*

     4,861           117   

Preferred Apartment Communities, Cl A‡

     2,600           38   

Preferred Bank

     1,000           29   

Premier Financial Bancorp

     900           15   

Primerica

     55,830           3,196   

PrivateBancorp

     66,553           2,931   

Prosperity Bancshares

     42,244           2,154   

Provident Financial Holdings

     700           13   

Provident Financial Services

     6,468           127   

PS Business Parks‡

     1,985           211   

Pzena Investment Management, Cl A

     800           6   

QCR Holdings

     1,300           35   

QTS Realty Trust, Cl A‡

     45,006           2,519   

Radian Group

     22,543           235   

RAIT Financial Trust‡

     9,600           30   

Ramco-Gershenson Properties Trust‡

     8,030           157   

RE/MAX Holdings, Cl A

     1,900           76   

Redwood Trust‡

     7,400           102   
    
Description
   Shares        Value (000)  

Regional Management*

     900         $ 13   

Renasant

     4,022           130   

Republic Bancorp, Cl A

     1,200           33   

Republic First Bancorp*

     3,500           15   

Resource America, Cl A

     1,100           11   

Resource Capital‡

     2,658           34   

Retail Opportunity Investments‡

     10,400           225   

Rexford Industrial Realty‡

     6,700           141   

RLI

     3,896           268   

RLJ Lodging Trust‡

     12,703           272   

RMR Group

     866           27   

Rouse Properties‡

     4,000           73   

Ryman Hospitality Properties‡

     4,569           231   

S&T Bancorp

     3,774           92   

Sabra Health Care‡

     6,600           136   

Safeguard Scientifics*

     1,600           20   

Safety Insurance Group

     1,403           86   

Sandy Spring Bancorp

     2,570           75   

Saul Centers‡

     1,100           68   

Seacoast Banking Corp of Florida*

     3,100           50   

Select Income‡

     6,588           171   

Selective Insurance Group

     5,948           227   

Seritage Growth Properties‡

     2,600           130   

ServisFirst Bancshares

     2,400           119   

Shore Bancshares

     1,300           15   

SI Financial Group

     1,200           16   

Sierra Bancorp

     800           13   

Signature Bank*

     16,930           2,115   

Silver Bay Realty Trust‡

     4,000           68   

Silvercrest Asset Management Group, Cl A

     700           9   

Simmons First National, Cl A

     2,954           136   

Solar Capital

     45,708           871   

South State

     2,500           170   

Southern First Bancshares*

     600           14   

Southern Missouri Bancorp

     600           14   

Southern National Bancorp of Virginia

     64,392           782   

Southside Bancshares

     2,654           82   

Southwest Bancorp

     91,100           1,542   

St. Joe*

     5,600           99   

STAG Industrial‡

     52,891           1,259   

State Auto Financial

     2,776           61   

State Bank Financial

     95,521           1,944   

State National

     3,100           33   

Sterling Bancorp

     13,245           208   

Stewart Information Services

     23,410           969   

Stifel Financial*

     6,910           217   
 

 

The accompanying notes are an integral part of the financial statements.

 

29


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Stock Yards Bancorp

     2,250         $ 64   

Stonegate Bank

     65,233           2,105   

Stonegate Mortgage*

     68,069           229   

Stratus Properties*

     600           11   

Suffolk Bancorp

     1,000           31   

Summit Financial Group

     900           16   

Summit Hotel Properties‡

     9,000           119   

Sun Bancorp

     740           15   

Sunstone Hotel Investors‡

     22,738           274   

Synovus Financial

     32,375           939   

Talmer Bancorp, Cl A

     53,827           1,032   

Tanger Factory Outlet Centers‡

     69,300           2,784   

Tejon Ranch*

     1,600           38   

Terreno Realty‡

     4,400           114   

Territorial Bancorp

     684           18   

Texas Capital Bancshares*

     10,777           504   

Third Point Reinsurance*

     6,817           80   

Tier‡

     5,000           77   

Tiptree Financial

     2,800           15   

Tompkins Financial

     1,391           90   

Towne Bank

     4,760           103   

TriCo Bancshares

     2,300           63   

Trinity Place Holdings*

     2,000           15   

TriState Capital Holdings*

     2,300           32   

Triumph Bancorp*

     1,400           22   

TrustCo Bank

     8,770           56   

Trustmark

     7,028           175   

UMB Financial

     42,111           2,241   

UMH Properties‡

     2,500           28   

Umpqua Holdings

     82,412           1,275   

Union Bankshares

     5,076           131   

United Bankshares

     6,831           256   

United Community Banks

     7,316           134   

United Community Financial

     3,800           23   

United Development Funding IV‡

     2,800           9   

United Financial Bancorp

     4,951           64   

United Fire Group

     2,300           98   

United Insurance Holdings

     1,700           28   

Universal Health Realty Income Trust‡

     1,198           69   

Universal Insurance Holdings

     3,447           64   

Univest Corp of Pennsylvania

     1,834           39   

Urban Edge Properties‡

     9,400           281   

Urstadt Biddle Properties, Cl A‡

     2,571           64   

Valley National Bancorp

     25,873           236   

Veritex Holdings*

     900           14   

Virtu Financial, Cl A

     2,600           47   

Virtus Investment Partners

     660           47   
    
Description
   Shares        Value (000)  

Waddell & Reed Financial, Cl A

     8,300         $ 143   

Walker & Dunlop*

     2,900           66   

Walter Investment Management*

     2,925           8   

Washington‡

     28,923           910   

Washington Federal

     9,194           223   

Washington Trust Bancorp

     1,585           60   

WashingtonFirst Bankshares

     23,026           498   

Waterstone Financial

     2,600           40   

Webster Financial

     9,585           325   

WesBanco

     56,797           1,764   

West Bancorporation

     1,300           24   

Westamerica Bancorporation

     2,600           128   

Western Asset Mortgage Capital‡

     3,451           32   

Westfield Financial

     1,700           13   

Westwood Holdings Group

     800           41   

Whitestone, Cl B‡

     3,000           45   

Wilshire Bancorp

     7,500           78   

Winthrop Realty Trust‡

     98,127           863   

Wintrust Financial

     5,010           256   

WisdomTree Investments

     12,004           118   

WMIH*

     21,200           47   

World Acceptance*

     600           27   

WP Glimcher‡

     19,400           217   

WSFS Financial

     3,200           103   

Xenia Hotels & Resorts‡

     10,700           180   

Yadkin Financial

     5,259           132   

Your Community Bankshares

     500           19   
       

 

 

 
          166,749   
       

 

 

 

Health Care — 12.3%

       

AAC Holdings*

     1,000           23   

Abaxis

     2,433           115   

ABIOMED*

     6,920           756   

Acadia Healthcare*

     20,188           1,118   

Accelerate Diagnostics*

     2,744           39   

Acceleron Pharma*

     2,900           99   

Accuray*

     8,569           44   

AcelRx Pharmaceuticals*

     3,700           10   

Aceto

     3,000           66   

Achillion Pharmaceuticals*

     12,200           95   

Aclaris Therapeutics*

     900           17   

Acorda Therapeutics*

     4,504           115   

Adamas Pharmaceuticals*

     1,600           24   

Addus HomeCare*

     500           9   

Adeptus Health, Cl A*

     10,050           519   

Aduro Biotech*

     3,700           42   

Advaxis*

     3,500           28   
 

 

The accompanying notes are an integral part of the financial statements.

 

30


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Adverum Biotechnologies*

     1,400         $ 4   

Aerie Pharmaceuticals*

     2,500           44   

Agenus*

     6,200           25   

Agile Therapeutics*

     1,100           8   

Agilent Technologies

     51,200           2,272   

Aimmune Therapeutics*

     2,700           29   

Air Methods*

     67,208           2,408   

Akebia Therapeutics*

     3,600           27   

Albany Molecular Research*

     2,800           38   

Alder Biopharmaceuticals*

     4,900           122   

Align Technology*

     33,600           2,706   

Almost Family*

     700           30   

AMAG Pharmaceuticals*

     3,500           84   

Amedisys*

     24,673           1,245   

American Renal Associates Holdings*

     25,052           726   

Amicus Therapeutics*

     13,300           73   

AMN Healthcare Services*

     4,800           192   

Amphastar Pharmaceuticals*

     3,300           53   

Ampio Pharmaceuticals*

     4,600           6   

Amsurg, Cl A*

     31,236           2,422   

Analogic

     1,271           101   

Anavex Life Sciences*

     600           4   

AngioDynamics*

     2,800           40   

ANI Pharmaceuticals*

     700           39   

Anika Therapeutics*

     1,500           80   

Anthera Pharmaceuticals*

     3,900           12   

Applied Genetic Technologies*

     1,300           18   

Aratana Therapeutics*

     2,200           14   

Ardelyx*

     1,600           14   

Arena Pharmaceuticals*

     25,828           44   

ARIAD Pharmaceuticals*

     18,500           137   

Array BioPharma*

     13,000           46   

Arrowhead Pharmaceuticals*

     7,300           39   

Atara Biotherapeutics*

     2,400           54   

athenahealth*

     7,300           1,007   

Athersys*

     8,000           17   

AtriCure*

     2,900           41   

Atrion

     128           55   

Avexis*

     700           27   

Avinger*

     1,100           13   

AxoGen*

     2,500           17   

Axovant Sciences*

     2,600           33   

Bellicum Pharmaceuticals*

     2,200           29   

BioCryst Pharmaceuticals*

     6,637           19   

Bio-Path Holdings*

     8,700           17   

BioScrip*

     5,800           15   

BioSpecifics Technologies*

     500           20   
    
Description
   Shares        Value (000)  

BioTelemetry*

     3,100         $ 51   

BioTime*

     4,400           11   

Bluebird Bio*

     3,900           169   

Blueprint Medicines*

     2,100           43   

Cambrex*

     3,336           173   

Cantel Medical

     22,758           1,564   

Capital Senior Living*

     3,145           56   

Cara Therapeutics*

     1,500           7   

Cardiovascular Systems*

     3,579           66   

Castlight Health, Cl B*

     3,000           12   

Catalent*

     10,400           239   

Celator Pharmaceuticals*

     3,400           103   

Celldex Therapeutics*

     8,604           38   

Cellular Biomedicine Group*

     700           8   

Cempra*

     4,300           71   

Cepheid*

     7,351           227   

Cerus*

     9,600           60   

Charles River Laboratories International*

     10,130           835   

Chemed

     10,697           1,458   

ChemoCentryx*

     2,400           11   

Chimerix*

     4,000           16   

ChromaDex*

     3,000           12   

Cidara Therapeutics*

     600           6   

Civitas Solutions*

     1,600           33   

Clovis Oncology*

     3,337           46   

Coherus Biosciences*

     29,224           495   

Collegium Pharmaceutical*

     1,400           17   

Community Health Systems*

     11,500           139   

Computer Programs & Systems

     1,182           47   

Concert Pharmaceuticals*

     1,100           12   

ConforMIS*

     3,700           26   

CONMED

     2,866           137   

Corcept Therapeutics*

     7,300           40   

Corindus Vascular Robotics*

     2,500           4   

CorVel*

     900           39   

Cotiviti Holdings*

     1,300           27   

Cross Country Healthcare*

     75,932           1,057   

CryoLife

     3,300           39   

Curis*

     7,900           12   

Cutera*

     1,000           11   

Cynosure, Cl A*

     32,895           1,600   

Cytokinetics*

     3,000           28   

CytomX Therapeutics*

     2,100           21   

CytRx*

     8,500           19   

Dentsply Sirona

     22,600           1,402   

Depomed*

     135,350           2,656   
 

 

The accompanying notes are an integral part of the financial statements.

 

31


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Dermira*

     2,200         $ 64   

DexCom*

     30,835           2,446   

Dimension Therapeutics*

     1,300           8   

Diplomat Pharmacy*

     4,800           168   

Durect*

     7,900           10   

Dynavax Technologies*

     4,040           59   

Eagle Pharmaceuticals*

     900           35   

Edge Therapeutics*

     1,700           17   

Editas Medicine*

     900           22   

Egalet*

     2,300           11   

Emergent BioSolutions*

     3,379           95   

Enanta Pharmaceuticals*

     1,400           31   

Endocyte*

     2,600           8   

Endologix*

     8,439           105   

Ensign Group

     4,686           98   

Entellus Medical*

     500           9   

Envision Healthcare Holdings*

     56,400           1,431   

Enzo Biochem*

     4,100           24   

Epizyme*

     4,200           43   

Esperion Therapeutics*

     1,000           10   

Evolent Health, Cl A*

     1,500           29   

Exact Sciences*

     9,980           122   

Exactech*

     800           21   

ExamWorks Group*

     4,100           143   

Exelixis*

     22,875           179   

FibroGen*

     5,500           90   

Five Prime Therapeutics*

     2,800           116   

Flex Pharma*

     400           4   

Flexion Therapeutics*

     1,900           28   

Fluidigm*

     2,298           21   

Fortress Biotech*

     3,600           10   

Foundation Medicine*

     1,102           21   

Galena Biopharma*

     21,800           10   

Genesis Healthcare, Cl A*

     2,200           4   

GenMark Diagnostics*

     5,100           44   

Genomic Health*

     1,900           49   

Geron*

     12,900           35   

Glaukos*

     1,700           50   

Global Blood Therapeutics*

     1,500           25   

Globus Medical, Cl A*

     7,296           174   

Greatbatch*

     3,237           100   

Haemonetics*

     5,353           155   

Halozyme Therapeutics*

     11,379           98   

Halyard Health*

     4,800           156   

HealthEquity*

     4,500           137   

HealthSouth

     129,921           5,045   

HealthStream*

     2,800           74   
    
Description
   Shares        Value (000)  

Healthways*

     3,300         $ 38   

HeartWare International*

     1,570           91   

Heron Therapeutics*

     3,300           60   

Heska*

     500           19   

HMS Holdings*

     69,777           1,228   

Horizon Pharma*

     16,800           277   

ICU Medical*

     1,500           169   

Idera Pharmaceuticals*

     7,300           11   

IDEXX Laboratories*

     36,820           3,420   

Ignyta*

     2,100           11   

Immune Design*

     1,000           8   

ImmunoGen*

     7,845           24   

Immunomedics*

     11,400           26   

Impax Laboratories*

     7,678           221   

Imprivata*

     1,700           24   

INC Research Holdings, Cl A*

     4,300           164   

Infinity Pharmaceuticals*

     4,000           5   

Innoviva

     8,100           85   

Inogen*

     1,700           85   

Inotek Pharmaceuticals*

     1,800           13   

Inovio Pharmaceuticals*

     6,600           61   

Insmed*

     6,424           63   

Insulet*

     6,013           182   

Insys Therapeutics*

     1,884           24   

Integra LifeSciences Holdings*

     18,478           1,474   

Intellia Therapeutics*

     700           15   

Intercept Pharmaceuticals*

     4,869           696   

Intersect ENT*

     35,948           465   

Intra-Cellular Therapies, Cl A*

     17,193           667   

Invacare

     3,004           36   

Invitae*

     2,400           18   

InVivo Therapeutics Holdings*

     4,100           24   

iRadimed*

     200           4   

IRIDEX*

     800           12   

Ironwood Pharmaceuticals, Cl A*

     13,548           177   

K2M Group Holdings*

     40,605           630   

Karyopharm Therapeutics*

     1,700           11   

Keryx Biopharmaceuticals*

     8,177           54   

Kindred Healthcare

     229,611           2,592   

Kite Pharma*

     4,086           204   

La Jolla Pharmaceutical*

     1,200           19   

Laboratory Corp of America Holdings*

     11,400           1,485   

Landauer

     800           33   

Lannett*

     2,900           69   

LDR Holding*

     29,845           1,103   

LeMaitre Vascular

     1,200           17   

Lexicon Pharmaceuticals*

     3,871           56   
 

 

The accompanying notes are an integral part of the financial statements.

 

32


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

LHC Group*

     1,600         $ 69   

Ligand Pharmaceuticals*

     17,650           2,106   

Lion Biotechnologies*

     5,500           45   

Lipocine*

     1,700           5   

Loxo Oncology*

     1,400           32   

Luminex*

     4,200           85   

MacroGenics*

     3,400           92   

Magellan Health*

     2,644           174   

MannKind*

     33,832           39   

Masimo*

     4,215           221   

Medgenics*

     1,700           9   

Medicines*

     6,990           235   

MediciNova*

     3,100           23   

Medidata Solutions*

     5,751           270   

MEDNAX*

     23,757           1,721   

Meridian Bioscience

     4,316           84   

Merit Medical Systems*

     93,060           1,845   

Merrimack Pharmaceuticals*

     11,400           61   

MiMedx Group*

     9,900           79   

Minerva Neurosciences*

     1,700           17   

Mirati Therapeutics*

     1,000           5   

Molina Healthcare*

     4,477           223   

Momenta Pharmaceuticals*

     6,753           73   

MyoKardia*

     1,300           16   

Myriad Genetics*

     6,800           208   

NanoString Technologies*

     43,840           552   

NantKwest*

     900           6   

Natera*

     2,700           33   

National HealthCare

     1,200           78   

National Research, Cl A

     800           11   

Natus Medical*

     3,283           124   

Nektar Therapeutics*

     13,550           193   

Neogen*

     3,773           212   

NeoGenomics*

     143,030           1,150   

Neos Therapeutics*

     600           6   

Nevro*

     38,986           2,876   

NewLink Genetics*

     1,841           21   

Nobilis Health*

     5,800           13   

Novavax*

     28,234           205   

Novocure*

     5,300           62   

NuVasive*

     49,786           2,974   

NxStage Medical*

     6,500           141   

Ocular Therapeutix*

     1,100           5   

Omeros*

     3,900           41   

Omnicell*

     3,682           126   

OncoMed Pharmaceuticals*

     1,400           17   

Ophthotech*

     3,200           163   
    
Description
   Shares        Value (000)  

OraSure Technologies*

     4,800         $ 28   

Organovo Holdings*

     8,700           32   

Orthofix International*

     1,759           75   

Osiris Therapeutics

     1,600           8   

Otonomy*

     2,200           35   

OvaScience*

     1,900           10   

Owens & Minor

     6,559           245   

Oxford Immunotec Global*

     1,900           17   

Pacific Biosciences of California*

     8,000           56   

Pacira Pharmaceuticals*

     3,810           129   

Paratek Pharmaceuticals*

     900           13   

PAREXEL International*

     38,110           2,397   

PDL BioPharma

     15,031           47   

Penumbra*

     2,700           161   

Pfenex*

     1,200           10   

PharmAthene*

     6,500           16   

PharMerica*

     2,800           69   

Phibro Animal Health, Cl A

     2,000           37   

Portola Pharmaceuticals, Cl A*

     5,099           120   

PRA Health Sciences*

     2,500           104   

Press Ganey Holdings*

     2,300           91   

Prestige Brands Holdings*

     42,038           2,329   

Progenics Pharmaceuticals*

     6,500           27   

Proteostasis Therapeutics*

     700           8   

Prothena*

     3,600           126   

Providence Service*

     39,005           1,751   

PTC Therapeutics*

     3,100           22   

Puma Biotechnology*

     2,600           77   

Quality Systems

     5,300           63   

Quidel*

     58,585           1,046   

Quorum Health*

     3,100           34   

Radius Health*

     3,300           121   

RadNet*

     2,500           13   

Raptor Pharmaceutical*

     9,200           49   

Reata Pharmaceuticals, Cl A*

     600           12   

REGENXBIO*

     2,100           17   

Regulus Therapeutics*

     2,500           7   

Relypsa*

     3,800           70   

Repligen*

     3,600           98   

Retrophin*

     3,800           68   

Revance Therapeutics*

     2,200           30   

Rigel Pharmaceuticals*

     6,700           15   

Rockwell Medical*

     4,500           34   

RTI Surgical*

     4,100           15   

Sage Therapeutics*

     2,800           84   

Sagent Pharmaceuticals*

     201,841           3,024   

Sangamo BioSciences*

     7,600           44   
 

 

The accompanying notes are an integral part of the financial statements.

 

33


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Sarepta Therapeutics*

     4,400         $ 84   

SciClone Pharmaceuticals*

     5,200           68   

Second Sight Medical Products*

     1,282           5   

Select Medical Holdings*

     11,100           121   

Senseonics Holdings*

     2,900           11   

Seres Therapeutics*

     1,900           55   

Sorrento Therapeutics*

     2,100           12   

Spark Therapeutics*

     1,800           92   

Spectranetics*

     39,240           734   

Spectrum Pharmaceuticals*

     6,199           41   

STAAR Surgical*

     3,200           18   

Stemline Therapeutics*

     1,300           9   

STERIS

     24,405           1,678   

Sucampo Pharmaceuticals, Cl A*

     2,100           23   

Supernus Pharmaceuticals*

     66,245           1,349   

Surgery Partners*

     1,900           34   

Surgical Care Affiliates*

     2,800           133   

SurModics*

     1,100           26   

Symmetry Surgical*

     1,000           13   

Synergy Pharmaceuticals*

     18,900           72   

Synthetic Biologics*

     7,900           14   

T2 Biosystems*

     600           5   

Tandem Diabetes Care*

     135,017           1,018   

Team Health Holdings*

     6,968           283   

Teladoc*

     2,200           35   

Teligent*

     4,000           29   

TESARO*

     2,500           210   

Tetraphase Pharmaceuticals*

     3,000           13   

TG Therapeutics*

     2,900           18   

TherapeuticsMD*

     15,700           133   

Theravance Biopharma

     3,800           86   

Titan Pharmaceuticals*

     2,000           11   

Tobira Therapeutics*

     900           11   

Tokai Pharmaceuticals*

     1,000           6   

TransEnterix*

     5,800           7   

Trevena*

     4,700           30   

Triple-S Management, Cl B*

     2,469           60   

Trovagene*

     1,700           8   

Trupanion*

     1,600           21   

Ultragenyx Pharmaceutical*

     9,400           461   

Universal American

     6,000           45   

US Physical Therapy

     1,200           72   

Utah Medical Products

     300           19   

Vanda Pharmaceuticals*

     3,500           39   

Vascular Solutions*

     1,600           67   

VCA*

     20,565           1,390   

Veracyte*

     1,300           7   
    
Description
   Shares        Value (000)  

Versartis*

     2,900         $ 32   

Vitae Pharmaceuticals*

     2,700           29   

Vital Therapies*

     2,700           17   

Vocera Communications*

     46,699           600   

Voyager Therapeutics*

     1,200           13   

WaVe Life Sciences*

     800           17   

WellCare Health Plans*

     18,100           1,942   

West Pharmaceutical Services

     14,500           1,100   

Wright Medical Group*

     10,793           187   

XBiotech*

     1,800           38   

Xencor*

     3,200           61   

XenoPort*

     4,900           34   

Zafgen*

     1,200           7   

Zeltiq Aesthetics*

     3,500           96   

ZIOPHARM Oncology*

     12,110           66   

Zogenix*

     2,312           19   
       

 

 

 
          101,096   
       

 

 

 

Industrials — 17.4%

       

AAON

     4,212           116   

AAR

     45,391           1,059   

ABM Industries

     5,847           213   

Acacia Research

     4,119           18   

ACCO Brands*

     11,300           117   

Actuant, Cl A

     5,981           135   

Advanced Drainage Systems

     3,400           93   

Advisory Board*

     4,062           144   

Aegion, Cl A*

     3,600           70   

AerCap Holdings*

     37,145           1,248   

Aerojet Rocketdyne Holdings*

     6,293           115   

Aerovironment*

     2,000           56   

Air Transport Services Group*

     4,800           62   

Aircastle

     4,900           96   

Alamo Group

     1,100           73   

Albany International, Cl A

     38,779           1,547   

Allegiant Travel, Cl A

     1,328           201   

Allegion

     32,600           2,264   

Allied Motion Technologies

     600           14   

Altra Industrial Motion

     36,702           990   

Ameresco, Cl A*

     1,900           8   

American Railcar Industries

     1,100           43   

American Science & Engineering

     16,765           627   

American Superconductor*

     1,200           10   

American Woodmark*

     1,400           93   

AO Smith

     6,005           529   

Apogee Enterprises

     3,000           139   

Applied Industrial Technologies

     3,894           176   
 

 

The accompanying notes are an integral part of the financial statements.

 

34


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Aqua Metals*

     1,100         $ 13   

ARC Document Solutions*

     3,500           14   

ArcBest

     44,831           729   

Argan

     1,400           58   

Armstrong Flooring*

     2,400           41   

Astec Industries

     27,229           1,529   

Astronics, Cl A*

     2,286           76   

Atkore International Group*

     15,125           242   

Atlas Air Worldwide Holdings*

     2,600           108   

AZZ

     16,993           1,019   

Babcock & Wilcox Enterprises*

     4,800           71   

Barnes Group

     39,558           1,310   

Barrett Business Services

     600           25   

Beacon Roofing Supply*

     33,289           1,514   

BMC Stock Holdings*

     151,183           2,694   

Brady, Cl A

     4,691           143   

Briggs & Stratton

     4,253           90   

Brink’s

     4,530           129   

Builders FirstSource*

     60,120           676   

BWX Technologies, Cl W

     35,040           1,253   

Caesarstone*

     2,500           87   

CAI International*

     59,910           449   

Casella Waste Systems, Cl A*

     80,154           629   

CBIZ*

     4,491           47   

CEB

     3,442           212   

CECO Environmental

     2,800           24   

Celadon Group

     167,318           1,367   

Chart Industries*

     3,179           77   

CIRCOR International

     1,700           97   

CLARCOR

     24,401           1,484   

Clean Harbors*

     54,600           2,845   

Colfax*

     26,965           713   

Columbus McKinnon

     53,468           757   

Comfort Systems USA

     3,660           119   

Commercial Vehicle Group*

     153,741           799   

Continental Building Products*

     3,700           82   

Costamare

     2,800           21   

Covenant Transportation Group, Cl A*

     58,772           1,062   

CPI Aerostructures*

     129,480           796   

CRA International*

     800           20   

Crane

     1,574           89   

CSW Industrials*

     1,500           49   

Cubic

     2,649           106   

Curtiss-Wright

     4,677           394   

Deluxe

     48,164           3,197   

DigitalGlobe*

     75,952           1,625   

Douglas Dynamics

     2,371           61   
    
Description
   Shares        Value (000)  

Ducommun*

     900         $ 18   

DXP Enterprises*

     996           15   

Dycom Industries*

     64,643           5,803   

Dynamic Materials

     1,500           16   

Echo Global Logistics*

     88,391           1,982   

EMCOR Group

     58,293           2,873   

Encore Wire

     2,151           80   

Energous*

     1,500           19   

Energy Recovery*

     3,600           32   

EnerSys

     4,519           269   

Engility Holdings*

     2,100           44   

Ennis

     2,700           52   

EnPro Industries

     2,300           102   

ESCO Technologies

     2,800           112   

Essendant

     3,904           119   

Esterline Technologies*

     3,075           191   

ExOne*

     700           7   

Exponent

     2,550           149   

Federal Signal

     5,696           73   

Fortune Brands Home & Security

     25,600           1,484   

Forward Air

     2,991           133   

Franklin Covey*

     1,526           23   

Franklin Electric

     50,702           1,676   

FreightCar America

     1,000           14   

FTI Consulting*

     4,328           176   

FuelCell Energy*

     1,650           10   

G&K Services, Cl A

     1,946           149   

GATX

     63,820           2,805   

Generac Holdings*

     6,709           235   

General Cable

     5,042           64   

Genesee & Wyoming, Cl A*

     15,367           906   

Gibraltar Industries*

     3,300           104   

Global Brass & Copper Holdings

     2,400           65   

GMS*

     700           16   

Gorman-Rupp

     2,073           57   

GP Strategies*

     1,000           22   

Graham

     900           17   

Granite Construction

     101,918           4,643   

Great Lakes Dredge & Dock*

     5,100           22   

Greenbrier

     2,785           81   

Griffon

     3,000           51   

H&E Equipment Services

     3,231           61   

Hardinge

     1,200           12   

Harsco

     130,653           868   

Hawaiian Holdings*

     5,500           209   

HC2 Holdings*

     1,900           8   

HD Supply Holdings*

     34,700           1,208   
 

 

The accompanying notes are an integral part of the financial statements.

 

35


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Healthcare Services Group

     7,278         $ 301   

Heartland Express

     4,984           87   

HEICO

     18,620           1,244   

Heidrick & Struggles International

     1,500           25   

Heritage-Crystal Clean*

     800           10   

Herman Miller

     6,239           186   

Hill International*

     2,100           9   

Hillenbrand

     6,116           184   

HNI

     23,878           1,110   

Hub Group, Cl A*

     3,582           137   

Hurco

     500           14   

Huron Consulting Group*

     2,234           135   

Hyster-Yale Materials Handling

     973           58   

ICF International*

     2,000           82   

IES Holdings*

     800           10   

InnerWorkings*

     161,202           1,333   

Insperity

     1,700           131   

Insteel Industries

     1,975           56   

Interface, Cl A

     223,087           3,403   

ITT

     69,810           2,232   

John Bean Technologies

     22,752           1,393   

Joy Global

     10,300           218   

Kadant

     1,200           62   

Kaman

     2,845           121   

KBR

     202,654           2,683   

Kelly Services, Cl A

     2,848           54   

Kennametal

     8,300           184   

KEYW Holding*

     3,700           37   

Kforce

     2,200           37   

Kimball International, Cl B

     3,900           44   

Kirby*

     38,190           2,383   

KLX*

     5,500           171   

Knight Transportation

     7,000           186   

Knoll

     4,909           119   

Korn

     5,966           123   

Kratos Defense & Security Solutions*

     3,700           15   

Lawson Products*

     600           12   

Layne Christensen*

     1,900           15   

Lindsay

     1,100           75   

LSI Industries

     2,500           28   

Lydall*

     1,605           62   

Manitowoc

     13,300           72   

Marten Transport

     116,921           2,314   

Masco

     60,000           1,856   

Masonite International*

     3,141           208   

MasTec*

     52,497           1,172   

Matson

     4,265           138   
    
Description
   Shares        Value (000)  

Matthews International, Cl A

     34,027         $ 1,893   

McGrath RentCorp

     172,271           5,271   

Meritor*

     8,900           64   

Middleby*

     8,100           934   

Milacron Holdings*

     1,400           20   

Miller Industries

     900           19   

Mistras Group*

     1,800           43   

Mobile Mini

     4,651           161   

Moog, Cl A*

     54,746           2,952   

MRC Global*

     10,400           148   

MSA Safety

     27,196           1,429   

Mueller Industries

     5,674           181   

Mueller Water Products, Cl A

     16,290           186   

Multi-Color

     1,300           82   

MYR Group*

     1,700           41   

National Presto Industries

     600           57   

Navigant Consulting*

     4,964           80   

Navistar International*

     4,600           54   

NCI Building Systems*

     9,655           154   

Neff, Cl A*

     700           8   

NL Industries*

     300           1   

NN

     2,400           34   

Nortek*

     900           53   

NOW*

     11,200           203   

NV5 Global*

     21,610           615   

Old Dominion Freight Line*

     12,370           746   

Omega Flex

     200           8   

On Assignment*

     69,576           2,571   

Orbital ATK

     29,979           2,552   

Orion Group Holdings*

     2,300           12   

Oshkosh

     48,586           2,317   

PAM Transportation Services*

     200           3   

Park-Ohio Holdings

     700           20   

Patrick Industries*

     1,550           93   

PGT*

     247,144           2,547   

Pitney Bowes

     132,530           2,359   

Plug Power*

     15,992           30   

Ply Gem Holdings*

     2,500           36   

Powell Industries

     734           29   

Power Solutions International*

     400           7   

Preformed Line Products

     100           4   

Primoris Services

     56,761           1,074   

Proto Labs*

     2,528           146   

Quad

     3,300           77   

Quanex Building Products

     3,600           67   

Radiant Logistics*

     249,120           747   

Raven Industries

     4,170           79   
 

 

The accompanying notes are an integral part of the financial statements.

 

36


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

RBC Bearings*

     2,260         $ 164   

Regal Beloit

     30,629           1,686   

Resources Connection

     3,800           56   

Revolution Lighting Technologies*

     190,220           1,176   

Rexnord*

     8,605           169   

Roadrunner Transportation Systems*

     2,289           17   

RPX*

     4,900           45   

Rush Enterprises, Cl A*

     3,831           82   

Saia*

     57,794           1,453   

Scorpio Bulkers*

     6,155           17   

Simpson Manufacturing

     4,385           175   

SiteOne Landscape Supply*

     1,200           40   

SkyWest

     5,300           140   

SP Plus*

     51,345           1,159   

Sparton*

     700           15   

SPX

     4,300           64   

SPX FLOW*

     3,700           96   

Standex International

     1,340           111   

Steelcase, Cl A

     8,966           122   

Sun Hydraulics

     2,427           72   

Sunrun*

     6,600           39   

Supreme Industries, Cl A

     1,400           19   

Swift Transportation, Cl A*

     8,480           131   

TAL International Group

     3,547           48   

TASER International*

     5,512           137   

Team*

     3,030           75   

Teledyne Technologies*

     3,493           346   

Tennant

     23,216           1,251   

Tetra Tech

     5,782           178   

Textainer Group Holdings

     2,100           23   

Thermon Group Holdings*

     3,300           63   

Titan International

     3,700           23   

Titan Machinery*

     24,232           270   

TransUnion*

     42,100           1,408   

TRC*

     1,600           10   

Trex*

     3,000           135   

TriMas*

     4,699           85   

TriNet Group*

     4,500           94   

Trinity Industries

     150,500           2,794   

Triumph Group

     5,200           185   

TrueBlue*

     4,589           87   

Tutor Perini*

     39,844           938   

UniFirst

     1,563           181   

Univar*

     4,500           85   

Universal Forest Products

     2,023           188   

Universal Logistics Holdings

     800           10   

US Ecology

     2,200           101   
    
Description
   Shares        Value (000)  

USA Truck*

     600         $ 11   

Valmont Industries

     8,660           1,171   

Vectrus*

     1,300           37   

Veritiv*

     1,000           38   

Viad

     2,000           62   

Vicor*

     1,200           12   

Virgin America*

     2,100           118   

VSE

     400           27   

Wabash National*

     116,520           1,480   

Wabtec

     14,183           996   

WageWorks*

     16,550           990   

Watts Water Technologies, Cl A

     2,795           163   

Werner Enterprises

     4,700           108   

Wesco Aircraft Holdings*

     6,006           81   

West

     4,500           88   

Willis Lease Finance*

     400           9   

Woodward

     5,492           317   

XPO Logistics*

     10,193           268   

YRC Worldwide*

     3,042           27   
       

 

 

 
          142,775   
       

 

 

 

Information Technology — 18.7%

       

3D Systems*

     11,200           153   

A10 Networks*

     4,600           30   

Acacia Communications*

     500           20   

ACI Worldwide*

     53,168           1,037   

Actua*

     3,207           29   

Acxiom*

     8,105           178   

ADTRAN

     83,655           1,560   

Advanced Energy Industries*

     34,761           1,320   

Advanced Micro Devices*

     68,500           352   

Aerohive Networks*

     2,200           15   

Agilysys*

     1,400           15   

Alarm.com Holdings*

     1,000           26   

Alpha & Omega Semiconductor*

     1,800           25   

Ambarella*

     3,300           168   

Amber Road*

     900           7   

American Software, Cl A

     2,000           21   

Amkor Technology*

     10,500           60   

Angie’s List*

     3,761           24   

Anixter International*

     3,000           160   

Apigee*

     1,600           20   

Appfolio, Cl A*

     700           10   

Applied Micro Circuits*

     7,400           48   

Applied Optoelectronics*

     1,600           18   

Aspen Technology*

     44,156           1,777   

Autobytel*

     900           12   
 

 

The accompanying notes are an integral part of the financial statements.

 

37


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

AVG Technologies*

     4,400         $ 84   

Avid Technology*

     2,300           13   

AVX

     4,900           67   

Axcelis Technologies*

     10,900           29   

Badger Meter

     1,368           100   

Bankrate*

     6,068           45   

Barracuda Networks*

     2,300           35   

Bazaarvoice*

     501,181           2,011   

Bel Fuse, Cl B

     900           16   

Belden

     28,303           1,709   

Benchmark Electronics*

     36,359           769   

Benefitfocus*

     1,300           50   

Black Box

     1,300           17   

Blackbaud

     16,274           1,105   

Blackhawk Network Holdings, Cl A*

     5,734           192   

Blucora*

     3,458           36   

Booz Allen Hamilton Holding, Cl A

     10,300           305   

Bottomline Technologies*

     63,423           1,365   

Box, Cl A*

     5,100           53   

Brightcove*

     2,500           22   

BroadSoft*

     22,603           927   

Brooks Automation

     25,300           284   

Cabot Microelectronics

     35,081           1,485   

CACI International, Cl A*

     2,569           232   

CalAmp*

     39,744           589   

Calix*

     3,500           24   

Callidus Software*

     59,793           1,195   

Carbonite*

     1,300           13   

Cardtronics*

     4,663           186   

Care.com*

     2,000           23   

Cass Information Systems

     1,100           57   

Cavium*

     5,910           228   

CEVA*

     1,900           52   

ChannelAdvisor*

     64,005           927   

Ciena*

     14,308           268   

Cimpress*

     2,619           242   

Cirrus Logic*

     6,583           255   

Clearfield*

     900           16   

Coherent*

     11,226           1,030   

Cohu

     86,566           939   

CommScope Holding*

     94,600           2,936   

CommVault Systems*

     31,858           1,376   

comScore*

     4,863           116   

Comtech Telecommunications

     19,790           254   

Control4*

     2,000           16   

Convergys

     9,214           230   

Cornerstone OnDemand*

     5,402           206   
    
Description
   Shares        Value (000)  

CPI Card Group

     1,500         $ 8   

Cray*

     4,000           120   

Criteo ADR*

     40,754           1,871   

CSG Systems International

     3,170           128   

CTS

     3,566           64   

Cvent*

     3,100           111   

Cypress Semiconductor

     122,660           1,294   

CYREN*

     292,662           579   

Daktronics

     3,200           20   

Datalink*

     1,400           11   

Demandware*

     3,900           292   

DHI Group*

     5,200           32   

Diebold

     148,990           3,698   

Digi International*

     2,000           21   

Digimarc*

     1,000           32   

Diodes*

     4,100           77   

Dolby Laboratories, Cl A

     48,016           2,298   

DSP Group*

     1,700           18   

DST Systems

     35,595           4,143   

DTS*

     1,600           42   

EarthLink Holdings

     11,000           70   

Eastman Kodak*

     1,500           24   

Ebix

     2,500           120   

Electro Rent

     1,200           18   

Electro Scientific Industries*

     2,900           17   

Electronics For Imaging*

     48,145           2,072   

Ellie Mae*

     2,999           275   

EMCORE*

     2,400           14   

Endurance International Group Holdings*

     6,900           62   

EnerNOC*

     2,300           15   

Entegris*

     14,809           214   

Envestnet*

     4,302           143   

EPAM Systems*

     4,994           321   

Epiq Systems

     3,000           44   

ePlus*

     700           57   

Euronet Worldwide*

     50,853           3,519   

EVERTEC

     6,392           99   

Everyday Health*

     1,900           15   

Exa*

     1,400           20   

Exar*

     125,635           1,011   

ExlService Holdings*

     27,864           1,460   

Extreme Networks*

     10,800           37   

Fabrinet*

     35,684           1,325   

Fair Isaac

     13,781           1,557   

Fairchild Semiconductor International, Cl A*

     10,700           212   
 

 

The accompanying notes are an integral part of the financial statements.

 

38


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

FARO Technologies*

     1,800         $ 61   

Finisar*

     11,275           197   

Five9*

     122,258           1,455   

Fleetmatics Group*

     4,110           178   

FormFactor*

     7,680           69   

Forrester Research

     1,000           37   

Gartner*

     8,300           809   

Gigamon*

     3,400           127   

GigPeak*

     120,401           236   

Globant*

     2,700           106   

Glu Mobile*

     9,800           22   

Gogo*

     5,100           43   

GrubHub*

     8,400           261   

GTT Communications*

     127,562           2,358   

Guidance Software*

     1,700           11   

Hackett Group

     2,000           28   

Harmonic*

     6,927           20   

Higher One Holdings*

     3,200           16   

Himax Technologies ADR

     35,950           297   

Hortonworks*

     4,200           45   

HubSpot*

     3,000           130   

II-VI*

     6,235           117   

Immersion*

     2,352           17   

Imperva*

     2,940           126   

Infinera*

     14,645           165   

Infoblox*

     5,855           110   

Information Services Group*

     3,200           12   

Inphi*

     41,852           1,341   

Insight Enterprises*

     27,277           709   

Instructure*

     800           15   

Integrated Device Technology*

     123,966           2,495   

Interactive Intelligence Group*

     1,900           78   

InterDigital

     3,500           195   

Intersil, Cl A

     14,066           190   

InterXion Holding*

     35,970           1,327   

Intralinks Holdings*

     4,600           30   

InvenSense, Cl A*

     8,529           52   

Itron*

     56,951           2,455   

Ixia*

     6,800           67   

IXYS

     2,000           21   

j2 Global

     4,944           312   

Jabil Circuit

     296,465           5,477   

Jive Software*

     6,000           23   

Kimball Electronics*

     3,150           39   

Knowles*

     68,045           931   

Kopin*

     5,200           12   

KVH Industries*

     1,300           10   
    
Description
   Shares        Value (000)  

Lattice Semiconductor*

     11,472         $ 61   

Limelight Networks*

     4,500           7   

Lionbridge Technologies*

     5,400           21   

Liquidity Services*

     34,571           271   

Littelfuse

     11,001           1,300   

LivePerson*

     6,540           41   

LogMeIn*

     2,601           165   

Lumentum Holdings*

     30,240           732   

MACOM Technology Solutions Holdings*

     2,400           79   

ManTech International, Cl A

     2,600           98   

Marchex, Cl B*

     2,200           7   

Marin Software*

     361,905           850   

Marketo*

     4,291           149   

MAXIMUS

     6,660           369   

MaxLinear, Cl A*

     5,806           104   

Maxwell Technologies*

     3,300           17   

MeetMe*

     4,300           23   

Mentor Graphics

     11,215           238   

Mercury Systems*

     109,145           2,713   

Mesa Laboratories

     300           37   

Methode Electronics

     96,827           3,314   

Micron Technology*

     74,400           1,024   

Microsemi*

     92,260           3,015   

MicroStrategy, Cl A*

     1,000           175   

MINDBODY, Cl A*

     1,500           24   

Mitek Systems*

     3,100           22   

MKS Instruments

     5,538           238   

MobileIron*

     3,500           11   

Mobileye*

     85,620           3,952   

Model N*

     241,896           3,230   

MoneyGram International*

     2,486           17   

Monolithic Power Systems

     21,480           1,468   

Monotype Imaging Holdings

     4,200           103   

Monster Worldwide*

     7,500           18   

MTS Systems

     1,395           61   

Multi-Fineline Electronix*

     700           16   

Nanometrics*

     2,700           56   

NCR*

     24,485           680   

NeoPhotonics*

     3,100           30   

NETGEAR*

     3,369           160   

NetScout Systems*

     10,048           224   

NeuStar, Cl A*

     5,700           134   

New Relic*

     2,300           68   

NIC

     6,590           145   

Nimble Storage*

     6,600           53   

Novanta*

     82,854           1,255   
 

 

The accompanying notes are an integral part of the financial statements.

 

39


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Nuance Communications*

     46,300         $ 724   

Numerex, Cl A*

     1,400           10   

NVE

     400           23   

NVIDIA

     74,000           3,480   

Oclaro*

     121,010           591   

OSI Systems*

     1,920           112   

Park City Group*

     700           6   

Park Electrochemical

     1,773           26   

Paycom Software*

     4,600           199   

Paylocity Holding*

     24,180           1,045   

PC Connection

     1,200           29   

PDF Solutions*

     2,400           34   

Pegasystems

     3,639           98   

Perficient*

     3,306           67   

PFSweb*

     1,200           11   

Photronics*

     6,794           61   

Planet Payment*

     4,400           20   

Plantronics

     3,474           153   

Plexus*

     3,532           153   

Polycom*

     14,177           159   

Power Integrations

     2,783           139   

Progress Software*

     5,264           145   

Proofpoint*

     18,862           1,190   

PROS Holdings*

     2,673           47   

Pure Storage, Cl A*

     6,400           70   

Q2 Holdings*

     33,825           948   

QAD, Cl A

     1,000           19   

Qlik Technologies*

     9,806           290   

QLogic*

     8,815           130   

Qualys*

     2,800           83   

QuickLogic*

     510,686           495   

QuinStreet*

     2,600           9   

Quotient Technology*

     45,815           614   

Radisys*

     323,465           1,449   

Rambus*

     10,800           130   

Rapid7*

     2,100           26   

RealNetworks*

     2,200           9   

RealPage*

     5,400           121   

Reis

     723           18   

RetailMeNot*

     3,200           25   

Rightside Group*

     1,200           13   

RingCentral, Cl A*

     84,800           1,672   

Rofin-Sinar Technologies*

     2,800           89   

Rogers*

     47,388           2,895   

Rosetta Stone*

     2,000           16   

Rovi*

     38,932           609   

Rubicon Project*

     3,900           53   
    
Description
   Shares        Value (000)  

Rudolph Technologies*

     2,800         $ 43   

Sanmina*

     7,838           210   

Sapiens International

     2,047           24   

ScanSource*

     2,547           95   

Science Applications International

     4,609           269   

SciQuest*

     3,100           55   

Seachange International*

     210,354           671   

SecureWorks, Cl A*

     600           8   

Semtech*

     6,908           165   

ServiceNow*

     43,435           2,884   

ServiceSource International*

     5,700           23   

SharpSpring*

     117,478           614   

ShoreTel*

     399,774           2,674   

Shutterstock*

     1,803           83   

Sigma Designs*

     2,600           17   

Silicom

     600           18   

Silicon Graphics International*

     2,900           15   

Silicon Laboratories*

     4,300           210   

Silver Spring Networks*

     3,900           47   

Sonus Networks*

     5,696           49   

SPS Commerce*

     1,800           109   

Stamps.com*

     20,830           1,821   

Stratasys*

     5,400           124   

Super Micro Computer*

     3,900           97   

Sykes Enterprises*

     3,900           113   

Synaptics*

     3,782           203   

Synchronoss Technologies*

     4,314           137   

SYNNEX

     3,094           293   

Syntel*

     3,400           154   

Take-Two Interactive Software*

     8,741           331   

Tangoe*

     3,000           23   

Tech Data*

     3,600           259   

TechTarget*

     1,400           11   

Telenav*

     105,330           537   

TeleTech Holdings

     1,800           49   

Tessera Technologies

     5,247           161   

TiVo*

     10,191           101   

Travelport Worldwide

     12,084           156   

Trimble Navigation*

     45,100           1,099   

TrueCar*

     5,800           46   

TTM Technologies*

     6,553           49   

TubeMogul*

     2,300           27   

Tyler Technologies*

     6,375           1,063   

Ubiquiti Networks

     2,732           106   

Ultra Clean Holdings*

     2,500           14   

Ultratech*

     2,804           64   

Unisys*

     4,561           33   
 

 

The accompanying notes are an integral part of the financial statements.

