0001752724-22-268728.txt : 20221128 0001752724-22-268728.hdr.sgml : 20221128 20221128102030 ACCESSION NUMBER: 0001752724-22-268728 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 3 CONFORMED PERIOD OF REPORT: 20220930 FILED AS OF DATE: 20221128 DATE AS OF CHANGE: 20221128 PERIOD START: 20221231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Homestead Funds Trust CENTRAL INDEX KEY: 0001768447 IRS NUMBER: 833576764 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-23429 FILM NUMBER: 221421811 BUSINESS ADDRESS: STREET 1: 4301 WILSON BOULEVARD CITY: ARLINGTON STATE: VA ZIP: 22203 BUSINESS PHONE: 703-907-6366 MAIL ADDRESS: STREET 1: 4301 WILSON BOULEVARD CITY: ARLINGTON STATE: VA ZIP: 22203 0001768447 S000071687 Rural America Growth & Income Fund C000227133 Rural America Growth & Income Fund HRRLX NPORT-P 1 primary_doc.xml NPORT-P false 0001768447 XXXXXXXX S000071687 C000227133 Homestead Funds Trust 811-23429 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2032-06-15 Fixed 2.22000000 N N N N N N Arko Corp N/A Arko Corp 041242108 4095.00000000 NS USD 38452.05000000 0.604970267328 Long EC CORP US N 1 N N N TRACTOR SUPPLY CO 549300OJ9VZHZRO6I137 Tractor Supply Co 892356AA4 44000.00000000 PA USD 32953.88000000 0.518466963220 Long DBT CORP US N 2 2030-11-01 Fixed 1.75000000 N N N N N N American International Group Inc ODVCVCQG2BP6VHV36M30 American International Group Inc 026874784 689.00000000 NS USD 32713.72000000 0.514688499929 Long EC CORP US N 1 N N N Fastenal Co 529900PP0C7H2HHPSJ32 Fastenal Co 311900104 2453.00000000 NS USD 112936.12000000 1.776836207884 Long EC CORP US N 1 N N N ConocoPhillips WPTL2Z3FIYTHSP5V2253 ConocoPhillips 20825C104 287.00000000 NS USD 29371.58000000 0.462106249327 Long EC CORP US N 1 N N N 2022-10-31 Homestead Funds Trust Amy DiMauro Amy DiMauro Treasurer XXXX NPORT-EX 2 NPORT_JI1Q_41299908_0922.htm
Fund Holdings
September 30, 2022
Our Funds
Daily Income Fund (HDIXX)
Short-Term Government Securities Fund (HOSGX)
Short-Term Bond Fund (HOSBX)
Intermediate Bond Fund (HOIBX)
Rural America Growth & Income Fund (HRRLX)
Stock Index Fund (HSTIX)
Value Fund (HOVLX)
Growth Fund (HNASX)
International Equity Fund (HISIX)
Small-Company Stock Fund (HSCSX)
 



Portfolio of Investments
Daily Income Fund  |  September 30, 2022  |  (Unaudited)

U.S. Government & Agency Obligations | 79.5% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Federal Farm Credit Bank  2.97%(a)  11/16/22  $1,000,000  $999,997
Federal Farm Credit Bank  3.00(a)  05/19/23  1,000,000  1,000,000
Federal Farm Credit Bank  2.99(a)  06/14/23  500,000  500,000
Federal Farm Credit Bank  2.98(a)  06/23/23  500,000  499,984
Federal Farm Credit Bank  2.99(a)  09/18/23  500,000  500,000
Federal Farm Credit Bank  3.00(a)  09/20/23  1,000,000  1,000,000
Federal Farm Credit Bank  3.01(a)  09/29/23  1,000,000  1,000,000
Federal Farm Credit Bank  3.02(a)  11/07/23  500,000  500,000
Federal Farm Credit Bank  3.00(a)  12/15/23  500,000  499,970
Federal Farm Credit Bank  3.00(a)  01/04/24  500,000  500,000
Federal Farm Credit Bank  3.02(a)  01/10/24  500,000  500,000
Federal Farm Credit Bank  3.00(a)  01/25/24  500,000  500,000
Federal Farm Credit Bank  3.00(a)  02/05/24  1,000,000  1,000,000
Federal Farm Credit Bank  3.01(a)  02/20/24  500,000  500,000
Federal Farm Credit Bank  3.01(a)  03/15/24  500,000  500,000
Federal Farm Credit Bank  3.00(a)  03/18/24  1,500,000  1,500,000
Federal Farm Credit Bank  3.01(a)  04/25/24  500,000  500,000
Federal Farm Credit Bank  3.01(a)  05/24/24  1,000,000  1,000,000
Federal Farm Credit Bank  3.06(a)  08/08/24  500,000  500,000
Federal Home Loan Bank  2.99(a)  10/20/22  8,000,000  8,000,000
Federal Home Loan Bank  3.14  11/18/22  5,985,000  5,959,984
U.S. Treasury Bill  2.33  10/04/22  12,000,000  11,997,707
U.S. Treasury Bill  2.25  10/13/22  7,000,000  6,994,827
U.S. Treasury Bill  2.46  10/18/22  8,000,000  7,990,872
U.S. Treasury Bill  2.52  10/20/22  7,000,000  6,990,875
U.S. Treasury Bill  2.38  11/01/22  6,000,000  5,988,211
U.S. Treasury Bill  2.54  11/08/22  6,000,000  5,984,747
U.S. Treasury Bill  2.77  11/15/22  3,000,000  2,989,967
U.S. Treasury Bill  2.66  11/17/22  2,000,000  1,993,185
U.S. Treasury Bill  2.99  11/22/22  14,135,000  14,075,593
U.S. Treasury Bill  3.10  11/29/22  11,000,000  10,947,914
U.S. Treasury Bill  3.02  12/08/22  2,000,000  1,988,799
U.S. Treasury Bill  2.84  12/13/22  3,000,000  2,983,088
U.S. Treasury Bill  3.16  12/15/22  3,000,000  2,980,651
U.S. Treasury Bill  2.96  12/20/22  2,000,000  1,987,156
U.S. Treasury Bill  3.34  12/22/22  10,000,000  9,925,517
U.S. Treasury Bill  3.34  12/29/22  4,000,000  3,967,663
U.S. Treasury Bill  3.27  01/10/23  2,000,000  1,982,073
U.S. Treasury Bill  3.64  01/17/23  4,000,000  3,957,400
U.S. Treasury Bill  3.68  01/24/23  7,000,000  6,919,724
U.S. Treasury Bill  3.68  01/31/23  5,000,000  4,940,665
U.S. Treasury Bill  3.03  07/13/23  1,000,000  976,875
U.S. Treasury Note  3.35(a)  01/31/23  6,000,000  6,000,488
U.S. Treasury Note  3.33(a)  04/30/23  4,100,000  4,100,105
U.S. Treasury Note  3.33(a)  07/31/23  3,500,000  3,500,025
U.S. Treasury Note  3.33(a)  10/31/23  5,500,000  5,500,104
U.S. Treasury Note  3.28(a)  01/31/24  500,000  499,885
U.S. Treasury Note  3.22(a)  04/30/24  3,000,000  2,996,762
U.S. Treasury Note  3.33(a)  07/31/24  4,500,000  4,495,749
Total U.S. Government & Agency Obligations        
(Cost $173,116,562)       173,116,562
    
                
1

Portfolio of Investments  |  Daily Income Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Money Market Fund | 20.5% of portfolio
  Interest Rate /Yield   Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class  2.94%(b)    44,671,410  $44,671,410
Total Money Market Fund        
(Cost $44,671,410)       44,671,410
Total Investments in Securities        
(Cost $217,787,972) | 100.0%       $217,787,972
(a) Variable coupon rate as of September 30, 2022.
(b) 7-day yield at September 30, 2022.
At September 30, 2022, the cost of investment securities for tax purposes was $217,787,972. There were no unrealized gains or losses.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Daily Income Fund Level 1 Level 2 Level 3 Total
U.S. Government & Agency Obligations

$$173,116,562 $$173,116,562
Money Market Fund

44,671,410 44,671,410
Total $44,671,410 $173,116,562 $ — $217,787,972
2
                

Portfolio of Investments
Short-Term Government Securities Fund  |  September 30, 2022  |  (Unaudited)

U.S. Government & Agency Obligations | 62.5% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Export-Import Bank of the U.S.  1.90%  07/12/24  $630,839  $616,862
Export-Import Bank of the U.S.  1.73  09/18/24  1,545,985  1,501,927
Export-Import Bank of the U.S.  1.58  11/16/24  106,746  103,357
Export-Import Bank of the U.S.  2.54  07/13/25  139,932  135,587
Export-Import Bank of the U.S.  2.33  01/14/27  202,499  185,439
Private Export Funding Corp.  1.75  11/15/24  1,000,000  938,654
U.S. Department of Housing & Urban Development  5.77  08/01/26  46,000  46,187
U.S. International Development Finance Corp.  2.22(a)  01/24/25  2,000,000  2,005,583
U.S. International Development Finance Corp.  1.27(a)  06/21/25  1,000,000  934,317
U.S. International Development Finance Corp.  0.00(b)  07/17/25  1,000,000  902,746
U.S. International Development Finance Corp.  0.00(b)  01/17/26  700,000  687,216
U.S. International Development Finance Corp.  1.11  05/15/29  964,286  859,870
U.S. International Development Finance Corp.  2.36  10/15/29  1,679,461  1,545,958
U.S. International Development Finance Corp.  1.05  10/15/29  1,679,461  1,471,758
U.S. International Development Finance Corp.  1.24  08/15/31  1,459,459  1,267,104
U.S. Treasury Note  4.25  09/30/24  9,400,000  9,404,406
U.S. Treasury Note  0.25  07/31/25  15,880,000  14,193,990
U.S. Treasury Note  3.50  09/15/25  565,000  553,479
U.S. Treasury Note  4.13  09/30/27  894,000  896,933
U.S. Treasury Note  0.75  01/31/28  5,533,000  4,657,878
Total U.S. Government & Agency Obligations        
(Cost $45,151,649)       42,909,251
    
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 28.4% of portfolio
Consumer Discretionary | 0.1%    
Ethiopian Leasing (2012) LLC  2.68  07/30/25  56,769  55,054
Total Consumer Discretionary       55,054
Energy | 9.2%    
Petroleos Mexicanos  1.70  12/20/22  463,100  460,440
Petroleos Mexicanos  2.38  04/15/25  486,300  471,978
Petroleos Mexicanos  2.46  12/15/25  607,250  583,633
Reliance Industries Ltd.  2.06  01/15/26  1,892,800  1,802,584
Reliance Industries Ltd.  1.87  01/15/26  2,438,947  2,314,792
Reliance Industries Ltd.  2.44  01/15/26  766,316  737,082
Total Energy       6,370,509
Financials | 19.1%    
CES MU2 LLC  1.99  05/13/27  1,559,190  1,454,429
Durrah MSN 35603  1.68  01/22/25  469,143  453,863
DY8 Leasing LLC  2.63  04/29/26  156,250  150,108
DY9 Leasing LLC  2.37  03/19/27  556,721  525,634
Export Lease Eleven Co. LLC  3.09(c)  07/30/25  56,207  55,971
Helios Leasing II LLC  2.67  03/18/25  1,453,068  1,416,527
HNA 2015 LLC  2.29  06/30/27  229,119  214,425
HNA 2015 LLC  2.37  09/18/27  135,170  126,490
KE Export Leasing 2013-A LLC  3.25(c)  02/25/25  1,548,562  1,541,575
Lulwa Ltd.  1.89  02/15/25  934,308  901,717
Lulwa Ltd.  1.83  03/26/25  295,206  284,489
MSN 41079 and 41084 Ltd.  1.72  07/13/24  1,527,378  1,484,160
MSN 41079 and 41084 Ltd.  1.63  12/14/24  402,871  389,240
Osprey Aircraft Leasing LLC  2.21  06/21/25  102,435  98,687
Penta Aircraft Leasing 2013 LLC  1.69  04/29/25  484,157  465,075
Pluto Aircraft Leasing LLC  3.07(c)  02/07/23  484,843  484,410
Rimon LLC  2.45  11/01/25  146,250  140,969
                
