NPORT-EX 3 NPORT_JI1M_45535502_0324.htm
Fund Holdings
March 31, 2024
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  |  March 31, 2024  |  (Unaudited)

U.S. Government & Agency Obligations | 86.2% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Federal Farm Credit Bank  5.39%(a)  04/25/24     $500,000      $500,000
Federal Farm Credit Bank  5.39(a)  05/24/24   1,000,000    1,000,000
Federal Farm Credit Bank  5.37(a)  06/11/24   4,000,000    4,000,000
Federal Farm Credit Bank  5.44(a)  08/08/24     500,000      500,000
Federal Farm Credit Bank  5.40(a)  08/27/24   2,000,000    2,000,000
Federal Farm Credit Bank  5.35(a)  09/06/24   2,000,000    2,000,000
Federal Farm Credit Bank  5.42(a)  11/22/24   4,000,000    4,000,000
Federal Farm Credit Bank  5.41(a)  12/18/24   1,000,000    1,000,000
Federal Farm Credit Bank  5.42(a)  12/30/24     500,000      500,000
Federal Farm Credit Bank  5.43(a)  03/07/25   2,000,000    2,000,000
Federal Farm Credit Bank  5.46(a)  05/28/25     500,000      500,000
Federal Farm Credit Bank  5.46(a)  05/30/25   1,000,000    1,000,000
Federal Farm Credit Bank  5.39(a)  07/18/25   1,000,000    1,000,000
Federal Farm Credit Bank  5.47(a)  08/13/25     750,000      750,000
Federal Farm Credit Bank  5.48(a)  08/22/25     500,000      500,000
Federal Farm Credit Bank  5.50(a)  11/28/25     500,000      500,000
Federal Farm Credit Bank  5.50(a)  12/01/25     500,000      500,000
Federal Farm Credit Bank  5.49(a)  12/15/25   1,000,000    1,000,000
Federal Farm Credit Bank  5.49(a)  01/12/26     500,000      500,000
Federal Farm Credit Bank  5.49(a)  01/29/26     500,000      500,000
Federal Farm Credit Bank  5.46(a)  03/12/26   1,000,000    1,000,000
Federal Home Loan Bank   5.00  02/10/17   1,000,000      958,350
Federal Home Loan Bank  5.41(a)  06/17/24     500,000      500,000
Federal Home Loan Bank   5.50  08/12/24   1,000,000      999,866
Federal Home Loan Bank   5.59  09/27/24     250,000      250,000
Federal Home Loan Bank   5.27  11/01/24   2,000,000    1,940,318
Federal Home Loan Bank  5.46(a)  01/03/25   1,300,000    1,299,985
Federal Home Loan Bank   5.03  01/10/25   1,500,000    1,500,000
Federal Home Loan Bank  5.47(a)  03/24/25   1,200,000    1,199,882
Federal Home Loan Bank  5.48(a)  07/24/25   1,000,000    1,000,000
Federal Home Loan Bank  5.50(a)  08/08/25     770,000      769,923
Federal Home Loan Bank  5.48(a)  08/22/25     500,000      500,000
Federal Home Loan Bank  5.42(a)  09/19/25   1,000,000    1,000,000
Federal Home Loan Bank  5.49(a)  12/08/25   2,000,000    2,000,000
Federal Home Loan Bank  5.49(a)  12/11/25     750,000      750,000
Federal Home Loan Bank  5.53(a)  01/14/26     500,000      500,000
Federal Home Loan Bank  5.47(a)  02/09/26     500,000      500,000
U.S. Treasury Bill   5.39  04/09/24  25,000,000   24,970,667
U.S. Treasury Bill   5.39  04/16/24  30,000,000   29,934,000
U.S. Treasury Bill   5.38  04/23/24  27,000,000   26,913,045
U.S. Treasury Bill   5.41  04/25/24  13,000,000   12,954,197
U.S. Treasury Bill   5.40  04/30/24  17,000,000   16,930,121
U.S. Treasury Bill   5.40  05/09/24  10,000,000    9,944,267
U.S. Treasury Bill   5.32  05/14/24   2,000,000    1,987,706
U.S. Treasury Bill   5.21  06/13/24     500,000      495,002
U.S. Treasury Bill   5.19  07/18/24   3,000,000    2,955,225
U.S. Treasury Bill   5.24  07/25/24   2,000,000    1,967,928
U.S. Treasury Bill   5.20  08/01/24   1,000,000      983,106
U.S. Treasury Bill   5.26  08/08/24   2,000,000    1,963,880
U.S. Treasury Bill   5.28  08/15/24   2,000,000    1,961,731
U.S. Treasury Bill   5.31  09/12/24   1,500,000    1,465,106
U.S. Treasury Bill   5.07  11/29/24   2,250,000    2,177,384
U.S. Treasury Bill   4.84  12/26/24   3,000,000    2,896,995
U.S. Treasury Bill   4.81  01/23/25   2,000,000    1,924,595
U.S. Treasury Bill   5.00  02/20/25   1,500,000    1,435,748
U.S. Treasury Note   0.38  08/15/24   1,200,000    1,178,075
U.S. Treasury Note   1.50  10/31/24   3,500,000    3,431,086
                