 

40


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

United Online*

     1,000         $ 11   

Universal Display*

     28,841           1,955   

USA Technologies*

     3,700           16   

Vantiv, Cl A*

     18,600           1,053   

Varonis Systems*

     23,245           558   

VASCO Data Security International*

     3,200           52   

Veeco Instruments*

     102,578           1,699   

VeriFone Systems*

     27,145           503   

Verint Systems*

     6,519           216   

ViaSat*

     4,673           334   

Viavi Solutions*

     24,500           162   

VirnetX Holding*

     3,600           14   

Virtusa*

     2,999           87   

Vishay Intertechnology

     226,930           2,812   

Vishay Precision Group*

     900           12   

Web.com Group*

     4,751           86   

WebMD Health, Cl A*

     18,790           1,092   

Workiva, Cl A*

     2,300           31   

Xactly*

     2,400           31   

Xcerra*

     6,400           37   

XO Group*

     3,100           54   

Xura*

     2,500           61   

Zendesk*

     84,110           2,219   

Zix*

     4,700           18   
       

 

 

 
          153,173   
       

 

 

 

Materials — 5.3%

       

A Schulman

     54,183           1,323   

AEP Industries

     500           40   

AgroFresh Solutions*

     2,300           12   

AK Steel Holding*

     24,952           116   

Alamos Gold, Cl A

     60,378           519   

ALJ Regional Holdings*

     1,900           10   

Allegheny Technologies

     11,300           144   

American Vanguard

     3,000           45   

Ampco-Pittsburgh

     900           10   

AptarGroup

     35,800           2,833   

Avery Dennison

     35,075           2,622   

Axiall

     7,393           241   

Balchem

     3,165           189   

Berry Plastics Group*

     27,915           1,084   

Boise Cascade*

     14,229           327   

Calgon Carbon

     4,800           63   

Carpenter Technology

     4,800           158   

Century Aluminum*

     4,264           27   

Chase

     700           41   

Chemours

     19,100           157   
    
Description
   Shares        Value (000)  

Chemtura*

     6,409         $ 169   

Clearwater Paper*

     1,700           111   

Cliffs Natural Resources*

     18,400           104   

Codexis*

     3,500           14   

Coeur Mining*

     15,976           170   

Commercial Metals

     163,009           2,756   

Compass Minerals International

     24,419           1,812   

Deltic Timber

     1,140           77   

Ferro*

     74,603           998   

Ferroglobe

     6,800           59   

Flotek Industries*

     4,900           65   

FutureFuel

     2,300           25   

GCP Applied Technologies*

     118,000           3,073   

Gold Resource

     5,200           19   

Greif, Cl A

     49,865           1,869   

Handy & Harman*

     200           5   

Hawkins

     1,200           52   

Haynes International

     27,370           878   

HB Fuller

     5,268           232   

Headwaters*

     61,681           1,106   

Hecla Mining

     39,822           203   

Hi-Crush Partners (A)

     51,499           673   

Ingevity*

     4,400           150   

Innophos Holdings

     2,087           88   

Innospec

     2,390           110   

Kaiser Aluminum

     1,808           163   

KapStone Paper and Packaging

     9,029           117   

KMG Chemicals

     1,300           34   

Koppers Holdings*

     2,148           66   

Kraton Performance Polymers*

     81,180           2,267   

Kronos Worldwide

     178,921           939   

Louisiana-Pacific*

     15,055           261   

LSB Industries*

     1,500           18   

Materion

     2,153           53   

Mercer International

     81,660           652   

Minerals Technologies

     3,607           205   

Multi Packaging Solutions International*

     65,985           881   

Myers Industries

     2,098           30   

Neenah Paper

     1,764           128   

Olin

     64,689           1,607   

Olympic Steel

     700           19   

OMNOVA Solutions*

     4,000           29   

PH Glatfelter

     4,676           91   

PolyOne

     156,003           5,498   

Quaker Chemical

     1,334           119   

Rayonier Advanced Materials

     4,400           60   
 

 

The accompanying notes are an integral part of the financial statements.

 

41


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

Real Industry*

     1,700         $ 13   

Ryerson Holding*

     1,700           30   

Schnitzer Steel Industries, Cl A

     2,758           49   

Schweitzer-Mauduit International

     3,044           107   

Sensient Technologies

     4,537           322   

Silgan Holdings

     13,041           671   

Stepan

     2,100           125   

Stillwater Mining*

     12,728           151   

Summit Materials, Cl A*

     6,634           136   

SunCoke Energy

     5,324           31   

TimkenSteel

     4,500           43   

Trecora Resources*

     1,600           17   

Tredegar

     2,700           44   

Trinseo

     3,000           129   

Tronox, Cl A

     6,997           31   

UFP Technologies*

     700           16   

United States Lime & Minerals

     100           6   

US Concrete*

     16,401           999   

Valhi

     2,200           3   

Westlake Chemical

     56,210           2,413   

Worthington Industries

     4,632           196   
       

 

 

 
          43,548   
       

 

 

 

Telecommunication Services — 0.5%

  

8x8*

     101,380           1,481   

ATN International

     1,092           85   

Boingo Wireless*

     3,100           28   

Cincinnati Bell*

     22,700           104   

Cogent Communications Holdings

     37,511           1,503   

Consolidated Communications Holdings

     5,196           142   

FairPoint Communications*

     2,200           32   

General Communication, Cl A*

     3,500           55   

Globalstar*

     49,682           60   

Hawaiian Telcom Holdco*

     900           19   

IDT, Cl B

     1,300           18   

inContact*

     6,400           89   

Inteliquent

     3,000           60   

Intelsat*

     2,400           6   

Iridium Communications*

     8,248           73   

Lumos Networks*

     2,616           32   

NII Holdings*

     5,600           18   

ORBCOMM*

     5,900           59   

pdvWireless*

     1,200           26   

Shenandoah Telecommunications

     4,800           187   

Spok Holdings

     1,800           34   

Straight Path Communications*

     1,100           30   
    
Description
   Shares        Value (000)  

Vonage Holdings*

     18,600         $ 113   

Windstream Holdings

     10,000           93   
       

 

 

 
          4,347   
       

 

 

 

Utilities — 1.6%

       

AGL Resources

     17,926           1,182   

ALLETE

     33,686           2,176   

American States Water

     3,673           161   

Artesian Resources, Cl A

     700           24   

Atlantic Power

     14,200           35   

Atlantica Yield

     6,100           113   

Avista

     6,600           296   

Black Hills

     5,376           339   

California Water Service Group

     5,000           174   

Chesapeake Utilities

     1,390           92   

Connecticut Water Service

     1,223           69   

Consolidated Water

     1,400           18   

Delta Natural Gas

     700           19   

Dynegy, Cl A*

     11,937           206   

El Paso Electric

     4,180           198   

Empire District Electric

     50,338           1,710   

Genie Energy, Cl B

     1,200           8   

IDACORP

     5,274           429   

MGE Energy

     3,682           208   

Middlesex Water

     1,700           74   

New Jersey Resources

     9,016           348   

Northwest Natural Gas

     2,740           178   

NorthWestern

     5,100           322   

NRG Yield, Cl A

     9,644           150   

ONE Gas

     5,400           360   

Ormat Technologies

     4,100           179   

Otter Tail

     3,774           126   

Pattern Energy Group, Cl A

     6,001           138   

PNM Resources

     8,109           287   

Portland General Electric

     9,400           415   

SJW

     1,700           67   

South Jersey Industries

     47,740           1,509   

Southwest Gas

     4,905           386   

Spark Energy, Cl A

     500           17   

Spire

     4,700           333   

Talen Energy*

     8,800           119   

TerraForm Global, Cl A

     9,500           31   

TerraForm Power, Cl A

     9,100           99   

Unitil

     1,417           60   

Vivint Solar*

     1,800           6   

WGL Holdings

     5,253           372   
 

 

The accompanying notes are an integral part of the financial statements.

 

42


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Small Cap Equity Fund   

 

    
Description
   Shares        Value (000)  

York Water

     1,300         $ 42   
       

 

 

 
          13,075   
       

 

 

 

Total Common Stock
(Cost $795,434) (000)

          787,776   
       

 

 

 

EXCHANGE TRADED FUNDS — 0.3%

  

    

iShares Russell 2000

     13,119           1,509   

iShares Russell 2000 Value

     11,308           1,100   
       

 

 

 

Total Exchange Traded Funds
(Cost $2,768) (000)

          2,609   
       

 

 

 
     Number of
Rights
          

RIGHTS — 0.0%

       

Chelsea Therapeutics International, Expires † *

     2,000             

Durata Therapeutics, Expires † *

     900             

Dyax, Expires 12/31/2019*

     12,613             

Leap Wireless, Expires † *

     2,300             
       

 

 

 

Total Rights
(Cost $–) (000)

            
       

 

 

 

SHORT-TERM INVESTMENT — 3.1%

  

    

State Street Institutional Liquid Reserves Fund, Institutional Class, 0.471%, (B)

     25,376,094           25,376   
       

 

 

 

Total Short-Term Investment
(Cost $25,376) (000)

          25,376   
       

 

 

 

Total Investments — 99.5%
(Cost $823,578) (000)

        $ 815,761   
       

 

 

 

Percentages are based on net assets of $819,774 (000).

 

Type of Contract    Number of
Contracts
Long
     Expiration
Date
     Unrealized
Depreciation
 
Russell 2000 Index E-MINI      113         Sep-2016       $ (41
        

 

 

 

For the period ended June 30, 2016, the monthly average value of futures contracts held was $13,355 (000).

 

* Non-income producing security.
Real Estate Investment Trust
Expiration date is unavailable.
(A) Security considered Master Limited Partnership. At June 30, 2016, these securities amounted to $1,056 (000) or 0.13% of net assets.
(B) The rate reported is the 7-day effective yield as of June 30, 2016.

ADR — American Depositary Receipt

Cl — Class

As of June 30, 2016, all of the Fund’s investments and other financial instruments, with the exception of the rights, were considered Level 1 in accordance with the authoritative guidance on fair value measurements and disclosure under U.S. generally accepted accounting principles. The rights were considered Level 2.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

 

The accompanying notes are an integral part of the financial statements.

 

43


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Shares        Value (000)  

COMMON STOCK — 95.9%

  

Australia — 2.8%

  

AGL Energy

     18,701         $ 270   

ALS

     97,082           357   

Alumina

     675,832           657   

Amcor

     47,996           538   

AMP

     78,079           303   

APA Group

     31,082           216   

Aristocrat Leisure

     14,373           149   

Asaleo Care

     127,344           199   

Asciano

     17,656           117   

ASX

     5,009           172   

Aurizon Holdings

     54,436           197   

AusNet Services

     45,090           55   

Australia & New Zealand Banking Group

     78,696           1,427   

Bank of Queensland

     10,960           87   

Bendigo & Adelaide Bank

     13,346           96   

BHP Billiton

     105,479           1,495   

BlueScope Steel

     149,533           718   

Boral

     21,201           99   

Brambles

     41,777           388   

Caltex Australia

     7,573           182   

Challenger

     16,280           105   

CIMIC Group

     2,989           80   

Cleanaway Waste Management

     636,532           383   

Coca-Cola Amatil

     126,844           783   

Cochlear

     1,541           140   

Commonwealth Bank of Australia

     46,333           2,587   
Description    Shares            
Value (000)
 

Computershare

     12,606         $ 87   

Crown Resorts

     10,292           98   

CSL

     12,605           1,060   

Dexus Property Group‡

     25,010           169   

Domino’s Pizza Enterprises

     1,618           83   

DUET Group

     65,039           122   

DuluxGroup

     43,084           204   

Fairfax Media

     579,471           404   

Flight Centre Travel Group

     1,602           38   

Fortescue Metals Group

     38,861           103   

Goodman Group‡

     49,292           263   

GPT Group‡

     50,354           205   

GUD Holdings

     26,565           182   

Harvey Norman Holdings

     13,709           48   

Healthscope

     49,589           106   

Iluka Resources

     58,541           287   

Incitec Pivot

     44,462           99   

Insurance Australia Group

     67,346           276   

Lend Lease Group

     14,161           134   

Macquarie Group

     8,106           419   

Medibank

     71,327           157   

Metcash

     172,787           247   

Mirvac Group‡

     98,434           149   

National Australia Bank

     71,161           1,359   

Newcrest Mining*

     56,766           982   

Oil Search

     35,626           178   

Orica

     168,128           1,557   

Origin Energy

     45,479           197   

Orora

     36,567           76   

Platinum Asset Management

     5,133           22   

Premier Investments

     3,000           32   

Qantas Airways

     12,184           26   

QBE Insurance Group

     36,110           283   

Ramsay Health Care

     3,971           215   

REA Group

     1,468           66   

Rio Tinto PLC

     11,238           386   

Santos

     80,521           281   

Scentre Group‡

     145,846           540   

SEEK

     8,787           101   

Sigma Pharmaceuticals

     194,920           165   

Sonic Healthcare

     10,990           177   

South32

     89,568           103   

Spotless Group Holdings

     221,310           185   

Stockland‡

     66,484           235   

Suncorp Group

     33,916           311   

Sydney Airport

     28,112           146   
 

 

The accompanying notes are an integral part of the financial statements.

 

44


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Tabcorp Holdings

     20,800         $ 72   

Tatts Group

     38,646           111   

Telstra

     113,491           473   

TPG Telecom

     9,905           89   

Transurban Group

     55,792           502   

Treasury Wine Estates

     20,594           143   

Vicinity Centres‡

     87,914           219   

Vocus Communications

     12,638           82   

Wesfarmers

     30,692           923   

Westfield‡

     52,247           418   

Westpac Banking

     89,858           1,987   

Woodside Petroleum

     19,634           395   

Woolworths

     33,794           529   
       

 

 

 
          30,306   
       

 

 

 

Austria — 0.1%

  

ANDRITZ

     6,784           319   

Erste Group Bank

     7,798           177   

Oesterreichische Post

     10,343           332   

OMV

     3,694           104   

Raiffeisen Bank International

     3,314           41   

Voestalpine

     2,972           99   

Wienerberger

     31,839           444   
       

 

 

 
          1,516   
       

 

 

 

Belgium — 0.8%

  

Ageas

     5,187           179   

Anheuser-Busch InBev

     39,424           5,165   

Colruyt

     1,889           104   

Delhaize Group

     2,728           287   

Groupe Bruxelles Lambert

     2,070           169   

KBC Group

     51,221           2,508   

Proximus

     4,037           128   

Solvay

     2,074           192   

Telenet Group Holding*

     1,509           69   

UCB

     3,507           262   

Umicore

     2,400           124   
       

 

 

 
          9,187   
       

 

 

 

Brazil — 1.9%

  

AES Tiete Energia

     42,200           194   

Ambev ADR

     337,888           1,997   

B2W Cia Digital*

     44,268           130   

Banco do Brasil

     122,000           646   

Banco Santander Brasil ADR

     38,782           221   

BM&FBovespa-Bolsa de Valores Mercadorias e Futuros

     417,000           2,313   

Braskem ADR

     46,552           552   
Description    Shares            
Value (000)
 

BRF

     37,000         $ 517   

BTG Pactual Group

     54,900           313   

Cia de Saneamento Basico do Estado de Sao Paulo

     115,600           1,037   

Cia de Saneamento de Minas Gerais-COPASA

     17,100           157   

Cia Energetica de Minas Gerais ADR

     278,359           615   

Cosan Industria e Comercio

     34,200           354   

Direcional Engenharia*

     25,600           44   

EDP-Energias do Brasil

     302,114           1,281   

Equatorial Energia

     29,900           454   

Fibria Celulose

     150,400           1,011   

FII BTG Pactual Corporate Office Fund, Cl Institutional‡

     2,117           59   

Fleury

     10,100           86   

Grendene

     139,500           717   

JBS

     600,500           1,870   

LPS Brasil Consultoria de Imoveis*

     78,900           94   

MRV Engenharia e Participacoes

     398,600           1,326   

Multiplus

     18,200           200   

Natura Cosmeticos

     82,527           655   

Porto Seguro

     75,316           622   

Raia Drogasil

     113,000           2,233   

Tim Participacoes

     104,903           220   

TOTVS

     49,100           463   

Ultrapar Participacoes

     41,300           913   
       

 

 

 
          21,294   
       

 

 

 

Canada — 1.3%

  

Brookfield Asset Management, Cl A

     17,032           563   

Canadian National Railway

     85,238           5,034   

Canadian Natural Resources

     42,146           1,300   

Element Financial

     146,839           1,557   

Loblaw

     32,498           1,738   

PrairieSky Royalty

     843           16   

Rogers Communications, Cl B

     22,989           931   

Suncor Energy

     118,069           3,276   
       

 

 

 
          14,415   
       

 

 

 

Chile — 0.2%

  

Cia Cervecerias Unidas

     51,555           604   

Cia Sud Americana de Vapores*

     3,215,578           65   

Enaex

     1,550           16   

Enersis Americas

     1,650,868           694   

Enersis Chile ADR (B)

     1,650,868           474   

Inversiones La Construccion

     4,669           51   

Quinenco

     331,750           644   
 

 

The accompanying notes are an integral part of the financial statements.

 

45


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Sociedad Quimica y Minera de Chile ADR

     1,398         $ 35   
       

 

 

 
          2,583   
       

 

 

 

China — 2.7%

  

Agricultural Bank of China, Cl H

     453,000           167   

Ajisen China Holdings

     510,000           199   

Alibaba Group Holding ADR*

     25,447           2,024   

Aupu Group Holding

     140,000           47   

Baidu ADR*

     4,200           694   

Bank of China, Cl H

     7,712,000           3,100   

Bank of Communications, Cl H

     732,000           465   

BYD Electronic International

     623,000           353   

CECEP COSTIN New Materials Group

     1,134,000           87   

Changyou.com ADR*

     2,671           54   

China Construction Bank, Cl H

     8,717,000           5,811   

China Lodging Group ADR

     14,351           523   

China Petroleum & Chemical, Cl H

     2,004,000           1,463   

China Southern Airlines, Cl H

     1,306,000           742   

China Telecom, Cl H

     5,234,000           2,354   

ChinaCache International Holdings ADR*

     4,755           31   

Chongqing Rural Commercial Bank, Cl H

     391,000           199   

Goodbaby International Holdings

     343,000           159   

Harbin Electric, Cl H

     290,000           108   

Kunlun Energy

     56,000           47   

Leju Holdings ADR*

     9,889           46   

Li Ning*

     847,291           417   

NetEase ADR

     18,731           3,618   

New Oriental Education & Technology Group ADR

     71,363           2,989   

Peak Sport Products

     376,000           113   

PetroChina, Cl H

     2,200,000           1,515   

Powerlong Real Estate Holdings

     306,000           62   

ReneSola ADR*

     35,493           44   

Shenzhou International Group Holdings

     22,579           109   

Sinotruk Hong Kong

     632,500           275   

TravelSky Technology, Cl H

     299,000           577   

Tsingtao Brewery, Cl H

     78,000           273   

Want Want China Holdings

     790,996           565   

Weibo ADR*

     5,358           152   

XTEP International Holdings

     98,500           53   

Yangzijiang Shipbuilding Holdings

     47,000           31   
       

 

 

 
          29,466   
       

 

 

 
Description    Shares            
Value (000)
 

Colombia — 0.1%

  

Almacenes Exito

     44,975         $ 219   

Bancolombia ADR

     13,659           477   
       

 

 

 
          696   
       

 

 

 

Cyprus — 0.0%

  

Global Ports Investments GDR*

     92,711           254   
       

 

 

 

Czech Republic — 0.0%

  

Komercni Banka

     4,300           161   

Philip Morris CR

     91           46   
       

 

 

 
          207   
       

 

 

 

Denmark — 1.7%

  

AP Moeller-Maersk, Cl B

     277           358   

Carlsberg, Cl B

     32,127           3,061   

Chr Hansen Holding

     2,780           183   

Coloplast, Cl B

     34,460           2,575   

Danske Bank

     25,793           679   

DSV

     5,371           226   

Genmab*

     1,480           272   

GN Store Nord

     55,875           1,008   

ISS

     11,371           427   

Novo Nordisk, Cl B

     83,109           4,496   

Novozymes, Cl B

     6,139           294   

Pandora

     3,192           435   

TDC

     23,000           113   

Topdanmark*

     8,222           196   

Tryg

     2,822           50   

Vestas Wind Systems

     49,685           3,380   

William Demant Holding*

     62,765           1,217   
       

 

 

 
          18,970   
       

 

 

 

Finland — 0.7%

  

Amer Sports

     12,263           336   

Elisa

     3,649           139   

Fortum

     12,426           199   

Kone, Cl B

     8,916           410   

Metso

     13,957           327   

Neste

     3,206           115   

Nokia

     118,586           675   

Nokian Renkaat

     12,943           461   

Orion, Cl B

     2,530           98   

Sampo, Cl A

     72,490           2,951   

Stora Enso, Cl R

     15,253           122   

Tikkurila

     76,914           1,391   

UPM-Kymmene

     14,016           256   

Wartsila, Cl B

     13,049           531   
       

 

 

 
          8,011   
       

 

 

 
 

 

The accompanying notes are an integral part of the financial statements.

 

46


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

France — 7.3%

  

Accor

     4,655         $ 180   

Aeroports de Paris

     803           88   

Air France-KLM*

     65,671           418   

Air Liquide

     63,548           6,647   

Alstom

     3,822           89   

Arkema

     1,719           132   

Atos

     2,292           190   

AXA

     86,792           1,718   

BNP Paribas

     53,462           2,370   

Bollore

     24,406           83   

Bouygues

     5,655           163   

Bureau Veritas

     78,736           1,665   

Capital Gemini

     4,329           377   

Carrefour

     15,141           374   

Casino Guichard Perrachon

     1,610           90   

Christian Dior

     1,515           244   

Cie de Saint-Gobain

     12,681           484   

Cie Generale des Etablissements Michelin

     4,990           473   

CNP Assurances

     4,932           73   

Credit Agricole

     27,815           234   

Danone

     119,221           8,410   

Dassault Systemes

     28,931           2,198   

Edenred

     33,069           681   

Eiffage

     1,510           108   

Electricite de France

     7,104           87   

Elis

     6,645           116   

Engie

     259,926           4,193   

Essilor International

     5,533           732   

Eurazeo

     1,048           62   

Eurofins Scientific

     2,709           1,005   

Eutelsat Communications

     4,314           82   

Fonciere Des Regions‡

     973           87   

Gecina‡

     1,159           158   

Groupe Eurotunnel

     79,324           842   

Hermes International

     2,061           772   

ICADE‡

     1,092           77   

Iliad

     739           150   

Imerys

     2,498           159   

Ingenico Group

     1,548           181   

JCDecaux

     10,752           363   

Kering

     1,999           324   

Klepierre‡

     6,099           270   

LafargeHolcim

     4,252           175   

Lagardere

     3,357           73   

Legrand

     66,282           3,412   
Description    Shares            
Value (000)
 

L’Oreal

     22,169         $ 4,262   

LVMH Moet Hennessy Louis Vuitton

     35,348           5,353   

Natixis

     24,056           91   

Neopost

     11,906           276   

Nokia

     38,724           219   

Numericable-SFR

     2,877           72   

Orange

     54,166           885   

Pernod Ricard

     65,717           7,315   

Peugeot*

     13,625           164   

Publicis Groupe

     4,995           336   

Remy Cointreau

     703           61   

Renault

     5,104           389   

Rexel

     8,054           101   

Safran

     8,320           565   

Sanofi

     36,987           3,077   

Schneider Electric

     107,995           6,380   

SCOR

     4,628           138   

Societe BIC

     764           108   

Societe Generale

     20,937           658   

Sodexo

     2,611           280   

Suez

     9,222           144   

Technip

     5,597           304   

Thales

     9,110           760   

TOTAL

     68,053           3,273   

Unibail-Rodamco‡

     2,694           701   

Valeo

     6,288           280   

Vallourec

     22,767           82   

Veolia Environnement

     11,831           256   

Vicat

     3,655           207   

Vinci

     13,539           960   

Virbac

     335           61   

Vivendi

     31,834           600   

Wendel

     708           73   

Zodiac Aerospace

     43,432           1,019   
       

 

 

 
          80,259   
       

 

 

 

Germany — 6.2%

  

adidas

     12,016           1,716   

Allianz

     12,314           1,761   

Axel Springer

     14,599           765   

BASF

     45,171           3,449   

Bayer

     109,367           10,975   

Bayerische Motoren Werke

     23,058           1,692   

Beiersdorf

     63,300           5,977   

Brenntag

     20,567           994   

Commerzbank

     27,941           182   

Continental

     2,929           553   
 

 

The accompanying notes are an integral part of the financial statements.

 

47


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Covestro (A)

     1,869         $ 83   

CTS Eventim & KGaA

     15,151           463   

Daimler

     25,954           1,553   

Deutsche Bank

     36,765           501   

Deutsche Boerse

     5,113           418   

Deutsche Lufthansa

     6,188           73   

Deutsche Post

     26,489           743   

Deutsche Telekom

     172,993           2,945   

Deutsche Wohnen

     8,856           301   

E.ON

     53,190           537   

Evonik Industries

     3,511           104   

Fielmann

     3,734           273   

Fraport Frankfurt Airport Services Worldwide

     1,196           64   

Fresenius & KGaA

     11,166           818   

Fresenius Medical Care & KGaA

     35,795           3,108   

GEA Group

     9,527           449   

Gerresheimer

     2,314           178   

Hannover Rueck

     3,373           352   

HeidelbergCement

     3,717           280   

Henkel & KGaA

     2,730           294   

Hochtief

     548           71   

HUGO BOSS

     1,864           106   

Infineon Technologies

     31,050           448   

K+S

     4,884           100   

LANXESS

     2,337           102   

Linde

     27,585           3,852   

MAN

     950           97   

Merck KGaA

     37,083           3,768   

METRO

     4,591           140   

MTU Aero Engines

     13,368           1,247   

Muenchener Rueckversicherungs-Gesellschaft in Muenchen

     4,554           762   

OSRAM Licht

     2,240           116   

ProSiebenSat.1 Media

     41,034           1,796   

RWE

     12,716           201   

SAP

     102,880           7,684   

Siemens

     20,769           2,124   

Stabilus*

     4,030           191   

Symrise

     11,480           783   

Telefonica Deutschland Holding

     18,484           76   

ThyssenKrupp

     9,617           193   

TUI

     109,237           1,237   

United Internet

     3,139           130   

Volkswagen

     944           128   

Vonovia

     12,785           466   

Zalando* (A)

     2,333           61   
       

 

 

 
          67,480   
       

 

 

 
Description    Shares            
Value (000)
 

Greece — 0.2%

  

Aegean Airlines

     27,543         $ 188   

Alpha Bank AE*

     37,180           68   

Athens Water Supply & Sewage

     11,513           71   

Fourlis Holdings*

     14,670           59   

Grivalia Properties REIC AE‡

     45,717           355   

Hellenic Telecommunications Organization

     34,263           308   

Intracom Holdings*

     29,411           9   

JUMBO

     25,371           332   

Motor Oil Hellas Corinth Refineries

     68,639           746   

OPAP

     12,908           89   

Public Power

     36,554           100   
       

 

 

 
          2,325   
       

 

 

 

Hong Kong — 4.4%

  

AAC Technologies Holdings

     102,500           879   

AIA Group

     1,431,200           8,694   

Angang Steel, Cl H

     178,000           80   

ASM Pacific Technology

     6,000           43   

Bank of East Asia

     31,674           123   

BOC Hong Kong Holdings

     97,500           294   

C C Land Holdings

     123,000           33   

Cathay Pacific Airways

     28,000           41   

Cheung Kong Infrastructure Holdings

     17,000           147   

Cheung Kong Property Holdings

     82,311           514   

China Child Care

     338,000           20   

China High Speed Transmission Equipment Group

     97,000           78   

China Lesso Group Holdings

     326,000           174   

China Mengniu Dairy

     335,000           586   

China Merchants Holdings International

     30,696           82   

China Mobile

     650,000           7,494   

China National Materials

     221,000           48   

China Resources Beer Holdings

     278,805           612   

China Resources Land

     558,000           1,319   

China Unicom Hong Kong

     2,036,000           2,124   

CK Hutchison Holdings

     197,884           2,171   

CLP Holdings

     45,000           459   

CNOOC

     337,780           423   

Daphne International Holdings

     276,000           42   

Esprit Holdings

     1,219,877           910   

First Pacific

     698,000           509   

Future Land Development Holdings

     444,000           58   

Galaxy Entertainment Group

     64,000           192   

Geely Automobile Holdings

     1,470,000           803   
 

 

The accompanying notes are an integral part of the financial statements.

 

48


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Genting Singapore

     163,000         $ 88   

Global Brands Group Holding*

     7,150,000           634   

Guangdong Yueyun Transportation Company, Cl H

     214,500           121   

Guangnan Holdings

     260,000           29   

Guangzhou R&F Properties

     361,200           459   

Hang Lung Properties

     63,000           128   

Hang Seng Bank

     20,200           347   

Henderson Land Development

     29,075           164   

HK Electric Investments & HK Electric Investments (A)

     73,703           69   

HKT Trust

     65,740           95   

Hong Kong & China Gas

     201,652           370   

Hong Kong Exchanges and Clearing

     31,288           764   

Hongkong & Shanghai Hotels

     255,972           261   

Hysan Development

     18,000           80   

Industrial & Commercial Bank of China, Cl H

     2,695,000           1,498   

Jardine Matheson Holdings

     29,800           1,738   

Kerry Properties

     15,500           38   

Kingboard Chemical Holdings

     240,500           480   

Li & Fung

     2,724,000           1,326   

Link‡

     59,500           407   

Longfor Properties

     133,000           174   

Melco Crown Entertainment ADR

     5,018           63   

MGM China Holdings

     23,600           31   

MTR

     40,765           207   

New World Development

     178,863           182   

Noble Group

     264,000           40   

NWS Holdings

     39,720           63   

PCCW

     120,136           81   

Power Assets Holdings

     36,500           336   

Scud Group* (B)

     252,000             

Shangri-La Asia

     40,000           40   

Sino Land

     77,046           127   

Sinopec Shanghai Petrochemical, Cl H

     3,076,000           1,418   

SJM Holdings

     48,000           29   

Skyworth Digital Holdings

     1,148,000           946   

SmarTone Telecommunications Holdings

     79,447           142   

Stella International Holdings

     82,448           146   

Sun Hung Kai Properties

     39,893           482   

Sunny Optical Technology Group

     128,000           451   

Swire Pacific, Cl A

     15,000           171   

Swire Properties

     30,000           80   

Techtronic Industries

     35,000           146   
Description    Shares            
Value (000)
 

Television Broadcasts

     87,500         $ 301   

Tencent Holdings

     127,100           2,915   

Tianneng Power International

     410,000           279   

Tingyi Cayman Islands Holding

     203,014           193   

Top Spring International Holdings

     55,000           20   

Uni-President China Holdings

     49,000           42   

Universal Health International Group Holding

     181,000           10   

Weiqiao Textile, Cl H

     196,500           150   

WH Group (A)

     157,349           125   

Wharf Holdings

     38,000           232   

Wheelock

     21,000           99   

Wynn Macau

     46,800           68   

Yue Yuen Industrial Holdings

     21,500           85   
       

 

 

 
          47,922   
       

 

 

 

India — 0.9%

  

Infosys ADR

     277,002           4,944   

Tata Motors ADR

     86,922           3,014   

WNS Holdings ADR*

     59,150           1,597   
       

 

 

 
          9,555   
       

 

 

 

Indonesia — 0.8%

  

Ace Hardware Indonesia

     732,100           52   

Adaro Energy

     1,540,100           100   

Bank Negara Indonesia Persero

     3,771,200           1,488   

Bank Pembangunan Daerah Jawa Barat Dan Banten

     3,081,400           264   

Bank Pembangunan Daerah Jawa Timur

     467,000           18   

Bank Tabungan Negara Persero

     8,193,200           1,068   

Delta Dunia Makmur*

     5,031,800           89   

Gudang Garam

     179,700           942   

Japfa Comfeed Indonesia

     739,500           63   

Matahari Department Store

     144,600           219   

PT Energi Mega Persada*

     13,967,200           53   

Telekomunikasi Indonesia Persero

     12,669,200           3,829   

Unilever Indonesia

     44,500           152   

United Tractors

     238,400           267   

XL Axiata*

     496,875           138   
       

 

 

 
          8,742   
       

 

 

 

Ireland — 0.7%

  

Bank of Ireland*

     5,436,211           1,116   

CRH

     27,896           808   

DCC

     16,097           1,423   

Experian

     116,025           2,201   

Irish Continental Group

     83,289           388   

Kerry Group, Cl A

     4,183           371   
 

 

The accompanying notes are an integral part of the financial statements.

 

49


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Paddy Power Betfair

     10,725         $ 1,125   

Ryanair Holdings ADR

     785           55   
       

 

 

 
          7,487   
       

 

 

 

Israel — 0.4%

  

Azrieli Group

     1,299           55   

Bank Hapoalim

     27,284           138   

Bank Leumi Le-Israel*

     37,389           131   

Bezeq The Israeli Telecommunication

     59,320           117   

Check Point Software Technologies*

     30,243           2,410   

Israel Chemicals

     12,849           50   

Mizrahi Tefahot Bank

     3,276           38   

Mobileye*

     4,625           213   

NICE-Systems

     1,744           109   

Taro Pharmaceutical Industries*

     445           65   

Teva Pharmaceutical Industries

     25,007           1,251   
       

 

 

 
          4,577   
       

 

 

 

Italy — 1.2%

  

Assicurazioni Generali

     30,982           363   

Atlantia

     10,867           270   

CNH Industrial

     209,062           1,507   

Davide Campari-Milano

     21,142           209   

Enel

     207,866           921   

Eni

     188,777           3,050   

EXOR

     2,808           103   

Ferrari

     3,244           132   

Fiat Chrysler Automobiles

     25,178           154   

Intesa Sanpaolo

     436,470           825   

Leonardo-Finmeccanica*

     10,374           105   

Luxottica Group

     42,622           2,068   

Mediobanca

     14,365           82   

Piaggio & C

     333,891           588   

Poste Italiane (A)

     13,778           91   

Prysmian

     5,202           114   

Saipem

     2,398,508           956   

Snam

     67,436           402   

Technogym* (A)

     10,705           47   

Telecom Italia

     418,856           316   

Terna Rete Elettrica Nazionale

     41,384           230   

UniCredit

     401,592           881   

Unione di Banche Italiane

     25,195           70   

UnipolSai

     29,438           44   
       

 

 

 
          13,528   
       

 

 

 
Description    Shares            
Value (000)
 

Japan — 16.2%

  

ABC-Mart

     1,000         $ 67   

Acom*

     12,600           61   

Aeon

     18,100           281   

AEON Financial Service

     3,100           67   

Aeon Mall

     3,200           42   

Air Water

     4,000           58   

Aisin Seiki

     5,300           214   

Ajinomoto

     14,900           349   

Alfresa Holdings

     82,900           1,722   

Alps Electric

     4,700           88   

Amada Holdings

     8,400           85   

ANA Holdings

     29,000           82   

Aozora Bank

     31,000           107   

Asahi Glass

     28,000           151   

Asahi Group Holdings

     10,200           329   

Asahi Kasei

     33,000           227   

Asics

     4,100           69   

Astellas Pharma

     63,600           994   

Azbil

     14,100           413   

Bank of Kyoto

     10,000           61   

Benesse Holdings

     1,700           40   

Bridgestone

     17,800           566   

Brother Industries

     6,200           66   

Calbee

     2,200           91   

Canon

     29,100           824   

Casio Computer

     6,600           94   

Central Japan Railway

     3,940           697   

Chiba Bank

     94,000           441   

Chubu Electric Power

     17,900           253   

Chugai Pharmaceutical

     5,800           206   

Chugoku Bank

     3,800           39   

Chugoku Electric Power

     7,900           100   

Concordia Financial Group*

     105,300           407   

Credit Saison

     4,300           71   

CYBERDYNE*

     3,000           67   

Dai Nippon Printing

     14,000           155   

Daicel

     7,200           74   

Daihatsu Motor

     5,300           68   

Dai-ichi Life Insurance

     174,800           1,925   

Daiichi Sankyo

     16,600           401   

Daikin Industries

     34,500           2,882   

Daito Trust Construction

     1,900           308   

Daiwa House Industry

     15,500           452   

Daiwa Securities Group

     44,000           231   

Denso

     127,700           4,460   

Dentsu

     5,700           266   
 

 

The accompanying notes are an integral part of the financial statements.

 

50


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Don Quijote Holdings

     3,000         $ 111   

East Japan Railway

     31,900           2,938   

Eisai

     6,720           373   

Electric Power Development

     3,700           86   

FamilyMart

     1,700           103   

FANUC

     24,180           3,911   

Fast Retailing

     1,500           400   

Fuji Electric

     14,000           58   

Fuji Heavy Industries

     16,100           548   

Fuji Media Holdings

     71,200           796   

FUJIFILM Holdings

     95,200           3,674   

Fujitsu

     155,000           566   

Fukuoka Financial Group

     22,000           72   

GungHo Online Entertainment

     13,500           36   

Hachijuni Bank

     12,000           52   

Hakuhodo DY Holdings

     5,800           69   

Hamamatsu Photonics

     3,800           106   

Hankyu Hanshin Holdings

     34,000           253   

Hikari Tsushin

     600           50   

Hino Motors

     7,000           69   

Hirose Electric

     800           97   

Hiroshima Bank

     12,000           40   

Hisamitsu Pharmaceutical

     1,600           92   

Hitachi

     554,000           2,301   

Hitachi Chemical

     2,500           46   

Hitachi Construction Machinery

     3,100           45   

Hitachi High-Technologies

     2,000           54   

Hitachi Metals

     6,300           63   

Hokuriku Electric Power

     5,000           62   

Honda Motor

     98,800           2,487   

Hoshizaki Electric

     1,400           136   

Hoya

     197,000           6,995   

Hulic

     7,300           76   

Idemitsu Kosan

     2,100           45   

IHI

     40,000           107   

Iida Group Holdings

     4,000           81   

Inpex

     150,300           1,167   

Isetan Mitsukoshi Holdings

     63,700           561   

Isuzu Motors

     15,400           188   

ITOCHU

     41,000           497   

Iyo Bank

     5,800           35   

J Front Retailing

     6,300           65   

Japan Airlines

     3,000           96   

Japan Airport Terminal

     1,000           36   

Japan Exchange Group

     13,800           158   

Japan Post Bank

     11,000           128   

Japan Post Holdings

     127,000           1,526   
Description    Shares            
Value (000)
 

Japan Prime Realty Investment‡

     23         $ 99   

Japan Real Estate Investment‡

     34           209   

Japan Retail Fund Investment‡

     70           178   

Japan Tobacco

     141,800           5,679   

JFE Holdings

     83,300           1,073   

JGC

     6,000           85   

Joyo Bank

     15,000           56   

JSR

     4,500           59   

JTEKT

     5,300           60   

JX Holdings

     58,900           229   

Kajima

     25,000           173   

Kakaku.com

     3,700           73   

Kamigumi

     7,000           64   

Kaneka

     7,000           46   

Kansai Electric Power*

     19,800           191   

Kansai Paint

     5,900           118   

Kao

     46,300           2,684   

Kawasaki Heavy Industries

     36,000           100   

KDDI

     50,800           1,544   

Keihan Holdings

     15,000           104   

Keikyu

     13,000           130   

Keio

     15,000           141   

Keisei Electric Railway

     8,000           103   

Keyence

     1,200           814   

Kikkoman

     4,000           146   

Kinden

     6,600           71   

Kintetsu Group Holdings

     47,000           200   

Kirin Holdings

     187,900           3,162   

Kobe Steel

     81,000           66   

Koito Manufacturing

     3,200           146   

Komatsu

     24,500           423   

Konami Holdings

     2,400           91   

Konica Minolta

     12,600           91   

Kose

     900           76   

Kubota

     159,200           2,126   

Kuraray

     9,000           105   

Kurita Water Industries

     3,100           69   

Kyocera

     76,800           3,640   

Kyowa Hakko Kirin

     7,400           126   

Kyushu Electric Power

     10,700           107   

Kyushu Financial Group

     10,000           49   

Lawson

     1,800           143   

LIXIL Group

     60,100           985   

M3

     5,200           180   

Mabuchi Motor

     1,200           50   

Makita

     3,000           198   

Marubeni

     45,900           206   
 

 

The accompanying notes are an integral part of the financial statements.

 

51


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Marui Group

     35,600         $ 475   

Maruichi Steel Tube

     1,300           45   

Mazda Motor

     14,800           199   

McDonald’s Holdings Japan

     1,700           46   

Medipal Holdings

     5,000           82   

MEIJI Holdings

     3,200           326   

Minebea

     8,000           54   

Miraca Holdings

     1,700           73   

Mitsubishi

     80,560           1,409   

Mitsubishi Chemical Holdings

     35,200           160   

Mitsubishi Electric

     53,000           628   

Mitsubishi Estate

     95,000           1,734   

Mitsubishi Gas Chemical

     11,000           57   

Mitsubishi Heavy Industries

     341,000           1,355   

Mitsubishi Logistics

     50,000           696   

Mitsubishi Materials

     29,000           69   

Mitsubishi Motors

     17,000           78   

Mitsubishi Tanabe Pharma

     6,000           108   

Mitsubishi UFJ Financial Group

     439,100           1,960   

Mitsubishi UFJ Lease & Finance

     12,400           47   

Mitsui

     45,400           538   

Mitsui Chemicals

     23,000           84   

Mitsui Fudosan

     24,000           547   

Mitsui OSK Lines

     33,000           69   

Mixi

     1,200           49   

Mizuho Financial Group

     1,578,600           2,288   

MS&AD Insurance Group Holdings

     88,900           2,278   

Murata Manufacturing

     5,200           578   

Nabtesco

     3,500           83   

Nagoya Railroad

     24,000           135   

Namco Bandai Holdings

     70,300           1,805   

NEC

     465,000           1,073   

Nexon

     5,100           75   

NGK Insulators

     7,000           140   

NGK Spark Plug

     4,700           70   

NH Foods

     20,000           486   

NHK Spring

     6,400           52   

Nidec

     6,500           489   

Nikon

     8,700           117   

Nintendo

     10,300           1,472   

Nippon Building Fund‡

     39           239   

Nippon Electric Glass

     11,000           46   

Nippon Express

     23,000           104   

Nippon Paint Holdings

     4,100           100   

Nippon Prologis‡

     39           95   

Nippon Steel & Sumitomo Metal

     22,000           420   

Nippon Suisan Kaisha

     89,900           460   
Description    Shares            
Value (000)
 

Nippon Telegraph & Telephone

     110,300         $ 5,154   

Nippon Television Holdings

     48,520           796   

Nippon Yusen

     42,000           74   

Nissan Motor

     68,000           610   

Nisshin Seifun Group

     5,200           83   

Nissin Foods Holdings

     1,700           93   

Nitori Holdings

     2,200           265   

Nitto Denko

     4,600           289   

NOK

     2,500           42   

Nomura Holdings

     282,100           1,004   

Nomura Real Estate Holdings

     3,600           63   

Nomura Real Estate Master Fund‡

     91           143   

Nomura Research Institute

     3,300           120   

NSK

     12,300           91   

NTT Data

     46,100           2,166   

NTT DOCOMO

     38,900           1,048   

NTT Urban Development

     78,300           835   

Obayashi

     236,500           2,504   

Obic

     1,860           102   

Odakyu Electric Railway

     16,000           187   

Oji Holdings

     21,000           80   

Olympus

     8,000           297   

Omron

     5,000           162   

Ono Pharmaceutical

     11,000           475   

Onward Holdings

     63,000           392   

Oracle Japan

     1,000           53   

Oriental Land

     6,000           387   

ORIX

     35,200           450   

Osaka Gas

     49,000           187   

Otsuka

     1,500           70   

Otsuka Holdings

     34,500           1,588   

Panasonic

     58,700           506   

Park24

     2,700           92   

Pola Orbis Holdings

     600           56   

Rakuten

     24,400           262   

Recruit Holdings

     8,000           289   

Resona Holdings

     322,940           1,175   

Ricoh

     17,700           153   

Rinnai

     900           79   

Rohm

     2,400           94   

Ryohin Keikaku

     700           170   

Sankyo

     1,500           56   

Santen Pharmaceutical

     9,600           150   

SBI Holdings

     6,700           66   

Secom

     24,200           1,780   

Sega Sammy Holdings

     4,600           49   

Seibu Holdings

     5,000           84   
 

 

The accompanying notes are an integral part of the financial statements.