3

Portfolio of Investments  |  Short-Term Government Securities Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 28.4% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Financials | 19.1% (Continued)    
Salmon River Export LLC  2.19%  09/15/26  $693,003  $660,260
Sandalwood 2013 LLC  2.84  07/10/25  222,875  217,009
Sandalwood 2013 LLC  2.82  02/12/26  293,657  283,468
Santa Rosa Leasing LLC  1.69  08/15/24  118,297  115,387
Santa Rosa Leasing LLC  1.47  11/03/24  202,490  195,983
Thirax 1 LLC  0.97  01/14/33  1,765,327  1,452,244
Total Financials       13,112,120
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $20,687,254)       19,537,683
Asset-Backed Securities | 3.6% of portfolio
American Credit Acceptance Receivables Trust 22-1A (d)  0.99  12/15/25  117,449  115,631
Avant Loans Funding Trust 22-REV1 (d)  6.54  09/15/31  150,000  146,846
Carvana Auto Receivables Trust 20-N1A (d)  2.01  03/17/25  6,139  6,134
Credit Acceptance Auto Loan Trust 20-3A (d)  1.24  10/15/29  250,000  242,803
First Investors Auto Owner Trust 21-2A (d)  0.48  03/15/27  93,213  90,490
GLS Auto Receivables Trust 21-3A (d)  0.42  01/15/25  40,167  39,774
GLS Auto Receivables Trust 21-4 (d)  0.84  07/15/25  93,969  92,470
Gracie Point International Fund 21-1 (d)  3.12(c)  11/01/23  205,921  204,994
LAD Auto Receivables Trust 21-1 (d)  1.30  08/17/26  150,755  145,316
Oasis Securitisation 21-1A (d)  2.58  02/15/33  56,623  55,843
Oasis Securitisation 21-2A (d)  2.14  10/15/33  169,350  164,631
Oasis Securitisation 22-2A (d)  6.85  10/15/34  340,000  340,340
PenFed Auto Receivables Owner Trust 22-A (d)  3.83  12/16/24  250,000  248,539
SBA Tower Trust (d)  2.84  01/15/25  250,000  233,885
United Auto Credit Securitization Trust 22-1A (d)  1.11  07/10/24  77,022  76,425
Upstart Securitization Trust 21-3 (d)  0.83  07/20/31  59,896  57,978
Westgate Resorts 22-1A (d)  2.29  08/20/36  244,915  230,740
Total Asset-Backed Securities        
(Cost $2,559,605)       2,492,839
Corporate Bonds–Other | 1.7% of portfolio
Financials | 1.7%    
Athene Global Funding (d)  2.50  01/14/25  100,000  93,266
Bank of America Corp.  4.83(c)  07/22/26  200,000  195,539
J.P. Morgan Chase & Co.  1.04(c)  02/04/27  100,000  84,974
Main Street Capital Corp.  3.00  07/14/26  415,000  349,392
Owl Rock Capital Corp. III (d)  3.13  04/13/27  250,000  202,753
Owl Rock Core Income Corp. (d)  3.13  09/23/26  250,000  210,159
Total Financials       1,136,083
Total Corporate Bonds–Other        
(Cost $1,314,510)       1,136,083
Mortgage-Backed Security | 0.7% of portfolio
GNMA 21-8  1.00  01/20/50  562,332  460,732
Total Mortgage-Backed Security        
(Cost $562,757)       460,732
    
4
                

Portfolio of Investments  |  Short-Term Government Securities Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Municipal Bonds | 0.4% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
New York | 0.1%    
Suffolk County New York  1.05%  06/15/23  $100,000  $97,775
Total New York       97,775
Texas | 0.3%    
Harris County Texas Cultural Education Facilities Finance Corp.  1.45  11/15/22  200,000  199,484
Total Texas       199,484
Total Municipal Bonds        
(Cost $300,000)       297,259
    
Money Market Fund | 2.7% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  2.94(e)    1,846,118  1,846,118
Total Money Market Fund        
(Cost $1,846,118)       1,846,118
Total Investments in Securities        
(Cost $72,421,893) | 100.0%       $68,679,965
(a) Interest is paid at maturity.
(b) Zero coupon rate, purchased at a discount.
(c) Variable coupon rate as of September 30, 2022.
(d) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Directors. The total of such securities at period-end amounts to $2,999,017 and represents 4.4% of total investments.
(e) 7-day yield at September 30, 2022.
LLC - Limited Liability Company
At September 30, 2022, the cost of investment securities for tax purposes was $72,421,893. Net unrealized depreciation of investment securities was $3,741,928 consisting of unrealized gains of $4,906 and unrealized losses of $3,746,834.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
                
5

Portfolio of Investments  |  Short-Term Government Securities Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Short-Term Government Securities Fund Level 1 Level 2 Level 3 Total
U.S. Government & Agency Obligations

$$42,909,251 $$42,909,251
Corporate Bonds Guaranteed by Export-Import Bank of the United States

19,537,683 19,537,683
Asset-Backed Securities

2,492,839 2,492,839
Corporate Bonds–Other

1,136,083 1,136,083
Mortgage-Backed Security

460,732 460,732
Municipal Bonds

297,259 297,259
Money Market Fund

1,846,118 1,846,118
Total $1,846,118 $66,833,847 $ — $68,679,965
6
                

Portfolio of Investments
Short-Term Bond Fund  |  September 30, 2022  |  (Unaudited)

U.S. Government & Agency Obligations | 48.3% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
U.S. International Development Finance Corp.  0.67%(a)  04/23/29  $1,230,000  $1,121,379
U.S. International Development Finance Corp.  2.36  10/15/29  709,572  653,168
U.S. International Development Finance Corp.  1.05  10/15/29  1,020,273  894,093
U.S. Treasury Note  3.33(b)  10/31/23  10,900,000  10,910,952
U.S. Treasury Note  4.25  09/30/24  60,000,000  60,028,125
U.S. Treasury Note  0.25  07/31/25  86,090,000  76,949,663
U.S. Treasury Note  3.50  09/15/25  49,252,000  48,247,721
U.S. Treasury Note  4.13  09/30/27  36,494,000  36,613,746
Total U.S. Government & Agency Obligations        
(Cost $239,523,250)       235,418,847
    
Corporate Bonds–Other | 25.9% of portfolio
Communication Services | 0.5%    
Magallanes, Inc. (c)  3.76  03/15/27  1,355,000  1,212,325
Sprint Spectrum Co. LLC (c)  4.74  03/20/25  1,250,003  1,231,989
Total Communication Services       2,444,314
Consumer Discretionary | 1.1%    
Daimler Trucks Financial N.A. LLC (c)  1.63  12/13/24  1,500,000  1,383,359
Daimler Trucks Financial N.A. LLC (c)  3.50  04/07/25  1,255,000  1,191,488
US Airways 2013 1A PTT  3.95  05/15/27  2,857,530  2,532,859
Total Consumer Discretionary       5,107,706
Consumer Staples | 0.6%    
7-Eleven, Inc. (c)  0.63  02/10/23  1,000,000  985,646
7-Eleven, Inc. (c)  0.80  02/10/24  1,090,000  1,030,392
7-Eleven, Inc. (c)  0.95  02/10/26  800,000  689,947
Total Consumer Staples       2,705,985
Energy | 2.2%    
Cheniere Corpus Christi Holdings LLC  5.13  06/30/27  2,000,000  1,936,430
Energy Transfer Operating LP  2.90  05/15/25  2,900,000  2,703,081
Midwest Connector Capital Co. LLC (c)  3.90  04/01/24  3,270,000  3,159,010
Phillips 66 Co.  1.30  02/15/26  1,500,000  1,310,117
Pioneer Natural Resources Co.  1.13  01/15/26  1,023,000  894,379
Targa Resources Corp.  5.20  07/01/27  985,000  947,547
Total Energy       10,950,564
Financials | 14.9%    
Antares Holdings LP  3.95  07/15/26  335,000  286,426
Antares Holdings LP  2.75  01/15/27  1,000,000  796,200
Athene Global Funding (c)  2.50  01/14/25  4,750,000  4,430,116
Bank of America Corp.  2.46(b)  10/22/25  2,200,000  2,059,824
Bank of America Corp.  2.02(b)  02/13/26  2,100,000  1,925,035
Bank of America Corp.  1.32(b)  06/19/26  2,100,000  1,863,955
Bank of America Corp.  4.83(b)  07/22/26  2,770,000  2,708,212
Bank of America Corp.  1.20(b)  10/24/26  920,000  802,749
Bank of America Corp.  4.95(b)  07/22/28  4,160,000  3,997,070
Capital Southwest Corp.  3.38  10/01/26  1,355,000  1,151,750
Citigroup Inc.  7.00  12/01/25  2,000,000  2,078,710
CNO Global Funding (c)  1.65  01/06/25  1,125,000  1,032,515
F&G Global Funding (c)  1.75  06/30/26  2,500,000  2,176,048
Fidus Investment Corp.  4.75  01/31/26  304,000  282,299
                
7

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 25.9% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Financials | 14.9% (Continued)    
Fidus Investment Corp.  3.50%  11/15/26  $693,000  $577,268
GA Global Funding Trust (c)  0.80  09/13/24  920,000  832,542
GA Global Funding Trust (c)  3.85  04/11/25  1,715,000  1,633,807
GA Global Funding Trust (c)  2.25  01/06/27  2,370,000  2,052,560
Goldman Sachs Group, Inc.  2.64(b)  02/24/28  930,000  806,904
Goldman Sachs Group, Inc.  3.62(b)  03/15/28  572,000  520,549
J.P. Morgan Chase & Co.  4.02(b)  12/05/24  1,225,000  1,205,357
J.P. Morgan Chase & Co.  2.30(b)  10/15/25  2,130,000  1,997,457
J.P. Morgan Chase & Co.  2.08(b)  04/22/26  2,055,000  1,872,287
J.P. Morgan Chase & Co.  4.08(b)  04/26/26  700,000  673,969
J.P. Morgan Chase & Co.  1.04(b)  02/04/27  910,000  773,259
J.P. Morgan Chase & Co.  4.85(b)  07/25/28  890,000  854,555
Main Street Capital Corp.  3.00  07/14/26  3,905,000  3,287,657
Morgan Stanley  3.74(b)  04/24/24  1,020,000  1,009,302
Morgan Stanley  2.63(b)  02/18/26  1,365,000  1,271,746
Morgan Stanley  2.19(b)  04/28/26  425,000  389,843
Morgan Stanley  4.68(b)  07/17/26  1,190,000  1,158,730
Morgan Stanley  1.51(b)  07/20/27  865,000  736,709
Owl Rock Capital Corp. III (c)  3.13  04/13/27  2,320,000  1,881,550
Owl Rock Core Income Corp. (c)  3.13  09/23/26  4,955,000  4,165,347
Owl Rock Technology Finance Corp.  2.50  01/15/27  1,415,000  1,135,286
Santander Holdings USA, Inc.  2.49(b)  01/06/28  1,000,000  833,920
SCE Recovery Funding LLC  0.86  11/15/31  1,723,572  1,409,675
Security Benefit Global Funding (c)  1.25  05/17/24  4,000,000  3,729,611
Volkswagen Group of America Finance LLC (c)  1.25  11/24/25  3,025,000  2,656,035
Wells Fargo & Co.  2.16(b)  02/11/26  3,270,000  3,010,719
Wells Fargo & Co.  3.91(b)  04/25/26  1,900,000  1,816,338
Wells Fargo & Co.  2.19(b)  04/30/26  2,120,000  1,936,137
Wells Fargo & Co.  3.53(b)  03/24/28  915,000  828,731
Wells Fargo & Co.  4.81(b)  07/25/28  2,140,000  2,040,972
Total Financials       72,689,731
Health Care | 0.6%    
AmerisourceBergen Corp.  0.74  03/15/23  2,213,000  2,177,286
Baylor Scott & White Holdings  0.83  11/15/25  1,000,000  873,673
Total Health Care       3,050,959
Industrials | 1.3%    
American Airlines Group Inc.  3.60  03/22/29  2,076,283  1,860,791
American Airlines Group Inc.  3.95  01/11/32  1,000,000  811,177
BNSF Railway Co. (c)  3.44  06/16/28  809,642  753,723
Boeing Co. (The)  2.20  02/04/26  1,900,000  1,686,131
Burlington Northern & Santa Fe Railway Co.  4.83  01/15/23  1,642  1,638
Delta Air Lines, Inc. (c)  7.00  05/01/25  965,000  971,226
Total Industrials       6,084,686
Materials | 1.7%    
Celanese US Holdings LLC  6.05  03/15/25  5,321,000  5,197,798
Celanese US Holdings LLC  6.17  07/15/27  1,330,000  1,258,719
Sealed Air Corp. (c)  1.57  10/15/26  2,200,000  1,841,886
Total Materials       8,298,403
8
                