1

Portfolio of Investments  |  Daily Income Fund  |  March 31, 2024  |  (Unaudited)  |  (Continued)
U.S. Government & Agency Obligations | 86.2% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
U.S. Treasury Note  5.44%(a)  10/31/24   $1,000,000      $999,432
U.S. Treasury Note   0.75  11/15/24   1,500,000    1,460,701
U.S. Treasury Note   2.25  11/15/24   2,000,000    1,965,304
U.S. Treasury Note  5.50(a)  01/31/25   3,000,000    2,998,965
U.S. Treasury Note  5.47(a)  04/30/25   2,000,000    1,999,709
U.S. Treasury Note  5.47(a)  10/31/25   1,500,000    1,500,000
Total U.S. Government & Agency Obligations        
(Cost $200,312,299)       200,312,299
Money Market Fund | 13.8% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  5.26(b)    32,185,860   32,185,860
Total Money Market Fund        
(Cost $32,185,860)       32,185,860
Total Investments in Securities        
(Cost $232,498,159) | 100.0%       $232,498,159
(a) Variable coupon rate as of March 31, 2024.
(b) 7-day yield at March 31, 2024.
At March 31, 2024, the cost of investment securities for tax purposes was $232,498,159. 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

$$200,312,299 $$200,312,299
Money Market Fund

32,185,860 32,185,860
Total $32,185,860 $200,312,299 $ — $232,498,159
2
                

Portfolio of Investments
Short-Term Government Securities Fund  |  March 31, 2024  |  (Unaudited)

U.S. Government & Agency Obligations | 50.5% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Export-Import Bank of the U.S.   1.90%  07/12/24     $159,959     $159,064
Export-Import Bank of the U.S.   1.73  09/18/24     391,863     386,897
Export-Import Bank of the U.S.   1.58  11/16/24      36,036      35,521
Export-Import Bank of the U.S.   2.54  07/13/25      71,326      69,884
Export-Import Bank of the U.S.   2.63  04/29/26      93,750      90,556
Export-Import Bank of the U.S.   2.33  01/14/27     134,999     124,802
Export-Import Bank of the U.S.   2.37  03/19/27     368,864     350,309
Federal Farm Credit Banks Funding Corp.   2.25  01/14/30     150,000     131,992
U.S. Department of Housing & Urban Development   5.77  08/01/26      46,000      46,098
U.S. International Development Finance Corp.  0.00(a)  07/17/25   1,000,000     964,972
U.S. International Development Finance Corp.  0.00(a)  01/17/26     700,000     733,556
U.S. International Development Finance Corp.   1.11  05/15/29     750,000     676,365
U.S. International Development Finance Corp.   2.36  10/15/29   1,421,511   1,335,961
U.S. International Development Finance Corp.   1.05  10/15/29   1,421,511   1,287,124
U.S. International Development Finance Corp.   1.24  08/15/31   1,216,216   1,069,898
U.S. Treasury Note   4.63  02/28/26   4,740,000   4,736,112
U.S. Treasury Note   4.25  03/15/27  11,247,000  11,195,158
U.S. Treasury Note   4.25  02/28/29   5,345,000   5,352,099
Total U.S. Government & Agency Obligations        
(Cost $29,316,021)       28,746,368
    
Mortgage-Backed Securities | 27.8% of portfolio
GNMA 21-8   1.00  01/20/50     476,993     366,860
GNMA 22-177   5.00  05/20/48   1,264,534   1,253,461
GNMA 23-128   5.75  08/20/47     592,668     593,850
GNMA 23-22EA   5.00  09/20/49     811,847     803,342
GNMA 23-22EC   5.00  01/20/51     624,379     617,817
GNMA 23-4   5.00  07/20/49     431,095     426,315
GNMA 23-59   5.00  11/20/41     530,226     526,512
GNMA 23-84KA   5.50  06/20/42     300,961     299,323
GNMA 24-1   5.50  08/20/48     987,250     977,820
GNMA 24-11   5.00  09/20/50     498,778     491,250
GNMA 24-43   5.50  08/20/48   1,400,000   1,401,680
GNMA 786428   4.00  06/20/52     990,985     914,240
GNMA 786576   4.50  09/20/52     188,807     178,932
GNMA 787194   7.50  12/20/53     499,190     512,353
GNMA 787238   7.50  02/20/54     999,133   1,025,479
GNMA 787291   7.50  03/20/54   1,250,000   1,282,961
GNMA CK0445   4.00  02/15/52     313,215     293,993
GNMA CV1215   7.00  07/20/53     332,563     339,553
GNMA CW8493   8.00  11/20/53     398,534     409,429
GNMA CW8495   7.50  11/20/53     498,325     511,284
GNMA CZ5438   7.00  01/20/54     998,413   1,020,062
GNMA II POOL 786948   7.00  09/20/53     489,230     499,920
GNMA MA8017   2.50  05/20/37     596,813     540,762
GNMA MA8880   6.00  05/20/53      90,489      91,333
GNMA MA8917   5.00  06/20/38     456,570     454,597
Total Mortgage-Backed Securities        
(Cost $15,939,850)       15,833,128
    