 

52


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Seiko Epson

     7,800         $ 124   

Sekisui Chemical

     10,500           129   

Sekisui House

     15,900           277   

Seven & i Holdings

     76,300           3,181   

Seven Bank

     16,300           50   

Shikoku Electric Power

     5,300           62   

Shimadzu

     7,000           104   

Shimamura

     600           89   

Shimano

     2,000           303   

Shimizu

     79,000           736   

Shin-Etsu Chemical

     36,200           2,108   

Shinsei Bank

     52,000           75   

Shionogi

     8,160           444   

Shiseido

     39,500           1,021   

Shizuoka Bank

     15,000           105   

Showa Shell Sekiyu

     6,000           56   

SMC

     1,600           390   

SoftBank Group

     25,900           1,464   

Sohgo Security Services

     2,100           103   

Sompo Japan Nipponkoa Holdings

     37,700           995   

Sony

     34,400           1,009   

Sony Financial Holdings

     4,700           52   

Stanley Electric

     4,000           85   

Start Today

     1,600           84   

Sumitomo

     32,500           325   

Sumitomo Chemical

     189,200           773   

Sumitomo Dainippon Pharma

     91,100           1,575   

Sumitomo Electric Industries

     51,200           671   

Sumitomo Forestry

     9,700           131   

Sumitomo Heavy Industries

     16,000           70   

Sumitomo Metal Mining

     13,000           131   

Sumitomo Mitsui Financial Group

     87,600           2,504   

Sumitomo Mitsui Trust Holdings

     211,000           682   

Sumitomo Realty & Development

     10,000           269   

Sumitomo Rubber Industries

     4,100           55   

Sundrug

     1,000           93   

Suntory Beverage & Food

     4,000           180   

Suruga Bank

     4,900           110   

Suzuken

     2,200           69   

Suzuki Motor

     9,600           258   

Sysmex

     4,320           295   

T&D Holdings

     14,700           124   

Taiheiyo Cement

     33,000           78   

Taisei

     29,000           237   

Taisho Pharmaceutical Holdings

     900           94   

Taiyo Nippon Sanso

     4,000           37   
Description    Shares            
Value (000)
 

Takashimaya

     7,000         $ 50   

Takeda Pharmaceutical

     19,400           837   

TDK

     3,400           189   

Teijin

     25,000           82   

Terumo

     155,800           6,607   

THK

     3,600           61   

Tobu Railway

     26,000           142   

Toho

     2,800           77   

Toho Gas

     12,000           98   

Tohoku Electric Power

     104,100           1,308   

Tokio Marine Holdings

     18,700           616   

Tokyo Electric Power Holdings*

     37,200           156   

Tokyo Electron

     18,600           1,566   

Tokyo Gas

     54,000           221   

Tokyo Tatemono

     6,300           75   

Tokyu

     28,000           245   

Tokyu Fudosan Holdings

     13,400           83   

TonenGeneral Sekiyu

     7,000           63   

Toppan Printing

     14,000           120   

Toray Industries

     39,000           331   

Toshiba

     111,000           300   

TOTO

     3,900           155   

Toyo Seikan Group Holdings

     72,100           1,369   

Toyo Suisan Kaisha

     22,200           895   

Toyoda Gosei

     1,700           30   

Toyota Industries

     11,600           458   

Toyota Motor

     118,920           5,878   

Toyota Tsusho

     5,700           122   

Trend Micro

     3,200           114   

Tsuruha Holdings

     1,000           120   

Unicharm

     11,200           249   

United Urban Investment‡

     83           149   

USS

     5,400           89   

West Japan Railway

     42,700           2,688   

Yahoo Japan

     36,400           160   

Yakult Honsha

     2,200           113   

Yamada Denki

     140,800           739   

Yamaguchi Financial Group

     5,000           47   

Yamaha

     4,600           123   

Yamaha Motor

     8,000           120   

Yamato Holdings

     65,120           1,486   

Yamazaki Baking

     4,000           111   

Yaskawa Electric

     6,400           82   

Yokogawa Electric

     6,200           69   

Yokohama Rubber

     2,500           31   
       

 

 

 
          177,369   
       

 

 

 
 

 

The accompanying notes are an integral part of the financial statements.

 

53


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Luxembourg — 0.3%

  

Altice, Cl B*

     13,488         $ 202   

ArcelorMittal

     126,223           578   

Millicom International Cellular

     7,200           441   

O’Key Group GDR

     61,047           141   

RTL Group

     1,045           85   

SES, Cl A

     10,080           218   

Tenaris

     12,220           176   

Ternium ADR

     66,433           1,266   
       

 

 

 
          3,107   
       

 

 

 

Macau — 0.0%

  

Sands China

     67,200           228   
       

 

 

 

Malaysia — 0.8%

  

Allianz Malaysia

     9,000           22   

Brem Holding

     205,400           43   

Carlsberg Brewery Malaysia

     16,800           55   

Evergreen Fibreboard

     1,335,000           350   

Heineken Malaysia

     10,000           38   

HeveaBoard

     137,300           41   

Hong Leong Industries

     5,500           11   

Hua Yang

     51,600           22   

Insas

     330,800           53   

JCY International

     2,984,400           446   

K&N Kenanga Holdings*

     85,500           10   

KKB Engineering

     41,300           14   

KSL Holdings

     551,500           153   

Land & General

     42,966           4   

Malaysia Building Society

     128,800           23   

Malaysian Pacific Industries

     39,000           73   

Muda Holdings

     27,100           15   

Padini Holdings

     633,700           373   

Petron Malaysia Refining & Marketing

     174,800           162   

Petronas Dagangan

     204,700           1,187   

Public Bank

     73,400           353   

Scientex

     19,700           61   

Shell Refining Federation of Malaya*

     68,700           52   

Sunway

     249,300           186   

Sunway Construction Group

     500,580           199   

Ta Ann Holdings

     54,740           45   

Tenaga Nasional

     553,600           1,940   

Top Glove

     943,600           1,076   

Tropicana

     1,047             

Unisem

     1,138,600           679   

VS Industry

     1,579,200           463   
Description    Shares            
Value (000)
 

WTK Holdings

     144,300         $ 38   

YTL Power International

     801,205           280   
       

 

 

 
          8,467   
       

 

 

 

Mexico — 0.7%

  

Alpek, Cl A

     615,996           1,010   

America Movil, Cl L ADR

     15,605           191   

Axtel*

     163,891           56   

Controladora Vuela Cia de Aviacion ADR*

     102,384           558   

Gruma, Cl B

     54,588           786   

Grupo Aeromexico*

     276,892           573   

Grupo Financiero Inbursa, Cl O

     829,056           1,411   

Grupo Financiero Interacciones, Cl O

     138,946           678   

Industrias Bachoco

     21,424           100   

La Comer*

     28,448           28   

OHL Mexico*

     805,976           987   

Prologis Property Mexico‡

     210,533           343   

Vitro

     41,639           133   

Wal-Mart de Mexico

     337,725           812   
       

 

 

 
          7,666   
       

 

 

 

Netherlands — 3.8%

  

ABN AMRO Group (A)

     6,198           102   

Aegon

     49,562           195   

AerCap Holdings*

     4,491           151   

Airbus Group

     33,431           1,923   

Akzo Nobel

     98,844           6,209   

ASML Holding

     12,520           1,234   

Boskalis Westminster

     24,547           844   

Coca-Cola European Partners*

     5,700           204   

Gemalto

     2,058           126   

Heineken

     43,141           3,976   

Heineken Holding

     2,808           229   

ING Groep

     517,813           5,299   

James Hardie Industries

     12,213           189   

Koninklijke Ahold

     75,105           1,665   

Koninklijke DSM

     4,815           279   

Koninklijke KPN

     409,665           1,485   

Koninklijke Philips

     61,146           1,525   

Koninklijke Vopak

     1,915           96   

NN Group

     8,333           229   

NXP Semiconductors*

     8,040           630   

OCI*

     1,992           27   

QIAGEN*

     5,661           123   

Randstad Holding

     102,873           4,141   

Relx

     26,367           458   

Royal Dutch Shell, Cl A

     278,073           7,575   
 

 

The accompanying notes are an integral part of the financial statements.

 

54


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

STMicroelectronics

     16,656         $ 97   

Unilever

     43,886           2,050   

Wolters Kluwer

     7,947           323   
       

 

 

 
          41,384   
       

 

 

 

New Zealand — 0.1%

  

Auckland International Airport

     27,258           127   

Contact Energy

     21,645           81   

Fletcher Building

     18,047           111   

Meridian Energy

     36,344           69   

Mighty River Power

     15,091           32   

Ryman Healthcare

     10,544           70   

Spark New Zealand

     241,281           612   
       

 

 

 
          1,102   
       

 

 

 

Norway — 0.3%

  

DNB

     55,464           660   

Gjensidige Forsikring

     5,368           89   

Marine Harvest

     10,089           169   

Norsk Hydro

     34,618           126   

Orkla

     22,787           201   

Schibsted, Cl A

     28,766           838   

Statoil

     65,651           1,125   

Telenor

     19,809           327   

Yara International

     4,875           154   
       

 

 

 
          3,689   
       

 

 

 

Panama — 0.0%

  

Avianca Holdings ADR

     3,928           24   
       

 

 

 

Peru — 0.5%

  

Cia de Minas Buenaventura ADR*

     25,708           307   

Credicorp

     29,788           4,597   
       

 

 

 
          4,904   
       

 

 

 

Philippines — 0.2%

  

ABS-CBN Holdings

     61,800           63   

Cebu Air

     270,790           563   

Energy Development

     3,034,100           357   

First Gen

     109,400           58   

Globe Telecom

     4,100           207   

Lopez Holdings

     1,365,000           224   

Pepsi-Cola Products Philippines

     352,000           25   

Petron

     285,800           68   

San Miguel

     144,580           241   

Vista Land & Lifescapes

     567,600           65   
       

 

 

 
          1,871   
       

 

 

 
Description    Shares            
Value (000)
 

Poland — 0.7%

  

Amica Wronki

     2,919         $ 134   

AmRest Holdings*

     3,856           214   

Asseco Poland

     16,913           224   

Bank Pekao

     2,082           73   

CD Projekt*

     30,352           211   

Ciech

     14,429           184   

Enea

     58,308           147   

Eurocash

     124,953           1,463   

ING Bank Slaski

     1,489           47   

PGE

     267,090           802   

Polski Koncern Naftowy Orlen

     112,309           1,969   

Polskie Gornictwo Naftowe i Gazownictwo

     1,337,820           1,900   

Trakcja

     35,010           88   
       

 

 

 
          7,456   
       

 

 

 

Portugal — 0.0%

  

Banco Espirito Santo* (B)

     46,916             

EDP-Energias de Portugal

     64,605           199   

Galp Energia

     13,050           181   

Jeronimo Martins

     6,297           99   
       

 

 

 
          479   
       

 

 

 

Qatar — 0.3%

  

Barwa Real Estate

     142,526           1,293   

Doha Bank QSC

     7,860           76   

Mannai

     830           19   

Ooredoo QSC

     19,911           483   

Qatar Fuel QSC

     4,233           176   

Qatar Islamic Bank SAQ

     7,532           199   

Qatar National Bank SAQ

     5,474           210   

Qatar Navigation QSC

     7,158           172   

United Development QSC

     36,420           192   
       

 

 

 
          2,820   
       

 

 

 

Russia — 0.4%

  

Gazprom PAO ADR

     295,195           1,255   

Globaltrans Investment GDR

     13,181           52   

Lukoil PJSC ADR

     607           25   

Magnitogorsk Iron & Steel Works GDR

     93,326           449   

Sberbank of Russia ADR

     190,931           1,664   

Yandex, Cl A*

     42,284           924   
       

 

 

 
          4,369   
       

 

 

 

Singapore — 1.1%

  

Ascendas‡

     58,800           108   

CapitaLand

     66,000           151   
 

 

The accompanying notes are an integral part of the financial statements.

 

55


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

CapitaLand Commercial Trust‡

     58,000         $ 64   

CapitaLand Mall Trust‡

     66,000           105   

City Developments

     11,000           67   

ComfortDelGro

     57,000           117   

Dairy Farm International Holdings

     23,200           157   

DBS Group Holdings

     465,729           5,474   

GL

     268,900           166   

Global Logistic Properties

     70,000           94   

Golden Agri-Resources

     209,000           55   

Great Eastern Holdings

     51,200           781   

Haw Par

     14,600           98   

Hongkong Land Holdings

     31,400           192   

Hutchison Port Holdings Trust, Cl U

     145,000           66   

Jardine Cycle & Carriage

     2,333           64   

Keppel

     37,000           152   

Oversea-Chinese Banking

     84,172           545   

Sembcorp Industries

     25,000           53   

Sembcorp Marine

     17,000           20   

Singapore Airlines

     14,000           111   

Singapore Exchange

     23,000           131   

Singapore Press Holdings

     40,000           118   

Singapore Technologies Engineering

     44,000           103   

Singapore Telecommunications

     712,400           2,198   

StarHub

     15,000           42   

Suntec‡

     65,000           86   

Super Group

     140,400           87   

United Industrial

     24,483           50   

United Overseas Bank

     50,288           691   

UOL Group

     11,482           47   

Wilmar International

     51,000           123   
       

 

 

 
          12,316   
       

 

 

 

South Africa — 1.5%

  

African Bank Investments (B)

     638,711             

Anglo American Platinum*

     12,326           307   

Blue Label Telecoms

     149,723           188   

Brait*

     210,955           2,010   

Cie Financiere Richemont

     46,025           267   

Clicks Group

     63,001           526   

DRDGOLD ADR

     150,578           133   

FirstRand

     140,629           429   

Gold Fields ADR

     155,647           763   

Grindrod

     138,336           108   

Harmony Gold Mining ADR

     80,885           292   

Investec

     51,677           317   

JSE

     16,985           214   

KAP Industrial Holdings

     106,914           45   
Description    Shares            
Value (000)
 

Liberty Holdings

     21,367         $ 176   

MMI Holdings

     60,998           94   

Mpact

     33,448           68   

MTN Group

     36,124           352   

Murray & Roberts Holdings

     249,229           200   

Old Mutual

     125,843           330   

Peregrine Holdings

     228,876           458   

Pick n Pay Holdings

     47,024           110   

Randgold Resources

     2,588           290   

Sappi*

     223,035           1,039   

Sasol

     101,350           2,739   

Sibanye Gold

     589,050           2,012   

SPAR Group

     9,998           137   

Standard Bank Group

     262,463           2,267   

Telkom

     111,390           503   

Wilson Bayly Holmes-Ovcon

     12,103           103   
       

 

 

 
          16,477   
       

 

 

 

South Korea — 4.5%

  

Aekyung Petrochemical

     513           42   

BGF retail

     6,490           1,203   

CJ

     4,611           811   

CJ Hellovision

     5,458           53   

CJ O Shopping

     867           133   

CKH Food & Health*

     122,645           320   

Dae Han Flour Mills

     104           16   

Daehan Steel

     13,793           98   

Daesung Holdings

     3,710           30   

DK UIL

     3,201           27   

Dongwon Development

     17,700           68   

Dongyang E&P

     10,103           114   

DRB Industrial

     2,883           33   

GMB Korea

     5,250           25   

GS Home Shopping

     559           83   

Hana Financial Group

     25,819           522   

Hanil Cement

     880           63   

Heungkuk Fire & Marine Insurance*

     9,159           27   

Hite Jinro

     8,895           184   

Hyosung

     4,014           438   

Hyundai Motor

     6,388           755   

Jahwa Electronics

     7,284           78   

Kangnam Jevisco

     920           28   

KB Financial Group

     7,558           214   

Kia Motors

     63,165           2,371   

KISCO

     1,295           42   

Korea Electric Power

     81,358           4,277   

Korea Petrochemical Industries

     6,580           1,382   
 

 

The accompanying notes are an integral part of the financial statements.

 

56


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

KT

     71,014         $ 1,830   

KT Skylife

     9,103           129   

Kwangju Bank

     5,257           40   

Kyungchang Industrial

     16,273           77   

LG

     3,513           194   

LG Chemical

     1,649           376   

LG Display ADR

     200,035           2,571   

LG Electronics

     47,154           2,220   

LG Innotek

     9,391           645   

LG Uplus

     55,705           528   

Lotte Chemical

     7,875           1,951   

Lotte Shopping

     2,958           522   

Mobase*

     5,272           33   

Moorim Paper*

     35,210           88   

Namuga*

     939           42   

NAVER

     1,643           1,016   

POSCO

     2,315           407   

RedcapTour

     1,671           26   

S-1, Cl 1

     1,824           171   

Saeron Automotive

     4,310           30   

Sam Young Electronics

     8,260           87   

Samsung Electronics

     10,339           12,855   

Samsung Fire & Marine Insurance

     218           50   

SeAH Holdings

     225           23   

Sejong Industrial

     3,340           28   

Seoyon

     3,086           29   

Seoyon E-Hwa

     4,880           55   

Seoyon Electronics

     8,015           21   

Sewon Precision Industry*

     657           11   

Shindaeyang Paper*

     1,116           20   

Shinhan Financial Group

     31,290           1,032   

SK Hynix

     124,737           3,538   

SK Innovation

     19,502           2,389   

S-Oil

     30,886           2,038   

Ssangyong Cement Industrial*

     6,016           97   

Tongyang Life Insurance

     12,378           110   

Woori Bank

     106,196           878   
       

 

 

 
          49,594   
       

 

 

 

Spain — 1.3%

  

Abertis Infraestructuras

     14,952           220   

Acerinox

     50,914           564   

ACS Actividades de Construccion y Servicios

     5,425           148   

Aena (A)

     1,875           246   

Amadeus IT Holding, Cl A

     87,719           3,838   

Banco Bilbao Vizcaya Argentaria

     177,215           1,002   
Description    Shares            
Value (000)
 

Banco de Sabadell

     148,652         $ 195   

Banco Popular Espanol

     44,212           57   

Banco Santander

     405,758           1,554   

Bankia

     121,058           87   

Bankinter

     17,994           116   

CaixaBank

     68,557           150   

Distribuidora Internacional de Alimentacion

     17,963           104   

Enagas

     6,346           193   

Endesa

     8,131           163   

Ferrovial

     12,714           246   

Gas Natural SDG

     8,994           177   

Grifols

     7,629           172   

Iberdrola

     148,150           1,003   

Industria de Diseno Textil

     29,717           991   

International Consolidated Airlines Group

     20,971           103   

Mapfre

     26,146           57   

Mediaset Espana Comunicacion

     40,168           450   

Red Electrica

     3,002           268   

Repsol

     29,039           369   

Telefonica

     121,904           1,151   

Viscofan

     15,575           860   

Zardoya Otis

     4,333           41   
       

 

 

 
          14,525   
       

 

 

 

Sweden — 1.7%

  

Alfa Laval

     7,830           123   

Assa Abloy, Cl B

     151,786           3,104   

Atlas Copco, Cl A

     28,649           716   

Boliden

     6,984           135   

Electrolux

     6,242           170   

Getinge, Cl B

     5,356           110   

Hennes & Mauritz, Cl B

     132,267           3,868   

Hexagon, Cl B

     6,785           247   

Husqvarna, Cl B

     11,887           88   

ICA Gruppen

     2,024           68   

Industrivarden, Cl C

     4,708           76   

Investor, Cl B

     12,076           404   

Kinnevik

     6,028           142   

Lundin Petroleum*

     4,922           89   

Modern Times Group, Cl B

     14,508           383   

Nordea Bank

     131,148           1,104   

Oriflame Holding*

     1,600           41   

Sandvik

     111,550           1,110   

Securitas, Cl B

     8,012           123   

Skandinaviska Enskilda Banken, Cl A

     40,181           348   
 

 

The accompanying notes are an integral part of the financial statements.

 

57


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Skanska, Cl B

     8,968         $ 187   

SKF, Cl B

     10,357           165   

Svenska Cellulosa, Cl B

     16,600           530   

Svenska Handelsbanken, Cl A

     166,964           2,015   

Swedbank, Cl A

     24,055           502   

Swedish Match

     16,384           569   

Tele2, Cl B

     8,200           72   

Telefonaktiebolaget LM Ericsson, Cl B

     163,119           1,247   

Telia

     68,516           323   

Volvo, Cl B

     40,924           403   
       

 

 

 
          18,462   
       

 

 

 

Switzerland — 7.1%

  

ABB

     53,574           1,054   

Actelion

     2,722           457   

Adecco Group

     26,207           1,318   

Aryzta

     2,344           86   

Baloise Holding

     1,276           142   

Barry Callebaut

     56           69   

Chocoladefabriken Lindt & Sprungli

     31           381   

Cie Financiere Richemont

     34,958           2,039   

Coca-Cola

     4,985           101   

Credit Suisse Group

     50,453           534   

DKSH Holding

     1,559           102   

Dufry*

     1,280           153   

EMS-Chemie Holding

     221           114   

Galenica

     110           148   

Geberit

     6,959           2,631   

Givaudan

     253           508   

Helvetia Holding

     251           130   

Julius Baer Group

     6,219           248   

Kuehne + Nagel International

     11,129           1,557   

LafargeHolcim

     7,860           328   

Logitech International

     42,183           684   

Lonza Group

     1,471           243   

Nestle

     230,917           17,828   

Novartis

     156,980           12,909   

Pargesa Holding

     1,038           68   

Partners Group Holding

     481           206   

Roche Holding

     62,508           16,468   

Schindler Holding

     1,823           330   

SGS

     144           329   

Sika

     56           234   

Sonova Holding

     17,776           2,348   

Swatch Group

     2,209           316   

Swiss Life Holding

     879           202   

Swiss Prime Site

     1,819           165   
Description    Shares            
Value (000)
 

Swiss Re

     9,105         $ 793   

Swisscom

     684           340   

Syngenta*

     2,532           973   

UBS Group

     581,852           7,490   

Zurich Insurance Group

     13,799           3,396   
       

 

 

 
          77,422   
       

 

 

 

Taiwan — 2.7%

  

AU Optronics ADR

     725,037           2,530   

ChipMOS TECHNOLOGIES

     13,900           252   

Chroma ATE

     79,000           189   

Chunghwa Telecom ADR

     101,294           3,677   

Delta Electronics

     82,516           402   

Hon Hai Precision Industry

     699,692           2,128   

Ruentex Industries

     145,082           219   

Taiwan Semiconductor Manufacturing

     941,526           19,384   

Teco Electric and Machinery

     594,387           502   

Yungtay Engineering

     396,000           561   
       

 

 

 
          29,844   
       

 

 

 

Thailand — 1.4%

  

Advanced Information Technology

     233,000           193   

Amata NVDR

     152,100           56   

AP Thailand NVDR

     1,321,800           277   

Asia Aviation

     779,900           139   

Bangchak Petroleum NVDR

     260,200           238   

Bangkok Bank

     156,600           724   

Cal-Comp Electronics Thailand NVDR

     1,336,719           102   

Dhipaya Insurance NVDR

     16,800           17   

GFPT NVDR

     1,194,100           371   

Hana Microelectronics NVDR

     615,200           519   

Indorama Ventures

     724,600           601   

IRPC NVDR

     4,200,000           570   

Kasikornbank PLC

     49,900           245   

KCE Electronics NVDR

     525,400           1,251   

KGI Securities Thailand NVDR

     902,000           84   

Krung Thai Bank NVDR

     513,200           239   

MFEC NVDR

     216,800           29   

MK Real Estate Development NVDR

     283,600           35   

Pruksa Real Estate NVDR

     102,900           74   

PTG Energy

     196,400           137   

PTT NVDR

     343,100           3,070   

PTT Global Chemical NVDR

     1,370,800           2,327   

Regional Container Lines NVDR

     164,800           28   

SC Asset NVDR

     371,588           35   
 

 

The accompanying notes are an integral part of the financial statements.

 

58


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Siam Cement NVDR

     13,500         $ 183   

Siamgas & Petrochemicals NVDR

     624,900           264   

SNC Former NVDR

     76,300           33   

Sri Trang Agro-Industry NVDR

     106,400           38   

Star Petroleum Refining NVDR

     1,491,400           405   

Syntec Construction NVDR

     2,491,000           216   

Thai Airways International NVDR

     292,100           201   

Thai Oil NVDR

     172,100           295   

Thai Vegetable Oil NVDR

     176,300           161   

Thanachart Capital NVDR

     77,100           77   

Tipco Asphalt NVDR

     1,445,500           1,130   

Tisco Financial Group NVDR

     77,900           110   

TMB Bank NVDR

     4,978,700           307   

Vanachai Group NVDR

     221,100           92   
       

 

 

 
          14,873   
       

 

 

 

Turkey — 0.8%

  

Adana Cimento Sanayii, Cl A

     9,618           19   

Akcansa Cimento

     14,648           71   

Akfen Gayrimenkul Yatirim Ortakligi‡ *

     58,474           28   

Albaraka Turk Katilim Bankasi

     44,267           21   

Anadolu Anonim Turk Sigorta Sirketi

     148,517           89   

Anadolu Cam Sanayii*

     327,928           236   

Baticim Bati Anadolu Cimento Sanayii

     23,088           48   

BIM Birlesik Magazalar

     24,458           477   

Cimsa Cimento Sanayi ve Ticaret

     11,633           61   

EGE Seramik Sanayi ve Ticaret*

     22,722           32   

GSD Holdings

     389,164           130   

Haci Omer Sabanci Holding

     474,835           1,561   

Izmir Demir Celik Sanayi*

     57,810           47   

Selcuk Ecza Deposu Ticaret ve Sanayi A.S.

     85,387           82   

Sinpas Gayrimenkul Yatirim Ortakligi‡

     243,628           53   

Soda Sanayii

     182,471           290   

Torunlar Gayrimenkul Yatirim Ortakligi‡

     363,971           642   

Turkiye Garanti Bankasi

     434,876           1,151   

Turkiye Halk Bankasi

     244,795           732   

Turkiye Is Bankasi, Cl C

     919,209           1,460   

Turkiye Sise ve Cam Fabrikalari

     127,402           158   

Turkiye Vakiflar Bankasi TAO, Cl D

     674,952           1,064   

Vestel Beyaz Esya Sanayi ve Ticaret

     112,100           346   
       

 

 

 
          8,798   
       

 

 

 
Description    Shares            
Value (000)
 

United Arab Emirates — 0.2%

  

Aldar Properties PJSC

     2,491,013         $ 1,825   

National Central Cooling PJSC

     111,276           42   

Union National Bank PJSC

     43,378           48   
       

 

 

 
          1,915   
       

 

 

 

United Kingdom — 14.4%

  

3i Group

     176,728           1,297   

Aberdeen Asset Management

     25,907           97   

Admiral Group

     45,077           1,232   

Aggreko

     6,693           115   

Amec Foster Wheeler

     42,973           285   

Anglo American

     57,769           560   

Anglo American PLC

     36,971           351   

Antofagasta

     28,551           177   

ARM Holdings

     38,559           585   

Ashtead Group

     13,050           187   

Associated British Foods

     9,435           343   

AstraZeneca

     34,063           2,036   

Auto Trader Group (A)

     26,972           127   

Aviva

     107,794           566   

Babcock International Group

     6,588           80   

BAE Systems

     267,333           1,886   

Barclays PLC

     1,829,770           3,394   

Barratt Developments

     58,810           319   

Berendsen

     27,763           454   

Berkeley Group Holdings

     3,660           124   

BGEO Group

     8,999           315   

BHP Billiton

     98,590           1,249   

BP

     872,055           5,106   

British American Tobacco

     52,566           3,417   

British Land‡

     25,654           208   

BT Group, Cl A

     230,371           1,271   

Bunzl

     84,232           2,592   

Burberry Group

     12,393           193   

Capita

     145,280           1,870   

Carnival

     25,599           1,132   

Centrica

     172,081           522   

Close Brothers Group

     9,675           147   

Cobham

     43,886           93   

Compass Group PLC

     671,810           12,797   

Croda International

     3,387           142   

Daily Mail & General Trust, Cl A

     80,398           647   

Delphi Automotive PLC

     19,681           1,232   

Devro

     92,061           318   

Diageo PLC

     311,905           8,703   

Direct Line Insurance Group

     38,449           178   
 

 

The accompanying notes are an integral part of the financial statements.

 

59


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Dixons Carphone

     24,961         $ 107   

easyJet

     13,782           201   

Fresnillo

     5,948           130   

G4S

     415,739           1,017   

GKN

     48,003           174   

GlaxoSmithKline

     138,389           2,981   

Glencore

     604,444           1,247   

GVC Holdings*

     56,100           420   

Hammerson‡

     20,335           146   

Hargreaves Lansdown

     7,300           122   

Hays PLC

     510,424           665   

Hikma Pharmaceuticals

     3,788           124   

HomeServe

     132,633           936   

HSBC Holdings PLC

     670,701           4,146   

ICAP

     146,246           817   

IG Group Holdings

     68,257           741   

IMI

     13,957           181   

Imperial Brands

     25,866           1,408   

Inchcape

     21,708           183   

Informa PLC

     62,605           610   

Inmarsat

     11,468           124   

InterContinental Hotels Group

     5,091           187   

International Personal Finance

     132,726           506   

Intertek Group

     58,325           2,715   

Intu Properties‡

     24,597           95   

Investec

     17,755           109   

ITV

     719,496           1,740   

J Sainsbury

     34,243           107   

Johnson Matthey

     5,050           190   

Jupiter Fund Management

     67,038           331   

Just Eat*

     68,934           391   

Kingfisher

     59,743           258   

Land Securities Group‡

     20,871           292   

Legal & General Group

     158,017           404   

Lloyds Banking Group

     3,328,106           2,405   

London Stock Exchange Group

     8,269           280   

Lukoil PJSC ADR

     9,090           376   

Marks & Spencer Group

     42,909           182   

McCarthy & Stone (A)

     45,226           103   

Mediclinic International

     10,645           155   

Meggitt

     21,527           117   

Merlin Entertainments (A)

     253,846           1,501   

Millennium & Copthorne Hotels

     15,795           84   

Mondi

     10,290           192   

Moneysupermarket.com Group

     157,674           569   

National Express Group

     35,627           141   

National Grid

     138,271           2,028   
Description    Shares            
Value (000)
 

Next

     3,775         $ 249   

Non-Standard Finance* (A)

     171,300           132   

Northgate

     18,926           82   

Novolipetsk Steel PJSC GDR

     24,879           321   

Old Mutual

     130,167           347   

Paddy Power Betfair

     10,373           1,098   

Pagegroup

     32,457           130   

Pearson

     21,530           280   

Persimmon

     8,525           166   

Petrofac

     16,186           169   

Pets at Home Group

     123,883           384   

Provident Financial

     43,806           1,351   

Prudential PLC

     162,077           2,733   

Reckitt Benckiser Group PLC

     119,201           11,950   

RELX

     118,383           2,188   

Rexam

     4,204           37   

Rightmove

     50,004           2,454   

Rio Tinto PLC

     126,274           3,896   

Rolls-Royce Holdings PLC

     401,816           3,832   

Rotork

     42,307           123   

Royal Bank of Scotland Group*

     97,033           222   

Royal Mail

     23,001           154   

RSA Insurance Group

     26,055           175   

SABMiller

     26,217           1,530   

Sage Group

     29,963           261   

Schroders

     3,883           122   

Segro‡

     20,208           112   

Serco Group PLC

     530,431           792   

Severn Trent

     6,073           198   

Severstal PJSC GDR

     15,975           177   

Shire

     24,199           1,504   

Sky PLC

     363,037           4,121   

Smith & Nephew

     36,374           618   

Smiths Group PLC

     114,200           1,757   

South32

     48,396           57   

Spectris

     22,972           560   

SSE

     26,763           558   

SSP Group

     202,306           757   

St. James’s Place

     57,230           604   

Stagecoach Group

     159,640           495   

Standard Chartered PLC

     163,870           1,241   

Standard Life

     51,625           204   

Tate & Lyle

     13,078           117   

Taylor Wimpey

     90,563           161   

Tesco

     409,814           960   

Thomas Cook Group*

     419,853           353   

Travis Perkins

     6,373           126   
 

 

The accompanying notes are an integral part of the financial statements.

 

60


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

Description    Shares            
Value (000)
 

Unilever

     83,771         $ 4,003   

United Utilities Group

     18,683           258   

Vodafone Group PLC

     893,049           2,721   

Weir Group

     6,020           115   

WH Smith

     41,738           877   

Whitbread

     4,796           225   

William Hill

     23,519           81   

WM Morrison Supermarkets

     57,327           144   

Wolseley

     6,748           348   

Worldpay Group* (A)

     35,536           129   

WPP PLC

     497,278           10,336   
       

 

 

 
          157,380   
       

 

 

 

United States — 0.5%

  

Consumer Discretionary — 0.5%

  

Yum! Brands

     62,292           5,166   
       

 

 

 

Consumer Staples — 0.0%

  

Gruma, Cl B

     27,136           376   
       

 

 

 

Information Technology — 0.0%

  

Genpact*

     5,182           139   
       

 

 

 
          5,681   
       

 

 

 

Total Common Stock
(Cost $1,121,714) (000)

          1,051,002   
       

 

 

 

PREFERRED STOCK — 0.7%

  

Alpargatas

     296,498           962   

Banco Bradesco

     22,698           178   

Banco do Estado do Rio Grande do Sul

     189,200           501   

Bayerische Motoren Werke

     1,367           87   

Centrais Eletricas Brasileiras*

     143,200           780   

Cia Brasileira de Distribuicao

     12,665           184   

Cia de Gas de Sao Paulo-COMGAS, Cl A

     2,155           32   

Cia Energetica de Minas Gerais

     267,700           602   

Cia Energetica de Sao Paulo

     35,400           130   

Cia Paranaense de Energia

     62,100           562   

CJ

     1,220           106   

Eletropaulo Metropolitana Eletricidade de Sao Paulo, Cl B

     43,900           115   

Embotelladora Andina

     14,922           53   

FUCHS PETROLUB

     1,699           67   

Henkel & KGaA

     4,875           594   

Itausa-Investimentos Itau

     195,478           456   

Metalurgica Gerdau

     225,600           139   

Petroleo Brasileiro*

     65,200           190   

Porsche Automobil Holding

     3,952           183   
Description    Shares            
Value (000)
 

Schaeffler

     4,378         $ 58   

Volkswagen

     12,766           1,545   
       

 

 

 

Total Preferred Stock
(Cost $8,838) (000)

          7,524   
       

 

 

 

PARTICIPATION NOTES — 0.1%

  

HSBC Bank (Axis Bank),
Expires 7/21/2017*

     28,143           222   

HSBC Bank (Bank of Baroda), Expires 11/21/2023*

     55,716           127   

HSBC Bank (Bharti Airtel),
Expires 8/1/2016*

     51,313           279   

HSBC Bank (CESC),
Expires 3/31/2017*

     58,190           514   
       

 

 

 

Total Participation Notes
(Cost $1,081) (000)

          1,142   
       

 

 

 
     Number of
Rights
          

RIGHTS — 0.0%

  

Acerinox* †

     50,914           26   

ACS Actividades de Construccion y Servicios* †

     5,425           4   

Noble Group,
Expires 7/25/2016*

     145,000           10   

Repsol* †

     29,039           9   

Ssangyong Cement Industrial, Cl R,
Expires 7/7/2016*

     1             

Vocus Communications,
Expires 7/21/2016*

     1,420             
       

 

 

 

Total Rights
(Cost $24) (000)

          49   
       

 

 

 

SHORT-TERM INVESTMENT (C) — 2.5%

  

State Street Institutional Liquid Reserves Fund, Institutional Class, 0.471%

     26,884,136           26,884   
       

 

 

 

Total Short-Term Investment
(Cost $26,884) (000)

          26,884   
       

 

 

 

Total Investments — 99.2% (Cost $1,158,541) (000)

        $ 1,086,601   
       

 

 

 

Percentages are based on net assets of $1,095,440 (000).

A list of the open futures contracts held by the Fund at June 30, 2016, is as follows:

 

Type of Contract    Number of
Contracts
Long
     Expiration
Date
     Unrealized
Depreciation
 
E-MINI MSCI Future      275         Sep-2016       $ (119
        

 

 

 

For the period ended June 30, 2016, the monthly average value of futures contracts held was $15,350 (000).

 

 

The accompanying notes are an integral part of the financial statements.

 

61


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP International Equity Fund   

 

 

* Non-income producing security.
Expiration date is not available.
Real Estate Investment Trust
(A) Security sold within terms of a private placement memorandum, exempt from registration under Section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other “accredited investors.” The total value of such securities as of June 30, 2016 was $2,816 (000) and represents 0.25% of Net Assets.
(B) Security is fair valued using methods determined in good faith by the Fair Value Committee of the Board of Trustees. The total value of such securities as of June 30, 2016, was $189 (000) and represented 0.02% of net assets.
(C) The rate reported is the 7-day effective yield as of June 30, 2016.

ADR — American Depositary Receipt

Cl — Class

GDR — Global Depositary Receipt

MSCI — Morgan Stanley Capital International

NVDR — Non-Voting Depositary Receipt

PLC — Public Limited Company

The following is a list of the level of inputs used as of June 30, 2016, there in valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments in Securities   Level 1     Level 2     Level 3^     Total  

Common Stock

       

Australia

  $ 644      $ 29,662      $      $ 30,306   

Austria

           1,516               1,516   

Belgium

           9,187               9,187   

Brazil

    21,294                      21,294   

Canada

    14,415                      14,415   

Chile

    2,394               189        2,583   

China

    10,174        19,292               29,466   

Colombia

    696                      696   

Cyprus

           254               254   

Czech Republic

           207               207   

Denmark

    1,217        17,753               18,970   

Finland

           8,011               8,011   

France

    861        79,398               80,259   

Germany

    1,572        65,908               67,480   

Greece

           2,325               2,325   

Hong Kong

    577        47,345               47,922   

India

    9,555                      9,555   

Indonesia

           8,742               8,742   

Ireland

    3,704        3,783               7,487   

Israel

    2,688        1,889               4,577   

Italy

    270        13,258               13,528   

Japan

    2,608        174,761               177,369   

Luxembourg

    1,553        1,554               3,107   

Macau

           228               228   

Malaysia

    822        7,645               8,467   

Mexico

    7,666                      7,666   

Netherlands

    1,317        40,067               41,384   

New Zealand

           1,102               1,102   

Norway

    411        3,278               3,689   

Panama

    24                      24   

Peru

    4,904                      4,904   

Philippines

           1,871               1,871   

Poland

    88        7,368               7,456   

Portugal

           479               479   

Qatar

    2,820                      2,820   

Russia

    1,113        3,256               4,369   

Singapore

           12,316               12,316   

South Africa

    1,149        15,328               16,477   

South Korea

    4,441        45,153               49,594   

Spain

    246        14,279               14,525   

Sweden

    183        18,279               18,462   
Investments in Securities   Level 1     Level 2     Level 3^     Total  

Switzerland

  $ 9,839      $ 67,583      $      $ 77,422   

Taiwan

    24,572        5,272               29,844   

Thailand

    543        14,330               14,873   

Turkey

    158        8,640               8,798   

United Arab Emirates

    1,873        42               1,915   

United Kingdom

    3,795        153,585               157,380   

United States

    5,681                      5,681   
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Common Stock

    145,867        904,946        189        1,051,002   

Preferred Stock

    4,885        2,639               7,524   

Participation Notes

           1,142               1,142   

Rights

           49               49   

Short-Term Investment

    26,884                      26,884   
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments in Securities

  $ 177,636      $ 908,776      $ 189      $ 1,086,601   
 

 

 

   

 

 

   

 

 

   

 

 

 
Other Financial Instruments   Level 1     Level 2     Level 3     Total  

Futures Contracts**

  

     

Unrealized Depreciation

  $ (119   $      $      $ (119
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments

  $ (119   $      $      $ (119
 

 

 

   

 

 

   

 

 

   

 

 

 

 

** Futures contracts are valued at the unrealized depreciation on the instrument.
^ A reconciliation of Level 3 investments and disclosures of significant unobservable inputs are presented when the Fund has a significant amount of Level 3 investments in at the beginning and/or end of the year in relation to net assets. Management has concluded that Level 3 investments are not material in relation to net assets.

For the period ended June 30, 2016, there were transfers between Level 1 and Level 2 assets and liabilities. Changes in the classifications between Levels 1 and 2 occur when foreign equity securities are fair valued using other observable market based inputs in place of the closing exchange price due to events occurring after the close of the exchange or market on which the investment is principally traded. Transfers, if any, between levels are considered to have occurred as of the end of the year. For the period ended June 30, 2016, securities with a total value of $189 (000) were transferred from Level 1 to Level 3 due to a halt in trading of these securities.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

 

The accompanying notes are an integral part of the financial statements.

 

62


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

SECTOR WEIGHTINGS†

 

LOGO

 

Percentages based on total investments.

 

SCHEDULE OF INVESTMENTS

 

Description    Face Amount
(000)
       Value (000)  

U.S. TREASURY OBLIGATIONS — 31.1%

  

U.S. Treasury Bonds

       

4.750%, 02/15/37-02/15/37

   $ 6,830         $ 10,164   

3.000%, 05/15/45-11/15/45

     8,066           9,272   

2.875%, 08/15/45-08/15/45

     6,857           7,700   

2.500%, 02/15/46-05/15/46

     1,858           1,935   

U.S. Treasury Notes

       

8.000%, 11/15/21-11/15/21

     1,000           1,362   

3.625%, 02/15/20-02/15/21

     3,950           4,381   

3.500%, 05/15/20-05/15/20

     750           824   

3.375%, 11/15/19-11/15/19

     2,000           2,173   

3.125%, 05/15/19-05/15/19

     1,500           1,603   

2.750%, 11/15/23-02/15/24

     3,550           3,916   

2.625%, 11/15/20-11/15/20

     1,500           1,607   

2.500%, 08/15/23-05/15/24

     3,100           3,363   

2.375%, 08/15/24-08/15/24

     2,400           2,583   

2.250%, 04/30/21-11/15/25

     5,250           5,586   

2.125%, 08/15/21-05/15/25

     7,925           8,359   

2.000%, 09/30/20-08/15/25

     13,750           14,393   

1.875%, 11/30/21-10/31/22

     5,500           5,720   

1.750%, 09/30/19-05/15/23

     12,280           12,681   

1.625%, 03/31/19-05/15/26

     42,565           43,524   

1.500%, 08/31/18-03/31/23

     19,173           19,538   

1.375%, 06/30/18-06/30/23

     63,278           64,397   

1.250%, 11/15/18-03/31/21

     13,526           13,709   

1.125%, 02/28/21-06/30/21

     11,670           11,738   

1.000%, 03/15/18-09/30/19

     8,800           8,864   

0.875%, 01/15/18-06/15/19

     24,293           24,417   

0.750%, 10/31/17-02/15/19

     8,305           8,326   

0.625%, 07/31/17-06/30/18

     21,394           21,411   

0.500%, 07/31/17-07/31/17

     4,900           4,899   
       

 

 

 

Total U.S. Treasury Obligations (Cost $310,762) (000)

          318,445   
       

 

 

 

CORPORATE OBLIGATIONS — 28.2%

  

Consumer Discretionary — 2.5%

  

21st Century Fox America

       

4.500%, 02/15/21

     100           112   

3.700%, 09/15/24

     120           129   
Description    Face Amount
(000)
       Value (000)  

Amazon.com
1.200%, 11/29/17

   $ 200         $ 201   

American Honda Finance

       

2.450%, 09/24/20

     100           104   

1.700%, 02/22/19

     25           25   

1.200%, 07/14/17

     100           100   

Atento Luxco
7.375%, 01/29/20 (A)

     220           213   

AutoZone
2.500%, 04/15/21

     100           102   

Bed Bath & Beyond
3.749%, 08/01/24

     25           26   

CBS
3.375%, 03/01/22

     150           156   

Charter Communications Operating

       

6.384%, 10/23/35 (A)

     310           367   

4.464%, 07/23/22 (A)

     100           107   

3.579%, 07/23/20 (A)

     1,488           1,556   

Cleveland Clinic Foundation
4.858%, 01/01/14

     321           358   

Comcast

       

4.500%, 01/15/43

     487           550   

4.200%, 08/15/34

     1,460           1,608   

3.375%, 02/15/25

     275           297   

3.150%, 03/01/26

     50           53   

3.125%, 07/15/22

     150           160   

2.750%, 03/01/23

     100           105   

Delphi
4.150%, 03/15/24

     40           43   

Delphi Automotive
3.150%, 11/19/20

     100           103   

Diageo Capital
5.750%, 10/23/17

     200           212   

Discovery Communications
5.050%, 06/01/20

     100           110   

Dollar General
4.150%, 11/01/25

     25           28   

Expedia
4.500%, 08/15/24

     100           103   

Ford Motor Credit

       

5.875%, 08/02/21

     200           229   

3.096%, 05/04/23

     200           203   

2.375%, 03/12/19

     400           406   

2.240%, 06/15/18

     200           202   

1.684%, 09/08/17

     200           200   

1.461%, 03/27/17

     2,146           2,150   

General Motors

       

6.250%, 10/02/43

     741           823   

3.500%, 10/02/18

     200           206   

General Motors Financial

       

4.300%, 07/13/25

     100           103   

4.000%, 01/15/25

     100           101   

3.700%, 05/09/23

     100           100   

3.200%, 07/06/21

     1,173           1,175   
 

 

The accompanying notes are an integral part of the financial statements.

 

63


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

3.150%, 01/15/20

   $ 150         $ 152   

3.100%, 01/15/19

     100           102   

Grupo Televisa
7.250%, 05/14/43

     2,840           134   

Home Depot

       

4.400%, 04/01/21

     100           113   

2.625%, 06/01/22

     100           105   

2.000%, 06/15/19

     200           205   

Hyundai Capital America
2.450%, 06/15/21 (A)

     2,810           2,824   

Johnson Controls
3.625%, 07/02/24

     43           45   

Kohl’s
4.000%, 11/01/21

     100           105   

Latam Airlines Pass-Through Trust
4.200%, 11/15/27 (A)

     452           413   

Lowe’s

       

4.625%, 04/15/20

     100           110   

2.500%, 04/15/26

     50           51   

1.150%, 04/15/19

     20           20   

Macy’s Retail Holdings
3.625%, 06/01/24

     100           99   

Magna International
3.625%, 06/15/24

     50           53   

Marriott International
3.125%, 10/15/21

     100           104   

Mattel
2.350%, 05/06/19

     100           102   

McDonald’s

       

5.350%, 03/01/18

     100           107   

3.375%, 05/26/25

     100           106   

2.750%, 12/09/20

     20           21   

NBCUniversal Media
4.375%, 04/01/21

     100           112   

Newell Brands

       

5.500%, 04/01/46

     400           476   

4.000%, 12/01/24

     50           52   

3.850%, 04/01/23

     506           537   

3.150%, 04/01/21

     150           156   

Omnicom Group

       

4.450%, 08/15/20

     100           110   

3.600%, 04/15/26

     100           106   

O’Reilly Automotive
3.550%, 03/15/26

     50           52   

QVC
4.450%, 02/15/25

     65           65   

Scripps Networks Interactive
2.750%, 11/15/19

     100           102   

Staples
2.750%, 01/12/18

     100           100   

Starbucks
3.850%, 10/01/23

     150           168   
Description    Face Amount
(000)
       Value (000)  

Target
2.900%, 01/15/22

   $ 200         $ 212   

Time Warner

       

4.875%, 03/15/20

     100           111   

4.850%, 07/15/45

     552           600   

4.750%, 03/29/21

     100           112   

3.600%, 07/15/25

     575           609   

2.950%, 07/15/26

     596           601   

2.100%, 06/01/19

     100           101   

Time Warner Cable

       

8.250%, 04/01/19

     200           232   

7.300%, 07/01/38

     208           261   

4.000%, 09/01/21

     100           106   

TJX
2.750%, 06/15/21

     100           106   

Toyota Motor Credit

       

4.250%, 01/11/21

     100           112   

2.750%, 05/17/21

     100           105   

2.100%, 01/17/19

     150           153   

1.900%, 04/08/21

     200           203   

1.550%, 07/13/18

     100           101   

1.200%, 04/06/18

     50           50   

Viacom

       

4.250%, 09/01/23

     100           104   

2.200%, 04/01/19

     100           100   

Walt Disney

       

3.150%, 09/17/25

     100           111   

2.550%, 02/15/22

     100           105   

1.850%, 05/30/19

     150           153   

Wesleyan University
4.781%, 07/01/16

     554           590   

Whirlpool
4.000%, 03/01/24

     60           65   

Wyndham Worldwide
4.250%, 03/01/22

     50           53   
       

 

 

 
          24,889   
       

 

 

 

Consumer Staples — 2.0%

  

Altria Group
9.250%, 08/06/19

     200           247   

Anheuser-Busch InBev Finance

       

4.900%, 02/01/46

     973           1,140   

4.700%, 02/01/36

     648           728   

3.650%, 02/01/26

     550           589   

2.650%, 02/01/21

     2,365           2,453   

2.150%, 02/01/19

     200           204   

1.900%, 02/01/19

     200           204   

1.250%, 01/17/18

     100           100   

Anheuser-Busch InBev Worldwide

       

7.750%, 01/15/19

     100           116   

5.375%, 01/15/20

     100           112   

2.500%, 07/15/22

     100           102   

Clorox
3.500%, 12/15/24

     50           54   
 

 

The accompanying notes are an integral part of the financial statements.