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 25.9% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Real Estate | 0.3%    
VICI Properties LP (c)  3.50%  02/15/25  $1,600,000  $1,478,976
Total Real Estate       1,478,976
Utilities | 2.7%    
Entergy Louisiana, LLC  3.78  04/01/25  1,445,000  1,393,130
Metropolitan Edison Co. (c)  4.00  04/15/25  4,250,000  4,032,863
Pacific Gas and Electric Co.  3.75  02/15/24  3,500,000  3,396,655
PPL Electric Utilities Corp.  3.89(b)  09/28/23  1,000,000  995,962
Southern California Edison Co.  1.10  04/01/24  1,850,000  1,743,052
Southern California Edison Co.  1.20  02/01/26  2,065,000  1,817,238
Total Utilities       13,378,900
Total Corporate Bonds–Other        
(Cost $138,292,654)       126,190,224
    
Asset-Backed Securities | 11.5% of portfolio
American Credit Acceptance Receivables Trust 21-2B (c)  0.68  05/13/25  302,533  302,146
American Credit Acceptance Receivables Trust 21-4B (c)  0.86  02/13/26  1,081,000  1,063,402
American Credit Acceptance Receivables Trust 22-1A (c)  0.99  12/15/25  899,660  885,733
Avant Credit Card Master Trust 21-1A (c)  1.37  04/15/27  2,500,000  2,266,707
Avant Loans Funding Trust 22-REV1 (c)  6.54  09/15/31  3,300,000  3,230,609
Avid Automobile Receivables Trust 21-1A (c)  0.61  01/15/25  185,419  184,170
Carvana Auto Receivables Trust 20-N1A (c)  2.01  03/17/25  38,310  38,278
CNH Equipment Trust 22-A  2.39  08/15/25  385,000  377,447
Colony American Finance Ltd. 21-2 (c)  1.41  07/15/54  768,070  654,164
CoreVest American Finance 20-4 (c)  1.17  12/15/52  796,396  702,040
CoreVest American Finance 21-1 (c)  1.57  04/15/53  1,195,996  1,035,812
CoreVest American Finance 21-3 (c)  2.49  10/15/54  2,480,000  2,130,087
CPS Auto Trust 21-B (c)  0.81  12/15/25  920,000  909,054
Credit Acceptance Auto Loan Trust 20-1A (c)  2.01  02/15/29  277,834  277,477
Credit Acceptance Auto Loan Trust 20-2A (c)  1.37  07/16/29  667,415  658,604
Credit Acceptance Auto Loan Trust 20-3A (c)  1.24  10/15/29  2,500,000  2,428,026
Credit Acceptance Auto Loan Trust 21-2A (c)  0.96  02/15/30  1,755,000  1,673,506
Credito Real USA Auto Receivables Trust 21-1 (c)  1.35  02/16/27  860,449  837,527
Entergy New Orleans Storm Recovery Fund 15-1  2.67  06/01/27  253,832  246,793
FIC Funding 21-1 (c)  1.13  04/15/33  575,009  557,569
First Investors Auto Owner Trust 21-2A (c)  0.48  03/15/27  1,141,857  1,108,509
Firstkey Homes Trust 22-SFR2 (c)  4.25  07/17/39  973,528  916,308
Flagship Credit Auto Trust 21-3 (c)  0.36  07/15/27  2,068,278  2,011,501
Foursight Capital Automobile Receivables Trust 22-1A (c)  1.15  09/15/25  471,680  461,591
FRTKL 21-SFR1 (c)  1.57  09/17/38  970,000  833,651
GLS Auto Receivables Trust 21-3A (c)  0.42  01/15/25  540,919  535,622
GLS Auto Receivables Trust 21-4 (c)  0.84  07/15/25  1,308,513  1,287,651
Gracie Point International Fund 20-B (c)  3.77(b)  05/02/23  749,971  749,848
Gracie Point International Fund 21-1 (c)  3.12(b)  11/01/23  1,489,427  1,482,723
Gracie Point International Fund 22-1 (c)  4.53(b)  04/01/24  1,496,000  1,493,556
LAD Auto Receivables Trust 21-1 (c)  1.30  08/17/26  914,579  881,581
Longtrain Leasing III LLC 2015-1 (c)  2.98  01/15/45  266,217  257,642
Marlette Funding Trust 22-2 (c)  4.25  08/15/32  1,022,954  1,011,785
NP SPE II LLC 17-1 (c)  3.37  10/21/47  297,724  279,386
Oasis Securitisation 21-1A (c)  2.58  02/15/33  314,147  309,818
Oasis Securitisation 21-2A (c)  2.14  10/15/33  1,431,011  1,391,135
Oasis Securitisation 22-1A (c)  4.75  05/15/34  706,785  694,244
Oasis Securitisation 22-2A (c)  6.85  10/15/34  2,430,000  2,432,430
Oportun Funding 21-A (c)  1.21  03/08/28  1,070,000  993,450
                
9

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Asset-Backed Securities | 11.5% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Oportun Funding 21-B (c)  1.47%  05/08/31  $2,225,000  $1,975,209
Oscar US Funding Trust 21-1A (c)  0.40  03/11/24  191,448  190,320
PenFed Auto Receivables Owner Trust 22-A (c)  3.83  12/16/24  2,780,000  2,763,760
Progress Residential Trust 21-SFR8 (c)  1.51  10/17/38  1,320,779  1,132,132
Progress Residential Trust 22-SFR3 (c)  3.20  04/17/39  925,000  838,905
SBA Tower Trust (c)  2.84  01/15/25  4,765,000  4,457,848
SBA Tower Trust (c)  1.88  01/15/26  1,450,000  1,274,937
SBA Tower Trust (c)  1.63  11/15/26  195,000  166,220
United Auto Credit Securitization Trust 21-1B (c)  0.68  03/11/24  457,865  457,459
United Auto Credit Securitization Trust 22-1A (c)  1.11  07/10/24  454,430  450,906
Upstart Securitization Trust 21-1 (c)  0.87  03/20/31  134,635  133,647
Upstart Securitization Trust 21-3 (c)  0.83  07/20/31  395,780  383,107
Upstart Securitization Trust 21-4 (c)  0.84  09/20/31  767,240  735,667
Westgate Resorts 20-1A (c)  3.96  03/20/34  690,630  675,763
Westgate Resorts 22-1A (c)  2.29  08/20/36  1,142,936  1,076,785
Westlake Automobile Receivable Trust 20-3A (c)  0.56  05/15/24  31,898  31,847
Total Asset-Backed Securities        
(Cost $59,304,893)       56,336,094
Yankee Bonds | 7.0% of portfolio
Aircastle Ltd. (c)  5.25  08/11/25  850,000  800,129
Avolon Holdings Funding Ltd. (c)  5.50  01/15/26  1,850,000  1,739,915
Avolon Holdings Funding Ltd. (c)  2.75  02/21/28  1,930,000  1,515,541
Bank of Montreal  4.34(b)  10/05/28  1,300,000  1,282,139
Delta and SkyMiles IP Ltd. (c)  4.50  10/20/25  780,000  757,112
Delta and SkyMiles IP Ltd. (c)  4.75  10/20/28  2,000,000  1,862,711
JBS Finance Luxembourg SARL (c)  2.50  01/15/27  3,364,000  2,874,101
Lenovo Group Ltd. (c)  5.83  01/27/28  2,770,000  2,628,504
Macquarie Group Ltd. (c)  1.34(b)  01/12/27  2,500,000  2,139,669
Nationwide Building Society (c)  2.97(b)  02/16/28  1,500,000  1,289,061
NatWest Group PLC  2.36(b)  05/22/24  845,000  825,149
NatWest Group PLC  4.52(b)  06/25/24  1,325,000  1,309,238
NatWest Group PLC  4.27(b)  03/22/25  1,330,000  1,293,096
Nissan Motor Co., Ltd. (c)  3.52  09/17/25  2,500,000  2,299,261
Nissan Motor Co., Ltd. (c)  1.85  09/16/26  2,000,000  1,624,335
Saudi Arabian Oil Co. (c)  1.63  11/24/25  500,000  449,832
Syngenta Finance NV (c)  4.44  04/24/23  400,000  397,651
Tencent Music Entertainment Group  1.38  09/03/25  1,260,000  1,116,343
TransCanada Pipelines Ltd.  7.06  10/14/25  6,043,000  6,217,348
Triton Container International Ltd. (c)  1.15  06/07/24  2,110,000  1,921,727
Total Yankee Bonds        
(Cost $37,908,362)       34,342,862
    
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 2.2% of portfolio
Energy | 1.6%    
Petroleos Mexicanos  2.86(b)  04/15/25  6,448,750  6,426,181
Petroleos Mexicanos  2.46  12/15/25  153,650  147,674
Reliance Industries Ltd.  1.87  01/15/26  1,109,316  1,052,846
Total Energy       7,626,701
Financials | 0.6%    
MSN 41079 and 41084 Ltd.  1.72  07/13/24  431,781  419,564
MSN 41079 and 41084 Ltd.  1.63  12/14/24  532,394  514,381
Pluto Aircraft Leasing LLC  3.07(b)  02/07/23  56,605  56,555
Santa Rosa Leasing LLC  1.69  08/15/24  450,035  438,965
10
                

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 2.2% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Financials | 0.6% (Continued)    
Thirax 1 LLC  0.97%  01/14/33  $2,118,392  $1,742,692
Total Financials       3,172,157
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $11,309,596)       10,798,858
Municipal Bonds | 1.3% of portfolio
Arizona | 0.4%    
Glendale Arizona  1.45  07/01/26  1,000,000  881,383
Glendale Arizona  1.72  07/01/27  1,235,000  1,066,570
Total Arizona       1,947,953
California | 0.1%    
EL Cajon California Pension Obligation  1.70  04/01/27  300,000  256,781
Total California       256,781
Maine | 0.1%    
Maine Health & Higher Educational Facilities  1.66  07/01/27  300,000  253,602
Maine State Housing Authority  1.70  11/15/26  245,000  217,983
Total Maine       471,585
New Jersey | 0.4%    
New Jersey Housing and Mortgage Finance Agency  1.34  04/01/24  675,000  640,366
New Jersey Housing and Mortgage Finance Agency  1.49  04/01/25  580,000  530,579
New Jersey Housing and Mortgage Finance Agency  1.54  10/01/25  1,000,000  901,917
Total New Jersey       2,072,862
New York | 0.1%    
Suffolk County New York  1.05  06/15/23  350,000  342,213
Total New York       342,213
Texas | 0.2%    
Grey Forest Texas Gas System Revenue  1.05  02/01/25  800,000  735,010
Harris County Texas Cultural Education Facilities Finance Corp.  1.45  11/15/22  400,000  398,968
Total Texas       1,133,978
Total Municipal Bonds        
(Cost $6,903,336)       6,225,372
Mortgage-Backed Securities | 0.4% of portfolio
FHLMC 780754  4.08(b)  08/01/33  643  641
FNMA 813842  3.45(b)  01/01/35  1,784  1,814
GNMA 21-8  1.00  01/20/50  2,122,991  1,739,417
Salomon Brothers Mortgage Securities 97-LB6  6.82  12/25/27  1  1
Total Mortgage-Backed Securities        
(Cost $2,127,019)       1,741,873
    
                
11

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Money Market Fund | 3.4% of portfolio
  Interest Rate /Yield   Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class  2.94%(d)    16,814,815  $16,814,815
Total Money Market Fund        
(Cost $16,814,815)       16,814,815
Total Investments in Securities        
(Cost $512,183,925) | 100.0%       $487,868,945
(a) Interest is paid at maturity.
(b) Variable coupon rate as of September 30, 2022.
(c) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Directors. The total of such securities at period-end amounts to $122,564,364 and represents 25.1% of total investments.
(d) 7-day yield at September 30, 2022.
LLC - Limited Liability Company
N.A. - North America
LP - Limited Partnership
SARL - Societe a responsabilite limitee
PLC - Public Limited Company
NV - Naamloze Vennottschap
FHLMC - Federal Home Loan Mortgage Corporation
At September 30, 2022, the cost of investment securities for tax purposes was $512,246,206. Net unrealized depreciation of investment securities was $24,377,261 consisting of unrealized gains of $4,395 and unrealized losses of $24,381,656.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Short-Term Bond Fund Level 1 Level 2 Level 3 Total
U.S. Government & Agency Obligations

$$235,418,847 $$235,418,847
Corporate Bonds–Other

126,190,224 126,190,224
Asset-Backed Securities

56,336,094 56,336,094
Yankee Bonds

34,342,862 34,342,862
Corporate Bonds Guaranteed by Export-Import Bank of the United States