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 13.3% of portfolio
Consumer Discretionary | 0.1%    
Ethiopian Leasing (2012) LLC   2.68  07/30/25      28,957      28,417
Total Consumer Discretionary       28,417
                
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Portfolio of Investments  |  Short-Term Government Securities Fund  |  March 31, 2024  |  
(Unaudited)  |  (Continued)
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 13.3% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Energy | 5.9%    
Petroleos Mexicanos   2.38%  04/15/25     $243,150     $238,989
Petroleos Mexicanos   2.46  12/15/25     347,000     329,105
Reliance Industries Ltd.   2.06  01/15/26   1,081,600   1,040,672
Reliance Industries Ltd.   1.87  01/15/26   1,393,684   1,338,664
Reliance Industries Ltd.   2.44  01/15/26     437,895     423,681
Total Energy       3,371,111
Financials | 7.3%    
CES MU2 LLC   1.99  05/13/27   1,084,035   1,021,058
Durrah MSN 35603   1.68  01/22/25     189,767     186,679
Export Lease Eleven Co. LLC  5.86(b)  07/30/25      28,671      28,729
HNA 2015 LLC   2.29  06/30/27     171,178     161,204
HNA 2015 LLC   2.37  09/18/27      96,131      90,441
KE Export Leasing 2013-A LLC  5.84(b)  02/25/25     625,395     626,128
Lulwa Ltd.   1.89  02/15/25     379,150     372,427
Lulwa Ltd.   1.83  03/26/25     119,728     117,086
MSN 41079 and 41084 Ltd.   1.72  07/13/24     387,146     384,226
MSN 41079 and 41084 Ltd.   1.63  12/14/24     135,801     133,505
Penta Aircraft Leasing 2013 LLC   1.69  04/29/25     222,058     217,095
Rimon LLC   2.45  11/01/25      78,750      76,703
Salmon River Export LLC   2.19  09/15/26     389,232     374,388
Sandalwood 2013 LLC   2.84  07/10/25     113,821     111,925
Sandalwood 2013 LLC   2.82  02/12/26     171,379     166,684
Santa Rosa Leasing LLC   1.69  08/15/24      15,997      15,885
Santa Rosa Leasing LLC   1.47  11/03/24      68,312      67,373
Total Financials       4,151,536
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $7,828,699)       7,551,064
Asset-Backed Securities | 3.9% of portfolio
Avant Loans Funding Trust 22-REV1 (c)   6.54  09/15/31     130,703     130,579
First Investors Auto Owner Trust 21-2A (c)   0.48  03/15/27      16,766      16,578
Frontier Issuer 23-1A (c)   6.60  08/20/53     450,000     454,484
GLS Auto Select Receivables Trust 24-1A (c)   5.24  03/15/30     250,000     249,127
Gracie Point International Funding 23-2A (c)  7.61(b)  03/01/27      77,851      78,496
LAD Auto Receivables Trust 21-1 (c)   1.30  08/17/26      22,244      22,077
LAD Auto Receivables Trust 23-2 (c)   5.93  06/15/27      62,800      62,860
Oasis Securitisation 22-2A (c)   6.85  10/15/34     111,068     110,729
Oasis Securitisation 23-1A (c)   7.00  02/15/35     126,564     126,326
Santander Drive Auto Receivables Trust 22-5   4.43  03/15/27     100,000      99,124
Santander Drive Auto Receivables Trust 28   5.25  04/17/28     100,000      99,925
SBA Tower Trust (c)   2.84  01/15/25     250,000     244,006
T-Mobile US Trust 22-1A (c)   4.91  05/22/28     150,000     149,300
Westgate Resorts 22-1A (c)   2.29  08/20/36     132,213     126,761
Westlake Automobile Receivables Trust 24-1A (c)   5.55  11/15/27     250,000     249,821
Total Asset-Backed Securities        
(Cost $2,211,966)       2,220,193
    