 

64


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Coca-Cola

       

3.300%, 09/01/21

   $ 100         $ 109   

3.200%, 11/01/23

     100           108   

2.875%, 10/27/25

     50           53   

2.550%, 06/01/26

     1,685           1,734   

2.450%, 11/01/20

     50           52   

1.875%, 10/27/20

     50           51   

1.375%, 05/30/19

     50           51   

Coca-Cola Femsa
2.375%, 11/26/18

     150           153   

Colgate-Palmolive
1.750%, 03/15/19

     100           102   

ConAgra Foods
1.900%, 01/25/18

     100           101   

Costco Wholesale
1.700%, 12/15/19

     100           102   

CVS Health

       

4.000%, 12/05/23

     150           166   

3.875%, 07/20/25

     120           132   

3.375%, 08/12/24

     100           106   

2.875%, 06/01/26

     50           51   

2.250%, 12/05/18

     150           153   

2.125%, 06/01/21

     50           51   

Dr Pepper Snapple Group
3.400%, 11/15/25

     150           159   

General Mills
5.650%, 02/15/19

     100           111   

JM Smucker
2.500%, 03/15/20

     100           103   

Kellogg
4.000%, 12/15/20

     100           110   

Kimberly-Clark
2.750%, 02/15/26

     100           105   

Kraft Heinz Foods

       

3.950%, 07/15/25 (A)

     150           163   

3.500%, 06/06/22

     125           133   

2.800%, 07/02/20 (A)

     150           156   

2.000%, 07/02/18 (A)

     425           430   

1.600%, 06/30/17 (A)

     1,265           1,269   

Kroger

       

6.400%, 08/15/17

     100           106   

3.300%, 01/15/21

     100           106   

Mead Johnson Nutrition
3.000%, 11/15/20

     30           31   

Molson Coors Brewing

       

4.200%, 07/15/46

     819           823   

3.000%, 07/15/26

     25           25   

1.450%, 07/15/19

     25           25   

Mondelez International
4.000%, 02/01/24

     150           164   

PepsiCo

       

7.900%, 11/01/18

     200           231   

3.600%, 03/01/24

     100           110   

2.850%, 02/24/26

     100           105   

2.150%, 10/14/20

     100           103   

1.250%, 04/30/18

     100           100   
Description    Face Amount
(000)
       Value (000)  

Philip Morris International

       

5.650%, 05/16/18

   $ 250         $ 272   

4.500%, 03/26/20

     100           111   

3.375%, 08/11/25

     100           108   

Procter & Gamble

       

3.100%, 08/15/23

     100           108   

1.900%, 11/01/19

     100           103   

Reynolds American

       

8.125%, 06/23/19

     100           118   

4.450%, 06/12/25

     150           168   

2.300%, 08/21/17

     1,813           1,842   

Sigma Alimentos
4.125%, 05/02/26 (A)

     270           273   

Sysco

       

2.600%, 10/01/20

     50           52   

2.500%, 07/15/21

     35           36   

1.900%, 04/01/19

     30           30   

Tyson Foods
4.500%, 06/15/22

     150           167   

Unilever Capital

       

4.250%, 02/10/21

     150           167   

2.200%, 03/06/19

     100           103   

USJ Acucar e Alcool
9.875%, 11/09/19 (A)

     340           175   

Walgreens Boots Alliance

       

4.800%, 11/18/44

     516           555   

4.650%, 06/01/46

     257           274   

3.450%, 06/01/26

     165           170   

3.300%, 11/18/21

     100           105   

3.100%, 06/01/23

     30           31   

2.700%, 11/18/19

     100           103   

2.600%, 06/01/21

     962           980   

1.750%, 05/30/18

     35           35   

Wal-Mart Stores

       

4.250%, 04/15/21

     125           142   

3.300%, 04/22/24

     150           164   

1.125%, 04/11/18

     200           201   
       

 

 

 
          20,585   
       

 

 

 

Energy — 3.9%

  

Anadarko Petroleum

       

6.950%, 06/15/19

     237           263   

6.600%, 03/15/46

     327           395   

6.375%, 09/15/17

     26           27   

4.850%, 03/15/21

     375           398   

4.500%, 07/15/44

     440           404   

Apache
3.250%, 04/15/22

     100           102   

Baker Hughes
7.500%, 11/15/18

     150           170   

Boardwalk Pipelines
4.950%, 12/15/24

     50           49   

BP Capital Markets

       

3.535%, 11/04/24

     250           264   

3.119%, 05/04/26

     1,929           1,970   

3.062%, 03/17/22

     100           103   
 

 

The accompanying notes are an integral part of the financial statements.

 

65


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

2.750%, 05/10/23

   $ 100         $ 101   

2.315%, 02/13/20

     125           128   

2.237%, 05/10/19

     100           103   

1.676%, 05/03/19

     20           20   

Canadian Natural Resources

       

6.750%, 02/01/39

     388           434   

5.900%, 02/01/18

     495           523   

3.450%, 11/15/21

     876           876   

Chevron

       

2.954%, 05/16/26

     50           52   

2.566%, 05/16/23

     50           51   

2.355%, 12/05/22

     150           152   

2.193%, 11/15/19

     90           92   

2.100%, 05/16/21

     50           51   

1.961%, 03/03/20

     150           152   

1.718%, 06/24/18

     300           303   

1.561%, 05/16/19

     50           51   

Chevron Phillips Chemical
1.700%, 05/01/18 (A)

     837           835   

CNOOC Curtis Funding No. 1
4.500%, 10/03/23 (A)

     950           1,028   

CNOOC Finance 2015 USA
3.500%, 05/05/25

     200           203   

Columbia Pipeline Group
2.450%, 06/01/18

     100           100   

ConocoPhillips

       

6.000%, 01/15/20

     100           114   

4.200%, 03/15/21

     150           162   

3.350%, 11/15/24

     200           206   

Devon Energy

       

5.850%, 12/15/25

     1,172           1,293   

5.000%, 06/15/45

     130           121   

2.250%, 12/15/18

     150           149   

Ecopetrol
5.875%, 09/18/23

     100           103   

Enable Midstream Partners
2.400%, 05/15/19

     50           47   

Enbridge Energy Partners
5.875%, 10/15/25

     100           111   

Encana
3.900%, 11/15/21

     50           48   

Energy Transfer Partners

       

6.625%, 10/15/36

     314           329   

3.600%, 02/01/23

     100           96   

2.500%, 06/15/18

     150           149   

Enterprise Products Operating

       

3.350%, 03/15/23

     100           103   

2.850%, 04/15/21

     30           31   

2.550%, 10/15/19

     200           205   

EOG Resources

       

3.150%, 04/01/25

     100           101   

2.625%, 03/15/23

     100           100   

Exxon Mobil

       

3.043%, 03/01/26

     50           53   

2.726%, 03/01/23

     35           36   

2.709%, 03/06/25

     150           157   
Description    Face Amount
(000)
       Value (000)  

2.222%, 03/01/21

   $ 20         $ 21   

1.819%, 03/15/19

     250           255   

1.708%, 03/01/19

     50           51   

1.439%, 03/01/18

     30           30   

Fermaca Enterprises
6.375%, 03/30/38 (A)

     193           192   

Halliburton
3.500%, 08/01/23

     100           104   

Hess
8.125%, 02/15/19

     50           56   

Husky Energy
4.000%, 04/15/24

     100           102   

Kinder Morgan

       

5.300%, 12/01/34

     645           630   

5.050%, 02/15/46

     663           630   

3.050%, 12/01/19

     50           51   

2.000%, 12/01/17

     200           199   

Kinder Morgan Energy Partners

       

3.950%, 09/01/22

     250           254   

3.500%, 03/01/21

     20           20   

Magellan Midstream Partners 4.250%, 02/01/21

     100           108   

Marathon Oil
2.800%, 11/01/22

     150           136   

Marathon Petroleum
3.400%, 12/15/20

     100           103   

MPLX

       

4.875%, 12/01/24 (A)

     100           97   

4.000%, 02/15/25

     25           23   

Nabors Industries
5.100%, 09/15/23

     100           89   

National Oilwell Varco
2.600%, 12/01/22

     100           93   

Noble Energy

       

8.250%, 03/01/19

     1,217           1,394   

4.150%, 12/15/21

     200           210   

Occidental Petroleum

       

3.400%, 04/15/26

     70           74   

3.125%, 02/15/22

     100           105   

Odebrecht Drilling Norbe VIII
6.350%, 06/30/21 (A)

     330           92   

ONEOK Partners
3.375%, 10/01/22

     100           98   

Pertamina Persero

       

6.450%, 05/30/44 (A)

     370           392   

6.000%, 05/03/42 (A)

     280           283   

5.250%, 05/23/21 (A)

     265           284   

Petrobras Global Finance BV
4.375%, 05/20/23

     790           642   

Petroleos de Venezuela

       

9.000%, 11/17/21

     660           283   

8.500%, 11/02/17 (A)

     300           210   

6.000%, 11/15/26 (A)

     665           232   

5.375%, 04/12/27

     365           127   
 

 

The accompanying notes are an integral part of the financial statements.

 

66


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Petroleos Mexicanos

       

8.000%, 05/03/19

   $ 250         $ 279   

6.875%, 08/04/26 (A) (B)

     50           56   

6.375%, 02/04/21 (A)

     240           245   

5.625%, 01/23/46

     1,388           1,265   

5.500%, 02/04/19 (A)

     1,767           1,784   

4.875%, 01/24/22

     350           358   

3.500%, 07/23/20

     755           717   

Petronas Capital

       

4.500%, 03/18/45 (A)

     200           221   

3.500%, 03/18/25 (A)

     200           210   

3.125%, 03/18/22 (A)

     455           472   

Phillips 66 Partners
3.605%, 02/15/25

     25           25   

Pioneer Natural Resources
3.450%, 01/15/21

     100           103   

Plains All American Pipeline

       

6.650%, 01/15/37

     165           171   

4.900%, 02/15/45

     383           342   

4.650%, 10/15/25

     150           152   

3.850%, 10/15/23

     150           145   

2.600%, 12/15/19

     975           950   

Regency Energy Partners
4.500%, 11/01/23

     1,269           1,239   

Schlumberger Investment
3.650%, 12/01/23

     100           107   

Shell International Finance

       

4.000%, 05/10/46

     867           884   

3.250%, 05/11/25

     150           157   

2.875%, 05/10/26

     100           102   

2.000%, 11/15/18

     200           203   

1.875%, 05/10/21

     1,844           1,854   

1.625%, 11/10/18

     200           202   

Sinopec Group Overseas Development
3.500%, 05/03/26 (A)

     580           593   

Spectra Energy Partners
3.500%, 03/15/25

     100           102   

State Oil of the Azerbaijan Republic
4.750%, 03/13/23

     1,045           1,000   

Statoil

       

3.700%, 03/01/24

     100           108   

2.450%, 01/17/23

     125           126   

2.250%, 11/08/19

     150           154   

Suncor Energy
6.100%, 06/01/18

     769           832   

Sunoco Logistics Partners Operations
4.400%, 04/01/21

     200           211   

Total Capital Canada
2.750%, 07/15/23

     100           103   

Total Capital International

       

2.700%, 01/25/23

     100           103   

2.100%, 06/19/19

     100           102   
Description    Face Amount
(000)
       Value (000)  

TransCanada PipeLines

       

4.875%, 01/15/26

   $ 100         $ 114   

2.500%, 08/01/22

     100           100   

1.625%, 11/09/17

     919           921   

Valero Energy

       

9.375%, 03/15/19

     29           35   

3.650%, 03/15/25

     100           100   

Western Gas Partners
2.600%, 08/15/18

     100           99   

Williams Partners

       

5.250%, 03/15/20

     1,317           1,355   

4.900%, 01/15/45

     590           501   

3.600%, 03/15/22

     200           190   
       

 

 

 
          39,876   
       

 

 

 

Financials — 9.9%

       

ACE INA Holdings
3.350%, 05/15/24

     100           107   

Aflac
3.625%, 06/15/23

     100           107   

African Development Bank

       

1.375%, 02/12/20

     100           101   

0.875%, 03/15/18

     150           150   

AIA Group

       

4.500%, 03/16/46 (A)

     410           445   

2.250%, 03/11/19 (A)

     424           429   

Alexandria Real Estate Equities
2.750%, 01/15/20

     50           50   

Alleghany
4.950%, 06/27/22

     100           111   

American Express
7.000%, 03/19/18

     150           164   

American Express Credit

       

2.375%, 05/26/20

     100           102   

2.250%, 08/15/19

     250           255   

1.875%, 11/05/18

     150           152   

American International Group

       

4.800%, 07/10/45

     400           406   

3.900%, 04/01/26

     722           744   

3.375%, 08/15/20

     150           157   

3.300%, 03/01/21

     150           155   

2.300%, 07/16/19

     100           102   

American Tower

       

4.700%, 03/15/22

     150           166   

3.400%, 02/15/19

     100           104   

Ameriprise Financial
5.300%, 03/15/20

     100           112   

Andina de Fomento
4.375%, 06/15/22

     100           112   

Aon
5.000%, 09/30/20

     100           112   

Ares Capital
3.875%, 01/15/20

     60           62   

Asian Development Bank

       

2.000%, 01/22/25

     100           103   
 

 

The accompanying notes are an integral part of the financial statements.

 

67


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

1.750%, 03/21/19

   $ 100         $ 102   

1.625%, 08/26/20

     300           306   

1.375%, 01/15/19

     100           101   

1.125%, 06/05/18

     150           151   

0.875%, 04/26/18

     100           100   

0.750%, 07/28/17

     100           100   

Assurant
4.000%, 03/15/23

     74           76   

Australia & New Zealand Banking Group NY
2.700%, 11/16/20

     250           259   

AvalonBay Communities
3.500%, 11/15/24

     100           105   

Banco de Costa Rica
5.250%, 08/12/18 (A)

     540           551   

Banco Internacional del Peru SAA Interbank
6.625%, 03/19/29 (A) (C)

     130           138   

Banco Nacional de Costa Rica

       

5.875%, 04/25/21 (A)

     210           217   

4.875%, 11/01/18 (A)

     350           357   

Bank of America

       

5.700%, 01/24/22

     100           116   

4.450%, 03/03/26

     1,177           1,231   

4.200%, 08/26/24

     165           171   

4.100%, 07/24/23

     100           107   

4.000%, 01/22/25

     100           102   

3.950%, 04/21/25

     200           204   

3.500%, 04/19/26

     1,822           1,883   

2.650%, 04/01/19

     450           461   

2.625%, 10/19/20

     500           508   

2.250%, 04/21/20

     250           251   

2.050%, 12/07/18

     3,104           3,149   

2.000%, 01/11/18

     150           151   

1.750%, 06/05/18

     250           252   

1.700%, 08/25/17

     140           140   

Bank of Georgia
7.750%, 07/05/17

     330           345   

Bank of Montreal

       

1.800%, 07/31/18

     50           51   

1.400%, 04/10/18

     200           201   

Bank of New York Mellon

       

3.550%, 09/23/21

     100           108   

3.000%, 02/24/25

     100           105   

2.500%, 04/15/21

     100           104   

2.450%, 11/27/20

     50           51   

2.100%, 08/01/18

     200           204   

Bank of Nova Scotia

       

2.800%, 07/21/21

     100           104   

2.450%, 03/22/21

     50           52   

2.050%, 10/30/18

     100           102   

1.950%, 01/15/19

     50           51   

1.650%, 06/14/19

     50           50   

1.300%, 07/21/17

     100           100   

Barclays

       

3.650%, 03/16/25

     200           192   

2.875%, 06/08/20

     250           247   
Description    Face Amount
(000)
       Value (000)  

Barrick North America Finance

       

5.750%, 05/01/43

   $ 613         $ 666   

4.400%, 05/30/21

     1,397           1,504   

BB&T

       

2.450%, 01/15/20

     100           103   

2.050%, 05/10/21

     300           304   

Berkshire Hathaway

       

3.125%, 03/15/26

     1,144           1,200   

3.000%, 02/11/23

     150           158   

2.750%, 03/15/23

     723           747   

1.700%, 03/15/19

     100           102   

BlackRock
5.000%, 12/10/19

     100           112   

BMCE Bank
6.250%, 11/27/18

     200           210   

BNP Paribas

       

4.250%, 10/15/24

     200           205   

2.375%, 05/21/20

     200           204   

BOC Aviation
3.875%, 04/27/26 (A)

     200           206   

Boston Properties

       

3.850%, 02/01/23

     100           107   

3.700%, 11/15/18

     100           105   

BPCE
2.500%, 07/15/19

     250           257   

Brixmor Operating Partnership

       

4.125%, 06/15/26

     1,208           1,239   

3.875%, 08/15/22

     30           31   

Camden Property Trust
3.500%, 09/15/24

     100           104   

Capital One
1.650%, 02/05/18

     1,737           1,738   

Capital One Bank USA
2.150%, 11/21/18

     250           252   

Capital One Financial

       

4.200%, 10/29/25

     100           103   

3.200%, 02/05/25

     50           50   

2.450%, 04/24/19

     100           102   

CBL & Associates
5.250%, 12/01/23

     150           142   

Charles Schwab
4.450%, 07/22/20

     100           111   

Chubb
5.750%, 05/15/18

     100           108   

Citigroup

       

4.400%, 06/10/25

     1,088           1,138   

3.750%, 06/16/24

     100           105   

3.500%, 05/15/23

     100           102   

3.400%, 05/01/26

     100           102   

3.300%, 04/27/25

     100           102   

2.700%, 03/30/21

     1,673           1,703   

2.650%, 10/26/20

     100           102   

2.500%, 07/29/19

     100           102   

2.400%, 02/18/20

     100           101   

2.150%, 07/30/18

     70           71   
 

 

The accompanying notes are an integral part of the financial statements.

 

68


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

1.800%, 02/05/18

   $ 500         $ 502   

1.700%, 04/27/18

     100           100   

Citigroup Global Markets Holdings
0.000%, 03/03/21 (A) (C)

     1,060           270   

Citizens Financial Group
4.300%, 12/03/25

     100           105   

CME Group
3.000%, 03/15/25

     150           157   

CNA Financial
5.875%, 08/15/20

     100           113   

Comerica
2.125%, 05/23/19

     50           51   

Commonwealth Bank of Australia

       

2.550%, 03/15/21

     250           258   

2.250%, 03/13/19

     250           255   

Cooperatieve Rabobank UA

       

3.875%, 02/08/22

     300           326   

2.250%, 01/14/20

     250           254   

Council of Europe Development Bank

       

1.750%, 11/14/19

     100           102   

1.125%, 05/31/18

     150           151   

Credit Agricole
2.375%, 07/01/21 (A)

     861           872   

Credit Suisse Group Funding Guernsey

       

3.450%, 04/16/21 (A)

     250           252   

3.125%, 12/10/20 (A)

     250           250   

Credit Suisse New York

       

3.625%, 09/09/24

     250           259   

1.700%, 04/27/18

     250           250   

Crown Castle International

       

5.250%, 01/15/23

     100           112   

3.700%, 06/15/26

     35           36   

DDR
3.500%, 01/15/21

     100           103   

Deutsche Bank

       

6.000%, 09/01/17

     100           104   

3.700%, 05/30/24

     85           85   

2.950%, 08/20/20

     100           99   

1.875%, 02/13/18

     250           248   

Development Bank of Kazakhstan
4.125%, 12/10/22 (A)

     970           946   

Digital Realty Trust
3.625%, 10/01/22

     100           103   

Discover Bank
2.000%, 02/21/18

     250           251   

Duke Realty
3.750%, 12/01/24

     100           105   

ERP Operating
4.625%, 12/15/21

     120           136   
Description    Face Amount
(000)
       Value (000)  

Essex Portfolio

       

5.200%, 03/15/21

   $ 1,345         $ 1,506   

3.375%, 04/15/26

     100           102   

European Bank for Reconstruction & Development

       

1.750%, 11/26/19

     150           153   

1.500%, 03/16/20

     200           203   

European Investment Bank

       

3.250%, 01/29/24

     250           280   

2.250%, 08/15/22

     250           261   

2.125%, 10/15/21

     300           310   

1.875%, 03/15/19

     150           154   

1.750%, 06/17/19

     300           306   

1.625%, 12/18/18

     300           304   

1.375%, 06/15/20

     150           151   

1.250%, 05/15/18

     250           252   

1.125%, 09/15/17

     800           803   

1.000%, 08/17/17

     200           200   

Export Credit Bank of Turkey
5.875%, 04/24/19 (A)

     200           212   

Export-Import Bank of India
4.000%, 01/14/23

     270           283   

Fifth Third Bancorp
2.875%, 07/27/20

     250           261   

Fifth Third Bank
2.250%, 06/14/21

     499           507   

Financiera de Desarrollo
4.750%, 02/08/22 (A)

     440           466   

FMS Wertmanagement AoeR

       

1.750%, 03/17/20

     200           205   

1.375%, 06/08/21

     200           201   

Goldman Sachs Group

       

6.150%, 04/01/18

     500           539   

5.750%, 01/24/22

     300           348   

4.250%, 10/21/25

     200           207   

4.000%, 03/03/24

     200           214   

3.750%, 05/22/25

     1,643           1,727   

3.625%, 01/22/23

     673           706   

2.750%, 09/15/20

     75           76   

2.625%, 04/25/21

     100           101   

2.600%, 04/23/20

     100           102   

2.550%, 10/23/19

     200           205   

Hanover Insurance Group
4.500%, 04/15/26

     100           103   

Hartford Financial Services Group
5.125%, 04/15/22

     100           114   

HCP
5.375%, 02/01/21

     200           222   

Hospitality Properties Trust

       

5.250%, 02/15/26

     100           105   

5.000%, 08/15/22

     100           108   

Host Hotels & Resorts
3.750%, 10/15/23

     100           101   
 

 

The accompanying notes are an integral part of the financial statements.

 

69


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

HSBC Finance
6.676%, 01/15/21

   $ 100         $ 112   

HSBC Holdings

       

4.250%, 08/18/25

     200           202   

4.000%, 03/30/22

     100           105   

3.900%, 05/25/26

     1,764           1,815   

3.600%, 05/25/23

     250           256   

3.400%, 03/08/21

     936           964   

2.950%, 05/25/21

     200           202   

HSBC USA

       

2.625%, 09/24/18

     150           152   

2.000%, 08/07/18

     100           100   

1.500%, 11/13/17

     150           150   

Huntington National Bank
2.000%, 06/30/18

     250           252   

IDBI Bank
4.125%, 04/23/20

     410           419   

Industrial & Commercial
Bank of China
2.905%, 11/13/20

     250           256   

ING Bank
2.000%, 11/26/18 (A)

     1,309           1,323   

Inter-American Development Bank

       

2.125%, 11/09/20

     375           390   

2.000%, 06/02/26

     150           154   

1.875%, 06/16/20

     450           463   

1.750%, 04/14/22

     150           153   

1.000%, 07/14/17

     200           200   

Intercontinental Exchange
4.000%, 10/15/23

     150           162   

International Bank for Reconstruction & Development

       

2.500%, 11/25/24

     250           267   

2.250%, 06/24/21

     50           53   

2.125%, 02/13/23

     100           104   

1.875%, 03/15/19

     400           410   

1.625%, 03/09/21

     350           356   

1.375%, 05/24/21

     200           201   

1.250%, 07/26/19

     100           101   

1.000%, 11/15/17

     500           502   

0.875%, 07/19/18

     250           251   

International Finance

       

1.625%, 07/16/20

     100           102   

1.250%, 07/16/18

     100           101   

0.875%, 06/15/18

     300           300   

Intesa Sanpaolo
5.250%, 01/12/24

     250           266   

Jefferies Group
6.875%, 04/15/21

     100           114   

JPMorgan Chase

       

6.000%, 01/15/18

     300           321   

3.900%, 07/15/25

     250           270   

3.625%, 05/13/24

     100           106   

3.375%, 05/01/23

     200           204   
Description    Face Amount
(000)
       Value (000)  

3.300%, 04/01/26

   $ 100         $ 103   

3.200%, 06/15/26

     861           885   

3.125%, 01/23/25

     150           153   

2.750%, 06/23/20

     300           309   

2.700%, 05/18/23

     100           101   

2.550%, 10/29/20

     530           540   

2.400%, 06/07/21

     2,814           2,851   

2.250%, 01/23/20

     1,653           1,676   

1.800%, 01/25/18

     250           252   

1.700%, 03/01/18

     250           251   

KeyBank
3.400%, 05/20/26

     250           254   

KeyCorp
5.100%, 03/24/21

     150           169   

KFW

       

2.500%, 11/20/24

     150           160   

2.125%, 01/17/23

     250           260   

1.875%, 04/01/19

     750           771   

1.500%, 04/20/20

     600           608   

1.000%, 01/26/18

     900           903   

0.875%, 12/15/17

     500           501   

Kimco Realty
3.200%, 05/01/21

     50           52   

Landwirtschaftliche Rentenbank

       

2.375%, 06/10/25

     100           105   

1.750%, 04/15/19

     100           102   

1.000%, 04/04/18

     200           201   

Lazard Group
3.750%, 02/13/25

     50           50   

Liberty Property
4.125%, 06/15/22

     100           106   

Lima Metro Line 2 Finance
5.875%, 07/05/34 (A)

     230           241   

Lloyds Bank

       

3.500%, 05/14/25

     200           205   

2.000%, 08/17/18

     200           200   

Loews
2.625%, 05/15/23

     100           101   

Magyar Export-Import Bank
4.000%, 01/30/20 (A)

     450           457   

Manufacturers & Traders Trust
1.400%, 07/25/17

     250           250   

Marsh & McLennan
2.350%, 09/10/19

     75           77   

MetLife

       

3.600%, 04/10/24

     150           158   

1.903%, 12/15/17

     89           90   

Metropolitan Life Global Funding I
1.300%, 04/10/17 (A)

     2,266           2,273   

MFB Magyar Fejlesztesi Bank
6.250%, 10/21/20 (A)

     200           220   

Mitsubishi UFJ Financial Group
3.850%, 03/01/26

     200           218   

Moody’s
2.750%, 07/15/19

     100           103   
 

 

The accompanying notes are an integral part of the financial statements.

 

70


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Morgan Stanley

       

4.875%, 11/01/22

   $ 100         $ 110   

4.000%, 07/23/25

     1,118           1,197   

3.875%, 01/27/26

     415           441   

3.700%, 10/23/24

     150           157   

2.800%, 06/16/20

     100           102   

2.650%, 01/27/20

     100           102   

2.500%, 01/24/19

     250           255   

2.375%, 07/23/19

     550           559   

1.875%, 01/05/18

     200           201   

Nasdaq
5.250%, 01/16/18

     85           90   

National Australia Bank
2.625%, 07/23/20

     250           259   

National Retail Properties
4.000%, 11/15/25

     35           37   

National Rural Utilities Cooperative Finance

       

10.375%, 11/01/18

     150           181   

2.700%, 02/15/23

     100           104   

National Savings Bank
8.875%, 09/18/18 (A)

     490           522   

Nomura Holdings
2.750%, 03/19/19

     150           154   

Nordic Investment Bank
1.125%, 03/19/18

     200           201   

Oesterreichische Kontrollbank
1.125%, 05/29/18

     150           151   

Omega Healthcare Investors
4.375%, 08/01/23

     50           50   

Pelabuhan Indonesia III
4.875%, 10/01/24 (A)

     200           211   

PLA Administradora Industrial S de RL
5.250%, 11/10/22 (A)

     200           203   

PNC Bank

       

3.250%, 06/01/25

     250           265   

2.400%, 10/18/19

     250           257   

1.800%, 11/05/18

     250           253   

Pricoa Global Funding I
1.900%, 09/21/18 (A)

     602           611   

Principal Financial Group
3.400%, 05/15/25

     100           102   

Private Export Funding

       

3.250%, 06/15/25

     100           111   

2.250%, 03/15/20

     200           208   

Prudential Financial

       

7.375%, 06/15/19

     100           116   

5.625%, 06/15/43 (C)

     100           104   

5.375%, 05/15/45 (C)

     100           101   

Realty Income
3.250%, 10/15/22

     100           103   

Regions Financial
3.200%, 02/08/21

     50           51   
Description    Face Amount
(000)
       Value (000)  

Royal Bank of Canada

       

2.200%, 07/27/18

   $ 150         $ 153   

2.150%, 03/15/19

     200           204   

2.000%, 12/10/18

     50           51   

1.625%, 04/15/19

     150           151   

Santander Holdings USA

       

2.700%, 05/24/19

     50           50   

2.650%, 04/17/20

     100           99   

Santander UK

       

3.125%, 01/08/21

     100           100   

2.375%, 03/16/20

     100           100   

1.650%, 09/29/17

     100           100   

Senior Housing Properties Trust
3.250%, 05/01/19

     150           151   

Simon Property Group

       

3.375%, 10/01/24

     125           134   

3.300%, 01/15/26

     100           107   

2.200%, 02/01/19

     150           153   

Standard Chartered Bank
7.280%, 06/05/19 (A)

     25,000           372   

Sumitomo Mitsui Banking
1.950%, 07/23/18

     250           253   

Sumitomo Mitsui Financial Group

       

3.784%, 03/09/26

     50           55   

2.934%, 03/09/21

     250           260   

SunTrust Banks

       

2.900%, 03/03/21

     50           52   

2.500%, 05/01/19

     50           51   

Svensk Exportkredit
1.875%, 06/17/19

     200           205   

Svenska Handelsbanken
1.625%, 03/21/18

     250           252   

Synchrony Financial

       

4.500%, 07/23/25

     100           104   

3.000%, 08/15/19

     100           101   

TD Ameritrade Holding
2.950%, 04/01/22

     200           208   

Toronto-Dominion Bank

       

2.500%, 12/14/20

     100           104   

2.125%, 07/02/19

     150           153   

1.950%, 04/02/20 (A)

     473           481   

1.625%, 03/13/18

     150           151   

Travelers
3.900%, 11/01/20

     100           110   

Turkiye Vakiflar Bankasi Tao
5.000%, 10/31/18 (A)

     520           534   

UBS

       

2.350%, 03/26/20

     250           256   

1.800%, 03/26/18

     250           252   

1.375%, 06/01/17

     1,334           1,336   

UDR

       

4.625%, 01/10/22

     1,189           1,317   

4.000%, 10/01/25

     50           54   

Unum Group
4.000%, 03/15/24

     50           52   
 

 

The accompanying notes are an integral part of the financial statements.

 

71


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

US Bancorp

       

2.950%, 07/15/22

   $ 300         $ 312   

1.950%, 11/15/18

     100           102   

US Bank
1.400%, 04/26/19

     250           252   

Ventas Realty

       

4.250%, 03/01/22

     100           108   

3.750%, 05/01/24

     50           52   

2.700%, 04/01/20

     100           102   

Vornado Realty
2.500%, 06/30/19

     100           102   

Voya Financial
2.900%, 02/15/18

     77           78   

WEA Finance
4.750%, 09/17/44 (A)

     735           792   

Wells Fargo

       

5.625%, 12/11/17

     500           532   

4.900%, 11/17/45

     449           491   

4.400%, 06/14/46

     763           777   

4.125%, 08/15/23

     200           215   

3.550%, 09/29/25

     100           107   

3.300%, 09/09/24

     100           105   

3.000%, 01/22/21

     300           309   

2.600%, 07/22/20

     250           257   

2.550%, 12/07/20

     85           88   

1.750%, 05/24/19

     250           253   

Welltower
5.250%, 01/15/22

     100           112   

Westpac Banking

       

4.875%, 11/19/19

     200           221   

2.850%, 05/13/26

     681           692   

2.600%, 11/23/20

     150           155   

2.250%, 01/17/19

     100           102   

Weyerhaeuser
4.625%, 09/15/23

     100           111   

WP Carey
4.600%, 04/01/24

     50           51   

XLIT
5.750%, 10/01/21

     74           85   
       

 

 

 
          100,828   
       

 

 

 

Health Care — 2.3%

       

Abbott Laboratories
2.550%, 03/15/22

     150           153   

AbbVie

       

4.500%, 05/14/35

     253           264   

3.200%, 11/06/22

     550           562   

2.850%, 05/14/23

     50           51   

2.300%, 05/14/21

     50           51   

1.800%, 05/14/18

     1,799           1,812   

Actavis
1.875%, 10/01/17

     100           101   

Actavis Funding

       

4.550%, 03/15/35

     132           136   

3.800%, 03/15/25

     190           198   

3.450%, 03/15/22

     150           156   
Description    Face Amount
(000)
       Value (000)  

3.000%, 03/12/20

   $ 1,309         $ 1,350   

2.350%, 03/12/18

     80           81   

Aetna

       

4.375%, 06/15/46

     852           885   

3.200%, 06/15/26

     205           211   

2.800%, 06/15/23

     25           26   

2.750%, 11/15/22

     150           153   

2.400%, 06/15/21

     25           25   

1.900%, 06/07/19

     35           35   

1.700%, 06/07/18

     30           30   

AmerisourceBergen
3.400%, 05/15/24

     100           106   

Amgen

       

5.700%, 02/01/19

     250           277   

3.625%, 05/22/24

     150           161   

3.125%, 05/01/25

     100           104   

Anthem
3.300%, 01/15/23

     200           207   

AstraZeneca

       

2.375%, 11/16/20

     150           154   

1.950%, 09/18/19

     100           102   

Baxalta
3.600%, 06/23/22

     100           103   

Becton Dickinson

       

3.875%, 05/15/24

     100           109   

3.734%, 12/15/24

     150           161   

1.800%, 12/15/17

     100           101   

Biogen
3.625%, 09/15/22

     100           106   

Boston Scientific

       

3.375%, 05/15/22

     100           104   

2.850%, 05/15/20

     100           103   

Bristol-Myers Squibb
2.000%, 08/01/22

     100           102   

Cardinal Health
3.200%, 03/15/23

     100           104   

Celgene

       

3.875%, 08/15/25

     100           106   

2.250%, 05/15/19

     100           102   

2.125%, 08/15/18

     200           203   

Cigna
4.000%, 02/15/22

     100           108   

City of Hope
5.623%, 11/15/43

     443           569   

Covidien International Finance
6.000%, 10/15/17

     100           106   

CR Bard
3.000%, 05/15/26

     50           51   

Eli Lilly
1.250%, 03/01/18

     100           101   

Express Scripts Holding

       

4.800%, 07/15/46

     689           688   

4.750%, 11/15/21

     100           112   

3.900%, 02/15/22

     150           161   
 

 

The accompanying notes are an integral part of the financial statements.

 

72


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Gilead Sciences

       

3.500%, 02/01/25

   $ 100         $ 107   

2.550%, 09/01/20

     200           208   

2.350%, 02/01/20

     20           20   

1.850%, 09/04/18

     20           20   

GlaxoSmithKline Capital

       

2.850%, 05/08/22

     100           105   

2.800%, 03/18/23

     125           131   

Howard Hughes Medical Institute
3.500%, 09/01/23

     150           166   

Humana
3.850%, 10/01/24

     100           107   

Johnson & Johnson

       

2.450%, 12/05/21

     100           106   

1.125%, 11/21/17

     100           100   

Laboratory Corp of America Holdings
2.625%, 02/01/20

     100           102   

McKesson
2.284%, 03/15/19

     100           102   

Medtronic

       

4.625%, 03/15/45

     445           523   

4.375%, 03/15/35

     724           819   

3.500%, 03/15/25

     100           109   

2.750%, 04/01/23

     200           206   

2.500%, 03/15/20

     150           156   

1.375%, 04/01/18

     75           75   

Merck

       

2.750%, 02/10/25

     200           209   

1.850%, 02/10/20

     150           153   

Mylan

       

5.250%, 06/15/46 (A)

     356           371   

3.950%, 06/15/26

     200           203   

3.750%, 12/15/20 (A)

     100           104   

3.150%, 06/15/21 (A)

     1,253           1,271   

New York and Presbyterian Hospital

       

4.763%, 08/01/16

     411           432   

3.563%, 08/01/36

     229           241   

Novartis Capital

       

3.400%, 05/06/24

     100           109   

3.000%, 11/20/25

     50           53   

Novartis Securities Investment
5.125%, 02/10/19

     100           110   

Perrigo
4.000%, 11/15/23

     200           206   

Pfizer

       

5.200%, 08/12/20

     100           114   

3.000%, 06/15/23

     100           107   

1.950%, 06/03/21

     4,046           4,101   

1.500%, 06/15/18

     100           101   

Quest Diagnostics
2.500%, 03/30/20

     150           151   

Sanofi
1.250%, 04/10/18

     125           126   
Description    Face Amount
(000)
       Value (000)  

St. Jude Medical
2.800%, 09/15/20

   $ 150         $ 155   

Stryker

       

3.500%, 03/15/26

     25           27   

3.375%, 11/01/25

     50           52   

2.000%, 03/08/19

     30           31   

Teva Pharmaceutical Finance
2.950%, 12/18/22

     150           153   

Thermo Fisher Scientific

       

3.600%, 08/15/21

     100           106   

2.400%, 02/01/19

     150           153   

UnitedHealth Group

       

3.750%, 07/15/25

     50           55   

3.350%, 07/15/22

     100           107   

2.875%, 03/15/22

     100           104   

2.700%, 07/15/20

     130           135   

2.300%, 12/15/19

     50           52
  

1.900%, 07/16/18

     60           61   

Zimmer Biomet Holdings
3.150%, 04/01/22

     200           205   

Zoetis
3.250%, 02/01/23

     50           51   
       

 

 

 
          23,462   
       

 

 

 

Industrials — 1.8%

  

3M
1.625%, 06/15/19

     100           102   

ABB Finance USA
2.875%, 05/08/22

     150           156   

Air Lease
3.375%, 01/15/19

     150           153   

American Airlines Pass-Through Trust
4.950%, 01/15/23

     168           183   

Boeing
2.350%, 10/30/21

     150           155   

Burlington Northern Santa Fe

       

3.750%, 04/01/24

     200           221   

3.050%, 03/15/22

     100           107   

Canadian National Railway
5.550%, 03/01/19

     100           111   

Canadian Pacific Railway
2.900%, 02/01/25

     100           102   

Caterpillar

       

3.900%, 05/27/21

     50           55   

3.400%, 05/15/24

     100           107   

Caterpillar Financial Services

       

2.450%, 09/06/18

     150           154   

1.350%, 05/18/19

     200           201   

CSX
7.375%, 02/01/19

     100           115   

Danaher

       

3.350%, 09/15/25

     30           33   

1.650%, 09/15/18

     120           122   
 

 

The accompanying notes are an integral part of the financial statements.

 

73


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Deere
2.600%, 06/08/22

   $ 150         $ 154   

Dover
4.300%, 03/01/21

     100           111   

DP World
6.850%, 07/02/37 (A)

     440           482   

Eaton
2.750%, 11/02/22

     200           205   

Emerson Electric
2.625%, 02/15/23

     100           104   

Eskom Holdings
5.750%, 01/26/21 (A)

     650           644   

FedEx
3.200%, 02/01/25

     100           104   

GATX
2.500%, 07/30/19

     150           152   

GE Capital International Funding
2.342%, 11/15/20 (A)

     450           464   

GE Capital International Funding Unlimited Co
4.418%, 11/15/35 (A)

     1,588           1,781   

General Dynamics
2.250%, 11/15/22

     100           102   

General Electric

       

5.250%, 12/06/17

     500           529   

4.650%, 10/17/21

     150           172   

3.450%, 05/15/24

     100           109   

Georgian Railway
7.750%, 07/11/22 (A)

     900           992   

Honeywell International
4.250%, 03/01/21

     125           140   

Illinois Tool Works
1.950%, 03/01/19

     100           102   

Ingersoll-Rand Global Holding
4.250%, 06/15/23

     100           111   

John Deere Capital

       

3.350%, 06/12/24

     100           108   

2.800%, 03/04/21

     150           157   

1.350%, 01/16/18

     100           101   

Kazakhstan Temir Zholy Finance
6.375%, 10/06/20 (A)

     730           761   

Koninklijke Philips
5.750%, 03/11/18

     100           107   

L-3 Communications
5.200%, 10/15/19

     125           136   

Lockheed Martin

       

2.900%, 03/01/25

     100           103   

2.500%, 11/23/20

     150           155   

Norfolk Southern

       

3.250%, 12/01/21

     100           106   

2.900%, 06/15/26

     35           36   

Northrop Grumman

       

3.500%, 03/15/21

     100           107   

3.250%, 08/01/23

     50           54   
Description    Face Amount
(000)
       Value (000)  

Owens Corning
4.200%, 12/01/24

   $ 100         $ 105   

PACCAR Financial

       

1.400%, 11/17/17

     55           55   

1.300%, 05/10/19

     20           20   

Parker-Hannifin
3.300%, 11/21/24

     150           162   

Pentair Finance
3.625%, 09/15/20

     100           103   

Pitney Bowes
4.625%, 03/15/24

     100           106   

Precision Castparts
2.500%, 01/15/23

     150           155   

Raytheon
2.500%, 12/15/22

     150           156   

Red de Carreteras de Occidente
9.000%, 06/10/28 (A)

     6,100           343   

Republic Services
3.550%, 06/01/22

     150           162   

Roper Technologies
2.050%, 10/01/18

     100           101   

Ryder System
2.550%, 06/01/19

     95           97   

Siemens Financieringsmaatschappij
1.450%, 05/25/18 (A)

     1,259           1,269   

Southwest Airlines
2.750%, 11/06/19

     50           52   

Stanley Black & Decker
2.900%, 11/01/22

     100           106   

TTX
2.250%, 02/01/19 (A)

     620           630   

Union Pacific

       

3.646%, 02/15/24

     100           111   

3.250%, 08/15/25

     100           109   

United Parcel Service

       

5.125%, 04/01/19

     100           111   

3.125%, 01/15/21

     45           48   

United Technologies

       

3.100%, 06/01/22

     100           106   

1.550%, 05/04/18 (D)

     3,974           4,010   

Verisk Analytics
4.000%, 06/15/25

     50           53   

Waste Management
3.500%, 05/15/24

     100           108   
       

 

 

 
          18,744   
       

 

 

 

Information Technology — 1.5%

  

Alibaba Group Holding
2.500%, 11/28/19

     250           253   

Alphabet
3.375%, 02/25/24

     100           110   

Amphenol
1.550%, 09/15/17

     100           100   
 

 

The accompanying notes are an integral part of the financial statements.

 

74


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Apple

       

3.450%, 05/06/24

   $ 100         $ 109   

3.250%, 02/23/26

     135           143   

2.700%, 05/13/22

     200           209   

2.400%, 05/03/23

     200           204   

2.250%, 02/23/21

     50           51   

2.100%, 05/06/19

     300           309   

1.700%, 02/22/19

     20           20   

1.000%, 05/03/18

     100           100   

Applied Materials
2.625%, 10/01/20

     50           52   

Arrow Electronics
3.500%, 04/01/22

     100           102   

Automatic Data Processing
2.250%, 09/15/20

     50           52   

Baidu

       

4.125%, 06/30/25

     310           325   

3.250%, 08/06/18

     200           205   

Cisco Systems

       

4.950%, 02/15/19

     100           110   

4.450%, 01/15/20

     200           221   

3.625%, 03/04/24

     100           112   

3.500%, 06/15/25

     50           56   

2.950%, 02/28/26

     50           53   

2.200%, 02/28/21

     200           206   

Corning
1.500%, 05/08/18

     100           100   

Diamond 1 Finance

       

6.020%, 06/15/26 (A)

     60           63   

5.450%, 06/15/23 (A)

     85           88   

4.420%, 06/15/21 (A)

     100           103   

3.480%, 06/01/19 (A)

     265           271   

eBay

       

2.875%, 08/01/21

     150           155   

2.600%, 07/15/22

     150           148   

EMC
3.375%, 06/01/23

     100           91   

Fidelity National Information Services

       

5.000%, 10/15/25

     100           113   

3.500%, 04/15/23

     150           156   

Fiserv
2.700%, 06/01/20

     100           104   

Harris
2.700%, 04/27/20

     35           35   

Hewlett Packard Enterprise

       

4.900%, 10/15/25 (A)

     100           104   

3.600%, 10/15/20 (A)

     150           157   

2.850%, 10/05/18 (A)

     100           102   

HP
4.650%, 12/09/21

     100           108   

Intel

       

3.700%, 07/29/25

     25           28   

3.300%, 10/01/21

     100           108   

2.700%, 12/15/22

     250           262   

2.600%, 05/19/26

     448           457   

2.450%, 07/29/20

     60           62   
Description    Face Amount
(000)
       Value (000)  

International Business Machines

       

3.625%, 02/12/24

   $ 100         $ 109   

3.450%, 02/19/26

     50           54   

2.875%, 11/09/22

     150           159   

2.250%, 02/19/21

     50           52   

1.875%, 08/01/22

     150           149   

1.625%, 05/15/20

     150           152   

1.125%, 02/06/18

     100           101   

Juniper Networks
4.500%, 03/15/24

     50           53   

Keysight Technologies
3.300%, 10/30/19

     100           102   

KLA-Tencor
3.375%, 11/01/19

     150           155   

Lam Research

       

3.900%, 06/15/26

     966           1,017   

2.800%, 06/15/21

     1,495           1,531   

Microsoft

       

4.000%, 02/08/21

     150           168   

3.625%, 12/15/23

     100           111   

2.375%, 02/12/22

     200           206   

1.625%, 12/06/18

     150           153   

Motorola Solutions
3.500%, 09/01/21

     100           102   

NetApp
3.375%, 06/15/21

     50           51   

Oracle

       

3.850%, 07/15/36

     1,180           1,183   

2.950%, 05/15/25

     100           104   

2.650%, 07/15/26

     90           90   

2.500%, 05/15/22

     150           153   

2.400%, 09/15/23

     50           50   

2.375%, 01/15/19

     150           155   

2.250%, 10/08/19

     200           206   

1.900%, 09/15/21

     1,835           1,842   

1.200%, 10/15/17

     150           151   

QUALCOMM

       

3.000%, 05/20/22

     100           105   

1.400%, 05/18/18

     100           101   

Seagate HDD Cayman
4.750%, 01/01/25

     100           79   

Telefonaktiebolaget LM Ericsson
4.125%, 05/15/22

     50           54   

Texas Instruments
1.000%, 05/01/18

     100           100   

Total System Services
4.800%, 04/01/26

     100           108   

Tyco Electronics Group
2.350%, 08/01/19

     50           51   

Visa

       

3.150%, 12/14/25

     300           321   

2.200%, 12/14/20

     100           103   

Western Union
2.875%, 12/10/17

     100           102   

Xerox
4.500%, 05/15/21

     150           152   
 

 

The accompanying notes are an integral part of the financial statements.