10,798,858 10,798,858
Municipal Bonds

6,225,372 6,225,372
Mortgage-Backed Securities

1,741,873 1,741,873
Money Market Fund

16,814,815 16,814,815
Total $16,814,815 $471,054,130 $ — $487,868,945
12
                

Portfolio of Investments
Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)

U.S. Government & Agency Obligations | 37.2% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Federal Farm Credit Bank  0.52%  10/21/25  $300,000  $266,018
U.S. International Development Finance Corp.  1.05  10/15/29  125,960  110,382
U.S. Treasury Note  4.25  09/30/24  5,170,000  5,172,423
U.S. Treasury Note  3.50  09/15/25  6,936,000  6,794,571
U.S. Treasury Note  4.13  09/30/27  8,341,000  8,368,369
U.S. Treasury Note  2.38  03/31/29  3,195,000  2,892,973
U.S. Treasury Note  2.63  07/31/29  3,491,000  3,207,902
U.S. Treasury Note  2.75  08/15/32  5,516,000  5,043,692
U.S. Treasury Note  1.75  08/15/41  5,309,000  3,629,821
U.S. Treasury Note  2.38  02/15/42  4,918,000  3,768,418
U.S. Treasury Note  3.25  05/15/42  3,088,000  2,740,600
U.S. Treasury Note  3.38  08/15/42  344,000  311,589
U.S. Treasury Note  1.88  11/15/51  2,000,000  1,322,578
U.S. Treasury Note  2.25  02/15/52  5,179,000  3,762,867
U.S. Treasury Note  2.88  05/15/52  570,000  477,998
Total U.S. Government & Agency Obligations        
(Cost $52,637,722)       47,870,201
    
Corporate Bonds–Other | 23.3% of portfolio
Communication Services | 1.0%    
Magallanes, Inc. (a)  4.05  03/15/29  190,000  164,101
Magallanes, Inc. (a)  4.28  03/15/32  190,000  156,310
Magallanes, Inc. (a)  5.05  03/15/42  285,000  213,249
Magallanes, Inc. (a)  5.14  03/15/52  180,000  130,827
Magallanes, Inc. (a)  5.39  03/15/62  190,000  137,733
Sprint Spectrum Co. LLC (a)  4.74  03/20/25  281,251  277,198
T-Mobile US, Inc.  3.00  02/15/41  200,000  133,668
Total Communication Services       1,213,086
Consumer Discretionary | 1.2%    
Block Financial Corp.  2.50  07/15/28  145,000  119,758
Daimler Trucks Financial N.A. LLC (a)  3.50  04/07/25  340,000  322,794
Expedia Group, Inc.  4.63  08/01/27  330,000  309,904
General Motors Financial Co., Inc.  4.35  01/17/27  150,000  139,063
Kohl's Corp.  5.55  07/17/45  530,000  317,306
Tractor Supply Co.  1.75  11/01/30  100,000  74,895
US Airways 2013 1A PTT  3.95  05/15/27  311,947  276,504
Total Consumer Discretionary       1,560,224
Consumer Staples | 1.0%    
7-Eleven Inc. (a)  1.30  02/10/28  60,000  48,335
7-Eleven Inc. (a)  1.80  02/10/31  60,000  44,576
7-Eleven Inc. (a)  2.80  02/10/51  135,000  78,678
Campbell Soup Co.  2.38  04/24/30  250,000  198,414
JBS USA Finance, Inc. (a)  3.00  02/02/29  335,000  274,089
JBS USA Finance, Inc. (a)  4.38  02/02/52  530,000  355,238
Smithfield Foods, Inc. (a)  2.63  09/13/31  340,000  249,202
Total Consumer Staples       1,248,532
Energy | 2.4%    
BP Capital Markets America Inc.  2.77  11/10/50  210,000  130,411
Cheniere Corpus Christi Holdings LLC  5.13  06/30/27  180,000  174,279
Cheniere Corpus Christi Holdings LLC  3.70  11/15/29  39,000  33,821
Cheniere Corpus Christi Holdings LLC  2.74  12/31/39  170,000  122,609
                
13

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 23.3% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Energy | 2.4% (Continued)    
Energy Transfer Operating LP  3.75%  05/15/30  $318,000  $269,270
Energy Transfer Operating LP  6.00  06/15/48  420,000  362,876
HF Sinclair Corp. (a)  2.63  10/01/23  60,000  58,070
Marathon Oil Corp.  4.40  07/15/27  360,000  336,128
Midwest Connector Capital Co. LLC (a)  3.90  04/01/24  85,000  82,115
Midwest Connector Capital Co. LLC (a)  4.63  04/01/29  205,000  182,912
MPLX LP  1.75  03/01/26  80,000  69,999
MPLX LP  2.65  08/15/30  245,000  191,939
National Oilwell Varco, Inc.  3.60  12/01/29  112,000  94,681
Phillips 66  2.15  12/15/30  260,000  200,320
Pioneer Natural Resources Co.  1.90  08/15/30  255,000  194,959
Targa Resources Corp.  5.20  07/01/27  260,000  250,114
Valero Energy Corp.  2.80  12/01/31  340,000  270,426
Total Energy       3,024,929
Financials | 11.8%    
Antares Holdings LP  3.95  07/15/26  375,000  320,626
Athene Global Funding (a)  2.50  01/14/25  884,000  824,468
Athene Global Funding (a)  2.95  11/12/26  120,000  105,832
Athene Holding Ltd.  3.95  05/25/51  300,000  199,812
Bank of America Corp.  4.83(b)  07/22/26  740,000  723,493
Bank of America Corp.  1.20(b)  10/24/26  200,000  174,511
Bank of America Corp.  4.95(b)  07/22/28  525,000  504,438
Bank of America Corp.  2.50(b)  02/13/31  263,000  207,523
Bank of America Corp.  1.92(b)  10/24/31  700,000  517,788
Bank of America Corp.  5.02(b)  07/22/33  885,000  820,972
CIT Group Inc.  3.93(b)  06/19/24  402,000  396,573
Citigroup Inc.  2.57(b)  06/03/31  870,000  684,271
CoreStates Capital II (a)  3.16(b)  01/15/27  725,000  683,312
Fidus Investment Corp.  3.50  11/15/26  166,000  138,278
GA Global Funding Trust (a)  0.80  09/13/24  240,000  217,185
GA Global Funding Trust (a)  3.85  04/11/25  460,000  438,222
Goldman Sachs Group, Inc.  2.64(b)  02/24/28  245,000  212,572
Goldman Sachs Group, Inc.  3.62(b)  03/15/28  153,000  139,238
Goldman Sachs Group, Inc.  2.38(b)  07/21/32  365,000  275,205
Goldman Sachs Group, Inc.  3.10(b)  02/24/33  265,000  210,477
Goldman Sachs Group, Inc.  2.91(b)  07/21/42  230,000  147,878
Goldman Sachs Group, Inc.  3.44(b)  02/24/43  255,000  176,574
J.P. Morgan Chase & Co.  2.08(b)  04/22/26  340,000  309,770
J.P. Morgan Chase & Co.  1.04(b)  02/04/27  150,000  127,460
J.P. Morgan Chase & Co.  1.95(b)  02/04/32  480,000  355,071
J.P. Morgan Chase & Co.  4.91(b)  07/25/33  185,000  170,599
Main Street Capital Corp.  3.00  07/14/26  906,000  762,770
Morgan Stanley  2.63(b)  02/18/26  355,000  330,747
Morgan Stanley  1.51(b)  07/20/27  200,000  170,337
Morgan Stanley  1.79(b)  02/13/32  510,000  372,719
Morgan Stanley  4.89(b)  07/20/33  170,000  157,516
Owl Rock Capital Corp. III (a)  3.13  04/13/27  681,000  552,300
Owl Rock Core Income Corp. (a)  3.13  09/23/26  1,311,000  1,102,073
Owl Rock Technology Finance Corp.  3.75  06/17/26  150,000  129,784
Owl Rock Technology Finance Corp.  2.50  01/15/27  366,000  293,650
Prudential Financial, Inc.  5.70(b)  09/15/48  75,000  70,031
Santander Holdings USA, Inc.  2.49(b)  01/06/28  298,000  248,508
Security Benefit Global Funding (a)  1.25  05/17/24  300,000  279,721
Wells Fargo & Co.  2.19(b)  04/30/26  210,000  191,787
Wells Fargo & Co.  3.53(b)  03/24/28  240,000  217,372
14
                

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 23.3% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Financials | 11.8% (Continued)    
Wells Fargo & Co.  2.39%(b)  06/02/28  $445,000  $381,631
Wells Fargo & Co.  2.57(b)  02/11/31  200,000  160,089
Wells Fargo & Co.  4.90(b)  07/25/33  465,000  428,699
Wells Fargo & Co.  3.07(b)  04/30/41  440,000  301,992
Total Financials       15,233,874
Health Care | 0.1%    
HCA Healthcare, Inc.  3.50  07/15/51  228,000  141,171
Mylan Inc.  5.20  04/15/48  50,000  34,408
Total Health Care       175,579
Industrials | 1.4%    
Ashtead Capital, Inc. (a)  1.50  08/12/26  240,000  201,221
Ashtead Capital, Inc. (a)  4.25  11/01/29  308,000  268,763
Ashtead Capital, Inc. (a)  2.45  08/12/31  200,000  147,021
BNSF Railway Co. (a)  3.44  06/16/28  368,354  342,913
Boeing Co. (The)  2.20  02/04/26  350,000  310,603
Delta Air Lines, Inc. (a)  7.00  05/01/25  250,000  251,613
Quanta Services, Inc.  2.35  01/15/32  260,000  191,284
Triton International Ltd.  3.25  03/15/32  175,000  129,404
Total Industrials       1,842,822
Information Technology | 0.6%    
Broadcom Cayman Finance Ltd.  3.88  01/15/27  255,000  234,569
VMware, Inc.  1.40  08/15/26  155,000  132,559
VMware, Inc.  4.70  05/15/30  200,000  179,919
VMware, Inc.  2.20  08/15/31  155,000  112,819
Western Digital Corp.  2.85  02/01/29  175,000  136,000
Total Information Technology       795,866
Materials | 1.3%    
Celanese US Holdings LLC  6.05  03/15/25  515,000  503,076
Celanese US Holdings LLC  6.17  07/15/27  360,000  340,706
Celanese US Holdings LLC  6.33  07/15/29  260,000  242,326
Celanese US Holdings LLC  6.38  07/15/32  175,000  162,622
Glencore Funding LLC (a)  2.63  09/23/31  260,000  194,871
Glencore Funding LLC (a)  3.38  09/23/51  170,000  103,480
Silgan Holdings Inc. (a)  1.40  04/01/26  125,000  106,705
Total Materials       1,653,786
Real Estate | 0.2%    
Host Hotels & Resorts, LP  4.50  02/01/26  150,000  142,403
VICI Properties LP  4.75  02/15/28  180,000  165,512
Total Real Estate       307,915
Utilities | 2.3%    
Entergy Louisiana, LLC  3.78  04/01/25  325,000  313,334
National Fuel Gas Co.  5.50  01/15/26  80,000  78,566
Pacific Gas & Electric Co.  4.25  08/01/23  644,000  638,937
Pacific Gas & Electric Co.  3.00  06/15/28  225,000  185,388
Pacific Gas & Electric Co.  4.55  07/01/30  130,000  111,402
Pacific Gas & Electric Co.  4.25  03/15/46  770,000  517,479
SCE Recovery Funding LLC  2.51  11/15/43  190,000  123,428
                
15

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 23.3% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Utilities | 2.3% (Continued)    
Southern California Edison Co.  1.10%  04/01/24  $370,000  $348,610
Southern California Edison Co.  2.25  06/01/30  55,000  43,571
Southern California Edison Co.  4.50  09/01/40  200,000  161,687
Southern California Edison Co.  4.00  04/01/47  164,000  119,486
Southern California Edison Co.  3.65  02/01/50  214,000  146,448
TerraForm Power Operating LLC (a)  4.75  01/15/30  171,000  145,141
Total Utilities       2,933,477
Total Corporate Bonds–Other        
(Cost $36,117,904)       29,990,090
Mortgage-Backed Securities | 17.5% of portfolio
Farm 2021-1 Mortgage Trust 21-1 (a)  2.18(b)  01/25/51  229,090  192,952
FHLMC QA7479  3.00  03/01/50  223,647  196,434
FHLMC QE2363  3.50  05/01/52  1,398,507  1,260,830
FHLMC SB8503  2.00  08/01/35  1,434,102  1,265,260
FHLMC SD1188  3.50  06/01/52  712,976  642,471
FHLMC SD1495  5.00  08/01/52  944,329  928,835
FHLMC SD7555  3.00  08/01/52  943,290  830,157
FHLMC SD8068  3.00  06/01/50  218,763  191,732
FHLMC SD8237  4.00  08/01/52  1,387,268  1,288,103
FNMA BN7662  3.50  07/01/49  91,411  83,108
FNMA CA4016  3.00  08/01/49  527,606  463,473
FNMA FM1000  3.00  04/01/47  948,524  841,312
FNMA FM4231  2.50  09/01/50  244,369  206,621
FNMA FM5470  2.00  01/01/36  936,351  826,111
FNMA MA3691  3.00  07/01/49  149,560  131,351
FNMA MA3834  3.00  11/01/49  312,041  273,782
FNMA MA3960  3.00  03/01/50  143,637  125,918
FNMA MA3992  3.50  04/01/50  144,945  131,701
FNMA MA4048  3.00  06/01/50  655,422  574,868
FNMA MA4124  2.50  09/01/35  1,236,529  1,123,376
FNMA MA4179  2.00  11/01/35  3,994,412  3,524,028
FNMA MA4229  2.00  01/01/36  1,877,014  1,660,570
FNMA MA4303  2.00  04/01/36  1,597,002  1,408,905
FNMA MA4418  2.00  09/01/36  2,663,532  2,349,729
Freddie Mac STACR 21-HQA3 (a)  5.53(b)  09/25/41  1,000,000  856,945
GNMA 21-8  1.00  01/20/50  544,992  446,525
GNMA G2786247  4.00  07/20/52  683,789  639,543
Total Mortgage-Backed Securities        
(Cost $25,663,434)       22,464,640
    
Asset-Backed Securities | 11.1% of portfolio
American Credit Acceptance Receivables Trust 21-2B (a)  0.68  05/13/25  726,080  725,152
American Credit Acceptance Receivables Trust 22-1B (a)  1.68  09/14/26  375,000  359,297
Avant Credit Card Master Trust 21-1A (a)  1.37  04/15/27  500,000  453,341
Avant Loans Funding Trust 21-REV1 (a)  1.21  07/15/30  500,000  469,393
Avant Loans Funding Trust 22-REV1 (a)  6.54  09/15/31  595,000  582,488
Carvana Auto Receivables Trust 20-N1A (a)  2.01  03/17/25  8,595  8,588
Colony American Finance Ltd. 21-2 (a)  1.41  07/15/54  177,247  150,961
CoreVest American Finance 20-4 (a)  1.17  12/15/52  129,847  114,463
CoreVest American Finance 21-1 (a)  1.57  04/15/53  836,361  724,344
CoreVest American Finance 21-3 (a)  2.49  10/15/54  660,000  566,878
CPS Auto Trust 21-B (a)  0.81  12/15/25  200,000  197,620
Credit Acceptance Auto Loan Trust 20-1A (a)  2.01  02/15/29  80,532  80,428
16
                

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Asset-Backed Securities | 11.1% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Credit Acceptance Auto Loan Trust 20-1A (a)  2.39%  04/16/29  $250,000  $247,462
Credit Acceptance Auto Loan Trust 20-2A (a)  1.37  07/16/29  191,786  189,254
Credit Acceptance Auto Loan Trust 20-3A (a)  1.24  10/15/29  350,000  339,924
Credit Acceptance Auto Loan Trust 21-2A (a)  0.96  02/15/30  320,000  305,141
Credito Real USA Auto Receivables Trust 21-1 (a)  1.35  02/16/27  347,656  338,395
DT Auto Owner Trust 20-3A (a)  0.91  12/16/24  115,564  114,880
Exeter Automobile Receivables Trust 21-1A  0.50  02/18/25  20,978  20,955
FIC Funding 21-1 (a)  1.13  04/15/33  127,780  123,904
First Investors Auto Owner Trust 21-2A (a)  0.48  03/15/27  293,620  285,045
Firstkey Homes Trust 22-SFR2 (a)  4.25  07/17/39  324,509  305,436
Flagship Credit Auto Trust 21-3 (a)  0.36  07/15/27  245,307  238,573
FRTKL 21-SFR1 (a)  1.57  09/17/38  250,000  214,858
GLS Auto Receivables Trust 20-4 (a)  0.87  12/16/24  52,528  52,454
GLS Auto Receivables Trust 21-3A (a)  0.42  01/15/25  131,213  129,928
GLS Auto Receivables Trust 21-4 (a)  0.84  07/15/25  342,986  337,517
Gracie Point International Fund 20-B (a)  3.77(b)  05/02/23  290,989  290,941
Gracie Point International Fund 21-1 (a)  3.12(b)  11/01/23  319,877  318,437
LAD Auto Receivables Trust 21-1 (a)  1.30  08/17/26  243,720  234,927
Oasis Securitisation 21-1A (a)  2.58  02/15/33  113,247  111,686
Oasis Securitisation 21-2A (a)  2.14  10/15/33  375,394  364,933
Oasis Securitisation 22-1A (a)  4.75  05/15/34  201,944  198,361
Oasis Securitisation 22-2A (a)  6.85  10/15/34  640,000  640,640
Oportun Funding 21-A (a)  1.21  03/08/28  300,000  278,537
Oportun Funding 21-B (a)  1.47  05/08/31  1,000,000  887,734
Oscar US Funding Trust 21-1A (a)  0.40  03/11/24  36,569  36,353
PenFed Auto Receivable Owner 22-A (a)  3.96  04/15/26  330,000  325,147
Progress Residential Trust 21-SFR8 (a)  1.51  10/17/38  338,687  290,312
Progress Residential Trust 22-SFR3 (a)  3.20  04/17/39  250,000  226,731
Progress Residential Trust 22-SFR3 (a)  3.60  04/17/39  165,000  148,894
SBA Tower Trust (a)  2.84  01/15/25  230,000  215,174
SBA Tower Trust (a)  1.88  01/15/26  330,000  290,158
SBA Tower Trust (a)  1.63  11/15/26  580,000  494,399
SBA Tower Trust (a)  2.59  10/15/31  430,000  335,576
United Auto Credit Securitization Trust 21-1B (a)  0.68  03/11/24  148,842  148,710
Upstart Securitization Trust 21-3 (a)  0.83  07/20/31  91,996  89,051
Upstart Securitization Trust 21-4 (a)  0.84  09/20/31  198,638  190,464
Westgate Resorts 22-1A (a)  2.29  08/20/36  326,553  307,653
Westlake Automobile Receivable Trust 20-3A (a)  0.78  11/17/25  230,000  228,130
Total Asset-Backed Securities        
(Cost $15,306,086)       14,329,627
    
Yankee Bonds | 5.0% of portfolio
Aircastle Ltd. (a)  5.25  08/11/25  206,000  193,915
Aptiv PLC  3.10  12/01/51  280,000  156,798
Avolon Holdings Funding Ltd. (a)  5.13  10/01/23  500,000  491,584
Avolon Holdings Funding Ltd. (a)  5.50  01/15/26  800,000  752,395
Avolon Holdings Funding Ltd. (a)  2.75  02/21/28  500,000  392,627
Bausch Health Cos. Inc. (a)  6.13  02/01/27  180,000  124,588
Cenovus Energy Inc.  2.65  01/15/32  260,000  200,379
Cenovus Energy Inc.  5.25  06/15/37  395,000  346,076
Delta and SkyMiles IP Ltd. (a)  4.75  10/20/28  550,000  512,246
Lenovo Group Ltd. (a)  5.83  01/27/28  370,000  351,100
Lenovo Group Ltd. (a)  3.42  11/02/30  805,000  608,411
NatWest Group PLC  4.27(b)  03/22/25  296,000  287,787
Nissan Motor Co., Ltd. (a)  3.52  09/17/25  230,000  211,532
Nissan Motor Co., Ltd. (a)  1.85  09/16/26  260,000  211,164
Nissan Motor Co., Ltd. (a)  2.45  09/15/28  435,000  327,715
                
17

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Yankee Bonds | 5.0% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Nissan Motor Co., Ltd. (a)  4.81%  09/17/30  $200,000  $162,036
Petronas Capital Ltd. (a)  2.48  01/28/32  200,000  163,999
Petronas Capital Ltd. (a)  3.40  04/28/61  360,000  247,127
Syngenta Finance NV (a)  4.44  04/24/23  230,000  228,649
Syngenta Finance NV (a)  4.89  04/24/25  530,000  512,392
Total Yankee Bonds        
(Cost $7,651,604)       6,482,520
    
Municipal Bonds | 2.9% of portfolio
Alabama | 0.1%    
Alabama Public School & College Authority  1.16  06/01/26  85,000  75,310
Total Alabama       75,310
Arizona | 0.2%    
Pinal County Arizona Revenue Obligation  1.05  08/01/24  120,000  112,914
Pinal County Arizona Revenue Obligation  1.58  08/01/26  110,000  98,836
Yuma Arizona Pledged Revenue  2.63  07/15/38  135,000  98,077
Total Arizona       309,827
California | 1.4%    
City of Chula Vista California Pension Obligation  1.16  06/01/27  130,000  109,432
City of Chula Vista California Pension Obligation  1.41  06/01/28  130,000  106,777
City of Chula Vista California Pension Obligation  1.63  06/01/29  160,000  128,532
City of Chula Vista California Pension Obligation  2.91  06/01/45  255,000  157,669
City of Los Angeles California Department of Airports  1.25  05/15/28  200,000  163,359
City of Monterey Park California Pension Obligation  1.89  06/01/30  1,000,000  800,375
EL Cajon California Pension Obligation  1.70  04/01/27  100,000  85,594
Huntington Beach California Pension Obligation  1.68  06/15/27  155,000  134,039
San Francisco California City & County Airports  3.35  05/01/51  100,000  69,642
Total California       1,755,419
Colorado | 0.2%    
Regional Transportation District Colorado  1.18  11/01/27  175,000  148,460
Regional Transportation District Colorado  1.33  11/01/28  150,000  124,084
Total Colorado       272,544
New Jersey | 0.6%    
New Jersey Housing and Mortgage Finance Agency  1.34  04/01/24  85,000  80,639
New Jersey Housing and Mortgage Finance Agency  1.49  04/01/25  75,000  68,609
New Jersey Housing and Mortgage Finance Agency  1.54  10/01/25  130,000  117,249
New Jersey Transportation Trust Fund Authority  4.08  06/15/39  575,000  478,062
Total New Jersey       744,559
Texas | 0.3%    
Harris County Texas Cultural Education Facilities Finance Corp.  3.34  11/15/37  275,000  222,251
North Texas Tollway Authority Revenue  3.01  01/01/43  150,000  108,450
San Antonio Texas Electric & Gas  2.91  02/01/48  150,000  105,367
Total Texas       436,068
18
                

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Municipal Bonds | 2.9% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
West Virginia | 0.1%    
West Virginia State University Revenues  3.01%  10/01/41  $150,000  $109,463
Total West Virginia       109,463
Total Municipal Bonds        
(Cost $4,581,276)       3,703,190
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 0.4% of portfolio
Energy | 0.1%    
Petroleos Mexicanos  2.86(b)  04/15/25  196,625  195,937
Total Energy       195,937
Financials | 0.3%    
Thirax 1 LLC  0.97  01/14/33  441,332  363,061
Total Financials       363,061
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $637,830)       558,998
Money Market Fund | 2.6% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  2.94(c)    3,395,409  3,395,409
Total Money Market Fund        
(Cost $3,395,409)       3,395,409
Total Investments in Securities        
(Cost $145,991,265) | 100.0%       $128,794,675
(a) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Trustees. The total of such securities at period-end amounts to $29,590,317 and represents 23.0% of total investments.
(b) Variable coupon rate as of September 30, 2022.
(c) 7-day yield at September 30, 2022.
LLC - Limited Liability Company
N.A. - North America
LP - Limited Partnership
FHLMC - Federal Home Loan Mortgage Corporation
PLC - Public Limited Company
NV - Naamloze Vennottschap
At September 30, 2022, the cost of investment securities for tax purposes was $146,016,371. Net unrealized depreciation of investment securities was $17,221,696 consisting of unrealized gains of $6,470 and unrealized losses of $17,228,166.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
                