 

75


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Xilinx
2.125%, 03/15/19

   $ 50         $ 51   
       

 

 

 
          15,603   
       

 

 

 

Materials — 0.7%

  

    

Air Products & Chemicals
3.350%, 07/31/24

     100           108   

Airgas
3.650%, 07/15/24

     100           105   

Barrick
4.100%, 05/01/23

     32           34   

BHP Billiton Finance USA
6.500%, 04/01/19

     125           142   

CF Industries
7.125%, 05/01/20

     100           115   

Dow Chemical
8.550%, 05/15/19

     225           267   

DuPont (E.I.) De Nemours

       

4.625%, 01/15/20

     100           110   

2.800%, 02/15/23

     100           103   

Ecolab
3.250%, 01/14/23

     100           105   

Goldcorp
3.700%, 03/15/23

     50           51   

International Paper
7.950%, 06/15/18

     125           141   

LYB International Finance BV
4.875%, 03/15/44

     581           614   

LyondellBasell Industries
5.000%, 04/15/19

     250           271   

Mexichem
5.875%, 09/17/44 (A)

     260           239   

Monsanto
2.125%, 07/15/19

     100           101   

Nacional del Cobre de Chile

       

4.875%, 11/04/44 (A)

     152           153   

4.500%, 09/16/25 (A)

     310           324   

3.875%, 11/03/21 (A)

     340           360   

3.000%, 07/17/22 (A)

     200           198   

Newmont Mining
3.500%, 03/15/22

     100           104   

OCP
5.625%, 04/25/24 (A)

     410           435   

Packaging Corp of America
3.650%, 09/15/24

     100           103   

Potash Corp of Saskatchewan
3.625%, 03/15/24

     100           105   

PPG Industries
2.300%, 11/15/19

     100           101   

Praxair
3.000%, 09/01/21

     150           160   

Rio Tinto Finance USA
3.750%, 06/15/25

     200           209   
Description    Face Amount
(000)
       Value (000)  

Sherwin-Williams
3.450%, 08/01/25

   $ 100         $ 104   

Southern Copper
3.875%, 04/23/25

     30           30   

Vale Overseas

       

6.875%, 11/21/36

     375           341   

5.875%, 06/10/21

     1,091           1,093   

4.375%, 01/11/22

     250           234   

Vulcan Materials
7.500%, 06/15/21

     50           60   

WestRock RKT
4.450%, 03/01/19

     100           106   
       

 

 

 
          6,726   
       

 

 

 

Telecommunication Services — 1.0%

  

    

America Movil
5.000%, 03/30/20

     200           222   

AT&T

       

5.650%, 02/15/47

     200           229   

5.150%, 03/15/42

     191           206   

5.000%, 03/01/21

     200           224   

4.450%, 04/01/24

     100           110   

4.300%, 12/15/42

     429           415   

4.125%, 02/17/26

     200           215   

3.600%, 02/17/23

     3,482           3,632   

3.400%, 05/15/25

     150           154   

3.000%, 06/30/22

     195           200   

2.625%, 12/01/22

     125           125   

2.450%, 06/30/20

     250           255   

2.300%, 03/11/19

     230           235   

1.400%, 12/01/17

     100           100   

British Telecommunications
2.350%, 02/14/19

     140           143   

Deutsche Telekom International Finance
6.750%, 08/20/18

     100           112   

Digicel Group
7.125%, 04/01/22 (A)

     400           297   

Orange
4.125%, 09/14/21

     100           110   

RELX Capital
3.125%, 10/15/22

     100           102   

Rogers Communications
6.800%, 08/15/18

     50           55   

Telefonica Emisiones
3.192%, 04/27/18

     250           257   

Thomson Reuters

       

6.500%, 07/15/18

     100           110   

3.350%, 05/15/26

     100           102   

Verizon Communications

       

5.150%, 09/15/23

     375           437   

4.500%, 09/15/20

     250           277   

4.272%, 01/15/36

     1,398           1,431   

3.650%, 09/14/18

     150           157   

2.625%, 02/21/20

     200           207   
 

 

The accompanying notes are an integral part of the financial statements.

 

76


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Vodafone Group

       

2.500%, 09/26/22

   $ 200         $ 197   

1.500%, 02/19/18

     150           150   
       

 

 

 
          10,466   
       

 

 

 

Utilities — 2.6%

  

    

Abengoa Transmision
6.875%, 04/30/43 (A)

     250           260   

AGL Capital
3.250%, 06/15/26

     30           31   

American Electric Power
1.650%, 12/15/17

     150           150   

Arizona Public Service
3.150%, 05/15/25

     50           53   

Berkshire Hathaway Energy
3.750%, 11/15/23

     100           109   

CenterPoint Energy Houston Electric
2.250%, 08/01/22

     100           101   

Cleco Corporate Holdings
3.743%, 05/01/26 (A)

     100           103   

CMS Energy

       

6.250%, 02/01/20

     100           115   

3.000%, 05/15/26

     40           41   

Comision Federal de Electricidad

       

6.125%, 06/16/45 (A)

     675           715   

4.875%, 01/15/24 (A)

     215           225   

Consolidated Edison Company of New York
5.850%, 04/01/18

     100           108   

Dominion Gas Holdings

       

4.600%, 12/15/44

     141           147   

2.800%, 11/15/20

     150           155   

2.500%, 12/15/19

     464           474   

Dominion Resources

       

4.104%, 04/01/21 (D)

     135           143   

2.962%, 07/01/19 (D)

     435           443   

1.900%, 06/15/18

     200           201   

DTE Energy

       

3.300%, 06/15/22

     1,689           1,780   

2.400%, 12/01/19

     100           102   

Duke Energy

       

5.050%, 09/15/19

     200           220   

3.950%, 10/15/23

     150           163   

2.100%, 06/15/18

     50           50   

Empresa Nacional de Electricidad
4.250%, 04/15/24

     50           53   

Entergy

       

5.125%, 09/15/20

     100           109   

4.000%, 07/15/22

     50           54   

Exelon

       

5.625%, 06/15/35

     243           290   

4.450%, 04/15/46

     607           648   

3.400%, 04/15/26

     100           105   
Description    Face Amount
(000)
       Value (000)  

2.850%, 06/15/20

   $ 200         $ 206   

1.550%, 06/09/17

     778           779   

FirstEnergy Transmission
5.450%, 07/15/44 (A)

     654           713   

Florida Power & Light
3.250%, 06/01/24

     150           161   

ITC Holdings

       

5.300%, 07/01/43

     657           737   

3.650%, 06/15/24

     25           26   

Jersey Central Power & Light
4.300%, 01/15/26 (A)

     972           1,039   

Kansas City Power & Light
3.650%, 08/15/25

     100           106   

Majapahit Holding BV
7.750%, 01/20/20 (A)

     190           217   

Metropolitan Edison
7.700%, 01/15/19

     100           113   

MidAmerican Energy
2.400%, 03/15/19

     138           143   

NextEra Energy Capital Holdings

       

2.700%, 09/15/19

     1,402           1,446   

2.056%, 09/01/17

     1,418           1,428   

NiSource Finance
6.400%, 03/15/18

     105           114   

Northern States Power

       

2.600%, 05/15/23

     100           103   

2.200%, 08/15/20

     50           52   

NSTAR Electric

       

2.700%, 06/01/26

     50           51   

2.375%, 10/15/22

     100           103   

Oncor Electric Delivery

       

7.000%, 09/01/22

     100           128   

4.550%, 12/01/41

     820           949   

ONE Gas
2.070%, 02/01/19

     74           75   

Pacific Gas & Electric

       

3.500%, 10/01/20

     150           161   

2.950%, 03/01/26

     50           52   

PECO Energy
3.150%, 10/15/25

     100           107   

Perusahaan Gas Negara Persero
5.125%, 05/16/24 (A)

     450           469   

PPL Capital Funding

       

3.500%, 12/01/22

     150           158   

3.100%, 05/15/26

     525           531   

Progress Energy
7.750%, 03/01/31

     946           1,325   

PSEG Power
3.000%, 06/15/21

     50           51   

Public Service Electric & Gas

       

3.050%, 11/15/24

     25           27   

2.300%, 09/15/18

     100           102   
 

 

The accompanying notes are an integral part of the financial statements.

 

77


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Puget Energy
6.500%, 12/15/20

   $ 100         $ 116   

Sempra Energy

       

9.800%, 02/15/19

     2,631           3,166   

3.750%, 11/15/25

     100           107   

3.550%, 06/15/24

     100           105   

Southern

       

4.400%, 07/01/46

     554           595   

2.750%, 06/15/20

     100           104   

2.450%, 09/01/18

     200           205   

2.350%, 07/01/21

     936           955   

1.850%, 07/01/19

     100           101   

Southern California Edison
3.500%, 10/01/23

     150           164   

State Grid Overseas Investment
2.875%, 05/18/26 (A)

     260           262   

Union Electric
3.500%, 04/15/24

     150           163   

Virginia Electric & Power
3.100%, 05/15/25

     100           106   

WEC Energy Group
1.650%, 06/15/18

     789           796   

Wisconsin Public Service
1.650%, 12/04/18

     30           30   

Xcel Energy
1.200%, 06/01/17

     1,015           1,016   
       

 

 

 
          26,811   
       

 

 

 

Total Corporate Obligations
(Cost $280,447) (000)

          287,990   
       

 

 

 

MORTGAGE-BACKED SECURITIES — 15.9%

  

Agency Mortgage-Backed Obligations — 14.5%

  

FHLMC

       

4.500%, 08/01/40-05/01/42

     4,036           4,460   

4.000%, 07/01/24-04/01/46

     9,614           10,419   

3.500%, 07/15/41-10/01/45

     9,151           9,687   

3.000%, 07/15/43

     5,795           6,007   

FHLMC Multifamily Structured Pass-Through Certificates, Ser K048, Cl A2

       

3.284%, 06/25/25 (C)

     1,023           1,123   

3.241%, 09/25/24

     535           586   

3.171%, 10/25/24

     556           606   

3.010%, 07/25/25

     337           363   

2.995%, 12/25/25

     540           579   

2.745%, 01/25/26

     545           573   

FNMA

       

5.500%, 07/01/34-08/01/37

     2,446           2,773   

5.000%, 12/01/34-01/01/44

     2,275           2,547   

4.500%, 05/01/39-12/01/45

     7,793           8,588   

4.000%, 07/13/39-03/01/46

     13,235           14,300   

3.500%, 07/25/26-05/01/46

     26,706           28,354   

3.000%, 07/01/26-01/01/43

     20,944           21,852   

2.500%, 07/01/27

     6,555           6,782   
Description    Face Amount
(000)
       Value (000)  

GNMA

       

4.000%, 07/01/39-06/20/46

   $ 6,241         $ 6,686   

3.500%, 07/15/41

     13,350           14,169   

3.000%, 07/15/42

     7,525           7,868   
       

 

 

 
          148,322   
       

 

 

 

Non-Agency Mortgage-Backed Obligations — 1.4%

  

Alternative Loan Trust,
Ser 2003-22CB, Cl 3A1

       

6.000%, 12/25/33

     1,055           1,055   

5.750%, 10/25/33

     90           93   

Banc of America Commercial Mortgage Trust,
Ser 2006-6, Cl A3

       

5.369%, 10/10/45 (B)

     5           5   

3.705%, 09/15/48

     127           139   

Citigroup Mortgage Loan Trust, Ser 2015-2, Cl 1A1
0.633%, 06/25/47 (A) (C)

     523           449   

COMM Mortgage Trust, Ser 2013-CR11, Cl A3

       

3.983%, 10/10/46

     610           676   

3.759%, 08/10/48

     488           535   

3.708%, 07/10/48

     291           319   

2.365%, 02/10/29 (A)

     2,437           2,450   

CSAIL Commercial Mortgage Trust, Ser 2015-C4, Cl A4
3.808%, 11/15/48

     253           279   

CSMC Trust,
Ser 2014-USA, Cl A2
3.953%, 09/15/37 (A)

     264           289   

Fosse Master Issuer, Ser 2015-1A, Cl A2
0.933%, 10/18/54 (A) (C)

     807           804   

GS Mortgage Securities II, Ser 2015-GC30, Cl A4
3.382%, 05/10/50

     58           62   

GS Mortgage Securities Trust, Ser 2015-590M, Cl A

       

3.621%, 10/10/35 (A)

     397           429   

2.933%, 06/05/31 (A)

     1,331           1,377   

GSR Mortgage Loan Trust, Ser 2005-4F, Cl 6A1
6.500%, 02/25/35

     113           114   

HarborView Mortgage Loan Trust, Ser 2004-3, Cl 1A
2.803%, 05/19/34 (C)

     64           63   

JPMorgan Mortgage Trust,

       

Ser 2003-A2, Cl 3A1
2.467%, 11/25/33 (C)

     248           235   

Ser 2005-A1, Cl 6T1
2.954%, 02/25/35 (C)

     335           316   

Ser 2005-A2, Cl 3A2
2.727%, 04/25/35 (C)

     82           79   

Ser 2005-A3, Cl 4A1
2.816%, 06/25/35 (C)

     175           175   
 

 

The accompanying notes are an integral part of the financial statements.

 

78


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

MLCC Mortgage Investors, Ser 2006-2, Cl 2A
2.516%, 05/25/36 (C)

   $ 406         $ 390   

Morgan Stanley Bank of America Merrill Lynch Trust,
Ser 2013-C12, Cl A4

       

4.259%, 10/15/46 (C)

     314           355   

4.064%, 02/15/47

     31           34   

3.787%, 01/15/47

     218           240   

Morgan Stanley Capital I Trust, Ser 2014-CPT, Cl A
3.350%, 07/13/29 (A)

     646           687   

Structured Adjustable Rate Mortgage Loan Trust, Ser 2004-6, Cl 1A
2.858%, 06/25/34 (C)

     439           432   

Wedgewood Real Estate Trust, Ser 2016-1, Cl A1
3.750%, 07/15/46 (A) (C)

     380           380   

Wells Fargo Commercial Mortgage Trust,
Ser 2015-SG1, Cl A4

       

3.789%, 12/15/47

     298           328   

3.617%, 09/15/57

     69           75   

Wells Fargo Mortgage Backed Securities Trust,
Ser 2005-AR10, Cl 2A4

       

2.880%, 05/01/35 (C)

     208           210   

2.742%, 10/25/33 (C)

     798           796   
       

 

 

 
          13,870   
       

 

 

 

Total Mortgage-Backed Securities
(Cost $160,779) (000)

          162,192   
       

 

 

 

LOAN PARTICIPATIONS — 9.1%

  

    

Aerospace/Defense — 0.0%

  

    

Transdigm Inc., Tranche D
Term Loan, 1st Lien
3.750%, 06/04/21

     147           145   
       

 

 

 

Automotive — 0.2%

  

    

FCA US LLC (fka Chrysler Group LLC), Tranche B Term Loan, 1st Lien
3.250%, 12/31/18

     158           158   

Horizon Global Corporation, Term B Loan, 1st Lien
7.000%, 06/30/21

     48           47   

MPG Holdco I Inc., Tranche
B-1 Term Loan, 1st Lien

       

3.750%, 10/20/21

     85           84   

3.750%, 10/20/21

     110           110   

TI Group Automotive Systems LLC, Initial Term Loan,
1st Lien
4.500%, 06/30/22

     124           121   
Description    Face Amount
(000)
       Value (000)  

Tower Automotive Holdings USA LLC, Initial Term Loan,
1st Lien
4.000%, 04/23/20

   $ 808         $ 800   

Trinseo Materials Operating S.C.A. (Trinseo Materials Finance, Inc.), Term B Loan, 1st Lien
4.250%, 11/05/21

     223           222   
       

 

 

 
          1,542   
       

 

 

 

Building Materials — 0.3%

  

    

Headwaters Incorporated, Initial Term Loan, 1st Lien
4.500%, 03/11/22

     25           25   

PGT, Inc., Initial Term Loan,
1st Lien
6.750%, 02/16/22

     746           736   

Priso Acquisition Corporation (aka PrimeSource Building Products), Initial Term Loan, 1st Lien
4.500%, 05/09/22

     748           742   

Quikrete Holdings, Inc., Initial Term Loan, 1st Lien
4.000%, 09/28/20

     726           724   

SRS Distribution Inc., Tranche
B-1 Loan, 1st Lien
5.250%, 08/25/22

     288           288   

Tecomet Inc., Initial Term Loan, 1st Lien
5.750%, 11/25/21

     99           92   

VAT Lux II S.a.r.l. (fka Virtuoso Lux II S.a.r.l.) (aka Virtuoso US LLC), Initial Term Loan, 1st Lien
4.250%, 02/11/21

     34           34   
       

 

 

 
          2,641   
       

 

 

 

Chemicals — 0.9%

  

    

Allnex (Luxembourg) & Cy S.C.A., Term B-2 Loan,
1st Lien
0.000%, 06/02/23 (E)

     428           422   

Allnex (Luxembourg) & Cy S.C.A., Term B-3 Loan,
1st Lien
0.000%, 06/02/23 (E)

     322           318   

Berry Plastics Corporation, Term D Loan, 1st Lien
3.500%, 02/08/20

     975           968   

Chemours Company, Tranche B Term Loan, 1st Lien
3.750%, 05/12/22

     99           95   

Entegris, Inc., Tranche B Term Loan, 1st Lien
3.500%, 04/30/21

     15           15   
 

 

The accompanying notes are an integral part of the financial statements.

 

79


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Gemini HDPE LLC, Term B Loan, 1st Lien
4.750%, 08/06/21

   $ 147         $ 146   

Huntsman International LLC, Initial Term Loan, 1st Lien
4.250%, 03/31/23

     748           747   

Ineos US Finance LLC, Initial Term Loan, 1st Lien

       

4.250%, 03/31/22

     74           73   

3.750%, 05/04/18

     809           805   

MacDermid Incorporated (Platform Specialty Products Corporation), Tranche B-3 Term Loan, 1st Lien
5.500%, 06/05/20

     50           49   

MacDermid Incorporated, Tranche B Term Loan,
1st Lien
5.500%, 06/07/20

     495           488   

MacDermid Incorporated, Tranche B-2 Term Loan,
1st Lien
5.500%, 06/07/20

     48           47   

Minerals Technologies Inc., Term B-1 Loan, 1st Lien

       

3.750%, 05/10/21

     98           98   

3.750%, 05/10/21

     2           1   

Nexeo Solutions LLC, Initial Term Loan, 1st Lien
0.070%, 05/17/23

     750           749   

NVLX Acquisition, LLC, Initial Term Loan, 1st Lien
6.000%, 12/05/21

     423           423   

Prolampac Holdings Inc., Initial Term Loan, 1st Lien
5.750%, 08/18/22

     597           589   

Ravago Holdings America, Inc., Initial Term Loan, 1st Lien
0.000%, 06/30/23 (E)

     675           672   

SIG Combibloc Holdings S.C.A., Initial Term Loan, 1st Lien
4.250%, 03/11/22

     395           391   

Signode Industrial Group US Inc., Initial Term Loan, Other
3.750%, 05/01/21

     304           300   

Solenis International L.P., Initial Term Loan, 1st Lien
4.250%, 06/02/21

     491           485   

U.S. Farathane LLC,
Term B-2 Loan, 1st Lien
0.000%, 12/23/21 (E)

     494           493   

Univar USA Inc.,
Initial Term Loan, 1st Lien
4.250%, 07/01/22

     720           708   
       

 

 

 
          9,082   
       

 

 

 
Description    Face Amount
(000)
       Value (000)  

Computers & Electronics — 1.5%

  

    

AF Borrower LLC (aka Accuvant Finance LLC),
Initial Term Loan, 1st Lien
6.250%, 01/28/22

   $ 748         $ 741   

Avago Technologies Cayman Holdings Ltd., Term B-1 Dollar Loan, 1st Lien
4.250%, 02/01/23 (C)

     898           898   

Blue Coat Holdings, Inc.,
Initial Term Loan, 1st Lien
4.500%, 05/20/22

     750           749   

Campaign Monitor Finance Pty Limited (CM Delaware LLC), Initial Term Loan, 1st Lien
6.250%, 03/18/21

     49           47   

Dell International LLC,
Term B-2 Loan, 1st Lien
4.000%, 04/29/20

     596           594   

Deltek, Inc., Initial Term Loan, 1st Lien
5.000%, 06/25/22

     720           717   

EIG Investors Corp.,
Initial Term Loan, 1st Lien
6.480%, 11/09/19

     579           551   

Electrical Components International, Inc.,
Initial Term Loan, 1st Lien
5.750%, 05/28/21

     498           496   

Evergreen Skills Lux S.À R.L., Initial Term Loan, 1st Lien
5.750%, 04/28/21

     200           157   

First Data Corporation, 2021 Extended Term Loan, 1st Lien
4.452%, 03/24/21

     666           663   

Global Healthcare Exchange LLC, Term B Loan, 1st Lien
5.500%, 08/15/22

     99           99   

Hyland Software, Inc., Initial Term Loan, 1st Lien
4.750%, 07/01/22

     588           583   

Infor (US), Inc. (fka Lawson Software Inc.) , Tranche B-5 Term Loan , 1st Lien
3.750%, 06/03/20

     956           931   

Informatica Corporation, Initial Term Loan, 1st Lien
4.500%, 08/05/22

     223           217   

ION Trading Technologies S.A.R.L., Tranche B-1 Term Loan, 1st Lien
4.250%, 06/10/21

     137           136   

Kronos Incorporated, Incremental Term Loan,
1st Lien
4.500%, 10/30/19

     292           291   
 

 

The accompanying notes are an integral part of the financial statements.

 

80


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

MA Financeco LLC, Tranche B Term Loan, 1st Lien
5.250%, 11/19/21

   $ 196         $ 196   

MA Financeco LLC, Tranche C Term Loan, 1st Lien
4.500%, 11/20/19

     576           574   

Magic Newco LLC, Initial Term Loan, 1st Lien
5.000%, 12/12/18

     487           487   

MH Sub I, LLC (Micro Holding Corp.), Initial Term Loan,
1st Lien
4.750%, 07/08/21

     123           122   

Microsemi Corporation, Closing Date Term B Loan,
5.250%, 12/17/22

     1,003           1,000   

NXP B.V. (NXP Funding LLC), Tranche B Loan, 1st Lien
3.750%, 12/07/20

     414           415   

ON Semiconductor Corporation, Initial Term Loan, 1st Lien
5.250%, 03/31/23

     750           752   

Onex Carestream Finance LP, Initial Term Loan, 1st Lien
5.000%, 06/07/19

     446           426   

Regit Eins GmbH (TV Borrower US, LLC), Intial Term Loan, 1st Lien
6.000%, 01/08/21

     491           485   

Renaissance Learning, Inc., Initial Term Loan, 1st Lien
4.500%, 04/09/21

     296           288   

RP Crown Parent, LLC,
Initial Term Loan, 1st Lien
6.000%, 12/21/18

     392           368   

Spectrum Brands, Inc.,
Initial Term Loan, 1st Lien
3.500%, 06/23/22

     171           171   

SS&C European Holdings, S.a.r.l, Term B-2 Loan,
1st Lien

       

4.000%, 07/08/22

     17           17   

4.000%, 07/08/22

     56           55   

SS&C Technologies, Inc.,
Term B-1 Loan, 1st Lien

       

4.000%, 07/08/22

     508           507   

4.000%, 07/08/22

     19           19   

SunEdison Semiconductor B.V., Initial Term Loan, 1st Lien
6.500%, 05/27/19

     179           174   

Sungard Availability Services Capital, Inc., Tranche B
Term Loan, 1st Lien
6.000%, 03/29/19

     500           438   
Description    Face Amount
(000)
       Value (000)  

Sybil Finance B.V.,
Initial Term B Loan, 1st Lien
4.250%, 03/20/20

   $ 214         $ 211   

Wall Street Systems Delaware, Inc., Initial Term Loan, 1st Lien
4.250%, 04/30/21

     701           694   

Western Digital Corporation, Term B Loan, 1st Lien
6.250%, 04/29/23

     500           502   
       

 

 

 
          15,771   
       

 

 

 

Consumer Nondurables — 0.2%

  

    

Coty Inc., Term B USD Loan,
1st Lien
3.750%, 10/27/22

     100           100   

Galleria Co., Term B Loan,
1st Lien
3.750%, 01/26/23

     175           175   

Kronos Acquisition Intermediate Inc., Initial Term Loan, 1st Lien
6.000%, 08/26/22

     149           146   

NM Z Parent Inc. (aka Zep Inc.), Initial Term Loan, 1st Lien
5.500%, 06/27/22

     248           247   

Prestige Brands, Inc.,
Term B-3 Loan, 1st Lien
3.750%, 09/03/21

     717           716   

Revlon Consumer Products Corporation, Acquisition Facility, 1st Lien

       

4.000%, 10/08/19

     14           14   

3.990%, 10/08/19

     355           355   

3.400%, 10/08/19

     571           572   
       

 

 

 
          2,325   
       

 

 

 

Educational Services — 0.1%

  

    

Education Management II LLC, Tranche A Term Loan,
1st Lien
5.500%, 07/02/20 (F)

     129           33   

Education Management II LLC, Tranche B Term Loan,
1st Lien
8.500%, 07/02/20 (F)

     234           9   

Laureate Education, Inc., Extended Term Loan,
1st Lien
5.000%, 06/15/18

     237           229   

Nord Anglia Education Finance LLC, Initial Term Loan,
1st Lien
5.000%, 03/31/21

     299           298   
       

 

 

 
          569   
       

 

 

 
 

 

The accompanying notes are an integral part of the financial statements.

 

81


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Entertainment & Leisure — 0.2%

  

    

AMC Entertainment Inc.,
Initial Term Loan, 1st Lien
4.000%, 12/15/22

   $ 224         $ 224   

ClubCorp Club Operations, Inc. , Term B Loan, 1st Lien
4.250%, 12/15/22

     700           695   

Intrawest Operations Group, LLC, Initial Term Loan,
1st Lien
5.000%, 12/09/20

     750           749   
       

 

 

 
          1,668   
       

 

 

 

Financial Services — 0.3%

  

    

Altisource Solutions S.A R.L. , Term B Loan , 1st Lien
4.500%, 12/09/20

     437           378   

Armor Holding II LLC,
Initial Term Loan, 1st Lien
5.750%, 06/26/20

     394           385   

Bats Global Markets, Inc.,
Term B Loan, 1st Lien
0.000%, 06/20/23 (E)

     506           503   

Citco III Limited,
Initial Term Loan ,
1st Lien
4.250%, 06/29/18

     974           968   

MCS AMS Sub-Holdings LLC, Initial Term Loan, 1st Lien
7.500%, 10/15/19

     406           350   

Ocwen Loan Servicing, LLC, Initial Term Loan, 1st Lien
5.500%, 02/15/18

     144           141   

Walter Investment Management Corp., Tranche B Term Loan, 1st Lien
4.750%, 12/18/20

     475           378   
       

 

 

 
          3,103   
       

 

 

 

Food & Beverage — 0.3%

  

B&G Foods, Inc., Term B Loan, 1st Lien
3.750%, 11/02/22

     597           598   

Del Monte Foods, Inc., Initial Term Loan, 1st Lien
4.250%, 02/18/21

     489           455   

JBS USA LLC, Incremental Term Loan, 1st Lien
4.000%, 10/31/22

     75           74   

Phillips Pet Food & Supplies, Initial Term Loan, 1st Lien
4.500%, 01/31/21

     487           434   

Pinnacle Foods Finance LLC, Tranche G Term Loan,
1st Lien
3.250%, 04/29/20

     871           871   
Description    Face Amount
(000)
       Value (000)  

The Chef’s Warehouse Leasing Co. LLC, Delayed Term Loan, 1st Lien
0.000%, 06/20/23 (E)

   $ 40         $ 40   

The Chef’s Warehouse Leasing Co. LLC, Initial Term Loan,
1st Lien
0.000%, 07/01/22 (E)

     247           245   

US Foods, Inc., Term B Loan, 1st Lien
0.000%, 06/15/23 (E)

     750           746   
       

 

 

 
          3,463   
       

 

 

 

Gaming & Hotels — 0.2%

  

Amaya Holdings B.V., Term B Loan, 1st Lien
5.000%, 08/01/21

     544           526   

Hilton Worldwide Finance LLC, Initial Term Loan, 1st Lien
3.500%, 10/26/20 (C)

     704           704   

MGM Growth Properties Operating Partnership LP, Term B Loan, 1st Lien
4.000%, 04/25/23

     748           749   

Scientific Games International, Inc., Initial Term B-2 Loan,
1st Lien
6.000%, 10/01/21

     74           73   

Scientific Games International, Inc., Initial Term Loan, 1st Lien
6.000%, 10/18/20

     488           481   
       

 

 

 
          2,533   
       

 

 

 

Health Care — 1.0%

  

ABB/Con-cise Optical Group LLC, Initial Term Loan,
1st Lien
6.000%, 06/14/23

     750           752   

Alere Inc. (fka IM US Holdings, LLC), Term B Loan, 1st Lien
4.250%, 06/20/22

     410           408   

Alliance HealthCare Services, Inc. , Initial Term Loan,
1st Lien
4.250%, 06/03/19

     482           458   

Alvogen Pharma US, Inc.,
Initial Term Loan, 1st Lien
6.000%, 04/01/22

     346           342   

AMAG Pharmaceuticals, Inc., Initial Term Loan, 1st Lien
4.750%, 08/17/21

     96           95   

Amneal Pharmaceuticals LLC, Term B Loan, 1st Lien
4.500%, 11/01/19

     560           555   
 

 

The accompanying notes are an integral part of the financial statements.

 

82


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

CHS/Community Health Systems, Inc., Term G Loan, 1st Lien
3.750%, 12/31/19

   $ 842         $ 817   

DJO Finance LLC,
Initial Term Loan, 1st Lien
4.250%, 06/08/20

     198           188   

Drumm Investors LLC,
Initial Term Loan, 1st Lien
9.500%, 05/04/18

     736           717   

Endo Luxembourg Finance Company I S.à r.l., Term B Loan, 1st Lien
3.750%, 06/24/22

     274           269   

Iasis Healthcare LLC , Term B-2 Loan, 1st Lien
4.500%, 05/03/18

     635           632   

Indivior Finance S.a r.l.,
Initial Term Loan, 1st Lien
7.000%, 12/19/19

     93           92   

JLL/Delta Dutch Newco B.V., Initial Term Loan, 1st Lien
4.250%, 03/11/21

     490           475   

Kindred Healthcare, Inc.,
Initial Term Loan, 1st Lien
4.250%, 04/09/21

     613           593   

Kinetic Concepts, Inc., Term E-1 Loan, 1st Lien
4.500%, 05/04/18

     490           488   

Millennium Health LLC,
Initial Term Loan, 1st Lien
7.500%, 12/21/20

     228           166   

Millennium Health LLC, Term B Loan, 1st Lien
0.000%, 04/16/21 (C) (E) (F)

     7           33   

NBTY, Inc., Term B Loan,
1st Lien
5.000%, 05/05/23

     718           711   

Opal Acquisition, Inc., Term B Loan, 1st Lien
5.000%, 11/27/20

     343           298   

Ortho-Clinical Diagnostics Holdings Luxembourg S.À R.L., Initial Term Loan,
1st Lien
4.750%, 06/30/21

     245           231   

Radnet Management, Inc., Tranche B Term Loan,
1st Lien
4.250%, 10/10/18

     23           23   

Steward Health Care System LLC, Initial Term Loan,
1st Lien
6.750%, 04/10/20

     489          
 

481
 
  
Description    Face Amount
(000)
       Value (000)  

Surgery Center Holdings, Inc., Initial Term Loan, 1st Lien
4.500%, 11/03/20

   $ 500         $ 498   

Valeant Pharmaceuticals International, Inc., Tranche B Term Loan, 1st Lien
4.750%, 08/05/20

     838           812   
       

 

 

 
          10,134   
       

 

 

 

Home Furnishings — 0.0%

  

Serta Simmons Holdings LLC, Initial Term Loan, 1st Lien
4.250%, 10/01/19

     457           456   
       

 

 

 
          456   
       

 

 

 

Insurance — 0.2%

  

Alliant Holdings Intermediate, LLC, Initial Term Loan,
1st Lien
4.500%, 08/12/22

     198           195   

National Financial Partners Corp., Initial Term Loan,
1st Lien
4.500%, 07/01/20

     746           738   

Sedgwick Claims Management Services, Inc., Initial Term Loan, 1st Lien
5.250%, 03/01/21

     750           749   

USI, Inc. (fka Compass Investors Inc.), Initial Term Loan,
1st Lien
4.250%, 12/27/19

     393           387   
       

 

 

 
          2,069   
       

 

 

 

Machinery — 0.3%

  

Blount International, Inc.,
Initial Term Loan, 1st Lien
7.250%, 04/12/23

     500           501   

CPM Holdings Inc., Term B Loan, 1st Lien
6.000%, 04/01/22

     424           422   

Doosan Bobcat Inc.(fka Doosan Infracore International, Inc.), Tranche B Term Loan, 1st Lien
4.500%, 05/28/21

     834           834   

IES Global B.V., Initial Term Loan, 1st Lien
7.250%, 08/16/19

     430           369   

Milacron LLC, Initial Term Loan, 1st Lien
4.250%, 09/28/20

     616           612   

Rexnord LLC/ RBS Global, Inc., Term B Loan, 1st Lien
4.000%, 08/21/20

     469           463   
 

 

The accompanying notes are an integral part of the financial statements.

 

83


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Schaeffler AG (formerly named INA Beteiligungsgesellschaft mit beschränkter Haftung), Facility B, 1st Lien
4.250%, 05/15/20

   $ 22         $ 21   

SiteOne Landscape Supply LLC, Initial Term Loan, 1st Lien
6.250%, 04/29/22

     343           343   
       

 

 

 
          3,565   
       

 

 

 

Manufacturing — 0.1%

  

Samsonite International S.A., Tranche B Term Loan,
1st Lien
4.000%, 05/15/23

     500           501   
       

 

 

 

Media — 0.6%

  

Altice France S.A., Term B-5 Loan, 1st Lien
4.563%, 07/29/22

     848           833   

Charter Communications Operating, LLC (aka CCO Safari LLC), Term H Loan (2016), 1st Lien
3.250%, 08/24/21

     748           745   

Charter Communications Operating, LLC (aka CCO Safari LLC), Term I Loan (2016), 1st Lien
3.500%, 01/24/23

     200           200   

CSC Holdings, LLC (fka CSC Holdings, Inc.), Initial Term Loan, 1st Lien
5.000%, 10/09/22

     400           400   

MCC Iowa LLC, Tranche J Term Loan, 1st Lien
3.750%, 06/30/21

     74           73   

MediArena Acquisition B.V. (fka AP NMT Acquisition B.V.), Term B Loan, 1st Lien
6.750%, 08/13/21

     246           201   

Mission Broadcasting, Inc.,
Term B-2 Loan, 1st Lien
3.750%, 10/01/20

     459           458   

Nexstar Broadcasting, Inc.,
Term B-2 Loan, 1st Lien
3.750%, 10/01/20

     520           519   

Raycom TV Broadcasting, LLC, Term B Loan, 1st Lien
3.750%, 08/04/21

     992           978   

Sinclair Television Group, Inc., Incremental Tranche B-1 Term Loan, 1st Lien
3.500%, 07/30/21

     792           790   

Ziggo B.V., Term B-1 Loan,
1st Lien
3.652%, 01/15/22

     296          
 

288
 
  
Description    Face Amount
(000)
       Value (000)  

Ziggo B.V., Term B-2 Loan,
1st Lien

       

3.601%, 01/15/22

   $ 15         $ 15   

3.601%, 01/15/22

     175           171   

Ziggo B.V., Term B-3 Loan,
1st Lien
3.601%, 01/15/22

     314           306   
       

 

 

 
          5,977   
       

 

 

 

Metals & Mining — 0.0%

  

Novelis Inc., Initial Term Loan, 1st Lien
4.000%, 06/02/22

     248           245   

Oxbow Carbon LLC (Oxbow Calcining LLC.), Tranche B Term Loan (2013)
4.250%, 07/19/19

     198           196   
       

 

 

 
          441   
       

 

 

 

Oil & Gas — 0.2%

  

Drillships Ocean Ventures Inc., Initial Term Loan, 1st Lien
5.500%, 07/25/21

     98           58   

Energy Transfer Equity, L.P., Initial Term Loan, 1st Lien
3.250%, 12/02/19

     675           650   

Philadelphia Energy Solutions Refining and Marketing LLC, Initial Term Loan, 1st Lien
6.250%, 04/04/18

     499           463   

Seadrill Operating LP (Seadrill Partners Finco LLC), Initial Term Loan, 1st Lien
4.000%, 02/21/21

     366           163   

Western Refining, Inc., Term B-2 Loan, 1st Lien
0.000%, 05/26/23 (E)

     750           730   
       

 

 

 
          2,064   
       

 

 

 

Printing & Publishing — 0.0%

  

Merrill Communications LLC, Initial Term Loan, 1st Lien
6.250%, 05/27/22

     50           45   

Springer SBM Two GmbH, Initial Term B9 Loan, 1st Lien
4.500%, 08/14/20

     321           308   
       

 

 

 
          353   
       

 

 

 

Professional & Business Services — 0.7%

  

Albany Molecular Research, Inc., Term Loan, 1st Lien
5.750%, 07/16/21

     500           494   

Bright Horizons Family Solutions, Inc., Term B Loan, 1st Lien
3.750%, 01/30/20

     975           973   
 

 

The accompanying notes are an integral part of the financial statements.

 

84


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Evertec Group LLC, Term A Loan, 1st Lien
2.700%, 04/17/18

   $ 583         $ 555   

ExamWorks Group, Inc., Initial Term Loan, 1st Lien
0.000%, 06/17/23 (E)

     349           348   

Explorer Holdings, Inc., Initial Term Loan, 1st Lien
6.000%, 05/02/23

     255           255   

Garda World Security Corporation, Term B Delayed Draw Loan, 1st Lien

       

4.000%, 11/06/20

     198           192   

4.000%, 11/06/20

     1             

Garda World Security Corporation, Term B Loan,
1st Lien

       

4.000%, 11/06/20

     326           316   

4.000%, 11/06/20

     1           1   

Global Payments Inc., Term B Loan, 1st Lien
3.960%, 04/22/23 (C)

     750           753   

Hamilton Lane Advisors LLC, Term B Loan, 1st Lien
4.250%, 07/01/22

     48           47   

Harbourvest Partners L.P.,
Initial Term Loan, 1st Lien
3.250%, 02/04/21

     365           358   

IG Investments Holdings LLC, Term B Loan, 1st Lien
6.000%, 10/29/21

     271           269   

Infinity Acquisition LLC, Initial Term Loan, 1st Lien
4.250%, 08/06/21

     546           522   

InVentiv Health, Inc. (f.k.a. Ventiv Health, Inc.), Term B-4 Loan, 1st Lien
7.750%, 05/15/18

     250           249   

LPL Holdings, Inc., Tranche B Term Loan, 1st Lien
4.250%, 03/29/21

     746           741   

West Corporation, Term B Loan, 1st Lien
0.000%, 06/13/23 (E)

     750           747   
       

 

 

 
          6,820   
       

 

 

 

Real Estate — 0.3%

  

DTZ U.S. Borrower LLC, Initial Term Loan, 1st Lien
4.250%, 11/04/21

     812           800   

iStar Inc., Initial Term Loan,
1st Lien
5.550%, 07/01/20

     500           499   

Servicemaster Company LLC, Initial Term Loan, 1st Lien
4.250%, 07/01/21

     690           690   
Description    Face Amount
(000)
       Value (000)  

Starwood Property 4/13, Term B Loan, 1st Lien
3.500%, 04/17/20

   $ 746         $ 737   
       

 

 

 
          2,726   
       

 

 

 

Retail Food & Drug — 0.2%

  

BJ’s Wholesale Club, Inc.,
New 2013 (November) Replacement Loan, 1st Lien
4.500%, 09/26/19

     730           721   

Smart & Final, Inc., Initial Term Loan, 1st Lien
4.000%, 11/15/19

     619           613   

U.S. Foodservice, Inc., Term B Loan, 1st Lien
4.500%, 03/31/19

     748           745   
       

 

 

 
          2,079   
       

 

 

 

Retailing — 0.5%

  

1011778 B.C. Unlimited Liability Company (New Red Finance, Inc.) (aka Burger King/Tim Horton’s), Term B-2 Loan,
1st Lien
3.750%, 12/10/21

     771           770   

Brickman Group Holdings, Inc., Initial Term Loan, 1st Lien
4.000%, 12/18/20

     488           479   

Dollar Tree, Inc., Term B-1 Loan, 1st Lien
3.500%, 07/06/22

     178           178   

KFC Holding Co., Term B Loan, 1st Lien
3.192%, 06/02/23

     750           750   

Leslie’s Poolmart, Inc., Tranche B Term Loan, 1st Lien
4.250%, 10/16/19

     598           593   

Michaels Stores, Inc., Incremental Term Loan,
1st Lien
4.000%, 01/28/20

     60           60   

Michaels Stores, Inc., Term B Loan, 1st Lien
3.750%, 01/28/20

     436           435   

Neiman Marcus Group Inc., Initial Term Loan, 1st Lien
4.250%, 10/25/20

     394           353   

Party City Holdings Inc.,
Initial Term Loan, 1st Lien
4.250%, 08/19/22

     273           271   

PetSmart, Inc., Tranche B-1 Loan, 1st Lien
4.250%, 03/11/22

     446           443   

Pilot Travel Centers LLC, Refinancing Tranche B Term Loan, 1st Lien
3.205%, 10/01/21

     127           127   
 

 

The accompanying notes are an integral part of the financial statements.

 

85


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

Trugreen Limited Partnership, Initial Term Loan, 1st Lien
6.500%, 04/07/23

   $ 500         $ 501   
       

 

 

 
          4,960   
       

 

 

 

Securities & Trusts — 0.0%

  

Clipper Acquisitions Corp.,
Term B Loan, 1st Lien
3.000%, 02/06/20

     458           453   
       

 

 

 

Shipping & Ship Building — 0.0%

  

Stena International S.A.,
Initial Term Loan, 1st Lien
4.000%, 03/03/21

     171           141   
       

 

 

 

Steel — 0.2%

  

Atkore International, Inc.,
Initial Term Loan, 1st Lien
4.500%, 04/09/21

     500           495   

FMG Resources (August 2006) Pty LTD, Initial Term Loan,
1st Lien
4.250%, 06/30/19

     745           711   

JMC Steel Group, Inc.,
Initial Term Loan, 1st Lien
4.750%, 04/01/17

     496           493   

Zekelman Industries, Inc.,
Term B Loan, 1st Lien
0.000%, 06/07/21 (E)

     353           352   
       

 

 

 
          2,051   
       

 

 

 

Telecommunications — 0.3%

  

Commscope, Inc., Tranche 5 Term Loan, 1st Lien
3.750%, 08/28/16

     99           99   

Intelsat Jackson Holdings S.A., Tranche B-2 Term Loan,
1st Lien
3.750%, 06/30/19 (C)

     1,000           909   

IPC Corp., Term B-1 Loan,
1st Lien
5.500%, 08/06/21

     148           135   

LTS Buyer LLC (Sidera Networks, Inc.), Term B Loan, 1st Lien
4.000%, 04/13/20

     746           737   

Mitel US Holdings, Inc.,
Initial Term Loan, 1st Lien
5.500%, 04/29/22

     251           251   

SBA Senior Finance II LLC, Incremental Tranche B-1 Term Loan, 1st Lien
3.250%, 03/24/21

     196           194   

Syniverse Holdings, Inc.,
Initial Term B Loan, 1st Lien
4.000%, 04/23/19

     391           288   
Description    Face Amount
(000)
       Value (000)  

Telenet Financing USD LLC, Initial Term Loan, 1st Lien
4.250%, 05/03/24

   $ 182         $ 180   
       

 

 

 
          2,793   
       

 

 

 

Transportation — 0.1%

  

Envision Healthcare Corporation (fka Emergency Medical Services Corporation),
Initial Term Loan, 1st Lien
4.250%, 05/25/18

     676           675   
       

 

 

 
          675   
       

 

 

 

Utilities — 0.2%

  

Calpine Construction Finance Company, L.P., Term B-2 Loan, 1st Lien
3.250%, 01/31/22

     975           951   

Calpine Corporation, Initial Term Loan, 1st Lien
3.500%, 05/27/22

     297           293   

Dynegy Inc., Tranche B-2 Term Loan, 1st Lien
4.000%, 04/23/20

     487           478   

Granite Acquisition, Inc., Term B Loan, 1st Lien
5.000%, 12/17/21

     212           202   

Granite Acquisition, Inc., Term C Loan, 1st Lien
5.000%, 12/17/21

     9           9   
       

 

 

 
          1,933   
       

 

 

 

Total Loan Participations
(Cost $94,810) (000)

          93,033   
       

 

 

 

Sovereign Debt — 8.8%

  

Abu Dhabi Government International Bond
3.125%, 05/03/26 (A)

     440           453   

Argentine Republic Government International Bond

       

8.280%, 12/31/33

     1,813           2,021   

7.625%, 04/22/46 (A)

     490           529   

7.500%, 04/22/26 (A)

     600           649   

7.125%, 07/06/36 (A)

     150           150   

6.875%, 04/22/21 (A)

     350           373   

2.500%, 03/31/19 (D)

     1,719           1,161   

Armenia International Bond

       

7.150%, 03/26/25 (A)

     490           497   

6.000%, 09/30/20 (A)

     1,381           1,390   

Banco Nacional de Desenvolvimento Economico e Social
6.500%, 06/10/19 (A)

     560           591   

Banque Centrale de Tunisie
5.750%, 01/30/25 (A)

     1,230           1,110   
 

 

The accompanying notes are an integral part of the financial statements.