19

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Intermediate Bond Fund Level 1 Level 2 Level 3 Total
U.S. Government & Agency Obligations

$$47,870,201 $$47,870,201
Corporate Bonds–Other

29,990,090 29,990,090
Mortgage-Backed Securities

22,464,640 22,464,640
Asset-Backed Securities

14,329,627 14,329,627
Yankee Bonds

6,482,520 6,482,520
Municipal Bonds

3,703,190 3,703,190
Corporate Bonds Guaranteed by Export-Import Bank of the United States

558,998 558,998
Money Market Fund

3,395,409 3,395,409
Total $3,395,409 $125,399,266 $ — $128,794,675
20
                

Portfolio of Investments
Rural America Growth & Income Fund  |  September 30, 2022  |  (Unaudited)

Common Stocks | 57.4% of portfolio
      Shares Value
Communication Services | 0.5%
Media        
Cable One, Inc.      38  $32,416
Total Communication Services       32,416
Consumer Discretionary | 7.1%
Hotels, Restaurants & Leisure        
Choice Hotels International, Inc.      705  77,211
Leisure Products        
Malibu Boats, Inc. Class A (a)      908  43,575
Multiline Retail        
Dollar General Corp.      291  69,799
Ollie's Bargain Outlet Holdings, Inc. (a)      493  25,439
Specialty Retail        
ARKO Corp. (a)      4,095  38,452
Lowe's Companies, Inc.      266  49,958
O'Reilly Automotive, Inc. (a)      129  90,732
Tractor Supply Co.      306  56,879
Total Consumer Discretionary       452,045
Consumer Staples | 2.3%
Food Products        
Hershey Co. (The)      663  146,172
Total Consumer Staples       146,172
Energy | 1.5%
Oil, Gas & Consumable Fuels        
Chevron Corp.      202  29,021
ConocoPhillips      287  29,372
Marathon Petroleum Corp.      348  34,567
Total Energy       92,960
Financials | 8.0%
Banks        
FB Financial Corp.      805  30,759
Glacier Bancorp, Inc.      1,361  66,866
South State Corp.      575  45,494
Truist Financial Corp.      2,511  109,329
Capital Markets        
CME Group, Inc.      523  92,639
Intercontinental Exchange, Inc.      797  72,009
Insurance        
Allstate Corp.      150  18,679
American International Group, Inc.      689  32,714
Chubb Ltd.      223  40,559
Total Financials       509,048
Health Care | 8.8%
Health Care Equipment & Supplies        
Integer Holdings Corp. (a)      1,178  73,307
Stryker Corp.      528  106,941
Health Care Providers & Services        
AMN Healthcare Services, Inc. (a)      575  60,927
Centene Corp. (a)      1,064  82,790
                
21

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Common Stocks | 57.4% of portfolio (Continued)
      Shares Value
Health Care | 8.8% (Continued)
LHC Group, Inc. (a)      130  $21,275
Life Sciences Tools & Services        
IQVIA Holdings Inc. (a)      363  65,754
Pharmaceuticals        
Zoetis Inc.      989  146,659
Total Health Care       557,653
Industrials | 9.4%
Air Freight & Logistics        
Air Transport Services Group, Inc. (a)      2,041  49,168
Commercial Services & Supplies        
Casella Waste Systems, Inc. Class A (a)      666  50,876
Machinery        
Cummins Inc.      205  41,720
Deere & Co.      441  147,245
Xylem, Inc.      224  19,569
Road & Rail        
CSX Corp.      2,865  76,323
J.B. Hunt Transport Services, Inc.      288  45,049
Trading Companies & Distributors        
Applied Industrial Technologies, Inc.      499  51,287
Fastenal Co.      2,453  112,936
Total Industrials       594,173
Information Technology | 13.3%
Electronic Equipment, Instruments & Components        
Advanced Energy Industries, Inc.      797  61,695
Corning Inc.      3,200  92,864
Trimble Inc. (a)      1,281  69,520
IT Services        
Block, Inc. (a)      1,071  58,894
Jack Henry & Associates, Inc.      835  152,196
Semiconductors & Semiconductor Equipment        
Diodes Inc. (a)      1,013  65,754
Software        
ANSYS, Inc. (a)      408  90,453
Paycom Software, Inc. (a)      438  144,536
Tyler Technologies, Inc. (a)      300  104,250
Total Information Technology       840,162
Materials | 1.7%
Chemicals        
Sherwin-Williams Co. (The)      262  53,645
Construction Materials        
Vulcan Materials Co.      347  54,725
Total Materials       108,370
Real Estate | 4.8%
Equity Real Estate Investment Trusts (REITs)        
American Tower Corp.      623  133,758
Community Healthcare Trust Inc.      671  21,975
Crown Castle International Corp.      919  132,842
22
                

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Common Stocks | 57.4% of portfolio (Continued)
      Shares Value
Real Estate | 4.8% (Continued)
Uniti Group Inc.      2,725  $18,939
Total Real Estate       307,514
Total Common Stocks        
(Cost $ 4,236,520)       3,640,513
U.S. Government & Agency Obligations | 18.3% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount  
Federal Farm Credit Bank  0.52%  10/21/25  $200,000  177,345
Federal Farm Credit Bank  3.32  02/25/26  200,000  193,970
Federal Farm Credit Bank  1.20  04/28/27  195,000  169,821
Federal Farm Credit Bank  3.38  09/15/27  120,000  116,017
Federal Farm Credit Bank  3.43  12/06/28  62,000  59,751
Federal Farm Credit Bank  3.50  09/01/32  50,000  46,736
Tennessee Valley Authority  2.88  09/15/24  99,000  96,205
Tennessee Valley Authority  0.75  05/15/25  88,000  80,218
Tennessee Valley Authority  7.12  05/01/30  95,000  112,661
Tennessee Valley Authority  1.50  09/15/31  135,000  107,830
Total U.S. Government & Agency Obligations        
(Cost $ 1,242,559)       1,160,554
    
Corporate Bonds–Other | 14.8% of portfolio
Communication Services | 1.4%
DISH DBS Corp. (b)  5.25  12/01/26  57,000  46,697
T-Mobile USA, Inc.  3.75  04/15/27  44,000  40,605
Total Communication Services       87,302
Consumer Discretionary | 1.4%
Choice Hotels International, Inc.  3.70  01/15/31  25,000  20,781
Kohl's Corp.  3.25  02/01/23  8,000  7,895
Kohl's Corp.  4.25  07/17/25  22,000  19,641
Mohawk Industries, Inc.  3.85  02/01/23  10,000  9,994
Tractor Supply Co.  1.75  11/01/30  44,000  32,954
Total Consumer Discretionary       91,265
Consumer Staples | 0.5%
Bunge Limited Finance Corp.  3.75  09/25/27  10,000  9,160
Dollar General Corp.  4.15  11/01/25  22,000  21,329
Total Consumer Staples       30,489
Energy | 0.0%
Murphy Oil Corp.  6.38  07/15/28  3,000  2,835
Total Energy       2,835
Financials | 6.8%
American Tower Corp.  3.95  03/15/29  60,000  53,516
Chubb INA Holdings Inc.  3.15  03/15/25  36,000  34,537
Cincinnati Financial Corp.  6.92  05/15/28  25,000  26,572
Globe Life Inc.  4.55  09/15/28  33,000  31,039
Intercontinental Exchange, Inc.  3.75  12/01/25  78,000  75,322
M&T Bank Corp.  3.55  07/26/23  58,000  57,634
                
23

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Corporate Bonds–Other | 14.8% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Financials | 6.8% (Continued)
Metlife, Inc.  3.00%  03/01/25  $42,000  $40,565
Synovus Financial Corp.  3.13  11/01/22  21,000  20,966
Truist Bank  3.69 (c)  08/02/24  60,000  59,348
Truist Financial Corp.  3.87  03/19/29  35,000  31,649
Total Financials       431,148
Health Care | 1.2%
CVS Health Corp.  1.30  08/21/27  26,000  21,661
Laboratory Corporation of America Holdings  2.30  12/01/24  20,000  18,827
Laboratory Corporation of America Holdings  1.55  06/01/26  43,000  37,674
Total Health Care       78,162
Industrials | 0.8%
CNH Industrial Capital LLC  1.45  07/15/26  17,000  14,698
J.B. Hunt Transport Services, Inc.  3.87  03/01/26  23,000  22,098
John Deere Capital Corp.  2.65  06/24/24  15,000  14,511
Total Industrials       51,307
Information Technology | 0.4%
Micron Technology, Inc.  4.66  02/15/30  26,000  23,068
Total Information Technology       23,068
Materials | 1.3%
Martin Marietta Materials, Inc.  3.50  12/15/27  9,000  8,285
Mosaic Co.  4.05  11/15/27  22,000  20,472
Steel Dynamics, Inc.  2.40  06/15/25  27,000  24,962
Vulcan Materials Co.  3.50  06/01/30  32,000  27,372
Total Materials       81,091
Real Estate | 0.3%
Crown Castle International Corp.  3.80  02/15/28  18,000  16,287
Total Real Estate       16,287
Utilities | 0.7%
Black Hills Corp.  4.25  11/30/23  45,000  44,806
Total Utilities       44,806
Total Corporate Bonds–Other        
(Cost $ 1,054,927)       937,760
Asset-Backed Securities | 3.5% of portfolio
CNH Equipment Trust 22-A  2.39  08/15/25  100,000  98,038
SBA Tower Trust (b)  1.63  11/15/26  60,000  51,145
SBA Tower Trust (b)  2.59  10/15/31  52,000  40,581
SBA Tower Trust (b)  2.84  01/15/25  35,000  32,744
Total Asset-Backed Securities        
(Cost $ 248,335)       222,508
    
Municipal Bonds | 1.8% of portfolio
Kansas | 0.2%
City of Wichita, Kansas Water & Sewer Utility Revenue  3.00  10/01/24  10,000  9,681
24
                

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Municipal Bonds | 1.8% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Montana | 0.2%
Yellowstone County School District No. 2 Billings  2.22%  06/15/32  $15,000  $11,893
Pennsylvania | 0.6%
Geisinger Health System Revenue  2.25  04/01/27  20,000  17,891
New Castle Sanitation Authority  1.16  06/01/25  25,000  22,795
Total Pennsylvania       40,686
Texas | 0.4%
Grey Forest Texas Gas System Revenue  1.05  02/01/25  30,000  27,563
Washington | 0.4%
Northwest Open Access Network Revenue  1.69  12/01/27  30,000  25,086
Total Municipal Bonds        
(Cost $ 131,667)       114,909
Mortgage-Backed Securities | 1.4% of portfolio
Farm 2021-1 Mortgage Trust 21-1 (b)  2.18(c)  01/25/51  26,952  22,700
Freddie Mac Multiclass Certificates 21-P009  1.13  01/25/31  46,821  39,904
GNMA II POOL 785401  2.50  10/20/50  30,636  26,114
Total Mortgage-Backed Securities        
(Cost $ 105,750)       88,718
Money Market Fund | 2.8% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund  2.94%(d)    175,581  175,582
Total Money Market Fund        
(Cost $ 175,581)       175,582
Total Investments in Securities        
(Cost $7,195,339) | 100.0%       $6,340,544
(a) Non-income producing.
(b) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Directors. The total of such securities at period-end amounts to $193,867 and represents 3.1% of total investments.
(c) Variable coupon rate as of September 30, 2022.
(d) 7-day yield at September 30, 2022.
CME - Chicago Mercantile Exchange
LLC - Limited Liability Company
At September 30, 2022, the cost of investment securities for tax purposes was $7,195,442. Net unrealized depreciation of investment securities was $854,898 consisting of unrealized gains of $63,699 and unrealized losses of $918,597.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
                
25

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2022  |  
(Unaudited)  |  (Continued)
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Rural America Growth & Income Fund Level 1 Level 2 Level 3 Total
Common Stocks

$3,640,513 $$$3,640,513
U.S. Government & Agency Obligations

1,160,554 1,160,554
Corporate Bonds–Other

937,760 937,760
Asset-Backed Securities

222,508 222,508
Municipal Bonds

114,909 114,909
Mortgage-Backed Securities

88,718 88,718
Money Market Fund

175,582 175,582
Total $3,816,095 $2,524,449 $ — $6,340,544
26
                

Portfolio of Investments
Stock Index Fund  |  September 30, 2022  |  (Unaudited)

  Cost Value
Investment $38,242,377 $177,783,824
Substantially all the assets of the Stock Index Fund are invested in the S&P 500 Index Master Portfolio managed by BlackRock Fund Advisors.  As of September 30, 2022, the Stock Index Fund's ownership interest in the S&P 500 Index Master Portfolio was 0.67%.  See the Appendix for the S&P 500 Index Master Portfolio for holdings information.
                