 

86


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)(1)
       Value (000)  

Brazil Notas do Tesouro Nacional
10.000%, 01/01/21 (BRL)

     930         $ 269   

Brazilian Government International Bond

       

5.625%, 01/07/41

     150           145   

5.000%, 01/27/45

     590           530   

4.250%, 01/07/25

     1,105           1,086   

2.625%, 01/05/23

     600           547   

Canada Government International Bond

       

1.625%, 02/27/19

     100           102   

1.125%, 03/19/18

     150           151   

Chile Government International Bond
3.125%, 01/21/26

     107           110   

City of Buenos Aires Argentina
7.500%, 06/01/27 (A)

     310           322   

Colombia Government International Bond

       

7.375%, 03/18/19

     380           478   

6.125%, 01/18/41

     600           693   

4.500%, 01/28/26

     2,271           2,418   

4.375%, 07/12/21

     200           215   

4.000%, 02/26/24

     545           569   

Costa Rica Government International Bond

       

7.158%, 03/12/45 (A)

     400           399   

7.000%, 04/04/44 (A)

     420           418   

Croatia Government International Bond

       

6.750%, 11/05/19

     1,105           1,203   

6.375%, 03/24/21 (A)

     660           720   

Dominican Republic International Bond

       

7.500%, 05/06/21 (A)

     1,130           1,255   

7.450%, 04/30/44 (A)

     1,225           1,341   

6.875%, 01/29/26 (A)

     370           408   

6.850%, 01/27/45 (A)

     250           259   

6.600%, 01/28/24 (A)

     290           315   

5.500%, 01/27/25 (A)

     150           153   

Ecuador Government International Bond
7.950%, 06/20/24 (A)

     450           393   

Egypt Government International Bond
5.875%, 06/11/25 (A)

     510           446   

El Salvador Government International Bond

       

7.650%, 06/15/35 (A)

     100           89   

7.375%, 12/01/19 (A)

     215           215   

6.375%, 01/18/27 (A)

     150           136   

5.875%, 01/30/25 (A)

     365           327   

Export Development Canada
1.000%, 06/15/18

     300           301   
Description    Face Amount
(000)
       Value (000)  

Export-Import Bank of Korea

       

4.000%, 01/14/24

   $ 200         $ 223
  

2.875%, 01/21/25

     200           207   

Georgia Government International Bond
6.875%, 04/12/21 (A)

     860           946   

Ghana Government International Bond

       

10.750%, 10/14/30 (A)

     420           442   

8.125%, 01/18/26 (A)

     910           782   

7.875%, 08/07/23 (A)

     730           634   

Guatemala Government Bond

       

5.750%, 06/06/22 (A)

     420           465   

4.500%, 05/03/26 (A)

     290           294   

Hashemite Kingdom of Jordan Government AID Bond
2.503%, 10/30/20

     200           212   

Honduras Government International Bond

       

8.750%, 12/16/20 (A)

     1,415           1,585   

7.500%, 03/15/24 (A)

     605           656   

Hungary Government International Bond

       

6.250%, 01/29/20

     600           666   

5.750%, 11/22/23

     390           444   

5.375%, 03/25/24

     310           346   

Indonesia Government International Bond

       

8.500%, 10/12/35 (A)

     1,120           1,598   

5.875%, 01/15/24 (A)

     1,120           1,296   

5.375%, 10/17/23 (A)

     200           225   

5.250%, 01/17/42 (A)

     200           212   

4.125%, 01/15/25 (A)

     650           677   

Israel Government International Bond
3.150%, 06/30/23

     200           213   

Ivory Coast Government International Bond

       

6.375%, 03/03/28 (A)

     435           421   

5.750%, 12/31/32 (A) (D)

     1,120           1,043   

5.375%, 07/23/24 (A)

     250           234   

Jamaica Government International Bond

       

7.625%, 07/09/25

     470           521   

6.750%, 04/28/28

     720           756   

Japan Bank for International Cooperation

       

2.375%, 04/20/26

     200           209   

1.750%, 11/13/18

     400           404   

KazAgro National Management Holding
4.625%, 05/24/23 (A)

     300           274   

Kazakhstan Government International Bond

       

6.500%, 07/21/45 (A)

     340           395   

3.875%, 10/14/24 (A)

     670           673   
 

 

The accompanying notes are an integral part of the financial statements.

 

87


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)(1)
       Value (000)  

Kenya Government International Bond
5.875%, 06/24/19 (A)

     1,358         $ 1,347   

Korea Development Bank
2.500%, 03/11/20

     400           412   

Korea International Bond
7.125%, 04/16/19

     100           116   

Letras del Banco Central de la Republica Argentina
0.000%, 01/11/17 (ARS) (E)

     2,150           126   

Lithuania Government International Bond
6.125%, 03/09/21 (A)

     200           233   

Mexico Government International Bond

       

6.050%, 01/11/40

     160           201   

5.550%, 01/21/45

     348           417   

4.125%, 01/21/26

     950           1,030   

4.000%, 10/02/23

     400           430   

3.500%, 01/21/21

     250           264   

Mongolia Government International Bond

       

5.125%, 12/05/22 (A)

     400           328   

4.125%, 01/05/18 (A)

     220           213   

Montenegro Government International Bond
5.750%, 03/10/21 (EUR) (A)

     450           506   

Morocco Government International Bond
4.250%, 12/11/22 (A)

     200           209   

Nigeria Government International Bond
6.750%, 01/28/21 (A)

     310           308   

Pakistan Government International Bond

       

8.250%, 04/15/24 (A)

     200           210   

7.250%, 04/15/19 (A)

     440           462   

Panama Government International Bond

       

9.375%, 04/01/29

     290           442   

6.700%, 01/26/36

     1,085           1,440   

5.200%, 01/30/20

     620           687   

3.875%, 03/17/28

     690           730   

3.750%, 03/16/25

     330           348   

Paraguay Government International Bond

       

6.100%, 08/11/44 (A)

     570           611   

5.000%, 04/15/26 (A)

     200           211   

Peruvian Government International Bond

       

7.350%, 07/21/25

     190           258   

6.550%, 03/14/37

     615           829   

5.625%, 11/18/50

     520           645   

3.750%, 03/01/30 (EUR)

     460           560   
Description    Face Amount
(000)
       Value (000)  

Philippine Government International Bond

       

7.750%, 01/14/31

   $ 419         $ 650   

6.375%, 10/23/34

     810           1,178   

5.500%, 03/30/26

     200           254   

4.200%, 01/21/24

     200           229   

3.700%, 03/01/41

     210           234   

Poland Government International Bond

       

6.375%, 07/15/19

     200           227   

4.000%, 01/22/24

     335           362   

3.250%, 04/06/26

     820           836   

3.000%, 03/17/23

     590           600   

Province of British Columbia Canada
2.000%, 10/23/22

     100           103   

Province of Manitoba Canada

       

2.050%, 11/30/20

     150           154   

1.125%, 06/01/18

     100           101   

Province of Ontario Canada

       

2.450%, 06/29/22

     200           209   

2.000%, 01/30/19

     250           256   

1.875%, 05/21/20

     150           153   

1.625%, 01/18/19

     100           101   

1.250%, 06/17/19

     150           151   

Province of Quebec Canada

       

2.875%, 10/16/24

     100           106   

2.625%, 02/13/23

     200           210   

2.500%, 04/20/26

     100           103   

Provincia de Buenos Aires
9.125%, 03/16/24 (A)

     150           165   

Provincia de Cordoba
7.125%, 06/10/21 (A)

     410           411   

Qatar Government International Bond

       

4.625%, 06/02/46 (A)

     650           707   

2.375%, 06/02/21 (A)

     1,248           1,261   

Republic of Azerbaijan International Bond
4.750%, 03/18/24 (A)

     1,110           1,123   

Romanian Government International Bond

       

6.750%, 02/07/22 (A)

     840           995   

6.125%, 01/22/44 (A)

     400           499   

4.875%, 01/22/24 (A)

     428           473   

4.375%, 08/22/23 (A)

     990           1,059   

Russian Foreign Bond-Eurobond

       

5.625%, 04/04/42 (A)

     400           453   

4.875%, 09/16/23 (A)

     400           436   

Senegal Government International Bond

       

8.750%, 05/13/21 (A)

     825           901   

6.250%, 07/30/24 (A)

     740           705   

Serbia International Bond

       

7.250%, 09/28/21 (A)

     875           1,002   

5.875%, 12/03/18 (A)

     590           625   

5.250%, 11/21/17 (A)

     370           383   
 

 

The accompanying notes are an integral part of the financial statements.

 

88


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

South Africa Government International Bond

       

5.875%, 09/16/25

   $ 623         $ 694   

5.500%, 03/09/20

     150           162   

4.875%, 04/14/26

     680           705   

Sri Lanka Government International Bond

       

6.850%, 11/03/25 (A)

     245           239   

6.250%, 10/04/20 (A)

     530           537   

6.000%, 01/14/19 (A)

     310           316   

5.875%, 07/25/22 (A)

     1,255           1,217   

5.125%, 04/11/19 (A)

     310           310   

Turkey Government International Bond

       

8.000%, 02/14/34

     386           520   

7.500%, 07/14/17

     150           159   

7.375%, 02/05/25

     540           666   

7.000%, 03/11/19

     100           111   

6.875%, 03/17/36

     480           585   

5.750%, 03/22/24

     200           223   

5.625%, 03/30/21

     570           621   

5.125%, 03/25/22

     200           214   

4.875%, 10/09/26

     915           945   

Ukraine Government International Bond

       

8.560%, 05/31/40 (A) (C)

     314           102   

7.750%, 09/01/20 (A)

     2,310           2,228   

Uruguay Government International Bond

       

5.100%, 06/18/50

     616           613   

4.500%, 08/14/24

     904           984   

4.375%, 10/27/27

     1,310           1,382   

Venezuela Government International Bond

       

9.250%, 09/15/27

     180           87   

7.750%, 10/13/19

     515           230   

7.650%, 04/21/25

     652           266   

7.000%, 12/01/18

     492           224   

6.000%, 12/09/20

     680           276   

Vietnam Government International Bond

       

6.750%, 01/29/20 (A)

     200           222   

4.800%, 11/19/24 (A)

     875           900   

Zambia Government International Bond

       

8.970%, 07/30/27 (A)

     570           493   

8.500%, 04/14/24 (A)

     905           786   
       

 

 

 

Total Sovereign Debt
(Cost $87,180) (000)

          89,995   
       

 

 

 

ASSET-BACKED SECURITIES — 5.2%

  

Automotive — 4.1%

  

    

AmeriCredit Automobile Receivables Trust, Ser 2016-1, Cl C

       

2.890%, 01/10/22

     575           584   

2.870%, 11/08/21

     628           644   

2.210%, 05/10/21

     212           213   
Description   Face Amount
(000)
       Value (000)  

1.700%, 07/08/20

  $ 420         $ 422   

1.197%, 04/08/19-06/10/19 (C)

    2,990           2,991   

California Republic Auto Receivables Trust, Ser 2015-3, Cl A3

      

1.620%, 11/15/19

    948           955   

1.570%, 12/16/19

    1,382           1,386   

1.310%, 08/15/19

    1,725           1,729   

Capital Auto Receivables Asset Trust, Ser 2016-1, Cl A2B
1.148%, 11/20/18 (C)

    1,860           1,863   

CarFinance Capital Auto Trust, Ser 2014-1A, Cl A
1.460%, 12/17/18 (A)

    7           7   

CarFinance Capital Auto Trust, Ser 2015-1A, Cl A
1.750%, 06/15/21 (A)

    756           753   

CarMax Auto Owner Trust, Ser 2015-2, Cl A4

      

1.800%, 03/15/21

    945           955   

1.520%, 02/16/21

    1,366           1,374   

CPS Auto Receivables Trust, Ser 2016-B, Cl A

      

2.070%, 11/15/19 (A)

    1,263           1,262   

1.770%, 06/17/19 (A)

    834           833   

1.640%, 04/16/18 (A)

    18           18   

1.540%, 07/16/18 (A)

    102           102   

1.210%, 08/15/18 (A)

    83           83   

Drive Auto Receivables Trust, Ser 2016-AA, Cl A2A

      

1.500%, 03/15/18 (A)

    711           711   

1.380%, 08/15/18 (A)

    2,708           2,708   

1.230%, 06/15/18 (A)

    416           416   

DT Auto Owner Trust,
Ser 2016-3A, Cl A

      

1.750%, 11/15/19 (A)

    1,613           1,613   

1.660%, 03/15/19 (A)

    781           781   

1.060%, 09/17/18 (A)

    11           12   

Exeter Automobile Receivables Trust, Ser 2016-1A, Cl A

      

2.800%, 07/15/20 (A)

    448           448   

1.320%, 01/15/19 (A)

    410           409   

1.060%, 08/15/18 (A)

    4           4   

First Investors Auto Owner Trust, Ser 2013-3A, Cl A3
1.440%, 10/15/19 (A)

    60           60   

Flagship Credit Auto Trust,
Ser 2015-3, Cl A

      

2.380%, 10/15/20 (A)

    320           320   

2.280%, 05/15/20 (A)

    553           554   

1.980%, 10/15/20 (A)

    593           592   

1.430%, 12/16/19 (A)

    44           43   

1.210%, 04/15/19 (A)

    158           158   

Ford Credit Auto Owner Trust, Ser 2016-2, Cl A

      

2.030%, 12/15/27 (A)

    1,620           1,619   

1.740%, 02/15/21

    891           903   
 

 

The accompanying notes are an integral part of the financial statements.

 

89


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)
       Value (000)  

1.600%, 06/15/21

   $ 795         $ 806   

1.580%, 08/15/20

     1,544           1,555   

1.330%, 10/15/20

     1,347           1,355   

Honda Auto Receivables Owner Trust, Ser 2015-3, Cl A4

       

1.560%, 10/18/21

     710           717   

1.390%, 04/15/20

     951           957   

Hyundai Auto Receivables Trust, Ser 2015-B, Cl A2A
0.690%, 04/16/18

     940           940   

Mercedes-Benz Master Owner Trust, Ser 2016-BA, Cl A
1.142%, 05/17/21 (A) (C)

     1,038           1,039   

Santander Drive Auto Receivables Trust, Ser 2016-2, Cl D

       

3.390%, 04/15/22

     168           169   

2.660%, 11/15/21

     202           206   

2.470%, 12/15/20

     508           508   

2.290%, 04/15/20

     849           855   

2.080%, 02/16/21

     961           965   

1.830%, 01/15/20

     991           994   

1.820%, 05/15/19

     114           114   

1.590%, 10/15/18

     865           866   

1.200%, 12/17/18

     745           744   

1.192%, 12/17/18 (C)

     458           458   

United Auto Credit Securitization Trust, Ser 2016-1, Cl A
2.000%, 10/15/17 (A)

     328           328   

World Omni Auto Receivables Trust, Ser 2014-B, Cl A4
1.680%, 12/15/20

     971           982   
       

 

 

 
          42,083   
       

 

 

 

Credit Card — 0.8%

  

BA Credit Card Trust, Ser 2016-A1, Cl A
0.835%, 10/15/21 (C)

     1,573           1,576   

Capital One Multi-Asset Execution Trust, Ser 2016-A1, Cl A1
0.900%, 02/15/22 (C)

     2,095           2,097   

Chase Issuance Trust, Ser 2016-A2, Cl A

       

1.370%, 06/15/21

     2,695           2,711   

0.550%, 06/15/23 (C)

     2,151           2,151   
       

 

 

 
          8,535   
       

 

 

 

Other Asset-Backed Securities — 0.3%

  

NYMT Residential,
Ser 2016-RP1A, Cl A
4.000%, 03/25/21 (A) (D)

     302           303   

Oak Hill Advisors Residential Loan Trust, Ser 2015-NPL2, Cl A1
3.721%, 07/25/55 (A)

     425           423   
Description   Face Amount
(000)
       Value (000)  

VOLT XLV, Ser 2016-NPL5, Cl A1
4.000%, 05/25/46 (A) (D)

  $ 745         $ 744   

VOLT XXII, Ser 2015-NPL4, Cl A1
3.500%, 02/25/55 (A) (D)

    253           252   

VOLT XXX, Ser 2015-NPL1, Cl A1
3.625%, 10/25/57 (A) (D)

    571           568   

VOLT XXXI, Ser 2015-NPL2, Cl A1
3.375%, 02/25/55 (A) (D)

    396           392   
      

 

 

 
         2,682   
      

 

 

 

Total Asset-Backed Securities
(Cost $53,138) (000)

         53,300   
      

 

 

 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 1.7%

  

FFCB

      

1.420%, 06/29/20

    100           100   

1.150%, 02/22/19

    200           201   

1.100%, 03/14/18-06/01/18

    350           352   

0.750%, 04/18/18

    100           100   

FHLB

      

4.125%, 03/13/20

    750           835   

1.875%, 06/07/21

    300           300   

1.625%, 06/14/19

    400           409   

1.375%, 02/18/21

    200           202   

1.150%, 06/22/18

    200           200   

1.125%, 06/21/19

    300           303   

1.000%, 12/19/17

    265           267   

0.625%, 10/26/17

    350           350   

FHLMC

      

6.250%, 07/15/32

    635           961   

2.375%, 01/13/22

    2,130           2,256   

1.700%, 06/30/21

    100           100   

1.330%, 12/30/20

    400           400   

1.250%, 01/29/19-10/02/19

    800           808   

1.125%, 04/15/19

    300           303   

1.100%, 02/26/18

    500           500   

1.050%, 05/17/18

    250           250   

1.000%, 12/15/17-05/11/18

    300           301   

0.750%, 01/12/18-04/09/18

    850           851   

FNMA

      

2.625%, 09/06/24

    1,163           1,251   

2.125%, 04/24/26

    410           421   

1.875%, 02/19/19-12/28/20

    631           649   

1.750%, 06/20/19-11/25/20

    450           458   

1.500%, 06/22/20-11/30/20

    627           639   

1.400%, 06/13/19

    250           251   

1.375%, 01/28/19

    200           203   

1.125%, 07/20/18

    250           252   

1.000%, 02/26/19

    500           502   

0.875%, 02/08/18-05/21/18

    1,000           1,005   

Tennessee Valley Authority

      

4.250%, 09/15/65

    762           894   

3.500%, 12/15/42

    706           764   
      

 

 

 

Total U.S. Government Agency Obligations
(Cost $16,821) (000)

         17,638   
      

 

 

 
 

 

The accompanying notes are an integral part of the financial statements.

 

90


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

Description    Face Amount
(000)/Shares
       Value (000)  

MUNICIPAL BONDS — 0.4%

  

California State GO

       

7.350%, 11/01/39

   $ 211         $ 321   

7.300%, 10/01/39

     780           1,180   

Florida State, Hurricane Catastrophe Fund RB
2.995%, 07/01/20

     150           157   

Illinois State GO

       

5.665%, 03/01/18

     200           211   

5.100%, 06/01/33

     525           504   

New Jersey State, Transportation Trust Fund RB
5.754%, 12/15/28

     1,210           1,309   

University of California RB
4.767%, 05/15/15

     489           532   
       

 

 

 

Total Municipal Bonds
(Cost $4,046) (000)

          4,214   
       

 

 

 

PREFERRED STOCK — 0.0%

  

Education Management (F)

     1,550,903           7   
       

 

 

 

Total Preferred Stock
(Cost $188) (000)

          7   
       

 

 

 

SHORT-TERM INVESTMENT — 7.3%

  

State Street Institutional Liquid Reserves Fund, Institutional Class, 0.471%, (G)

     74,498,567           74,499   
       

 

 

 

Total Short-Term Investment
(Cost $74,499) (000)

          74,499   
       

 

 

 

Total Investments — 107.7%
(Cost $1,082,670) (000)

        $ 1,101,313   
       

 

 

 

Percentages are based on net assets of $1,022,330 (000).

A list of the open forward foreign currency contracts held by the Fund at June 30, 2016 is as follows (000):

 

Counterparty

  Maturity
Date
    Currency
to Deliver
    Currency
to Receive
    Unrealized
Appreciation/

(Depreciation)
 
HSBC     7/18/16      USD  242      BRL  880      $ 30   
HSBC     7/18/16      BRL  880      USD  243        (29
BNP Paribas     7/20/16      EUR  966      USD  1,090        17   
Barclays     7/27/16      THB  8,770      USD  250        1   
Northern
Trust
Company
    8/1/16      GBP  379      USD  512        7   
BNP Paribas     8/2/16      SGD  670      USD  495        (2
Brow n
Brothers
Harriman
    8/12/16      TRY  1,461      USD  485        (18
Barclays     8/16/16      USD  215      INR  14,510        (2
Barclays     8/16/16      INR  32,980      USD  485          
Brow n
Brothers
Harriman
    8/16/16      USD  273      INR  18,470        (2
Credit
Suisse
    8/19/16      USD  489      MXN  8,930        (3

Counterparty

  Maturity
Date
    Currency
to Deliver
    Currency
to Receive
    Unrealized
Appreciation/

(Depreciation)
 
HSBC     8/19/16      MXN  8,930      USD  478      $ (8
Barclays     8/23/16      CNY  5,766      USD  864        1   
Barclays     8/26/16      PLN  2,066      USD  514        (8
Barclays     8/26/16      USD  261      PLN  990        (10
Brow n
Brothers
Harriman
    8/26/16      PLN  990      USD  249        (1
Northern
Trust
Company
    8/26/16      USD  260      ZAR  3,900        2   
Credit
Lyonnais
Securities
Asia
    10/3/16      USD  254      IDR  3,374,000        (3
Deutsche
Bank
    11/7/16      USD  111      ARS  1,770        (1
       

 

 

 
        $ (29
       

 

 

 

For the period ended June 30, 2016, the monthly average notional forward foreign currency contracts purchased and sold were $1,684 (000) and $(5,933) (000), respectively.

 

(1) In U.S. Dollars unless otherwise indicated.
(A) Security sold within terms of a private placement memorandum, exempt from registration under Section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other “accredited investors.” The total value of such securities as of June 30, 2016 was $118,428 (000) and represents 11.58% of Net Assets.
(B) Security considered illiquid. The total value of such securities as of June 30, 2016 was $61 (000) and represented 0.01% of net assets.
(C) Variable rate security — Rate disclosed is the rate in effect on June 30, 2016.
(D) Step Bonds — The rate reflected on the Schedule of Investments is the effective yield on June 30, 2016. The coupon on a step bond changes on a specified date.
(E) Unsettled bank loan. Interest rate not available.
(F) Security is fair valued using methods determined in good faith by the Fair Value Committee of the Board of Trustees. The total value of such securities as of June 30, 2016, was $82 (000) and represented 0.01% of net assets.
(G) The rate reported is the 7-day effective yield as of June 30, 2016.

ARS — Argentine Peso

BRL — Brazilian Real

Cl — Class

CNY — Chinese Yuan

EUR — Euro

FFCB — Federal Farm Credit Bank

FHLB — Federal Home Loan Bank

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

GBP — British Pound

GNMA — Government National Mortgage Association

GO — General Obligation

IDR — Indonesian Rupiah

INR — Indian Rupee

LLC — Limited Liability Company

L.P. — Limited Partnership

Ltd. — Limited

MXN — Mexican Peso

PLN — Polish New Zloty

RB — Revenue Bond

Ser — Series

SGD — Singapore Dollar

 

 

The accompanying notes are an integral part of the financial statements.

 

91


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

KP Fixed Income Fund   

 

THB — Thai Baht

TRY — Turkish Lira

USD — U.S. Dollar

ZAR — South African Rand

The following is a list of the level of inputs used as of June 30, 2016, in valuing the Fund’s investments and other financial instruments carried at value (000):

 

Investments
in Securities
  Level 1     Level 2     Level 3‡     Total  

U.S. Treasury Obligations

  $      $ 318,445      $      $ 318,445   

Corporate Obligations

           287,990               287,990   

Mortgage-Backed Securities

           162,192               162,192   

Loan Participations

           92,958        75        93,033   

Sovereign Debt

           89,995               89,995   

Asset-Backed Securities

           53,300               53,300   

U.S. Government Agency Obligations

           17,638               17,638   

Municipal Bonds

           4,214               4,214   

Preferred Stock

                  7        7   

Short-Term Investment

    74,499                      74,499   
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments in Securities

  $ 74,499      $ 1,026,732      $ 82      $ 1,101,313   
 

 

 

   

 

 

   

 

 

   

 

 

 
Other Financial
Instruments
  Level 1     Level 2     Level 3     Total  

Forward Currency Contracts*

       

Unrealized Appreciation

  $      $ 58      $      $ 58   

Unrealized Depreciation

           (87            (87
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments

  $      $ (29   $      $ (29
 

 

 

   

 

 

   

 

 

   

 

 

 

 

A reconciliation of Level 3 investments and disclosures of significant unobservable inputs are presented when the Fund has a significant amount of Level 3 investments at the beginning and/or end of the period in relation to net assets. Management has concluded that Level 3 investments are not material in relation to net assets.
* Forward foreign currency contracts are valued at the unrealized appreciation/(depreciation) on the instrument.

For the period ended June 30, 2016, there were no transfers between Level 1, Level 2 and Level 3 assets and liabilities. All transfers, if any, are recognized by the Fund at the end of the period.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

 

The accompanying notes are an integral part of the financial statements.

 

92


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

STATEMENTS OF ASSETS AND LIABILITIES (000)

 

     KP
Retirement
Path 2015
Fund
     KP
Retirement
Path 2020
Fund
     KP
Retirement
Path 2025
Fund
     KP
Retirement
Path 2030
Fund
 

Assets:

           

Affiliated Investments at Cost

   $ 283,680       $ 501,629       $ 587,505       $ 591,887   

Unaffiliated Investments at Cost

     194,088         236,034         183,156         105,218   
  

 

 

    

 

 

    

 

 

    

 

 

 

Affiliated Investments at Fair Value

   $ 291,524       $ 512,521       $ 594,473       $ 593,269   

Unaffiliated Investments at Fair Value

     197,571         240,326         186,380         106,885   

Cash

     44         69         72         65   

Receivable for Investment Securities Sold

     174                         37   

Income Distributions Receivable

     85         93         63         21   

Receivable for Capital Shares Sold

             33         129           

Prepaid Expenses

     11         16         16         14   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Assets

     489,409         753,058         781,133         700,291   
  

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities:

           

Payable for Capital Shares Redeemed

     165                         24   

Payable due to Administrator

     10         16         16         14   

Payable due to Adviser

     8         10         7         4   

Chief Compliance Officer Fees Payable

     1         2         2         2   

Payable for Investment Securities Purchased

     136         186         250         82   

Other Accrued Expenses

     19         27         28         25   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Liabilities

     339         241         303         151   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets

   $ 489,070       $ 752,817       $ 780,830       $ 700,140   
  

 

 

    

 

 

    

 

 

    

 

 

 

NET ASSETS:

           

Paid-in Capital

   $ 475,828       $ 734,183       $ 765,638       $ 691,313   

Undistributed Net Investment Income

     760         923         743         439   

Accumulated Net Realized Gain on Investments

     1,155         2,527         4,257         5,339   

Net Unrealized Appreciation on Investments

     11,327         15,184         10,192         3,049   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets

   $ 489,070       $ 752,817       $ 780,830       $ 700,140   
  

 

 

    

 

 

    

 

 

    

 

 

 

Institutional Class Shares:

           

Net Assets

   $ 489,070       $ 752,817       $ 780,830       $ 700,140   

Outstanding Shares of Beneficial Interest
(unlimited authorization — no par value)†

     48,303,255         74,125,346         77,342,008         70,156,850   

Net Asset Value, Offering and Redemption Price Per Share*

   $ 10.12       $ 10.16       $ 10.10       $ 9.98   
  

 

 

    

 

 

    

 

 

    

 

 

 

 

  Shares are presented unrounded.
  * The net asset value is calculated by dividing the unrounded net assets by the unrounded shares.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

93


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

STATEMENTS OF ASSETS AND LIABILITIES (000)

 

     KP
Retirement
Path 2035
Fund
     KP
Retirement
Path 2040
Fund
     KP
Retirement
Path 2045
Fund
 

Assets:

        

Affiliated Investments at Cost

   $ 684,298       $ 632,177       $ 441,798   

Unaffiliated Investments at Cost

     70,470         42,761         24,531   
  

 

 

    

 

 

    

 

 

 

Affiliated Investments at Fair Value

   $ 683,515       $ 628,866       $ 437,612   

Unaffiliated Investments at Fair Value

     71,650         43,509         24,961   

Cash

     57         38         22   

Receivable for Investment Securities Sold

     185         49         23   

Income Distributions Receivable

     7                   

Prepaid Expenses

     15         14         9   
  

 

 

    

 

 

    

 

 

 

Total Assets

     755,429         672,476         462,627   
  

 

 

    

 

 

    

 

 

 

Liabilities:

        

Payable for Capital Shares Redeemed

     170         36         14   

Payable for Investment Securities Purchased

     58         34         20   

Payable due to Administrator

     16         14         9   

Payable due to Adviser

     3         2         1   

Chief Compliance Officer Fees Payable

     2         2         1   

Other Accrued Expenses

     27         23         16   
  

 

 

    

 

 

    

 

 

 

Total Liabilities

     276         111         61   
  

 

 

    

 

 

    

 

 

 

Net Assets

   $ 755,153       $ 672,365       $ 462,566   
  

 

 

    

 

 

    

 

 

 

NET ASSETS:

        

Paid-in Capital

   $ 748,248       $ 668,601       $ 462,120   

Undistributed Net Investment Income

     275         112         42   

Accumulated Net Realized Gain on Investments

     6,233         6,215         4,160   

Net Unrealized Appreciation/(Depreciation) on Investments

     397         (2,563      (3,756
  

 

 

    

 

 

    

 

 

 

Net Assets

   $ 755,153       $ 672,365       $ 462,566   
  

 

 

    

 

 

    

 

 

 

Institutional Class Shares:

        

Net Assets

   $ 755,153       $ 672,365       $ 462,566   

Outstanding Shares of Beneficial Interest
(unlimited authorization — no par value)†

     76,060,011         67,981,381         46,960,496   

Net Asset Value, Offering and Redemption Price Per Share*

   $ 9.93       $ 9.89       $ 9.85   
  

 

 

    

 

 

    

 

 

 

 

  Shares are presented unrounded.
  * The net asset value is calculated by dividing the unrounded net assets by the unrounded shares.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

94


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

STATEMENTS OF ASSETS AND LIABILITIES (000)

 

     KP
Retirement
Path 2050
Fund
     KP
Retirement
Path 2055
Fund
     KP
Retirement
Path 2060
Fund
 

Assets:

        

Affiliated Investments at Cost

   $ 200,417       $ 37,240       $ 6,575   

Unaffiliated Investments at Cost

     10,979         1,975         353   
  

 

 

    

 

 

    

 

 

 

Affiliated Investments at Fair Value

   $ 197,423       $ 36,538       $ 6,593   

Unaffiliated Investments at Fair Value

     11,270         2,073         376   

Cash

     10         2           

Receivable for Investment Securities Sold

     13         175           

Receivable for Capital Shares Sold

                     58   

Prepaid Expenses

     4         1           
  

 

 

    

 

 

    

 

 

 

Total Assets

     208,720         38,789         7,027   
  

 

 

    

 

 

    

 

 

 

Liabilities:

        

Payable for Investment Securities Purchased

     9         2         58   

Payable for Capital Shares Redeemed

     9         174           

Payable due to Administrator

     4         1           

Chief Compliance Officer Fees Payable

     1                   

Other Accrued Expenses

     7         1           
  

 

 

    

 

 

    

 

 

 

Total Liabilities

     30         178         58   
  

 

 

    

 

 

    

 

 

 

Net Assets

   $ 208,690       $ 38,611       $ 6,969   
  

 

 

    

 

 

    

 

 

 

NET ASSETS:

        

Paid-in Capital

   $ 209,827       $ 39,209       $ 7,241   

Undistributed Net Investment Income

     19         3           

Accumulated Net Realized Gain/(Loss) on Investments

     1,547         3         (313

Net Unrealized Appreciation/(Depreciation) on Investments

     (2,703      (604      41   
  

 

 

    

 

 

    

 

 

 

Net Assets

   $ 208,690       $ 38,611       $ 6,969   
  

 

 

    

 

 

    

 

 

 

Institutional Class Shares:

        

Net Assets

   $ 208,690       $ 38,611       $ 6,969   

Outstanding Shares of Beneficial Interest
(unlimited authorization — no par value)†

     21,152,807         3,935,503         704,722   

Net Asset Value, Offering and Redemption Price Per Share*

   $ 9.87       $ 9.81       $ 9.89   
  

 

 

    

 

 

    

 

 

 

 

  Shares are presented unrounded.
  * The net asset value is calculated by dividing the unrounded net assets by the unrounded shares.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

95


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

STATEMENTS OF ASSETS AND LIABILITIES (000)

 

     KP Large
Cap Equity
Fund
     KP Small
Cap Equity
Fund
     KP
International
Equity Fund
     KP Fixed
Income
Fund
 

Assets:

           

Investments at Cost

   $ 1,249,750       $ 823,578       $ 1,158,541       $ 1,082,670   

Cost of Foreign Currency

                     7,868         21   
  

 

 

    

 

 

    

 

 

    

 

 

 

Investments at Fair Value

   $ 1,339,436       $ 815,761       $ 1,086,601       $ 1,101,313   

Cash

     35,560                         6,422   

Foreign Currency at Value

                     7,803         21   

Receivable for Investment Securities Sold

     5,316         11,113         4,447         46,503   

Dividends and Interest Receivable

     1,332         810         3,179         5,666   

Cash Collateral for Futures Contracts

     788         907         2,426           

Reclaims Receivable

     156         5         1,842         8   

Receivable for Capital Shares Sold

     52         19         41         61   

Unrealized Appreciation on Foreign Currency Spot Contracts

                     28           

Unrealized Appreciation on Forward Foreign Currency Contracts

                             58   

Prepaid Expenses

     2         3         2         2   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Assets

     1,382,642         828,618         1,106,369         1,160,054   
  

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities:

           

Payable for Investment Securities Purchased

     33,884         8,270         9,627         137,119   

Payable due to Sub-Advisers

     250         273         304         160   

Payable for Capital Shares Redeemed

     193         130         163         177   

Payable due to Adviser

     55         34         45         41   

Payable due to Administrator

     41         25         33         31   

Chief Compliance Officer Fees Payable

     2         1         2         2   

Cash overdraft

                     197           

Unrealized Depreciation on Foreign Currency Spot Contracts

                     13           

Unrealized Depreciation on Forward Foreign Currency Contracts

                             87   

Accrued Foreign Capital Gains Tax

                     242           

Other Accrued Expenses

     116         111         303         107   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Liabilities

     34,541         8,844         10,929         137,724   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets

   $ 1,348,101       $ 819,774       $ 1,095,440       $ 1,022,330   
  

 

 

    

 

 

    

 

 

    

 

 

 

NET ASSETS:

           

Paid-in Capital

   $ 1,239,080       $ 855,658       $ 1,195,885       $ 988,809   

Undistributed Net Investment Income

     10,324         3,965         15,604         11,236   

Accumulated Net Realized Gain/(Loss) on Investments

     8,925         (31,991      (43,568      3,670   

Net Unrealized Appreciation/(Depreciation) on Investments

     89,686         (7,817      (71,940      18,643   

Net Unrealized Appreciation/(Depreciation) on Futures Contracts

     92         (41      (119        

Net Unrealized Depreciation on Foreign Currency Contracts and Foreign Currency Translation

     (6              (180      (28

Accumulated Foreign Capital Gains Tax on Appreciated Securities

                     (242        
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets

   $ 1,348,101       $ 819,774       $ 1,095,440       $ 1,022,330   
  

 

 

    

 

 

    

 

 

    

 

 

 

Institutional Class Shares:

           

Net Assets

   $ 1,348,101       $ 819,774       $ 1,095,440       $ 1,022,330   

Outstanding Shares of Beneficial Interest
(unlimited authorization — no par value)†

     126,040,328         84,292,881         125,664,326         99,108,920   

Net Asset Value, Offering and Redemption Price Per Share*

   $ 10.70       $ 9.73       $ 8.72       $ 10.32   
  

 

 

    

 

 

    

 

 

    

 

 

 

 

  Shares are presented unrounded.
  * The net asset value is calculated by dividing the unrounded net assets by the unrounded shares.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

96


THE KP FUNDS    For the six-months ended June 30, 2016  (Unaudited)

 

 

 

 

 

STATEMENTS OF OPERATIONS (000)

 

       KP
Retirement
Path 2015
Fund
       KP
Retirement
Path 2020
Fund
       KP
Retirement
Path 2025
Fund
       KP
Retirement
Path 2030
Fund
 

Investment Income:

                   

Income Distributions from Unaffiliated Registered Investment Companies

     $ 946         $ 1,186         $ 997         $ 650   
    

 

 

      

 

 

      

 

 

      

 

 

 

Total Investment Income

       946           1,186           997           650   
    

 

 

      

 

 

      

 

 

      

 

 

 

Expenses:

                   

Administration Fees

       61           92           93           83   

Investment Advisory Fees

       48           58           44           25   

Trustees’ Fees

       7           10           10           9   

Chief Compliance Officer Fees

       3           5           5           4   

Custodian Fees/Transfer Agent Fees

       28           40           41           35   

Professional Fees

       15           22           23           20   

Registration Fees

       14           22           24           22   

Printing Fees

       7           10           10           9   

Other Fees

       3           4           4           4   
    

 

 

      

 

 

      

 

 

      

 

 

 

Total Expenses

       186           263           254           211   
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Investment Income

       760           923           743           439   
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain/(Loss) on Investments:

                   

Net Realized Gain/(Loss) on Affiliated Investments

       366           48           (173        (164

Net Realized Loss on Unaffiliated Investments

       (582        (426        (271        (188

Net Change in Unrealized Appreciation on Affiliated Investments

       9,374           13,971           12,673           9,493   

Net Change in Unrealized Appreciation on Unaffiliated Investments

       7,966           10,316           9,041           6,739   
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain on Investments

       17,124           23,909           21,270           15,880   
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Increase in Net Assets Resulting from Operations

     $ 17,884         $ 24,832         $ 22,013         $ 16,319   
    

 

 

      

 

 

      

 

 

      

 

 

 

 

The accompanying notes are an integral part of the financial statements.

 

97


THE KP FUNDS    For the six-months ended June 30, 2016  (Unaudited)

 

 

 

 

 

STATEMENTS OF OPERATIONS (000)

 

       KP
Retirement
Path 2035
Fund
       KP
Retirement
Path 2040
Fund
       KP
Retirement
Path 2045
Fund
 

Investment Income:

              

Income Distributions from Unaffiliated Registered Investment Companies

     $ 492         $ 300         $ 170   
    

 

 

      

 

 

      

 

 

 

Total Investment Income

       492           300           170   
    

 

 

      

 

 

      

 

 

 

Expenses:

              

Administration Fees

       90           79           54   

Investment Advisory Fees

       16           10           6   

Trustees’ Fees

       9           8           6   

Chief Compliance Officer Fees

       4           4           3   

Custodian Fees/Transfer Agent Fees

       38           34           23   

Registration Fees

       24           21           15   

Professional Fees

       22           19           13   

Printing Fees

       10           9           6   

Other Fees

       4           4           2   
    

 

 

      

 

 

      

 

 

 

Total Expenses

       217           188           128   
    

 

 

      

 

 

      

 

 

 

Net Investment Income

       275           112           42   
    

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain/(Loss) on Investments:

              

Net Realized Loss on Affiliated Investments

       (460        (382        (464

Net Realized Loss on Unaffiliated Investments

       (297        (160        (128

Net Change in Unrealized Appreciation on Affiliated Investments

       9,329           7,266           4,660   

Net Change in Unrealized Appreciation on Unaffiliated Investments

       5,520           3,563           2,068   
    

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain on Investments

       14,092           10,287           6,136   
    

 

 

      

 

 

      

 

 

 

Net Increase in Net Assets Resulting from Operations

     $ 14,367         $ 10,399         $ 6,178   
    

 

 

      

 

 

      

 

 

 

 

The accompanying notes are an integral part of the financial statements.

 

98


THE KP FUNDS    For the six-months ended June 30, 2016  (Unaudited)

 

 

 

 

 

STATEMENTS OF OPERATIONS (000)

 

       KP
Retirement
Path 2050
Fund
       KP
Retirement
Path 2055
Fund
       KP
Retirement
Path 2060
Fund
 

Investment Income:

              

Income Distributions from Unaffiliated Registered Investment Companies

     $ 74         $ 13         $ 2   
    

 

 

      

 

 

      

 

 

 

Total Investment Income

       74           13           2   
    

 

 

      

 

 

      

 

 

 

Expenses:

              

Administration Fees

       23           4           1   

Investment Advisory Fees

       2           1             

Trustees’ Fees

       2                       

Chief Compliance Officer Fees

       1                       

Custodian Fees/Transfer Agent Fees

       10           2             

Registration Fees

       7           2           1   

Professional Fees

       6           1             

Printing Fees

       3                       

Other Fees

       1                       
    

 

 

      

 

 

      

 

 

 

Total Expenses

       55           10           2   
    

 

 

      

 

 

      

 

 

 

Net Investment Income

       19           3             
    

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain/(Loss) on Investments:

              

Net Realized Loss on Affiliated Investments

       (150        (190        (215

Net Realized Loss on Unaffiliated Investments

       (134        (53        (6

Net Change in Unrealized Appreciation on Affiliated Investments

       2,412           730           306   

Net Change in Unrealized Appreciation on Unaffiliated Investments

       988           201           35   
    

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain on Investments

       3,116           688           120   
    

 

 

      

 

 

      

 

 

 

Net Increase in Net Assets Resulting from Operations

     $ 3,135         $ 691         $ 120   
    

 

 

      

 

 

      

 

 

 

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

99


THE KP FUNDS    For the six-months ended June 30, 2016  (Unaudited)

 

 

 

 

 

STATEMENTS OF OPERATIONS (000)

 

       KP Large
Cap Equity
Fund
       KP Small
Cap Equity
Fund
       KP
International
Equity Fund
       KP Fixed
Income
Fund
 

Investment Income:

                   

Dividend Income

     $ 12,498         $ 5,980         $ 21,841         $ 200   

Interest Income

                                     12,585   

Less: Foreign Taxes Withheld

       (46        (3        (1,948          
    

 

 

      

 

 

      

 

 

      

 

 

 

Total Investment Income

       12,452           5,977           19,893           12,785   
    

 

 

      

 

 

      

 

 

      

 

 

 

Expenses:

                   

Sub-Advisory Fees

       1,436           1,564           1,744           936   

Investment Advisory Fees

       311           189           257           241   

Administration Fees

       234           142           194           181   

Trustees’ Fees

       8           5           6           6   

Chief Compliance Officer Fees

       4           2           3           3   

Custodian Fees/Transfer Agent Fees

       70           49           250           53   

Professional Fees

       27           16           22           25   

Printing Fees

       8           6           7           6   

Registration Fees

       8           15           4           3   

Other Fees

       22           23           78           98   
    

 

 

      

 

 

      

 

 

      

 

 

 

Total Expenses

       2,128           2,011           2,565           1,552   
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Investment Income

       10,324           3,966           17,328           11,233   
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain/(Loss) on Investments:

                   

Net Realized Gain/(Loss) on Investments

       5,243           (22,455        (23,083        6,456   

Net Realized Gain/(Loss) on Futures Contracts

       399           1,137           (1,580          

Net Realized Gain/(Loss) on Foreign Currency Transactions

       (2                  374           (211

Net Change in Unrealized Appreciation/(Depreciation) on Investments

       3,476           33,245           (5,494        33,772   

Net Change in Unrealized Appreciation/(Depreciation) on Futures Contracts

       54           (34        (167          

Net Change in Unrealized Appreciation/(Depreciation) on Foreign Currency Translation

       2                     (74        (53
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Realized and Unrealized Gain/(Loss) on Investments

       9,172           11,893           (30,024        39,964   
    

 

 

      

 

 

      

 

 

      

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     $ 19,496         $ 15,859         $ (12,696      $ 51,197   
    

 

 

      

 

 

      

 

 

      

 

 

 

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

100


THE KP FUNDS   

 

 

 

 

  

 

STATEMENTS OF CHANGES IN NET ASSETS (000)

 

     KP Retirement Path 2015 Fund      KP Retirement Path 2020 Fund  
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
 

Operations:

           

Net Investment Income

   $ 760       $ 7,423       $ 923       $ 11,056   

Net Realized Gain/(Loss) on Affiliated and Unaffiliated Investments

     (216      3,020         (378      1,377   

Distributions of Realized Gains from Affiliated and Unaffiliated Registered Investment Companies

             4,653                 7,888   

Net Change in Unrealized Appreciation/(Depreciation) on Affiliated and Unaffiliated Investments

     17,340         (14,165      24,287         (21,838
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     17,884         931         24,832         (1,517
  

 

 

    

 

 

    

 

 

    

 

 

 

Distributions to Shareholders:

           

Investment Income

             (9,480              (14,348

Net Realized Gains

             (6,305              (5,418
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Distributions to Shareholders

             (15,785              (19,766
  

 

 

    

 

 

    

 

 

    

 

 

 

Capital Share Transactions:

           

Institutional Class Shares:

           

Issued

     25,382         44,355         50,790         88,183   

Reinvestment of Distributions

             15,784                 19,766   

Redeemed

     (37,488      (84,059      (30,551      (58,071
  

 

 

    

 

 

    

 

 

    

 

 

 

Increase/(Decrease) in Net Assets from Capital Share Transactions

     (12,106      (23,920      20,239         49,878   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Increase/(Decrease) in Net Assets

     5,778         (38,774      45,071         28,595   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets:

           

Beginning of Year or Period

     483,292         522,066         707,746         679,151   
  

 

 

    

 

 

    

 

 

    

 

 

 

End of Year or Period

   $ 489,070       $ 483,292       $ 752,817       $ 707,746   
  

 

 

    

 

 

    

 

 

    

 

 

 

Undistributed Net Investment Income

   $ 760       $       $ 923       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

Share Transactions:

           

Institutional Class Shares:

           

Issued

     2,579         4,357         5,160         8,601   

Reinvestment of Distributions

             1,602                 1,997   

Redeemed

     (3,802      (8,251      (3,102      (5,688
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Shares Outstanding from Share Transactions

     (1,223      (2,292      2,058         4,910   
  

 

 

    

 

 

    

 

 

    

 

 

 

Amounts designated as “—“ are $0.