27

Portfolio of Investments
Value Fund  |  September 30, 2022  |  (Unaudited)

Common Stocks | 98.2% of portfolio
  Shares Value
Communication Services | 5.1%
Interactive Media & Services    
Alphabet, Inc., Class C (a) 324,320 $31,183,368
Meta Platforms, Inc., Class A (a) 76,200 10,338,816
Total Communication Services   41,522,184
Consumer Discretionary | 6.6%
Hotels, Restaurants & Leisure    
McDonald's Corp. 57,197 13,197,636
Multiline Retail    
Target Corp. 39,800 5,905,922
Specialty Retail    
Home Depot, Inc. 37,018 10,214,747
TJX Companies, Inc. (The) 143,600 8,920,432
Ulta Beauty, Inc. (a) 37,256 14,946,734
Total Consumer Discretionary   53,185,471
Consumer Staples | 0.9%
Food Products    
Kraft Heinz Co. (The) 228,300 7,613,805
Total Consumer Staples   7,613,805
Energy | 6.8%
Oil, Gas & Consumable Fuels    
Chevron Corp. 166,300 23,892,321
ConocoPhillips 238,100 24,367,154
Hess Corp. 61,100 6,659,289
Total Energy   54,918,764
Financials | 17.6%
Banks    
Bank of America Corp. 618,502 18,678,760
Citigroup, Inc. 274,739 11,448,374
JPMorgan Chase & Co. 301,691 31,526,710
Truist Financial Corp. 355,600 15,482,824
Capital Markets    
Goldman Sachs Group, Inc. 76,774 22,498,621
Insurance    
Allstate Corp. 103,784 12,924,222
American International Group, Inc. 339,594 16,123,923
Chubb Ltd. 79,138 14,393,619
Total Financials   143,077,053
Health Care | 23.0%
Biotechnology    
AbbVie Inc. 214,263 28,756,237
Health Care Equipment & Supplies    
Abbott Laboratories 305,556 29,565,599
Boston Scientific Corp. (a) 475,696 18,423,706
Health Care Providers & Services    
Centene Corp. (a) 329,397 25,630,380
Cigna Corp. 81,814 22,700,931
Common Stocks | 98.2% of portfolio (Continued)
  Shares Value
Health Care | 23.0% (Continued)
Pharmaceuticals    
Bristol-Myers Squibb Co. 217,701 $15,476,364
Merck & Co., Inc. 187,682 16,163,174
Pfizer, Inc. 361,099 15,801,692
Royalty Pharma PLC, Class A 346,484 13,921,727
Total Health Care   186,439,810
Industrials | 17.2%
Aerospace & Defense    
Northrop Grumman Corp. 47,131 22,166,652
Air Freight & Logistics    
FedEx Corp. 39,000 5,790,330
Electrical Equipment    
Eaton Corp. PLC 88,887 11,853,970
Industrial Conglomerates    
Honeywell International, Inc. 175,473 29,298,727
Machinery    
Deere & Co. 46,800 15,626,052
Parker-Hannifin Corp. 100,922 24,454,410
Professional Services    
Leidos Holdings Inc. 161,117 14,092,904
Road & Rail    
CSX Corp. 619,182 16,495,008
Total Industrials   139,778,053
Information Technology | 10.9%
Electronic Equipment, Instruments & Components    
Corning Inc. 255,600 7,417,512
IT Services    
Fiserv, Inc. (a) 177,700 16,627,389
Visa Inc., Class A 101,298 17,995,590
Semiconductors & Semiconductor Equipment    
NXP Semiconductors NV 71,863 10,600,511
Software    
Microsoft Corp. 135,314 31,514,631
VMware, Inc., Class A 38,483 4,096,900
Total Information Technology   88,252,533
Materials | 7.2%
Chemicals    
Dow Inc. 193,281 8,490,835
DuPont de Nemours, Inc. 259,878 13,097,851
Containers & Packaging    
Avery Dennison Corp. 147,987 24,077,485
Metals & Mining    
Freeport-McMoRan Inc. 473,700 12,946,221
Total Materials   58,612,392
Real Estate | 2.9%
Equity Real Estate Investment Trusts (REITs)    
Digital Realty Trust, Inc. 52,301 5,187,213
 
28
                

Portfolio of Investments  |  Value Fund  |  September 30, 2022  |  (Unaudited)  |  (Continued)
Common Stocks | 98.2% of portfolio (Continued)
  Shares Value
Real Estate | 2.9% (Continued)
VICI Properties Inc. 611,935 $18,266,260
Total Real Estate   23,453,473
Total Common Stocks    
(Cost $542,229,063)   796,853,538
Money Market Fund | 1.8% of portfolio
State Street Institutional U.S. Government Money Market Fund Premier Class, 2.94% (b) 14,720,361 14,720,361
Total Money Market Fund    
(Cost $14,720,361)   14,720,361
Total Investments in Securities    
(Cost $556,949,424) | 100.0%   $811,573,899
(a) Non-income producing.
(b) 7-day yield at September 30, 2022.
PLC - Public Limited Company
NV - Naamloze Vennottschap
At September 30, 2022, the cost of investment securities for tax purposes was $557,350,779. Net unrealized appreciation of investment securities was $254,223,120 consisting of unrealized gains of $284,844,230 and unrealized losses of $30,621,110.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Value Fund Level 1 Level 2 Level 3 Total
Common Stocks

$796,853,538 $$$796,853,538
Money Market Fund

14,720,361 14,720,361
Total $811,573,899 $ — $ — $811,573,899
                
29

Portfolio of Investments
Growth Fund  |  September 30, 2022  |  (Unaudited)

Common Stocks | 97.9% of portfolio
  Shares Value
Communication Services | 13.6%
Entertainment    
Live Nation Entertainment, Inc. (a) 18,434 $1,401,721
Netflix, Inc. (a) 9,608 2,262,108
Spotify Technology SA (a) 19,473 1,680,520
Interactive Media & Services    
Alphabet, Inc., Class C (a) 44,082 4,238,484
Alphabet, Inc., Class A (a) 178,940 17,115,611
Meta Platforms, Inc., Class A (a) 22,389 3,037,739
IAC/InterActiveCorp (a) 13,554 750,621
Match Group, Inc. (a) 22,064 1,053,556
Media    
Trade Desk, Inc. (The), Class A (a) 16,586 991,013
Total Communication Services   32,531,373
Consumer Discretionary | 19.5%
Automobiles    
Rivian Automotive, Inc. (a) 222,040 7,307,336
Tesla, Inc. (a) 6,072 1,610,598
Hotels, Restaurants & Leisure    
Booking Holdings, Inc. (a) 1,486 2,441,810
Chipotle Mexican Grill, Inc. (a) 1,627 2,444,991
Internet & Direct Marketing Retail    
Amazon.com, Inc. (a) 184,580 20,857,540
Coupang, Inc. (a) 86,173 1,436,504
Leisure Products    
Peloton Interactive, Inc. (a) 99,383 688,724
Multiline Retail    
Dollar General Corp. 14,914 3,577,272
Specialty Retail    
Carvana Co. (a) 19,701 399,930
Ross Stores, Inc. 48,609 4,096,281
Textiles, Apparel & Luxury Goods    
lululemon athletica Inc. (a) 3,275 915,559
NIKE, Inc., Class B 12,457 1,035,426
Total Consumer Discretionary   46,811,971
Consumer Staples | 0.7%
Beverages    
Monster Beverage Corp. (a) 18,300 1,591,368
Total Consumer Staples   1,591,368
Health Care | 19.1%
Biotechnology    
Vertex Pharmaceuticals, Inc. (a) 10,400 3,011,216
Health Care Equipment & Supplies    
Becton, Dickinson & Co. 8,917 1,986,975
Insulet Corp. (a) 7,906 1,813,636
Intuitive Surgical, Inc. (a) 21,657 4,059,388
Stryker Corp. 25,018 5,067,146
Health Care Providers & Services    
Cigna Corp. 30,702 8,518,884
Common Stocks | 97.9% of portfolio (Continued)
  Shares Value
Health Care | 19.1% (Continued)
Humana, Inc. 6,217 $3,016,426
UnitedHealth Group, Inc. 22,511 11,368,956
Life Sciences Tools & Services    
Avantor, Inc. (a) 87,530 1,715,588
Pharmaceuticals    
Daiichi Sankyo Co., Ltd. ADR (a) 39,816 1,117,237
Eli Lilly & Co. 12,300 3,977,205
Total Health Care   45,652,657
Industrials | 1.4%
Machinery    
Ingersoll Rand Inc. 59,612 2,578,815
Road & Rail    
Old Dominion Freight Line, Inc. 3,460 860,744
Total Industrials   3,439,559
Information Technology | 43.6%
Communications Equipment    
Arista Networks, Inc. (a) 11,200 1,264,368
Electronic Equipment, Instruments & Components    
Amphenol Corp., Class A 51,700 3,461,832
IT Services    
Accenture PLC, Class A 5,407 1,391,221
Affirm Holdings, Inc. (a) 26,879 504,250
Fiserv, Inc. (a) 73,387 6,866,822
Global Payments, Inc. 33,823 3,654,575
Mastercard Inc., Class A 14,917 4,241,500
MongoDB, Inc. (a) 5,861 1,163,760
Snowflake Inc., Class A (a) 3,613 614,065
Visa Inc., Class A 28,864 5,127,690
Semiconductors & Semiconductor Equipment    
Advanced Micro Devices, Inc. (a) 22,160 1,404,057
ASML Holding NV ADR 8,306 3,449,897
NVIDIA Corp. 26,253 3,186,852
Software    
Atlassian Corp. PLC, Class A (a) 11,723 2,468,747
Cadence Design Systems, Inc. (a) 14,942 2,441,971
Fortinet, Inc. (a) 50,063 2,459,595
HashiCorp, Inc., Class A (a) 8,886 286,041
Intuit, Inc. 22,054 8,541,955
Microsoft Corp. 112,140 26,117,406
salesforce.com, Inc. (a) 42,780 6,153,475
ServiceNow, Inc. (a) 8,733 3,297,668
Synopsys, Inc. (a) 771 235,548
Technology Hardware, Storage & Peripherals    
Apple, Inc. 117,522 16,241,541
Total Information Technology   104,574,836
Total Common Stocks    
(Cost $189,469,280)   234,601,764
    
 
30
                

Portfolio of Investments  |  Growth Fund  |  September 30, 2022  |  (Unaudited)  |  (Continued)
Money Market Fund | 2.1% of portfolio
  Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class, 2.94% (b) 5,092,064 $5,092,064
Total Money Market Fund    
(Cost $5,092,064)   5,092,064
Total Investments in Securities    
(Cost $194,561,344) | 100.0%   $239,693,828
(a) Non-income producing.
(b) 7-day yield at September 30, 2022.
SA - Sociedad Anonima or Societe Anonyme
ADR - American Depositary Receipt
PLC - Public Limited Company
NV - Naamloze Vennottschap
At September 30, 2022, the cost of investment securities for tax purposes was $194,707,675. Net unrealized appreciation of investment securities was $44,986,153 consisting of unrealized gains of $73,046,258 and unrealized losses of $28,060,105.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Growth Fund Level 1 Level 2 Level 3 Total
Common Stocks

$234,601,764 $$$234,601,764
Money Market Fund

5,092,064 5,092,064
Total $239,693,828 $ — $ — $239,693,828
                
31

Portfolio of Investments
International Equity Fund  |  September 30, 2022  |  (Unaudited)

Common Stocks | 97.0% of portfolio
  Shares Value
Australia | 3.8%
BHP Group Ltd. ADR 47,204 $2,362,088
Woodside Energy Group Ltd. 17,059 343,910
Total Australia   2,705,998
Brazil | 0.7%
Ambev SA ADR 103,138 291,881
XP Inc., Class A (a) 10,753 204,414
Total Brazil   496,295
Britain | 7.3%
Rio Tinto PLC 32,008 1,731,820
Shell PLC 80,351 1,993,342
Standard Chartered PLC 231,807 1,449,849
Total Britain   5,175,011
Canada | 4.6%
Alimentation Couche-Tard Inc. 28,800 1,159,422
Canadian National Railway Co. 8,152 880,335
Manulife Financial Corp. 78,000 1,224,194
Total Canada   3,263,951
China | 3.1%
CSPC Pharmaceutical Group Ltd. 400,000 396,469
ENN Energy Holdings Ltd. 26,217 349,556
Haier Smart Home Co., Ltd. 118,148 359,522
Ping An Insurance Group Co. of China Ltd., Class H 39,000 194,563
Tencent Holdings Ltd. 21,400 722,813
Zhejiang Sanhua Intelligent Controls Co., Ltd. 45,200 156,803
Total China   2,179,726
Denmark | 1.0%
Novozymes A/S, Class B 14,743 740,867
Total Denmark   740,867
France | 11.8%
Air Liquide SA 8,016 916,221
Dassault Systèmes SE 35,620 1,229,783
Kering SA 2,462 1,092,017
L’Oréal SA 9,197 2,940,667
Schneider Electric SE 19,411 2,192,487
Total France   8,371,175
Germany | 8.8%
Allianz SE REG 12,135 1,911,678
Infineon Technologies AG 95,148 2,082,221
SAP SE ADR 13,327 1,082,819
Symrise AG 12,037 1,173,756
Total Germany   6,250,474
Common Stocks | 97.0% of portfolio (Continued)
  Shares Value
Hong Kong | 3.4%
AIA Group Ltd. 288,200 $2,399,525
Total Hong Kong   2,399,525
India | 1.2%
HDFC Bank Ltd. ADR 5,614 327,970
ICICI Bank Ltd. ADR 25,175 527,920
Total India   855,890
Indonesia | 0.5%
PT Telkom Indonesia (Persero) Tbk. ADR 13,191 380,560
Total Indonesia   380,560
Japan | 17.4%
Chugai Pharmaceutical Co., Ltd. 47,300 1,181,699
Daifuku Co., Ltd. 18,900 889,000
FANUC Corp. 4,400 617,823
Keyence Corp. 3,200 1,057,793
Komatsu Ltd. 59,600 1,085,215
Kubota Corp. 84,800 1,178,456
Nitori Holdings Co., Ltd. 9,500 797,241
Shimano, Inc. 6,400 1,001,376
Shionogi & Co., Ltd. 28,000 1,352,235
Shiseido Co., Ltd. 26,700 935,760
Sysmex Corp. 15,800 844,292
Unicharm Corp. 43,200 1,417,170
Total Japan   12,358,060
Mexico | 0.5%
Fomento Economico Mexicano, SAB de CV ADR 6,050 379,638
Total Mexico   379,638
Netherlands | 2.3%
Adyen NV (a) 1,291 1,610,085
Total Netherlands   1,610,085
Republic of South Korea | 1.1%
Samsung Electronics Co., Ltd. GDR 866 787,326
Total Republic of South Korea   787,326
Russia | 0.0%
LUKOIL PJSC ADR 6,253 0
Yandex NV, Class A (a) 4,239 0
Total Russia   0
Singapore | 4.0%
DBS Group Holdings Ltd. 121,915 2,820,303
Total Singapore   2,820,303
 
32
                

Portfolio of Investments  |  International Equity Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Common Stocks | 97.0% of portfolio (Continued)
  Shares Value
Spain | 1.9%
Banco Bilboa Vizcaya Argentaria SA 307,413 $1,379,007
Total Spain   1,379,007
Sweden | 9.1%
Alfa Laval AB 49,106 1,217,681
Atlas Copco AB, Class A 260,721 2,423,234
Epiroc AB, Class A 74,699 1,068,606
Skandinaviska Enskilda Banken AB, Class A 185,530 1,768,241
Total Sweden   6,477,762
Switzerland | 11.9%
Alcon Inc. 22,943 1,334,824
Lonza Group AG REG 3,813 1,856,515
Nestlé SA ADR 12,908 1,396,095
Roche Holding AG REG 9,120 2,968,857
Sonova Holding AG REG 4,214 927,336
Total Switzerland   8,483,627
Taiwan | 0.8%
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 7,996 548,206
Total Taiwan   548,206
Common Stocks | 97.0% of portfolio (Continued)
  Shares Value
United States of America | 1.8%
Linde PLC 4,602 $1,245,911
Total United States of America   1,245,911
Total Common Stocks    
(Cost $67,497,755)   68,909,397
Money Market Fund | 3.0% of portfolio
State Street Institutional U.S. Government Money Market Fund Premier Class, 2.94% (b) 2,105,617 2,105,617
Total Money Market Fund    
(Cost $2,105,617)   2,105,617
Total Investments in Securities    
(Cost $69,603,372) | 100.0%   $71,015,014
 
(a) Non-income producing.
(b) 7-day yield at September 30, 2022.
ADR - American Depositary Receipt
SA - Sociedad Anonima or Societe Anonyme
PLC - Public Limited Company
A/S - Aktieselskab
SE - Societas Europaea
REG - Registered Shares
AG - Aktiengesellschaft
Tbk. - Terbuka
SAB de CV - Sociedad Anonima Bursatil de Capital Variable
SAB - Sociedad Anonima Bursatil
NV - Naamloze Vennottschap
GDR - Global Depositary Receipt
AB - Aktiebolag
At September 30, 2022, the cost of investment securities for tax purposes was $69,658,227. Net unrealized appreciation of investment securities was $1,356,787 consisting of unrealized gains of $10,027,091 and unrealized losses of $8,670,304.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
                
33

Portfolio of Investments  |  International Equity Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
International Equity Fund Level 1 Level 2 Level 3 Total
Common Stocks

$11,048,181 $57,861,216 $$68,909,397
Money Market Fund

2,105,617 2,105,617
Total $13,153,798 $57,861,216 $ — $71,015,014
34
                

Portfolio of Investments
Small-Company Stock Fund  |  September 30, 2022  |  (Unaudited)

Common Stocks | 98.1% of portfolio
  Shares Value
Communication Services | 1.9%
Interactive Media & Services    
Ziff Davis, Inc. (a) 62,726 $4,295,476
Total Communication Services   4,295,476
Consumer Discretionary | 8.4%
Hotels, Restaurants & Leisure    
Hilton Grand Vacations Inc. (a) 65,900 2,167,451
Household Durables    
MDC Holdings, Inc. 111,288 3,051,517
Leisure Products    
Malibu Boats, Inc., Class A (a) 77,300 3,709,627
Topgolf Callaway Brands Corp. (a) 181,651 3,498,598
Specialty Retail    
ARKO Corp. (a) 455,000 4,272,450
Textiles, Apparel & Luxury Goods    
Carter's, Inc. 31,851 2,087,196
Total Consumer Discretionary   18,786,839
Energy | 0.7%
Oil, Gas & Consumable Fuels    
Northern Oil and Gas, Inc. 59,900 1,641,859
Total Energy   1,641,859
Financials | 20.4%
Banks    
Atlantic Union Bankshares Corp. 141,992 4,313,717
Cadence Bank 145,250 3,690,803
Eastern Bankshares, Inc. 335,300 6,585,292
FB Financial Corp. 152,959 5,844,563
Glacier Bancorp, Inc. 138,216 6,790,552
Live Oak Bancshares, Inc. 59,900 1,832,940
Umpqua Holdings Corp. 163,000 2,785,670
Capital Markets    
Virtu Financial, Inc., Class A 104,243 2,165,127
Consumer Finance    
Encore Capital Group, Inc. (a) 130,383 5,929,819
Insurance    
Kinsale Capital Group, Inc. 22,726 5,804,675
Total Financials   45,743,158
Health Care | 17.3%
Biotechnology    
Twist Bioscience Corp. (a) 61,977 2,184,070
Health Care Equipment & Supplies    
Enovis Corp. (a) 61,576 2,836,806
Envista Holdings Corp. (a) 100,700 3,303,967
Integer Holdings Corp. (a) 76,970 4,789,843
NuVasive, Inc. (a) 103,200 4,521,192
STAAR Surgical Co. (a) 35,236 2,485,900
Health Care Providers & Services    
AMN Healthcare Services, Inc. (a) 61,587 6,525,759
LHC Group, Inc. (a) 19,828 3,245,050
Common Stocks | 98.1% of portfolio (Continued)
  Shares Value
Health Care | 17.3% (Continued)
Life Sciences Tools & Services    
Medpace Holdings, Inc. (a) 46,950 $7,379,131
NanoString Technologies, Inc. (a) 117,153 1,496,044
Total Health Care   38,767,762
Industrials | 23.0%
Aerospace & Defense    
Maxar Technologies Inc. 93,500 1,750,320
Triumph Group, Inc. (a) 361,100 3,101,849
Building Products    
Hayward Holdings, Inc. (a) 153,200 1,358,884
Construction & Engineering    
Comfort Systems USA, Inc. 68,188 6,636,738
Dycom Industries, Inc. (a) 25,900 2,474,227
Electrical Equipment    
Atkore Inc. (a) 89,700 6,979,557
EnerSys 36,035 2,096,156
Machinery    
ESAB Corp. 57,176 1,907,392
Federal Signal Corp. 186,594 6,963,688
John Bean Technologies Corp. 16,400 1,410,400
Professional Services    
CACI International Inc., Class A (a) 8,371 2,185,333
Road & Rail    
Werner Enterprises, Inc. 141,733 5,329,161
Trading Companies & Distributors    
Applied Industrial Technologies, Inc. 92,926 9,550,934
Total Industrials   51,744,639
Information Technology | 15.9%
Electronic Equipment, Instruments & Components    
Advanced Energy Industries, Inc. 63,162 4,889,370
Itron, Inc. (a) 51,377 2,163,486
IT Services    
CSG Systems International, Inc. 61,670 3,261,110
TaskUs, Inc., Class A (a) 143,500 2,310,350
Semiconductors & Semiconductor Equipment    
Diodes Inc. (a) 67,486 4,380,516
Software    
Altair Engineering Inc., Class A (a) 101,177 4,474,047
Descartes Systems Group Inc. (The) (a) 101,770 6,465,448
Model N, Inc. (a) 134,900 4,617,627
Verint Systems Inc. (a) 93,726 3,147,319
Total Information Technology   35,709,273
Materials | 6.5%
Chemicals    
Avient Corp. 170,627 5,169,998
 
                
35

Portfolio of Investments  |  Small-Company Stock Fund  |  September 30, 2022  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.1% of portfolio (Continued)
  Shares Value
Materials | 6.5% (Continued)
Ingevity Corp. 43,641 $2,645,954
Construction Materials    
Summit Materials, Inc., Class A (a) 284,768 6,823,041
Total Materials   14,638,993
Real Estate | 4.0%
Equity Real Estate Investment Trusts (REITs)    
Community Healthcare Trust Inc. 78,900 2,583,975
Easterly Government Properties, Inc. 229,311 3,616,234
Uniti Group Inc. 390,700 2,715,365
Total Real Estate   8,915,574
Total Common Stocks    
(Cost $201,959,570)   220,243,573
    
Money Market Fund | 1.9% of portfolio
  Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class, 2.94% (b) 4,238,245 $4,238,245
Total Money Market Fund    
(Cost $4,238,245)   4,238,245
Total Investments in Securities    
(Cost $206,197,815) | 100.0%   $224,481,818
 
(a) Non-income producing.
(b) 7-day yield at September 30, 2022.
At September 30, 2022, the cost of investment securities for tax purposes was $206,155,386. Net unrealized appreciation of investment securities was $18,326,432 consisting of unrealized gains of $43,375,109 and unrealized losses of $25,048,676.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Small-Company Stock Fund Level 1 Level 2 Level 3 Total
Common Stocks

$220,243,573 $$$220,243,573
Money Market Fund

4,238,245 4,238,245
Total $224,481,818 $ — $ — $224,481,818
36
                

Appendix
S&P 500 Index Master Portfolio
37
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