 

The accompanying notes are an integral part of the financial statements.

 

101


THE KP FUNDS   

 

 

 

 

  

 

STATEMENTS OF CHANGES IN NET ASSETS (000)

 

     KP Retirement Path 2025 Fund      KP Retirement Path 2030 Fund  
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
 

Operations:

           

Net Investment Income

   $ 743       $ 11,534       $ 439       $ 10,669   

Net Realized Gain/(Loss) on Affiliated and Unaffiliated Investments

     (444      1,057         (352      1,693   

Distributions of Realized Gains from Affiliated and Unaffiliated Registered Investment Companies

             9,366                 9,454   

Net Change in Unrealized Appreciation/(Depreciation) on Affiliated and Unaffiliated Investments

     21,714         (25,838      16,232         (27,138
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     22,013         (3,881      16,319         (5,322
  

 

 

    

 

 

    

 

 

    

 

 

 

Distributions to Shareholders:

           

Investment Income

             (15,214              (14,233

Net Realized Gains

             (3,797              (3,526
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Distributions to Shareholders

             (19,011              (17,759
  

 

 

    

 

 

    

 

 

    

 

 

 

Capital Share Transactions:

           

Institutional Class Shares:

           

Issued

     59,979         112,478         58,415         104,506   

Reinvestment of Distributions

             19,011                 17,759   

Redeemed

     (19,920      (39,842      (13,767      (40,424
  

 

 

    

 

 

    

 

 

    

 

 

 

Increase in Net Assets from Capital Share Transactions

     40,059         91,647         44,648         81,841   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Increase in Net Assets

     62,072         68,755         60,967         58,760   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets:

           

Beginning of Year or Period

     718,758         650,003         639,173         580,413   
  

 

 

    

 

 

    

 

 

    

 

 

 

End of Year or Period

   $ 780,830       $ 718,758       $ 700,140       $ 639,173   
  

 

 

    

 

 

    

 

 

    

 

 

 

Undistributed Net Investment Income

   $ 743       $       $ 439       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

Share Transactions:

           

Institutional Class Shares:

           

Issued

     6,139         10,958         6,062         10,178   

Reinvestment of Distributions

             1,923                 1,805   

Redeemed

     (2,046      (3,911      (1,427      (3,973
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase in Shares Outstanding from Share Transactions

     4,093         8,970         4,635         8,010   
  

 

 

    

 

 

    

 

 

    

 

 

 

Amounts designated as “—“ are $0.

 

The accompanying notes are an integral part of the financial statements.

 

102


THE KP FUNDS   

 

 

 

 

  

 

STATEMENTS OF CHANGES IN NET ASSETS (000)

 

     KP Retirement Path 2035 Fund      KP Retirement Path 2040 Fund  
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
 

Operations:

           

Net Investment Income

   $ 275       $ 11,522       $ 112       $ 9,975   

Net Realized Gain/(Loss) on Affiliated and Unaffiliated Investments

     (757      2,079         (542      1,957   

Distributions of Realized Gains from Affiliated and Unaffiliated Registered Investment Companies

             11,369                 10,691   

Net Change in Unrealized Appreciation/(Depreciation) on Affiliated and Unaffiliated Investments

     14,849         (31,395      10,829         (28,540
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     14,367         (6,425      10,399         (5,917
  

 

 

    

 

 

    

 

 

    

 

 

 

Distributions to Shareholders:

           

Investment Income

             (15,663              (13,742

Net Realized Gains

             (3,735              (3,217
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Distributions to Shareholders

             (19,398              (16,959
  

 

 

    

 

 

    

 

 

    

 

 

 

Capital Share Transactions:

           

Institutional Class Shares:

           

Issued

     69,098         120,532         68,340         115,819   

Reinvestment of Distributions

             19,398                 16,959   

Redeemed

     (20,222      (42,797      (18,007      (41,543
  

 

 

    

 

 

    

 

 

    

 

 

 

Increase in Net Assets from Capital Share Transactions

     48,876         97,133         50,333         91,235   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Increase in Net Assets

     63,243         71,310         60,732         68,359   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets:

           

Beginning of Year or Period

     691,910         620,600         611,633         543,274   
  

 

 

    

 

 

    

 

 

    

 

 

 

End of Year or Period

   $ 755,153       $ 691,910       $ 672,365       $ 611,633   
  

 

 

    

 

 

    

 

 

    

 

 

 

Undistributed Net Investment Income

   $ 275       $       $ 112       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

Share Transactions:

           

Institutional Class Shares:

           

Issued

     7,217         11,721         7,162         11,245   

Reinvestment of Distributions

             1,971                 1,722   

Redeemed

     (2,118      (4,194      (1,885      (4,068
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase in Shares Outstanding from Share Transactions

     5,099         9,498         5,277         8,899   
  

 

 

    

 

 

    

 

 

    

 

 

 

Amounts designated as “—“ are $0.

 

The accompanying notes are an integral part of the financial statements.

 

103


THE KP FUNDS   

 

 

 

 

  

 

STATEMENTS OF CHANGES IN NET ASSETS (000)

 

     KP Retirement Path 2045 Fund      KP Retirement Path 2050 Fund  
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
 

Operations:

           

Net Investment Income

   $ 42       $ 6,756       $ 19       $ 2,757   

Net Realized Gain/(Loss) on Affiliated and Unaffiliated Investments

     (592      1,679         (284      481   

Distributions of Realized Gains from Affiliated and Unaffiliated Registered Investment Companies

             7,437                 3,056   

Net Change in Unrealized Appreciation/(Depreciation) on Affiliated and Unaffiliated Investments

     6,728         (19,985      3,400         (8,471
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     6,178         (4,113      3,135         (2,177
  

 

 

    

 

 

    

 

 

    

 

 

 

Distributions to Shareholders:

           

Investment Income

             (9,217              (3,794

Net Realized Gains

             (2,563              (858
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Distributions to Shareholders

             (11,780              (4,652
  

 

 

    

 

 

    

 

 

    

 

 

 

Capital Share Transactions:

           

Institutional Class Shares:

           

Issued

     57,303         97,671         40,062         62,948   

Reinvestment of Distributions

             11,780                 4,652   

Redeemed

     (14,400      (34,826      (6,764      (12,902
  

 

 

    

 

 

    

 

 

    

 

 

 

Increase in Net Assets from Capital Share Transactions

     42,903         74,625         33,298         54,698   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Increase in Net Assets

     49,081         58,732         36,433         47,869   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets:

           

Beginning of Year or Period

     413,485         354,753         172,257         124,388   
  

 

 

    

 

 

    

 

 

    

 

 

 

End of Year or Period

   $ 462,566       $ 413,485       $ 208,690       $ 172,257   
  

 

 

    

 

 

    

 

 

    

 

 

 

Undistributed Net Investment Income

   $ 42       $       $ 19       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

Share Transactions:

           

Institutional Class Shares:

           

Issued

     6,024         9,501         4,202         6,121   

Reinvestment of Distributions

             1,196                 471   

Redeemed

     (1,516      (3,405      (708      (1,260
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase in Shares Outstanding from Share Transactions

     4,508         7,292         3,494         5,332   
  

 

 

    

 

 

    

 

 

    

 

 

 

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

104


THE KP FUNDS   

 

 

 

 

  

 

STATEMENTS OF CHANGES IN NET ASSETS (000)

 

     KP Retirement Path 2055 Fund      KP Retirement Path 2060 Fund  
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
 

Operations:

           

Net Investment Income

   $ 3       $ 431       $       $ 90   

Net Realized Gain/(Loss) on Affiliated and Unaffiliated Investments

     (243      148         (221      (71

Distributions of Realized Gains from Affiliated and Unaffiliated Registered Investment Companies

             470                 101   

Net Change in Unrealized Appreciation/(Depreciation) on Affiliated and Unaffiliated Investments

     931         (1,473      341         (251
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     691         (424      120         (131
  

 

 

    

 

 

    

 

 

    

 

 

 

Distributions to Shareholders:

           

Investment Income

             (585              (124

Net Realized Gains

             (236              (34
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Distributions to Shareholders

             (821              (158
  

 

 

    

 

 

    

 

 

    

 

 

 

Capital Share Transactions:

           

Institutional Class Shares:

           

Issued

     13,524         18,896         2,850         7,797   

Reinvestment of Distributions

             821                 158   

Redeemed

     (2,692      (4,042      (1,749      (4,370
  

 

 

    

 

 

    

 

 

    

 

 

 

Increase in Net Assets from Capital Share Transactions

     10,832         15,675         1,101         3,585   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Increase in Net Assets

     11,523         14,430         1,221         3,296   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets:

           

Beginning of Year or Period

     27,088         12,658         5,748         2,452   
  

 

 

    

 

 

    

 

 

    

 

 

 

End of Year or Period

   $ 38,611       $ 27,088       $ 6,969       $ 5,748   
  

 

 

    

 

 

    

 

 

    

 

 

 

Undistributed Net Investment Income

   $ 3       $       $       $   
  

 

 

    

 

 

    

 

 

    

 

 

 

Share Transactions:

           

Institutional Class Shares:

           

Issued

     1,427         1,844         299         758   

Reinvestment of Distributions

             84                 16   

Redeemed

     (284      (392      (182      (428
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase in Shares Outstanding from Share Transactions

     1,143         1,536         117         346   
  

 

 

    

 

 

    

 

 

    

 

 

 

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

105


THE KP FUNDS   

 

 

 

 

  

 

STATEMENTS OF CHANGES IN NET ASSETS (000)

 

     KP Large Cap Equity Fund      KP Small Cap Equity Fund  
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
 

Operations:

           

Net Investment Income

   $ 10,324       $ 16,873       $ 3,966       $ 5,024   

Net Realized Gain/(Loss) on Investments and Futures Contracts

     5,642         45,451         (21,318      14,222   

Net Realized Loss on Foreign Currency Transactions

     (2      (17                

Net Change in Unrealized Appreciation/(Depreciation) on Investments and Futures Contracts

     3,530         (25,022      33,211         (73,228

Net Change in Unrealized Appreciation/(Depreciation) on Foreign Currency Translation

     2         (2                
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     19,496         37,283         15,859         (53,982
  

 

 

    

 

 

    

 

 

    

 

 

 

Distributions to Shareholders:

           

Investment Income

             (16,965              (5,273

Net Realized Gains

             (47,635              (17,173

Return of Capital

                             (66
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Distributions to Shareholders

             (64,600              (22,512
  

 

 

    

 

 

    

 

 

    

 

 

 

Capital Share Transactions:

           

Institutional Shares:

           

Issued

     132,302         160,689         61,644         475,373   

Reinvestment of Distributions

             64,600                 22,512   

Redeemed

     (43,393      (101,156      (38,581      (88,779
  

 

 

    

 

 

    

 

 

    

 

 

 

Increase in Net Assets from Capital Share Transactions

     88,909         124,133         23,063         409,106   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Increase in Net Assets

     108,405         96,816         38,922         332,612   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets:

           

Beginning of Year or Period

     1,239,696         1,142,880         780,852         448,240   
  

 

 

    

 

 

    

 

 

    

 

 

 

End of Year or Period

   $ 1,348,101       $ 1,239,696       $ 819,774       $ 780,852   
  

 

 

    

 

 

    

 

 

    

 

 

 

Undistributed/(Distributions in Excess of) Net Investment Income

   $ 10,324       $       $ 3,965       $ (1
  

 

 

    

 

 

    

 

 

    

 

 

 

Share Transactions:

           

Institutional Shares:

           

Issued

     12,875         14,766         6,742         44,433   

Reinvestment of Distributions

             6,040                 2,336   

Redeemed

     (4,227      (9,072      (4,231      (8,431
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase in Shares Outstanding from Share Transactions

     8,648         11,734         2,511         38,338   
  

 

 

    

 

 

    

 

 

    

 

 

 

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

106


THE KP FUNDS   

 

 

 

 

  

 

STATEMENTS OF CHANGES IN NET ASSETS (000)

 

     KP International Equity Fund      KP Fixed Income Fund  
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
     Six-Months Ended
June 30, 2016
(Unaudited)
     Year ended
December 31,
2015
 

Operations:

           

Net Investment Income

   $ 17,328       $ 21,598       $ 11,233       $ 18,769   

Net Realized Gain/(Loss) on Investments and Futures Contracts

     (24,663      (12,664      6,456         1,858   

Net Realized Gain/(Loss) on Foreign Currency Transactions

     374         (291      (211      182   

Net Change in Unrealized Appreciation/(Depreciation) on Investments and Futures Contracts

     (5,661      (37,923      33,772         (16,719

Net Change in Unrealized Appreciation/(Depreciation) on Foreign Currency Translation

     (74      9         (53      (29

Change in Accrued Foreign Capital Gains Tax on Appreciated Securities

             (39                
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase/(Decrease) in Net Assets Resulting from Operations

     (12,696      (29,310      51,197         4,061   
  

 

 

    

 

 

    

 

 

    

 

 

 

Distributions to Shareholders:

           

Investment Income

             (22,352              (19,468

Net Realized Gains

                             (4,913

Return of Capital

             (658              (4
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Distributions to Shareholders

             (23,010              (24,385
  

 

 

    

 

 

    

 

 

    

 

 

 

Capital Share Transactions:

           

Institutional Shares:

           

Issued

     114,778         220,291         110,581         180,722   

Reinvestment of Distributions

             23,010                 24,385   

Redeemed

     (33,555      (104,173      (59,770      (90,369
  

 

 

    

 

 

    

 

 

    

 

 

 

Increase in Net Assets from Capital Share Transactions

     81,223         139,128         50,811         114,738   
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Increase in Net Assets

     68,527         86,808         102,008         94,414   
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Assets:

           

Beginning of Year or Period

     1,026,913         940,105         920,322         825,908   
  

 

 

    

 

 

    

 

 

    

 

 

 

End of Year or Period

   $ 1,095,440       $ 1,026,913       $ 1,022,330       $ 920,322   
  

 

 

    

 

 

    

 

 

    

 

 

 

Undistributed/(Distributions in Excess of) Net Investment Income

   $ 15,604       $ (1,724    $ 11,236       $ 3   
  

 

 

    

 

 

    

 

 

    

 

 

 

Share Transactions:

           

Institutional Shares:

           

Issued

     13,419         23,353         11,018         17,893   

Reinvestment of Distributions

             2,562                 2,484   

Redeemed

     (3,928      (10,862      (5,949      (8,964
  

 

 

    

 

 

    

 

 

    

 

 

 

Net Increase in Shares Outstanding from Share Transactions

     9,491         15,053         5,069         11,413   
  

 

 

    

 

 

    

 

 

    

 

 

 

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

107


THE KP FUNDS   

 

 

 

 

  

 

FINANCIAL HIGHLIGHTS

 

For the six-months ended June 30, 2016 (Unaudited) and the year or period ended December 31,

For a share outstanding throughout the periods

 

     Net
Asset
Value,
Begi
nning
of
Year or
Period
    Net
Invest
ment
Income†
    Net
Rea
lized
and
Unrealized
Gain/
(Loss)  on
Invest
ments
    Total
from
Oper
ations
   

Distri
butions
from

Invest
ment
Income

    Distri
bu
tions
from
Net
Realized
Capital
Gains
    Total
Distri
butions
    Net
Asset
Value,
End
of Year or
Period
    Total
Return‡
    Net
Assets
End of
Year or
Period
(000)
    Ratio of
Expenses
to
Average
Net
Assets††
    Ratio
of
Net
Invest
ment
Income
to
Average
Net
Assets
    Portfolio
Turnover‡
 
                         

KP Retirement Path 2015 Fund* - Institutional Shares

  

2016#

  $ 9.76      $ 0.02      $ 0.34      $ 0.36      $      $      $      $ 10.12        3.69   $ 489,070        0.08     0.32     6

2015

  $ 10.07      $ 0.15      $ (0.13   $ 0.02      $ (0.20   $ (0.13   $ (0.33   $ 9.76        0.14   $ 483,292        0.08     1.45     24

2014@

  $ 10.00      $ 0.18      $ 0.20      $ 0.38      $ (0.24   $ (0.07   $ (0.31   $ 10.07        3.82   $ 522,066        0.10     1.81     23
                         

KP Retirement Path 2020 Fund* - Institutional Shares

  

2016#

  $ 9.82      $ 0.01      $ 0.33      $ 0.34      $      $      $      $ 10.16        3.46   $ 752,817        0.07     0.26     4

2015

  $ 10.11      $ 0.16      $ (0.17   $ (0.01   $ (0.20   $ (0.08   $ (0.28   $ 9.82        (0.10 )%    $ 707,746        0.07     1.56     19

2014@

  $ 10.00      $ 0.19      $ 0.21      $ 0.40      $ (0.25   $ (0.04   $ (0.29   $ 10.11        3.96   $ 679,151        0.09     1.92     11
                         

KP Retirement Path 2025 Fund* - Institutional Shares

  

2016#

  $ 9.81      $ 0.01      $ 0.28      $ 0.29      $      $      $      $ 10.10        2.96   $ 780,830        0.07     0.20     3

2015

  $ 10.11      $ 0.17      $ (0.21   $ (0.04   $ (0.21   $ (0.05   $ (0.26   $ 9.81        (0.35 )%    $ 718,758        0.07     1.64     12

2014@

  $ 10.00      $ 0.20      $ 0.20      $ 0.40      $ (0.26   $ (0.03   $ (0.29   $ 10.11        3.92   $ 650,003        0.09     1.98     8
                         

KP Retirement Path 2030 Fund* - Institutional Shares

  

2016#

  $ 9.76      $ 0.01      $ 0.21      $ 0.22      $      $      $      $ 9.98        2.25   $ 700,140        0.06     0.14     2

2015

  $ 10.09      $ 0.17      $ (0.22   $ (0.05   $ (0.22   $ (0.06   $ (0.28   $ 9.76        (0.52 )%    $ 639,173        0.07     1.70     9

2014@

  $ 10.00      $ 0.20      $ 0.17      $ 0.37      $ (0.26   $ (0.02   $ (0.28   $ 10.09        3.78   $ 580,413        0.08     2.02     8
                         

KP Retirement Path 2035 Fund* - Institutional Shares

  

2016#

  $ 9.75      $      $ 0.18      $ 0.18      $      $      $      $ 9.93        1.85   $ 755,153        0.06     0.08     3

2015

  $ 10.10      $ 0.18      $ (0.25   $ (0.07   $ (0.23   $ (0.05   $ (0.28   $ 9.75        (0.70 )%    $ 691,910        0.06     1.71     7

2014@

  $ 10.00      $ 0.20      $ 0.19      $ 0.39      $ (0.27   $ (0.02   $ (0.29   $ 10.10        3.86   $ 620,600        0.08     2.01     7
                         

KP Retirement Path 2040 Fund* - Institutional Shares

  

2016#

  $ 9.75      $      $ 0.14      $ 0.14      $      $      $      $ 9.89        1.44   $ 672,365        0.06     0.04     3

2015

  $ 10.10      $ 0.17      $ (0.25   $ (0.08   $ (0.22   $ (0.05   $ (0.27   $ 9.75        (0.73 )%    $ 611,633        0.06     1.68     7

2014@

  $ 10.00      $ 0.20      $ 0.20      $ 0.40      $ (0.27   $ (0.03   $ (0.30   $ 10.10        3.91   $ 543,274        0.08     2.02     8
                         

KP Retirement Path 2045 Fund* - Institutional Shares

  

2016#

  $ 9.74      $      $ 0.11      $ 0.11      $      $      $      $ 9.85        1.13   $ 462,566        0.06     0.02     3

2015

  $ 10.09      $ 0.18      $ (0.25   $ (0.07   $ (0.22   $ (0.06   $ (0.28   $ 9.74        (0.66 )%    $ 413,485        0.06     1.71     9

2014@

  $ 10.00      $ 0.21      $ 0.17      $ 0.38      $ (0.27   $ (0.02   $ (0.29   $ 10.09        3.76   $ 354,753        0.08     2.06     8
                         

KP Retirement Path 2050 Fund* - Institutional Shares

  

2016#

  $ 9.75      $      $ 0.12      $ 0.12      $      $      $      $ 9.87        1.23   $ 208,690        0.06     0.02     4

2015

  $ 10.09      $ 0.19      $ (0.26   $ (0.07   $ (0.22   $ (0.05   $ (0.27   $ 9.75        (0.70 )%    $ 172,257        0.06     1.82     9

2014@

  $ 10.00      $ 0.22      $ 0.16      $ 0.38      $ (0.27   $ (0.02   $ (0.29   $ 10.09        3.76   $ 124,388        0.08     2.19     10
                         

KP Retirement Path 2055 Fund* - Institutional Shares

  

2016#

  $ 9.70      $      $ 0.11      $ 0.11      $      $      $      $ 9.81        1.13   $ 38,611        0.06     0.02     9

2015

  $ 10.07      $ 0.23      $ (0.30   $ (0.07   $ (0.21   $ (0.09   $ (0.30   $ 9.70        (0.66 )%    $ 27,088        0.06     2.19     21

2014@

  $ 10.00      $ 0.24      $ 0.15      $ 0.39      $ (0.27   $ (0.05   $ (0.32   $ 10.07        3.81   $ 12,658        0.10     2.44     28
                         

KP Retirement Path 2060 Fund* - Institutional Shares

  

2016#

  $ 9.78      $      $ 0.11      $ 0.11      $      $      $      $ 9.89        1.12   $ 6,969        0.07     0.01     28

2015

  $ 10.12      $ 0.22      $ (0.28   $ (0.06   $ (0.22   $ (0.06   $ (0.28   $ 9.78        (0.60 )%    $ 5,748        0.06     2.09     100

2014@

  $ 10.00      $ 0.20      $ 0.19   $ 0.39      $ (0.27   $      $ (0.27   $ 10.12        3.92   $ 2,452        0.15     1.98     340
                         

 

The accompanying notes are an integral part of the financial statements.

 

108


THE KP FUNDS   

 

 

 

 

  

 

FINANCIAL HIGHLIGHTS

 

For the six-months ended June 30, 2016 (Unaudited) and the year or period ended December 31,

For a share outstanding throughout the periods

 

     Net
Asset
Value,
Begin
ning
of
Year
or
Period
    Net
Invest
ment
Income†
    Net
Realized
and
Unre
alized
Gain/
(Loss)
on
Invest
ments
    Total
from
Opera
tions
    Distribu
tions
from
Invest
ment
Income
    Distribu
tions
from
Net
Realized
Capital
Gains
    Return of
Capital
    Total
Distribu
tions
    Net
Asset
Value,
End
of
Year
or
Period
    Total
Return‡
    Net
Assets
End of
Year or
Period
(000)
    Ratio of
Expenses
to
Average
Net
Assets††
    Ratio
of  Net
Invest
ment
Income
to
Average
Net
Assets
    Portfolio
Turnover‡
 
                           

KP Large Cap Equity Fund* - Institutional Shares

  

2016#

  $ 10.56      $ 0.08      $ 0.06      $ 0.14      $      $      $      $      $ 10.70        1.33   $ 1,348,101        0.34     1.66     27

2015

  $ 10.82      $ 0.15      $ 0.17      $ 0.32      $ (0.15   $ (0.43   $      $ (0.58   $ 10.56        2.91   $ 1,239,696        0.35     1.38     126

2014@

  $ 10.00      $ 0.16      $ 0.96      $ 1.12      $ (0.15   $ (0.15   $      $ (0.30   $ 10.82        11.21   $ 1,142,880        0.35     1.62     126
                           

KP Small Cap Equity Fund* - Institutional Shares

  

2016#

  $ 9.55      $ 0.05      $ 0.13      $ 0.18      $      $      $      $      $ 9.73        1.88   $ 819,774        0.53     1.05     41

2015

  $ 10.32      $ 0.07      $ (0.55   $ (0.48   $ (0.07   $ (0.22   $ (1)    $ (0.29   $ 9.55        (4.73 )%    $ 780,852        0.55     0.68     154

2014@

  $ 10.00      $ 0.09      $ 0.32      $ 0.41      $ (0.09   $      $      $ (0.09   $ 10.32        4.06   $ 448,240        0.59     0.97     212
                           

KP International Equity Fund* - Institutional Shares

  

2016#

  $ 8.84      $ 0.14      $ (0.26   $ (0.12   $      $      $      $      $ 8.72        (1.36 )%    $ 1,095,440        0.50     3.36     10

2015

  $ 9.30      $ 0.20      $ (0.46   $ (0.26   $ (0.19   $      $ (0.01   $ (0.20   $ 8.84        (2.79 )%    $ 1,026,913        0.50     2.13     21

2014@

  $ 10.00      $ 0.26      $ (0.64   $ (0.38   $ (0.22   $ (0.08   $ (0.02   $ (0.32   $ 9.30        (3.83 )%    $ 940,105        0.54     2.61     115
                           

KP Fixed Income Fund* - Institutional Shares

  

2016#

  $ 9.79      $ 0.12      $ 0.41      $ 0.53      $      $      $      $      $ 10.32        5.41   $ 1,022,330        0.32     2.33     268

2015

  $ 10.00      $ 0.21      $ (0.16   $ 0.05      $ (0.21   $ (0.05   $ (1)    $ (0.26   $ 9.79        0.57   $ 920,322        0.34     2.10     533

2014@

  $ 10.00      $ 0.20      $ 0.07      $ 0.27      $ (0.18   $ (0.09   $      $ (0.27   $ 10.00        2.68   $ 825,908        0.36     1.99     496

 

* Commenced operations on January 10, 2014.
@ For the period ended December 31, 2014. All ratios for the period have been annualized.
# For the six-months ended June 30, 2016. All ratios for the period have been annualized.
Per share calculations were performed using the average shares method.
†† Ratio does not include the expenses of the underlying funds, as applicable.
Total return and portfolio turnover are for the period indicated and have not been annualized. Returns shown do not reflect the deduction of taxes that a shareholder would pay of Fund distributions or the redemption of Fund shares.
^ The amount shown for a share outstanding throughout the period does not accord with the aggregate net realized and unrealized losses on investments for the period because of the sales and repurchases of Fund shares in relation to fluctuating market value of the investments of the Fund.
(1) Amount less than $0.01 per share.

Amounts designated as “—“ are $0 or have been rounded to $0.

 

The accompanying notes are an integral part of the financial statements.

 

109


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

NOTES TO FINANCIAL STATEMENTS

1. Organization

The KP Funds (the “Trust”), was organized on March 25, 2013 as a statutory trust under the laws of the Commonwealth of Massachusetts. The Trust is an open-end registered management investment company comprised of fourteen funds: KP Retirement Path 2015 Fund, KP Retirement Path 2020 Fund, KP Retirement Path 2025 Fund, KP Retirement Path 2030 Fund, KP Retirement Path 2035 Fund, KP Retirement Path 2040 Fund, KP Retirement Path 2045 Fund, KP Retirement Path 2050 Fund, KP Retirement Path 2055 Fund, and KP Retirement Path 2060 Fund (collectively, the “Target Date Funds”); and the KP Large Cap Equity Fund, KP Small Cap Equity Fund, KP International Equity Fund, and KP Fixed Income Fund (collectively, the “Asset Class Funds” and collectively with the Target Date Funds, the “Funds” and each a “Fund”). The investment objective of the Target Date Funds is to seek a balance of long-term capital growth, inflation protection, and current income. The investment objective of KP Large Cap Equity, KP Small Cap Equity and KP International Equity Funds is to seek long-term capital appreciation. The investment objective of KP Fixed Income Fund is to provide current income consistent with the preservation of capital. The Funds are diversified for purposes of the Investment Company Act of 1940, as amended (the “1940 Act”). The assets of each Fund of the Trust are segregated, and a shareholder’s interest is limited to the Fund in which shares are held. The Funds are registered to offer Institutional Class Shares.

Callan Associates Inc. serves as the Funds’ investment adviser (the “Adviser”). The Adviser will engage a number of sub-advisers (the “Sub-Advisers”) to manage a portion of the Asset Class Funds’ assets. On September 3, 2013, the Trust was seeded with an issuance of 10,000 shares of the Institutional Class Shares of the KP Fixed Income Fund at an aggregate purchase price of $100,000. The Funds commenced operations on January 10, 2014.

2. Significant Accounting Policies

The following is a summary of significant accounting policies followed by the Trust. The Funds are investment companies in conformity with accounting principles generally accepted in the United States of America (“U.S. GAAP”). Therefore, the Funds follow the accounting and reporting guidance for investment companies.

Use of Estimates in the Preparation of Financial Statements — The preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the fair value of assets, the reported amount of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual results could differ from those estimates and such differences could be material.

Security Valuation — Securities listed on a securities exchange, market or automated quotation system for which quotations are readily available (except for securities traded on NASDAQ), including securities traded over the counter, are valued at the last quoted sale price on an exchange or market (foreign or domestic) on which they are traded on valuation date (or at approximately 4:00 pm ET if a security’s primary exchange is normally open at that time), or, if there is no such reported sale on the valuation date, at the most recent quoted bid price. For securities traded on NASDAQ, the NASDAQ Official Closing Price will be used. If available, debt securities are priced based upon valuations provided by independent, third-party pricing agents. Such values generally reflect the last reported sales price if the security is actively traded. The third-party pricing agents may also value debt securities at an evaluated bid price by employing methodologies that utilize actual market transactions, broker-supplied valuations, or other methodologies designed to identify the market value for such securities. Such methodologies generally consider such factors as security prices, yields, maturities, call features, ratings and developments relating to specific securities in arriving at valuations. On the first day a new debt security purchase is recorded, if a price is not available on the automated pricing feeds from our primary and secondary pricing vendors nor is it available from an independent broker, the security may be valued at its purchase price. Each day thereafter, the debt security will be valued according to the Trusts’ Fair Value Procedures until an independent source can be secured. Debt obligations with remaining maturities of sixty days or less may be valued at their amortized cost, provided that it is determined the amortized cost continues to approximate fair value. Should existing credit, liquidity or interest rate conditions in the relevant markets and issuer specific circumstances suggest that amortized cost does not approximate fair value, then the amortized cost method may not be used. The prices for foreign securities are reported in local currency and converted to U.S. dollars using currency exchange rates.

 

110


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

Investments in open-end and closed-end registered investment companies that do not trade on an exchange are valued at the end of day net asset value per share. Investments in open-end and closed-end registered investment companies that trade on an exchange are valued at the last sales price or official closing price as of the close of the customary trading session on the exchange where the security is principally traded.

Securities for which market prices are not available through the above methods are valued in accordance with Fair Value Procedures established by the Funds’ Board of Trustees (the “Board”). The Funds’ Fair Value Procedures are implemented through a Fair Value Pricing Committee (the “Committee”) designated by the Funds’ Board. Some of the more common reasons that may necessitate that a security be valued using Fair Value Procedures include: the security’s trading has been halted or suspended; the security has been delisted from a national exchange; the security’s primary trading market is temporarily closed at a time when under normal conditions it would be open; or the security’s primary pricing source is not able or willing to provide a price. When a security is valued in accordance with the Fair Value Procedures, the Committee will determine the value after taking into consideration relevant information reasonably available to the Committee. As of June 30, 2016, KP Large Cap Equity, KP International Equity and KP Fixed Income Funds had securities valued in accordance with fair value procedures. Refer to the schedule of investments for further details.

For securities that principally trade on a foreign market or exchange, a significant gap in time can exist between the time of a particular security’s last trade and the time at which the Fund calculates its net asset value. The closing prices of such securities may no longer reflect their market value at the time the Fund calculates its net asset value if an event that could materially affect the value of those securities (a “Significant Event”) has occurred between the time of the security’s last close and the time that the Fund calculates net asset value. A Significant Event may relate to a single issuer or to an entire market sector. If the Adviser of the Fund becomes aware of a Significant Event that has occurred with respect to a security or group of securities after the closing of the exchange or market on which the security or securities principally trade, but before the time at which the Fund calculates its net asset value, it may request that a Committee meeting be called.

KP International Equity Fund uses MarkIt Fair Value (“MarkIt”) as a third party fair valuation vendor. MarkIt provides a fair value for foreign securities held by KP International Equity Fund based on certain factors and methodologies (involving, generally, tracking valuation correlations between the U.S. market and each non-U.S. security) applied by MarkIt in the event that there is a movement in the U.S. market that exceeds a specific threshold established by the Committee. The Committee establishes a “confidence interval” which is used to determine the level of correlation between the value of a foreign security and movements in the U.S. market before a particular security is fair valued when the threshold is exceeded. In the event that the threshold established by the Committee is exceeded on a specific day, KP International Equity Fund values its non-U.S. securities that exceed the applicable “confidence interval” based upon the fair values provided by MarkIt. In such event, it is not necessary to hold a Committee meeting. In the event that the Adviser believes that the fair values provided by MarkIt are not reliable, the Adviser may contact SEI Global Fund Services (the “Administrator”) to request that a meeting of the Committee be held.

If a local market in which KP International Equity Fund owns securities is closed for one or more days, the Fund shall value all securities held in that corresponding currency based on the fair value prices provided by MarkIt using the predetermined confidence interval discussed above.

In accordance with the authoritative guidance on fair value measurement under U.S. GAAP, the Funds disclose fair value of their investments in a hierarchy that prioritizes the inputs to valuation techniques used to measure the fair value. The objective of a fair value measurement is to determine the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date (an exit price). Accordingly, the fair value hierarchy gives the highest priority to quoted prices (unadjusted) in active markets for identical assets or liabilities (Level 1) and the lowest priority to unobservable inputs (Level 3). The three levels of the fair value hierarchy are described below:

 

   

Level 1 — Unadjusted quoted prices in active markets for identical, unrestricted assets or liabilities that the Funds have the ability to access at the measurement date;

 

   

Level 2 — Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, referenced indices, quoted prices in inactive markets, adjusted quoted prices in active markets, adjusted quoted prices on foreign equity securities that were adjusted in accordance with pricing procedures approved by the Board, etc.); and

 

111


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

 

   

Level 3 — Prices, inputs or exotic modeling techniques which are both significant to the fair value measurement and unobservable (supported by little or no market activity).

Investments are classified within the level of the lowest significant input considered in determining fair value. Investments classified within Level 3 whose fair value measurement considers several inputs may include Level 1 or Level 2 inputs as components of the overall fair value measurement. For the six-months ended June 30, 2016, there have been no significant changes to the Funds’ fair value methodologies.

Federal Income Taxes — It is each Fund’s intention to continue to qualify as a regulated investment company for Federal income tax purposes by complying with the appropriate provisions of Subchapter M of the Internal Revenue Code of 1986, as amended, and to distribute substantially all of its income to share-holders. Accordingly, no provision for Federal income taxes has been made in the financial statements.

The Funds evaluate tax positions taken or expected to be taken in the course of preparing the Funds’ tax returns to determine whether it is “more-likely-than-not” (i.e., greater than 50-percent) that each tax position will be sustained upon examination by a taxing authority based on the technical merits of the position. Tax positions not deemed to meet the more-likely-than-not threshold are recorded as a tax benefit or expense in the current year. The Funds did not record any tax provision in the current period. However, management’s conclusions regarding tax positions taken may be subject to review and adjustment at a later date based on factors including, but not limited to, examination by tax authorities (i.e., the last 2 open tax year ends, as applicable), on-going analysis of and changes to tax laws, regulations and interpretations thereof.

KP International Equity Fund may be subject to taxes imposed by countries in which it invests. Such taxes are generally based on either income or gains earned or repatriated. KP International Equity Fund accrues and applies such taxes to net investment income, net realized gains and net unrealized gains as income and/or capital gains are earned. Tax is monitoring and accruing foreign capital cap gains for $242 (000), please refer to the Statement of Assets and Liabilities.

As of and during the six-months ended June 30, 2016, the Funds did not have a liability for any unrecognized tax benefits. The Funds recognize interest and penalties, if any, related to unrecognized tax benefits as income tax expense in the Statements of Operations. During the six-months ended June 30, 2016 the Funds did not incur any interest or penalties.

Security Transactions and Investment Income — Security transactions are accounted for on trade date for financial reporting purposes. Costs used in determining realized gains and losses on the sales of investment securities are based on the specific identification method. Dividend income is recorded on the ex-dividend date, and interest income is recognized on the accrual basis from settlement date and includes the amortization of premiums and the accretion of discount calculated using the effective interest method. Realized gains (losses) on paydowns of mortgage-backed and asset-backed securities are recorded as an adjustment to interest income.

Foreign Currency Translation — The books and records of the Funds are maintained in U.S. dollars. Investment securities and other assets and liabilities denominated in a foreign currency are translated into U.S. dollars on the date of valuation. The Funds do not isolate that portion of realized or unrealized gains and losses resulting from changes in the foreign exchange rate from fluctuations arising from changes in the market prices of the securities. These gains and losses are included in net realized and gains and losses on investments and net change in unrealized appreciation (depreciation) on investments on the Statement of Operations. Net realized and unrealized gains and losses on foreign currency transactions represent net foreign exchange gains or losses from foreign currency exchange contracts, disposition of foreign currencies, currency gains or losses realized between trade and settlement dates on securities transactions and the difference between the amount of the investment income and foreign withholding taxes recorded on the Funds’ books and the U.S. dollar equivalent amounts actually received or paid.

Forward Foreign Currency Exchange Contracts — The Funds may enter into forward foreign currency exchange contracts to protect the value of securities held and related receivables and payables against changes in future foreign exchange rates. A forward currency contract is an agreement between two parties to buy and sell currency at a set price on a future date. The market value of the contract will fluctuate with changes in currency exchange rates. The contract is marked-to-market daily using the current forward rate and the change in market value is recorded by the Funds as unrealized gain or loss. The Funds recognize realized gains or losses when the contract is closed, equal to the difference between the value of the contract at the time it was opened and the value at the

 

112


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

time it was closed. Any realized or unrealized gains (losses) during the year are presented on the Statements of Operations. As of and during the six-months ended June 30, 2016, KP Fixed Income Fund held forward foreign currency contracts.

Futures Contracts — To the extent consistent with its investment objective and strategies, the Funds may use futures contracts for tactical hedging purposes as well as to enhance the Fund’s returns. Initial margin deposits of cash or securities are made upon entering into futures contracts. The contracts are marked to market daily and the resulting changes in value are accounted for as unrealized gains and losses. Variation margin payments are paid or received, depending upon whether unrealized gains or losses are incurred. When the contract is closed, the Funds record a realized gain or loss equal to the difference between the proceeds from (or cost of) the closing transaction and the amount invested in the contract.

Risks of entering into futures contracts include the possibility that there will be an imperfect price correlation between the futures and the underlying securities. Second, it is possible that a lack of liquidity for futures contracts could exist in the secondary market, resulting in an inability to close a position prior to its maturity date. Third, the futures contract involves the risk that a Fund could lose more than the original margin deposit required to initiate a futures transaction.

Finally, the risk exists that losses could exceed amounts disclosed on the Statements of Assets and Liabilities. Refer to each Fund’s Schedule of Investments for details regarding open futures contracts as of June 30, 2016, if applicable.

Master Netting Arrangements — A fund is subject to various netting arrangements with select counterparties (“Master Agreements”). Master Agreements govern the terms of certain transactions, and reduce the counterparty risk associated with relevant transactions by specifying credit protection mechanisms and providing standardization that improves legal certainty. Since different types of transactions have different mechanics and are sometimes traded out of different legal entities of a particular counterparty organization, each type of transaction may be covered by a different Master Agreement, resulting in the need for multiple agreements with a single counterparty. As the Master Agreements are specific to unique operations of different asset types, they allow a fund to close out and net its total exposure to a specific counterparty entity in the event of a default with respect to all the transactions governed under a single agreement with a specific counterparty entity.

Master Agreements can also help limit counterparty risk by specifying collateral posting arrangements at pre arranged exposure levels. Under the Master Agreements, collateral is routinely transferred if the total net exposure to certain transactions (net of existing collateral already in place) governed under the relevant Master Agreement with a counterparty in a given account exceeds a specified threshold, which typically ranges from zero to $250,000 depending on the counterparty and the type of Master Agreement. United States Treasury Securities and U.S. dollar cash are generally the preferred forms of collateral. Securities and cash pledged as collateral are reflected as assets in the Statement of Assets and Liabilities as either a component of investments at value (securities) or deposits due from counterparties (cash). Cash collateral received is not typically held in a segregated account and as such is reflected as a liability in the Statement of Assets and Liabilities as deposits due to counterparties. The market value of any securities received as collateral is not reflected as a component of net asset value. A fund’s overall exposure to counterparty risk can change substantially within a short period, as it is affected by each transaction subject to the relevant Master Agreement.

It is the Funds’ policy to present the variation margin of the futures contracts separately on the Statements of Assets and Liabilities as the Funds do not have master netting agreements with the counterparties to the futures contracts. Refer to each Fund’s Schedule of Investments for details regarding futures contracts as of June 30, 2016, if applicable.

International Swaps and Derivatives Association, Inc. Master Agreements and Credit Support Annexes (“ISDA Master Agreements”) generally govern OTC financial derivative transactions entered into by a fund and select counterparties. ISDA Master Agreements maintain provisions for general obligations, representations, agreements, collateral and events of default or termination. Events of termination include conditions that may entitle counterparties to elect to terminate early and cause settlement of all outstanding transactions under the applicable ISDA Master Agreement. Any election to terminate early could be material to the financial statements. In limited circumstances, the ISDA Master Agreement may contain additional provisions that add additional counterparty protection beyond coverage of existing daily exposure if the counterparty has a decline in credit quality below a predefined level. These amounts, if any, may be segregated with a third party custodian.

 

113


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

As of June 30, 2016, there were no securities pledged as collateral for financial derivative instruments as governed by ISDA master agreements.

The following is a summary by counterparty of the market value of OTC financial derivative instruments and collateral (received)/pledged for the KP Fixed Income Fund as of June 30, 2016 (000):

 

    Financial Derivative Assets     Financial Derivative Liabilities                    
Counterparty   Forward
Foreign
Currency
Contracts
    Total
Over the
Counter
    Forward
Foreign
Currency
Contracts
    Total
Over the
Counter
    Net Market
Value of OTC
Derivatives
   

Collateral

(Received)/
Pledged

   

Net

Exposures

 

Barclays

  $ 2      $ 2      $ (20   $ (20   $ (18   $      $ (18

BNP Paribas

    17        17        (2     (2     15               15   

Brown Brothers Harriman

                  (21     (21     (21            (21

Credit Lyonnais Securities Asia

                  (3     (3     (3            (3

Credit Suisse

                  (3     (3     (3            (3

Deutsche Bank

                  (1     (1     (1            (1

HSBC

    30        30        (37     (37     (7            (7

Northern Trust Company

    9        9                      9               9   
 

 

 

   

 

 

       

Total over the counter

  $ 58      $ 58      $ (87   $ (87      
 

 

 

   

 

 

       

 

  Net Exposure represents the net receivable/(payable) that would be due from/to the counterparty in the event of default. Exposure from OTC financial derivative instruments can only be netted across transactions governed under the same master agreement with the same legal entity.

Participation Notes (“P-Notes”) — To the extent consistent with its Investment Objective and Strategies, a Fund may acquire P-Notes issued by participating banks or broker-dealers. P-Notes are participation interest notes that are designed to offer a return linked to a particular underlying equity, debt, currency or market. The P-Notes in which the Fund may invest will typically have a maturity of one year. When purchasing a P-Note, the posting of margin is not required because the full cost of the P-Note (plus commission) is paid at the time of purchase. When the P-Note matures, the issuer will pay to, or receive from, the purchaser the difference between the minimal value of the underlying instrument at the time of purchase and that instrument’s value at maturity. Investments in P-Notes involve the same risks associated with a direct investment in the underlying foreign companies of foreign securities markets that they seek to replicate. In addition, there can be no assurance that the trading price of P-Notes will equal the underlying value of the foreign companies or foreign securities markets that they seek to replicate. The holder of a participation note that is linked to a particular underlying security is entitled to receive any dividends paid in connection with an underlying security or instrument. However, the holder of a participation note does not receive voting rights as it would if it directly owned the underlying security or instrument. P-Notes are generally traded over the counter. P-Notes constitute general unsecured contractual obligations of the banks or broker-dealers that issue them and the counterparty. There is also counterparty risk associated with these investments because the Fund is relying on the creditworthiness of such counterparty and has no rights under a participation note against the issuer of the underlying security. In addition, the Fund will incur transaction costs as a result of investments in P-Notes.

Investments in Real Estate Investment Trusts (“REITs”) — Dividend income is recorded based on the income included in distributions received from the REIT investments using published REIT reclassifications including some management estimates when actual amounts are not available. Distributions received in excess of this estimated amount are recorded as a reduction of the cost of investments or reclassified to capital gains. The actual amounts of income, return of capital, and capital gains are only determined by each REIT after its fiscal year-end, and may differ from the estimated amounts.

Master Limited Partnerships (“MLPs”) — Entities commonly referred to as “MLPs” are generally organized under state law as limited partnerships or limited liability companies. The Fund intends to invest in MLPs receiving partnership taxation treatment under the Internal Revenue Code of 1986 (the “Code”), and whose interests or “units” are traded on securities exchanges like shares of corporate stock. To be treated as a partnership for U.S. federal income tax purposes, an MLP whose units are traded on a securities exchange must receive at least 90%

 

114


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

of its income from qualifying sources such as interest, dividends, real estate rents, gain from the sale or disposition of real property, income and gain from mineral or natural resources activities, income and gain from the transportation or storage of certain fuels, and, in certain circumstances, income and gain from commodities or futures, forwards and options with respect to commodities. Mineral or natural resources activities include exploration, development, production, processing, mining, refining, marketing and transportation (including pipelines) of oil and gas, minerals, geothermal energy, fertilizer, timber or industrial source carbon dioxide. An MLP consists of a general partner and limited partners (or in the case of MLPs organized as limited liability companies, a managing member and members). The general partner or managing member typically controls the operations and management of the MLP and has an ownership stake in the partnership. The limited partners or members, through their ownership of limited partner or member interests, provide capital to the entity, are intended to have no role in the operation and management of the entity and receive cash distributions. The MLPs themselves generally do not pay U.S. federal income taxes. Thus, unlike investors in corporate securities, direct MLP investors are generally not subject to double taxation (i.e., corporate level tax and tax on corporate dividends). Currently, most MLPs operate in the energy and/or natural resources sector.

Expenses — Expenses of the Trust can be directly attributed to a particular Fund are borne by that Fund. Expenses which cannot be directly attributed to a Fund are apportioned among the Funds of the Trust based on the number of funds and/or relative net assets. In addition to the expenses reflected on the Statement of Operations, the Target Date Funds indirectly bear expenses of the underlying funds (registered investment companies) in which they invest. Because each of the underlying funds have varied expense and fee levels, and the Target Date Funds may own different amounts of shares of these funds at different times, the amount of fees and expenses incurred indirectly will vary.

Dividends and Distributions to Shareholders — The Funds will distribute substantially all of their net investment income and net realized capital gains, if any, at least annually. All dividends and distributions are recorded on ex-dividend date.

3. Administration, Distribution, Transfer Agent and Custody Agreements:

The Funds and the Administrator are parties to an Administration Agreement under which the Administrator provides administrative services to the Funds. For these services, the Administrator is paid an asset based fee which will vary depending on the average daily net assets of the Funds. For the six-months ended June 30, 2016, the Funds were charged as follows for these services (000):

 

Fund      Administration Fee        Fund      Administration Fee  

KP Retirement Path 2015 Fund

     $ 61         KP Retirement Path 2050 Fund      $ 23   

KP Retirement Path 2020 Fund

     $ 92         KP Retirement Path 2055 Fund      $ 4   

KP Retirement Path 2025 Fund

     $ 93         KP Retirement Path 2060 Fund      $ 1   

KP Retirement Path 2030 Fund

     $ 83         KP Large Cap Equity Fund      $ 234   

KP Retirement Path 2035 Fund

     $ 90         KP Small Cap Equity Fund      $ 142   

KP Retirement Path 2040 Fund

     $ 79         KP International Equity Fund      $ 194   

KP Retirement Path 2045 Fund

     $ 54         KP Fixed Income Fund      $ 181   

The Trust and SEI Investments Distribution Co. (the “Distributor”) are parties to a Distribution Agreement. The Distributor receives no fees under the agreement.

Certain officers of the Trust are also officers of the Administrator, which is a wholly-owned subsidiary of SEI Investments Company, and/or the Distributor. Such officers are paid no fees by the Trust, other than the Chief Compliance Officer (“CCO”) as described below, for serving as officers of the Trust.

A portion of the services provided by the CCO and his staff, whom are employees of the Administrator, are paid for by the Trust as incurred. The services include regulatory oversight of the Trust’s Advisors and service providers as required by SEC regulations. The CCO’s services and fees have been approved by and are reviewed by the Board.

Northeast Retirement Services, Inc. serves as the Transfer Agent and dividend disbursing agent for the Funds under a transfer agency agreement.

State Street Bank and Trust Company serves as custodian (the “Custodian”) for the Funds. The Custodian plays no role in determining the investment policies of the Funds or which securities are to be purchased and sold by the Funds.

 

115


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

4. Investment Advisory Agreements:

Under the terms of an investment advisory agreement, the Adviser provides investment advisory services to the Funds, calculated daily and paid monthly at the following annual rates (shown as a percentage of the average daily net assets of each Fund):

 

Fund    Annual Advisory Fee

KP Retirement Path 2015 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2020 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2025 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2030 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2035 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2040 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2045 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2050 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2055 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Retirement Path 2060 Fund

   0.00% of the Fund’s average daily net assets invested in Affiliated Underlying Funds.1 0.05% of the Fund’s average daily net assets invested in Unaffiliated Underlying Funds.2

KP Large Cap Equity Fund

   0.05% of the Fund’s average daily net assets.

KP Small Cap Equity Fund

   0.05% of the Fund’s average daily net assets.

KP International Equity Fund

   0.05% of the Fund’s average daily net assets.

KP Fixed Income Fund

   0.05% of the Fund’s average daily net assets.

 

1

“Affiliated Underlying Funds” are Underlying Funds to which the Adviser serves as investment adviser.

2

“Unaffiliated Underlying Funds” are Underlying Funds to which the Adviser does not serve as investment adviser.

The Adviser has entered into sub-advisory agreements with each sub-adviser under which the sub-adviser makes investment decisions for the assets it has been allocated to manage. For its service, each sub-adviser receives a fee based on the specified percentage of that portion of the Fund’s assets allocated to that sub-adviser. The total fees paid to sub-advisors directly are labeled as “Sub-Advisory Fees” on the Statements of Operations.

As of June 30, 2016, the Adviser has entered into investment sub-advisory agreements with the following parties:

 

Investment Sub-Adviser      
KP Large Cap Equity Fund    KP International Equity Fund
AQR Capital Management, LLC    Acadian Asset Management LLC
MFS Investment Management    Marathon Asset Management LLP
PanAgora Asset Management, Inc.    MFS Investment Management
SSgA Funds Management, Inc.    SSgA Funds Management, Inc.
T.Rowe Price Associates, Inc.   
KP Small Cap Equity Fund    KP Fixed Income Fund
Aristotle Capital Boston, LLC    Credit Suisse Asset Management
CastleArk Management, LLC    Loomis, Sayles & Company, LP
Columbus Circle Investors    Payden & Rygel
DePrince Race & Zollo, Inc.    SSgA Funds Management, Inc.
PENN Capital Management Company, Inc.   
SSgA Funds Management, Inc.   
Walthausen & Co., LLC   

 

116


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

5. Investment Transactions:

For the six-months ended June 30, 2016, the Funds had purchases and sales of investment securities other than long-term U.S. Government and short-term securities as follows (000):

 

        Purchases        Sales and
Maturities
 

KP Retirement Path 2015 Fund

     $ 27,616         $ 39,104   

KP Retirement Path 2020 Fund

       53,396           32,417   

KP Retirement Path 2025 Fund

       62,255           21,612   

KP Retirement Path 2030 Fund

       60,502           15,521   

KP Retirement Path 2035 Fund

       70,575           21,511   

KP Retirement Path 2040 Fund

       69,359           18,973   

KP Retirement Path 2045 Fund

       57,931           15,021   

KP Retirement Path 2050 Fund

       40,631           7,332   

KP Retirement Path 2055 Fund

       13,707           2,876   

KP Retirement Path 2060 Fund

       2,879           1,777   

KP Large Cap Equity Fund

       417,441           331,314   

KP Small Cap Equity Fund

       334,331           304,137   

KP International Equity Fund

       206,841           104,514   

KP Fixed Income Fund

       504,032           475,282   

In addition, KP Fixed Income Fund had purchases and sales of long-term U.S. Government securities of $1,918,473 (000) and $1,873,676 (000), respectively.

6. Federal Tax Information:

Dividends from net investment income and distributions from net realized capital gains are determined in accordance with U.S. Federal income tax regulations, which may differ from those amounts determined under U.S. GAAP. These book/tax differences are either temporary or permanent in nature. To the extent these differences are permanent, they are charged or credited to paid-in capital, undistributed net investment income or accumulated net realized gain, as appropriate, in the period that the differences arise.

The tax character of dividends and distributions declared during the year or period ended December 31, 2015 and December 31, 2014 were as follows (000):

 

     Year      Ordinary
Income
     Long-Term
Capital Gain
     Return of
Capital
     Total  

KP Retirement Path 2015 Fund

    2015       $ 11,020       $ 4,765         $—       $ 15,785   
    2014         15,778                         15,778   

KP Retirement Path 2020 Fund

    2015         15,668         4,098                 19,766   
    2014         18,750                         18,750   

KP Retirement Path 2025 Fund

    2015         15,988         3,023                 19,011   
    2014         17,707                         17,707   

KP Retirement Path 2030 Fund

    2015         14,973         2,786                 17,759   
    2014         16,169                         16,169   

KP Retirement Path 2035 Fund

    2015         16,303         3,095                 19,398   
    2014         17,131                         17,131   

KP Retirement Path 2040 Fund

    2015         14,264         2,695                 16,959   
    2014         15,292                         15,292   

KP Retirement Path 2045 Fund

    2015         9,604         2,176                 11,780   
    2014         9,812                         9,812   

KP Retirement Path 2050 Fund

    2015         3,870         782                 4,652   
    2014         3,423                         3,423   

KP Retirement Path 2055 Fund

    2015         615         206                 821   
    2014         376                         376   

KP Retirement Path 2060 Fund

    2015         157         1                 158   
    2014         64                         64   

KP Large Cap Equity Fund

    2015         30,483         34,117                 64,600   
    2014         30,595         864                 31,459   

 

117


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

     Year      Ordinary
Income
     Long-Term
Capital Gain
     Return of
Capital
     Total  

KP Small Cap Equity Fund

    2015       $ 12,927         $ 9,519       $ 66       $ 22,512   
    2014         3,768                         3,768   

KP International Equity Fund

    2015         22,352                 658         23,010   
    2014         29,553         322         1,486         31,361   

KP Fixed Income Fund

    2015         24,223         158         4         24,385   
    2014         21,512                         21,512   

As of December 31, 2015, the components of distributable earnings/(accumulated losses) on a tax basis were as follows (000):

 

     Undistributed
Ordinary Income
     Undistributed
Long-Term
Capital
Gain
     Capital Loss
Carryforwards
    Post
October
Losses
    Unrealized
Appreciation/
(Depreciation)
    

Total Distributable

Earnings/
(Accumulated
Losses)

 

KP Retirement Path 2015 Fund

  $       $ 1,762       $      $      $ (6,404    $ (4,642

KP Retirement Path 2020 Fund

            3,326                       (9,524      (6,198

KP Retirement Path 2025 Fund

            5,110                       (11,931      (6,821

KP Retirement Path 2030 Fund

            6,077                       (13,569      (7,492

KP Retirement Path 2035 Fund

            7,529                       (14,991      (7,462

KP Retirement Path 2040 Fund

            7,251                       (13,886      (6,635

KP Retirement Path 2045 Fund

            5,296                       (11,028      (5,732

KP Retirement Path 2050 Fund

            2,102                       (6,374      (4,272

KP Retirement Path 2055 Fund

            327                       (1,616      (1,289

KP Retirement Path 2060 Fund

            65                       (457      (392

KP Large Cap Equity Fund

    648         8,197                       80,680         89,525   

KP Small Cap Equity Fund

                           (5,197     (46,546      (51,743

KP International Equity Fund

                    (1,786     (6,767     (79,196      (87,749

KP Fixed Income Fund

                           (1,439     (16,237      (17,676

Post-October losses represent losses realized on investment transactions from November 1, 2015 through December 31, 2015, that, in accordance with Federal income tax regulations, the Funds elect to defer and treat as having arisen in the following fiscal year.

For Federal income tax purposes, capital loss carryforwards may be carried forward and applied against all future capital gains. Under the Regulated Investment Company Modernization Act of 2010, Funds are permitted to carry forward capital losses incurred in taxable years beginning after December 22, 2010 for an unlimited period. Additionally, post-enactment capital losses that are carried forward will retain their character as either short-term or long-term capital losses rather than being considered all short-term as under previous law. Capital loss carryforwards, all of which are not subject to expiration, are as follows (000):

 

        Short-Term
Loss
       Total
Capital Loss
Carryforwards
 

KP International Equity Fund

     $ 1,786         $ 1,786   

During the year ended December 31, 2015, the KP Retirement Path 2060 Fund and KP Small Cap Equity Fund utilized $26 (000) and $3,557 (000), respectively, in capital loss carryforwards to offset capital gains.

The Federal tax cost and aggregate gross unrealized appreciation and depreciation on investments for Federal income tax purposes at June 30, 2016, were as follows (000):

 

        Federal
Tax Cost
       Aggregated
Gross
Unrealized
Appreciation
       Aggregated
Gross
Unrealized
Depreciation
       Net Unrealized
Appreciation/
(Depreciation)
 

KP Retirement Path 2015 Fund

       $477,768           $15,913           $  (4,586      $ 11,327   

KP Retirement Path 2020 Fund

       737,663           25,408           (10,224        15,184   

KP Retirement Path 2025 Fund

       770,661           25,488           (15,296        10,192   

KP Retirement Path 2030 Fund

       697,105           22,259           (19,210        3,049   

KP Retirement Path 2035 Fund

       754,768           23,010           (22,613        397   

 

118


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

        Federal
Tax Cost
       Aggregated
Gross
Unrealized
Appreciation
       Aggregated
Gross
Unrealized
Depreciation
       Net Unrealized
Appreciation/
(Depreciation)
 

KP Retirement Path 2040 Fund

     $ 674,938         $ 19,802         $ (22,365      $ (2,563

KP Retirement Path 2045 Fund

       466,329           11,620           (15,376        (3,756

KP Retirement Path 2050 Fund

       211,396           3,582           (6,285        (2,703

KP Retirement Path 2055 Fund

       39,215           193           (797        (604

KP Retirement Path 2060 Fund

       6,928           80           (39        41   

KP Large Cap Equity Fund

       1,249,750           143,064           (53,378        89,686   

KP Small Cap Equity Fund

       823,578           68,540           (76,357        (7,817

KP International Equity Fund

       1,158,541           81,104           (153,044        (71,940

KP Fixed Income Fund

       1,082,670           23,255           (4,612        18,643   

7. Risks:

As with all mutual funds, a shareholder of a fund is subject to the risk that his or her investment could lose money. The Funds are subject to the principal risks noted below, any of which may adversely affect the fund’s net asset value and ability to meet its investment objective. A more complete description of principal risks is included in the prospectus under the heading “Principal Risks”.

Credit Risk — Credit risk is the risk that the issuer of a security or the counterparty to a contract will default or otherwise become unable to honor a financial obligation.

Fixed Income Market Risk — Fixed income market risk is the risk that the prices of a fund’s fixed income securities, including structured notes, respond to economic developments, particularly interest rate changes, as well as to perceptions about the creditworthiness of individual issuers, including governments and their agencies. In the case of foreign securities, price fluctuations will reflect international economic and political events, as well as changes in currency valuations relative to the U.S. dollar.

Interest Rate Risk — Interest rate risk is the risk that the value of fixed income securities, including U.S. Government securities, will fall due to rising interest rates.

Derivatives Risk — A fund’s use of futures contracts and forward contracts is subject to market risk, leverage risk, correlation risk and liquidity risk. Leverage risk is the risk that the use of leverage may amplify the effects of market volatility on a fund’s share price and may also cause a fund to liquidate portfolio positions when it would not be advantageous to do so in order to satisfy its obligations. Liquidity risk is the risk that certain securities may be difficult or impossible to sell at the time and the price that a fund would like. A fund may have to lower the price, sell other securities instead or forego an investment opportunity, any of which could have a negative effect on a fund’s management or performance. Correlation risk is the risk that changes in the value of the derivative may not correlate perfectly with the underlying asset, rate or index. A fund’s use of forward contracts is also subject to credit risk and valuation risk. Credit risk is described above. Valuation risk is the risk that the derivative may be difficult to value and/or valued incorrectly. Each of these risks could cause a fund to lose more than the principal amount invested in a derivative instrument.

Foreign Currency Risk — Foreign currency risk may arise from unanticipated movements in the value of a foreign currency relative to the U.S. dollar. Risks may also arise upon entering into these contracts from the potential inability of counterparties to meet the terms of their contracts and are generally limited to the amount of unrealized gain on the contracts at the date of default.

Foreign Investment Risk — The risk that non-U.S. securities may be subject to additional risks due to, among other things, political, social and economic developments abroad, currency movements, and different legal, regulatory and tax environments. These additional risks may be heightened with respect to emerging market countries since political turmoil and rapid changes in economic conditions are more likely to occur in these countries.

8. Indemnifications:

In the normal course of business, the Funds enter into contracts with third-party service providers that contain a variety of representations and warranties and that provide general indemnifications. Additionally, under the Funds’ organizational documents, the officers and trustees are indemnified against certain liabilities arising out of the

 

119


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

performance of their duties to the Funds. The Funds’ maximum exposure under these arrangements is unknown, as it involves possible future claims that may or may not be made against the Funds. Based on experience, the Adviser is of the view that the risk of loss to the Funds in connection with the Funds’ indemnification obligation is remote; however, there can be no assurance that such obligations will not result in material liabilities that adversely affect the Funds.

9. Other:

At June 30, 2016, the percentage of total shares outstanding held by shareholders each owning 10% or greater of the aggregate total shares outstanding for each Fund, which are comprised of an omnibus account that are held on behalf of various individual shareholders, was as follows:

 

     Number of
affiliated
shareholders
  % of outstanding
shares held
  Number of
non-affiliated
shareholders
  % of outstanding
shares held

KP Retirement Path 2015 Fund

              0%         1         100%  

KP Retirement Path 2020 Fund

              0%         1         100%  

KP Retirement Path 2025 Fund

              0%         1         100%  

KP Retirement Path 2030 Fund

              0%         1         100%  

KP Retirement Path 2035 Fund

              0%         1         100%  

KP Retirement Path 2040 Fund

              0%         1         100%  

KP Retirement Path 2045 Fund

              0%         1         100%  

KP Retirement Path 2050 Fund

              0%         1         100%  

KP Retirement Path 2055 Fund

              0%         1         100%  

KP Retirement Path 2060 Fund

              0%         1         100%  

KP Large Cap Equity Fund

      6         87%                 0%  

KP Small Cap Equity Fund

      3         35%         1         37%  

KP International Equity Fund

      5         82%                 0%  

KP Fixed Income Fund

      5         87%                 0%  

10. Subsequent Events:

The Funds have evaluated the need for additional disclosures and/or adjustments resulting from subsequent events through the date the financial statements were issued. Based on this evaluation, no additional disclosures and/or adjustments were required to the financial statements.

 

120


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

DISCLOSURE OF FUND EXPENSES (Unaudited)

 

All mutual funds have operating expenses. As a shareholder of a mutual fund, your investment is affected by these ongoing costs, which include (among others) costs for portfolio management, administrative services, and shareholder reports like this one. It is important for you to understand the impact of these costs on your investment returns.

Operating expenses such as these are deducted from the mutual fund‘s gross income and directly reduce your final investment return. These expenses are expressed as a percentage of the mutual fund’s average net assets; this percentage is known as the mutual fund’s expense ratio.

The following examples use the expense ratio and are intended to help you understand the ongoing costs (in dollars) of investing in your Fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 invested on January 1, 2016 and held for the six-month period ended June 30, 2016.

The table on the next page illustrates your Fund’s costs in two ways:

Actual Fund Return. This section helps you to estimate the actual expenses after fee waivers that your Fund incurred over the period. The “Expenses Paid During Period” column shows the actual dollar expense cost incurred by a $1,000 investment in the Fund, and the “Ending Account Value” number is derived from deducting that expense cost from the Fund’s gross investment return.

You can use this information, together with the actual amount you invested in your Fund, to estimate the expenses you paid over that period. Simply divide your actual starting account value by $1,000 to arrive at a ratio (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply that ratio by the number shown for your Fund under “Expenses Paid During Period.”

• Hypothetical 5% Return. This section helps you compare your Fund’s costs with those of other mutual funds. It assumes that your Fund had an annual 5% return before expenses during the year, but that the expense ratio (Column 3) is unchanged. This example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to make this 5% calculation. You can assess your Fund’s comparative cost by comparing the hypothetical result for your Fund in the “Expense Paid During Period” column with those that appear in the same charts in the shareholder reports for other mutual funds.

NOTE: Because the return is set at 5% for comparison purposes — NOT your Fund’s actual return — the account values shown do not apply to your specific investment.

 

121


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

DISCLOSURE OF FUND EXPENSES (Unaudited) (Concluded)

 

    Beginning
Account
Value
1/1/2016
    Ending
Account
Value
6/30/2016
    Annualized
Expense
Ratios
    Expenses
Paid
During
Period*
 

KP Retirement Path 2015 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,036.90        0.08   $ 0.41   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.47        0.08   $ 0.40   

KP Retirement Path 2020 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,034.60        0.07   $ 0.36   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.52        0.07   $ 0.35   

KP Retirement Path 2025 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,029.60        0.07   $ 0.35   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.52        0.07   $ 0.35   

KP Retirement Path 2030 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,022.50        0.06   $ 0.30   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.57        0.06   $ 0.30   

KP Retirement Path 2035 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,018.50        0.06   $ 0.30   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.57        0.06   $ 0.30   

KP Retirement Path 2040 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,014.40        0.06   $ 0.30   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.57        0.06   $ 0.30   

KP Retirement Path 2045 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,011.30        0.06   $ 0.30   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.57        0.06   $ 0.30   
    Beginning
Account
Value
1/1/2016
    Ending
Account
Value
6/30/2016
    Annualized
Expense
Ratios
    Expenses
Paid
During
Period*
 

KP Retirement Path 2050 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,012.30        0.06   $ 0.30   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.57        0.06   $ 0.30   

KP Retirement Path 2055 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,011.30        0.06   $ 0.30   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.57        0.06   $ 0.30   

KP Retirement Path 2060 Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,011.20        0.07   $ 0.35   

Hypothetical 5% Return

  $ 1,000.00      $ 1,024.52        0.07   $ 0.35   

KP Large Cap Equity Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,013.30        0.34   $ 1.70   

Hypothetical 5% Return

  $ 1,000.00      $ 1,023.17        0.34   $ 1.71   

KP Small Cap Equity Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,018.80        0.53   $ 2.66   

Hypothetical 5% Return

  $ 1,000.00      $ 1,022.23        0.53   $ 2.66   

KP International Equity Fund

  

Actual Fund Return

  $ 1,000.00      $ 986.40        0.50   $ 2.47   

Hypothetical 5% Return

  $ 1,000.00      $ 1,022.38        0.50   $ 2.51   

KP Fixed Income Fund

  

Actual Fund Return

  $ 1,000.00      $ 1,054.10        0.32   $ 1.63   

Hypothetical 5% Return

  $ 1,000.00      $ 1,023.27        0.32   $ 1.61   
 

 

 

 

* Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by 182/366 (to reflect the one-half year period shown).

 

122


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

APPROVAL OF SUB-ADVISORY AGREEMENT

 

KP FIXED INCOME FUND

Pursuant to Section 15 of the Investment Company Act of 1940 (the “1940 Act”), the Fund’s sub-advisory agreement must be approved: (i) by a vote of a majority of the shareholders of the Fund; and (ii) by the vote of a majority of the members of the Board of Trustees (the “Board” or the “Trustees”) of The KP Funds (the “Trust”) who are not parties to the agreement or “interested persons” of any party thereto, as defined in the 1940 Act (the “Independent Trustees”), cast in person at a meeting called for the purpose of voting on such approval.

A Board meeting was held on February 22, 2016 to decide whether to approve the following agreement (the “Agreement”) for an initial two-year term:

 

   

the Sub-Advisory Agreement between the Adviser and Credit Suisse Asset Management, LLC (the “Sub-Adviser”) on behalf of the KP Fixed Income Fund.

In preparation for the meeting, the Trustees requested that the Adviser and the Sub-Adviser furnish information necessary to evaluate the terms of the Agreement. The Trustees used this information, as well as other information that the Adviser, the Sub-Adviser and other service providers of the Fund presented or submitted to the Board at the meeting, to help them decide whether to approve the Agreement for an initial two-year term.

Specifically, the Board requested and received written materials from the Adviser, the Sub-Adviser and other service providers of the Fund regarding: (i) the nature, extent and quality of the services to be provided by the Sub-Adviser; (ii) the Sub-Adviser’s investment management personnel; (iii) the Sub-Adviser’s operations and financial condition; (iv) the Sub-Adviser’s brokerage practices (including any soft dollar arrangements) and investment strategies; (v) the Fund’s proposed advisory fee to be paid to the Sub-Adviser and overall fees and operating expenses; (vi) the Sub-Adviser’s compliance program, including a description of material compliance matters and material compliance violations; (vii) the Sub-Adviser’s policies on and compliance procedures for personal securities transactions; (viii) the Sub-Adviser’s investment experience; (ix) the Adviser’s rationale for recommending the Sub-Adviser; and (x) the Sub-Adviser’s performance in managing similar accounts.

Representatives from the Adviser and the Sub-Adviser, along with other Fund service providers, presented additional information and participated in question and answer sessions at the meeting to help the Trustees evaluate the Sub-Adviser’s services, fee and other aspects of the Agreement. The Independent Trustees received advice from independent counsel and met in executive session outside the presence of Fund management and the Adviser and the Sub-Adviser.

At the Board meeting, the Trustees, including all of the Independent Trustees, based on their evaluation of the information provided by the Adviser, the Sub-Adviser and other service providers of the Fund, approved the Agreement. In considering the approval of the Agreement, the Board considered various factors that they determined were relevant, including: (i) the nature, extent and quality of the services to be provided by the Sub-Adviser; and (ii) the fee to be paid to the Sub-Adviser, as discussed in further detail below.

Nature, Extent and Quality of Services Provided by the Sub-Adviser

In considering the nature, extent and quality of the services to be provided by the Sub-Adviser, the Board reviewed the portfolio management services to be provided by the Sub-Adviser to the Fund, including the quality and continuity of the Sub-Adviser’s portfolio management personnel, the resources of the Sub-Adviser and the Sub-Adviser’s compliance history and compliance program. The Trustees reviewed the terms of the proposed Agreement. The Trustees also reviewed the Sub-Adviser’s proposed investment and risk management approaches for the Fund. The Trustees considered that the Adviser would supervise and monitor the performance of the Sub-Adviser. The most recent investment adviser registration form (“Form ADV”) for the Sub-Adviser was provided to the Board, as was the response of the Sub-Adviser to a detailed series of questions which included, among other things, information about the investment advisory services to be provided by the Sub-Adviser to the Fund.

The Trustees also considered other services to be provided to the Fund by the Sub-Adviser such as selecting broker-dealers for executing portfolio transactions, monitoring adherence to the Fund’s investment restrictions, and monitoring compliance with various Fund policies and procedures and with applicable securities laws and regulations. Based on the factors above, as well as those discussed below, the Board concluded, within the context of its full deliberations, that the nature, extent and quality of the services to be provided to the Fund by the Sub-Adviser would be satisfactory.

 

123


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

APPROVAL OF SUB-ADVISORY AGREEMENT (Continued)

 

Costs of Advisory Services

In considering the advisory fee payable to the Sub-Adviser, the Trustees reviewed, among other things, a report of the proposed advisory fee to be paid to the Sub-Adviser. The Trustees also reviewed pro forma fee and expense information. The Trustees also considered that the fee payable to the Sub-Adviser would reflect an arms-length negotiation between the Adviser and the Sub-Adviser. The Board concluded, within the context of its full deliberations, that the advisory fee was reasonable in light of the nature and quality of the services expected to be rendered by the Sub-Adviser. The Board also considered the Sub-Adviser’s commitment to managing the Fund.

Because the Sub-Adviser is new to the Fund and has not managed Fund assets, it did not yet have an investment performance record with respect to the Fund and it was not possible to determine the profitability that the Sub-Adviser might achieve with respect to the Fund or the extent to which economies of scale would be realized by the Sub-Adviser as the assets of the Fund grow. Accordingly, the Trustees did not make any conclusions regarding the Sub-Adviser’s investment performance with respect to the Fund, the Sub-Adviser’s profitability, or the extent to which economies of scale would be realized by the Sub-Adviser as the assets of the Fund grow, but will do so during future considerations of the Agreement.

Approval of the Agreement

Based on the Board’s deliberations and its evaluation of the information described above and other factors and information it believed relevant in the exercise of its reasonable business judgment, the Board, including all of the Independent Trustees, with the assistance of Fund counsel and Independent Trustees’ counsel, unanimously concluded that the terms of the Agreement, including the fees to be paid thereunder, were fair and reasonable and agreed to approve the Agreement for an initial term of two years. In its deliberations, the Board did not identify any absence of information as material to its decision, or any particular factor (or conclusion with respect thereto) or single piece of information that was all-important, controlling or determinative of its decision, but considered all of the factors together, and each Trustee may have attributed different weights to the various factors (and conclusions with respect thereto) and information.

 

124


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

RENEWAL OF INVESTMENT ADVISORY AND SUB-ADVISORY AGREEMENTS

 

KP FUNDS

Pursuant to Section 15 of the Investment Company Act of 1940 (the “1940 Act”), the Funds’ advisory and sub-advisory agreements must be renewed after their initial two-year term: (i) by the vote of the Board of Trustees (the “Board” or the “Trustees”) of KP Funds (the “Trust”) or by a vote of a majority of the shareholders of the Funds; and (ii) by the vote of a majority of the Trustees who are not parties to the agreements or “interested persons” of any party thereto, as defined in the 1940 Act (the “Independent Trustees”), cast in person at a meeting called for the purpose of voting on such renewal.

A Board meeting was held on November 18, 2015 to decide whether to renew the following agreements (the “Agreements”) for additional one-year terms:

 

   

the advisory agreement between Callan Associates Inc. (the “Adviser”) and the Trust, on behalf of the KP Large Cap Equity Fund, KP Small Cap Equity Fund, KP International Equity Fund, KP Fixed Income Fund, KP Retirement Path 2015 Fund, KP Retirement Path 2020 Fund, KP Retirement Path 2025 Fund, KP Retirement Path 2030 Fund, KP Retirement Path 2035 Fund, KP Retirement Path 2040 Fund, KP Retirement Path 2045 Fund, KP Retirement Path 2050 Fund, KP Retirement Path 2055 Fund and KP Retirement Path 2060 Fund; and

 

   

the sub-advisory agreements between: the Adviser and SSgA Funds Management, Inc. (“SSgA”) on behalf of the KP Large Cap Equity Fund, KP Small Cap Equity Fund, KP International Equity Fund, and KP Fixed Income Fund; the Adviser and T. Rowe Price Associates, Inc. (“T. Rowe Price”) on behalf of the KP Large Cap Equity Fund; the Adviser and Marathon Asset Management LLP (“Marathon”) on behalf of the KP International Equity Fund; the Adviser and Columbus Circle Investors (“CCI”) on behalf of the KP Small Cap Equity Fund; the Adviser and MFS Investment Management (“MFS”) on behalf of the KP Large Cap Equity Fund and the KP International Equity Fund; the Adviser and DePrince Race & Zollo, Inc. (“DRZ”) on behalf of the KP Small Cap Equity Fund; the Adviser and Walthausen & Co., LLC (“Walthausen”) on behalf of the KP Small Cap Equity Fund; the Adviser and CastleArk Management LLC (“CastleArk”) on behalf of the KP Small Cap Equity Fund; the Adviser and Acadian Asset Management LLC (“Acadian”) on behalf of the KP International Equity Fund; the Adviser and Eaton Vance Management (“Eaton Vance”) on behalf of the KP Fixed Income Fund; the Adviser and Payden & Rygel on behalf of the KP Fixed Income Fund; and the Adviser and Loomis, Sayles & Company, L.P. (“Loomis Sayles”) on behalf of the KP Fixed Income Fund (each of SSgA, T. Rowe Price, Marathon, CCI, MFS, DRZ, Walthausen, CastleArk, Acadian, Eaton Vance, Payden & Rygel, and Loomis Sayles a “Sub-Adviser” and, collectively, the “Sub-Advisers”).

In preparation for the meeting, the Trustees requested that the Adviser and the Sub-Advisers furnish information necessary to evaluate the terms of the Agreements. Prior to the meeting, the Independent Trustees of the Funds met to review and discuss the information provided and submitted a request for additional information to the Adviser and the Sub-Advisers, and information was provided in response to this request. The Trustees used this information, as well as other information that the Adviser, the Sub-Advisers and other service providers of the Funds presented or submitted to the Board at the meeting and other meetings held during the prior year, to help them decide whether to renew the Agreements for an additional year.

Specifically, the Board requested and received written materials from the Adviser, the Sub-Advisers and other service providers of the Funds regarding: (i) the nature, extent and quality of the Adviser’s and the Sub-Advisers’ services; (ii) the Adviser’s and the Sub-Advisers’ investment management personnel; (iii) the Adviser’s and the Sub-Advisers’ operations and financial condition; (iv) the Adviser’s and the Sub-Advisers’ brokerage practices (including any soft dollar arrangements) and investment strategies; (v) the Funds’ advisory fees paid to the Adviser and the Sub-Advisers and overall fees and operating expenses compared with peer groups of mutual funds; (vi) the level of the Adviser’s and the Sub-Advisers’ profitability from their relationship with the Funds, including both direct and indirect benefits accruing to the Adviser and the Sub-Advisers and their affiliates; (vii) the Adviser’s and the Sub-Advisers’ potential economies of scale; (viii) the Adviser’s and the Sub-Advisers’ compliance program, including a description of material compliance matters and material compliance violations; (ix) the Adviser’s and the Sub-Advisers’ policies on and compliance procedures for personal securities transactions; and (x) the Funds’ performance compared with peer groups of mutual funds and the Funds’ benchmark indices.

 

125


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

RENEWAL OF INVESTMENT ADVISORY AND SUB-ADVISORY AGREEMENTS (Continued)

 

Representatives from the Adviser and the Sub-Advisers, along with other Fund service providers, presented additional information and participated in question and answer sessions at the Board meeting to help the Trustees evaluate the Adviser’s and the Sub-Advisers’ services, fees and other aspects of the Agreements. The Independent Trustees received advice from independent counsel and met in executive sessions outside the presence of Fund management and the Adviser and the Sub-Advisers.

At the Board meeting, the Trustees, including all of the Independent Trustees, based on their evaluation of the information provided by the Adviser, the Sub-Advisers and other service providers of the Funds, renewed the Agreements. In considering the renewal of the Agreements, the Board considered various factors that they determined were relevant, including: (i) the nature, extent and quality of the services provided by the Adviser and the Sub-Advisers; (ii) the investment performance of the Funds and the Adviser and the Sub-Advisers; (iii) the costs of the services provided and profits realized by the Adviser and the Sub-Advisers from their relationship with the Funds, including both direct and indirect benefits accruing to the Adviser and the Sub-Advisers and their affiliates; (iv) the extent to which economies of scale are being realized by the Adviser and the Sub-Advisers; and (v) whether fee levels reflect such economies of scale for the benefit of Fund investors, as discussed in further detail below.

Nature, Extent and Quality of Services Provided by the Adviser and the Sub-Advisers

In considering the nature, extent and quality of the services provided by the Adviser and the Sub-Advisers, the Board reviewed the portfolio management services provided by the Adviser and the Sub-Advisers to the Funds, including the quality and continuity of the Adviser’s and the Sub-Advisers’ portfolio management personnel, the resources of the Adviser and the Sub-Advisers, and the Adviser’s and the Sub-Advisers’ compliance history and compliance program. The Trustees reviewed the terms of the Agreements. The Trustees also reviewed the Adviser’s and the Sub-Advisers’ investment and risk management approaches for the Funds. The Trustees considered that the Adviser supervises and monitors the performance of the Sub-Advisers. The most recent investment adviser registration forms (“Form ADV”) for the Adviser and the Sub-Advisers were provided to the Board, as were the responses of the Adviser and the Sub-Advisers to a detailed series of questions which included, among other things, information about the investment advisory services provided by the Adviser and the Sub-Advisers to the Funds.

The Trustees also considered other services provided to the Funds by the Adviser and the Sub-Advisers such as selecting broker-dealers for executing portfolio transactions, monitoring adherence to the Funds’ investment restrictions, and monitoring compliance with various Fund policies and procedures and with applicable securities laws and regulations. Based on the factors above, as well as those discussed below, the Board concluded, within the context of its full deliberations, that the nature, extent and quality of the services provided to the Funds by the Adviser and the Sub-Advisers were sufficient to support renewal of the Agreements.

Investment Performance of the Funds, the Adviser and the Sub-Advisers

The Board was provided with regular reports regarding the Funds’ performance over various time periods, including since their inception. The Trustees also reviewed reports prepared by the Funds’ administrator comparing the Funds’ performance to their benchmark indices and peer groups of mutual funds as classified by Lipper, an independent provider of investment company data, over various periods of time. Representatives from the Adviser and the Sub-Advisers provided information regarding and led discussions of factors impacting the performance of the Funds, outlining current market conditions and explaining their expectations and strategies for the future. The Trustees determined that the Funds’ performance was satisfactory, or, where the Funds’ performance was materially below their benchmarks and/or peer groups, the Trustees were satisfied by the reasons for the underperformance and/or the steps taken by the Adviser and the Sub-Advisers in an effort to improve the performance of the Funds. Based on this information, the Board concluded, within the context of its full deliberations, that the investment results that the Adviser and the Sub-Advisers had been able to achieve for the Funds were sufficient to support renewal of the Agreements.

Costs of Advisory Services, Profitability and Economies of Scale

In considering the advisory fees payable by the Funds to the Adviser, as well as the fees payable to the Sub-Advisers, the Trustees reviewed, among other things, a report of the advisory fees paid to the Adviser and the Sub-Advisers. The Trustees also reviewed reports prepared by the Funds’ administrator comparing the Funds’ net and

 

126


THE KP FUNDS    June 30, 2016 (Unaudited)

 

 

 

 

  

 

RENEWAL OF INVESTMENT ADVISORY AND SUB-ADVISORY AGREEMENTS (Continued)

 

gross expense ratios and advisory fees to those paid by peer groups of mutual funds as classified by Lipper. The Trustees reviewed the management fees charged by certain Sub-Advisers to other clients with comparable mandates. The Trustees considered any differences in management fees and took into account the respective demands, resources and complexity associated with the Funds and other client accounts as well as the extensive regulatory, compliance and tax regimes to which the Funds are subject. The Trustees also considered that the fees payable to the Sub-Advisers reflected arms-length negotiations between the Adviser and the Sub-Advisers. The Board concluded, within the context of its full deliberations, that the advisory fees were reasonable in light of the nature and quality of the services rendered by the Adviser and the Sub-Advisers.

The Trustees reviewed the costs of services provided by and the profits realized by the Adviser and the Sub-Advisers from their relationship with the Funds, including both direct benefits and indirect benefits, such as research and brokerage services received under soft dollar arrangements, accruing to the Adviser and the Sub-Advisers and their affiliates. The Trustees considered how the Adviser’s and the Sub-Advisers’ profitability was affected by factors such as their organizational structures and methods for allocating expenses. The Trustees concluded that the profit margins of the Adviser and the Sub-Advisers with respect to the management of the Funds were not unreasonable. The Board also considered the Adviser’s and the Sub-Advisers’ commitment to managing the Funds.

The Trustees considered the Adviser’s and Sub-Advisers’ views relating to economies of scale in connection with the Funds as Fund assets grow and the extent to which the benefits of any such economies of scale are shared with the Funds and Fund shareholders. The Board considered the existence of any economies of scale and whether those were passed along to the Funds’ shareholders through a graduated advisory fee schedule or other means, including fee waivers. The Trustees recognized that economies of scale are difficult to identify and quantify and are rarely identifiable on a fund-by-fund basis. Based on this evaluation, the Board concluded that the advisory fees were reasonable in light of the information that was provided to the Trustees by the Adviser and the Sub-Advisers with respect to economies of scale.

Renewal of the Agreements

Based on the Board’s deliberations and its evaluation of the information described above and other factors and information it believed relevant in the exercise of its reasonable business judgment, the Board, including all of the Independent Trustees, with the assistance of Fund counsel and Independent Trustees’ counsel, unanimously concluded that the terms of the Agreements, including the fees payable thereunder, were fair and reasonable and agreed to renew the Agreements for another year. In its deliberations, the Board did not identify any absence of information as material to its decision, or any particular factor (or conclusion with respect thereto) or single piece of information that was all-important, controlling or determinative of its decision, but considered all of the factors together, and each Trustee may have attributed different weights to the various factors (and conclusions with respect thereto) and information.

 

127


The KP Funds

 

Investment Adviser

Callan Associates Inc.

600 Montgomery Street,

Suite 800

San Francisco, CA 94111

Administrator

SEI Investments

Global Funds Services

One Freedom Valley Drive

Oaks, Pennsylvania 19456

Distributor

SEI Investments

Distribution Co.

One Freedom Valley Drive

Oaks, Pennsylvania 19456

Legal Counsel

Morgan, Lewis & Bockius LLP

1701 Market Street

Philadelphia, Pennsylvania

19103-2921

 

 

More information about the Funds is available, without charge, through the following:

Statement of Additional Information (“SAI”): The SAI includes detailed information about the Funds. The SAI is on file with the SEC and is incorporated by reference into this prospectus. This means that the SAI, for legal purposes, is a part of this prospectus.

Annual and Semi-Annual Reports: These reports list the Funds’ holdings and contain information from the Adviser about investment strategies, and recent market conditions and trends and their impact on Fund performance. The reports also contain detailed financial information about the Funds.

To Obtain an SAI, Annual or Semi-Annual Report, or More Information:

 

By Telephone:   855-457-3637 (855-4KPFNDS)
By Mail:   The KP Funds
  c/o SEI Investments
  One Freedom Valley Drive
  Oaks, PA 19546
By Internet:   www.kp-funds.com

From the SEC: You can also obtain the SAI or the Annual and Semi-Annual Reports, as well as other information about The KP Funds, from the EDGAR Database on the SEC’s website at: http://www.sec.gov. You may review and copy documents at the SEC Public Reference Room in Washington, DC (for information on the operation of the Public Reference Room, call 202-551-8090). You may request documents by mail from the SEC, upon payment of a duplicating fee, by writing to: U.S. Securities and Exchange Commission, Public Reference Section, Washington, DC 20549-1520. You may also obtain this information, upon payment of a duplicating fee, by e-mailing the SEC at the following address: publicinfo@sec.gov.

The Trust’s Investment Company Act registration number is 811-22838

KPF-SA-001-0300


Item 2. Code of Ethics.

Not applicable for semi-annual report.

 

Item 3. Audit Committee Financial Expert.

Not applicable for semi-annual report.

 

Item 4. Principal Accountant Fees and Services.

Not applicable for semi-annual report.

 

Item 5. Audit Committee of Listed Registrants.

Not applicable to open-end management investment companies.

 

Item 6. Schedule of Investments.

Schedule of Investments is included as part of the Report to Shareholders filed under Item 1 of this form.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not applicable to open-end management investment companies.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

Not applicable. Effective for closed-end management investment companies for fiscal years ending on or after December 31, 2005

 

Item 9. Purchases of Equity Securities by Closed-End Management Company and Affiliated Purchasers.

Not applicable to open-end management investment companies.

 

Item 10. Submission of Matters to a Vote of Security Holders.

There have been no changes to the procedures by which shareholders may recommend nominees to the Registrant’s Board of Trustees during the period covered by this report.

 

Item 11. Controls and Procedures.

(a) The Registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Act (17 CFR 270.30a-3(c))) as of a date within 90 days of the filing date of the report, are effective based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Exchange Act (17 CFR 240.13a-15(b) or 240.15d-15(b)).

(b) There has been no change in the Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Act (17 CFR 270.30a-3(d)) that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting.


Items 12. Exhibits.

(a)(1) Not applicable for semi-annual report.

(a)(2) A separate certification for the principal executive officer and the principal financial officer of the Registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940, as amended (17 CFR 270.30a-2(a)), are filed herewith.

(b) Officer certifications as required by Rule 30a-2(b) under the Investment Company Act of 1940, as amended (17 CFR 270.30a-2(b)) also accompany this filing as an Exhibit.


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.

 

(Registrant)       The KP Funds
By (Signature and Title)      

/s/ Michael Beattie

     

Michael Beattie,

President

Date: September 2, 2016

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company 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 (Signature and Title)      

/s/ Michael Beattie

     

Michael Beattie,

President

Date: September 2, 2016      
By (Signature and Title)      

/s/ Stephen Connors

      Stephen Connors
      Treasurer, Controller & CFO

Date: September 2, 2016

EX-99.CERT 2 d220636dex99cert.htm CERTIFICATION PURSUANT TO SECTION 302 Certification Pursuant to Section 302

Certification

Pursuant to Section 302

of the Sarbanes-Oxley Act of 2002

I, Michael Beattie, certify that:

1. I have reviewed this report on Form N-CSRS of The KP Funds;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal controls over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of trustees (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: September 2, 2016

/s/ Michael Beattie

Michael Beattie
President


Certification

Pursuant to Section 302

of the Sarbanes-Oxley Act of 2002

I, Stephen Connors, certify that:

1. I have reviewed this report on Form N-CSRS of The KP Funds;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal controls over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report, based on such evaluation; and

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of trustees (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date: September 2, 2016

/s/ Stephen Connors

Stephen Connors
Treasurer, Controller & CFO
EX-99.906CE 3 d220636dex99906ce.htm CERTIFICATION PURSUANT TO SECTION 906 Certification Pursuant to Section 906

CERTIFICATION

Pursuant to Section 906

of the Sarbanes-Oxley Act of 2002

The undersigned, the President of The KP Funds (the “Fund”), with respect to the Fund’s Form N-CSRS for the period ended June 30, 2016 as filed with the Securities and Exchange Commission, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:

1. such Form N-CSRS fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

2. the information contained in such Form N-CSRS fairly presents, in all material respects, the financial condition and results of operations of the Fund.

Dated: September 2, 2016

 

/s/ Michael Beattie

Michael Beattie,
President


CERTIFICATION

Pursuant to Section 906

of the Sarbanes-Oxley Act of 2002

The undersigned, the Treasurer, Controller and CFO of The KP Funds (the “Fund”), with respect to the Fund’s Form N-CSRS for the period ended June 30, 2016 as filed with the Securities and Exchange Commission, hereby certifies, pursuant to 18 U.S.C. Section 1350, as adopted pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that, to the best of my knowledge:

1. such Form N-CSRS fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

2. the information contained in such Form N-CSRS fairly presents, in all material respects, the financial condition and results of operations of the Fund.

Dated: September 2, 2016

 

/s/ Stephen Connors

Stephen Connors
Treasurer, Controller and CFO
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