4
                

Portfolio of Investments  |  Short-Term Government Securities Fund  |  March 31, 2024  |  
(Unaudited)  |  (Continued)
Corporate Bonds–Other | 3.5% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
Consumer Discretionary | 0.3%    
United Airlines 2019-2AA PT   2.70%  05/01/32     $166,694     $142,596
Total Consumer Discretionary       142,596
Financials | 2.0%    
American Express Co.  5.10(b)  02/16/28     200,000     199,691
Athene Global Funding (c)   5.52  03/25/27     200,000     200,198
Bank of America Corp.  4.83(b)  07/22/26     200,000     198,200
Blue Owl Capital Corp. III   3.13  04/13/27     125,000     113,797
Blue Owl Credit Income Corp.   3.13  09/23/26     250,000     229,374
J.P. Morgan Chase & Co.  1.04(b)  02/04/27     100,000      92,546
PNC Financial Services Group Inc. (The)  5.81(b)  06/12/26     100,000     100,333
Total Financials       1,134,139
Information Technology | 0.3%    
Amphenol Corp.   4.75  03/30/26     200,000     198,543
Total Information Technology       198,543
Utilities | 0.9%    
American Water Capital Corp.   2.80  05/01/30     200,000     176,064
Metropolitan Edison Co. (c)   5.20  04/01/28     150,000     150,147
PacifiCorp   5.10  02/15/29     200,000     201,437
Total Utilities       527,648
Total Corporate Bonds–Other        
(Cost $2,045,008)       2,002,926
    
Money Market Fund | 1.0% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  5.26(d)       570,445     570,445
Total Money Market Fund        
(Cost $570,445)       570,445
Total Investments in Securities        
(Cost $57,911,989) | 100.0%       $56,924,124
(a) Zero coupon rate, purchased at a discount.
(b) Variable coupon rate as of March 31, 2024.
(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 $2,371,489 and represents 4.2% of total investments.
(d) 7-day yield at March 31, 2024.
LLC -Limited Liability Company
At March 31, 2024, the cost of investment securities for tax purposes was $57,911,989. Net unrealized depreciation of investment securities was $987,865 consisting of unrealized gains of $85,860 and unrealized losses of $1,073,725.
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;
                
5

Portfolio of Investments  |  Short-Term Government Securities Fund  |  March 31, 2024  |  
(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.
Short-Term Government Securities Fund Level 1 Level 2 Level 3 Total
U.S. Government & Agency Obligations

$$28,746,368 $$28,746,368
Mortgage-Backed Securities

15,833,128 15,833,128
Corporate Bonds Guaranteed by Export-Import Bank of the United States

7,551,064 7,551,064
Asset-Backed Securities

2,220,193 2,220,193
Corporate Bonds–Other

2,002,926 2,002,926
Money Market Fund

570,445 570,445
Total $570,445 $56,353,679 $ — $56,924,124
6
                

Portfolio of Investments
Short-Term Bond Fund  |  March 31, 2024  |  (Unaudited)

Corporate Bonds–Other | 38.8% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Communication Services | 0.7%    
Comcast Corp.   4.55%  01/15/29     $500,000      $495,976
Sprint Spectrum Co. LLC (a)   4.74  03/20/25     500,000      497,244
T-Mobile USA Inc.   4.80  07/15/28     910,000      902,470
Warnermedia Holdings Inc.   3.76  03/15/27   1,355,000    1,293,114
Total Communication Services       3,188,804
Consumer Discretionary | 5.1%    
Daimler Trucks Financial N.A. LLC (a)   3.50  04/07/25   1,255,000    1,229,181
Daimler Trucks Financial N.A. LLC (a)   5.15  01/16/26   1,000,000      996,334
Daimler Trucks Financial N.A. LLC (a)   5.00  01/15/27     915,000      912,415
Ford Motor Credit Co. LLC   4.27  01/09/27     915,000      880,195
Ford Motor Credit Co. LLC   2.90  02/10/29     883,000      778,543
Hyundai Capital America (a)   5.80  06/26/25     920,000      922,113
Hyundai Capital America (a)   5.50  03/30/26   1,365,000    1,367,224
Hyundai Capital America (a)   5.30  03/19/27     745,000      745,135
Hyundai Capital America (a)   5.60  03/30/28   1,035,000    1,046,754
Hyundai Capital America (a)   5.35  03/19/29     465,000      466,612
Hyundai Capital America (a)   5.80  04/01/30   1,360,000    1,390,773
Marriott International Inc.   4.90  04/15/29     500,000      496,056
Nissan Motor Acceptance Corp. (a)   2.45  09/15/28   1,365,000    1,175,994
Ross Stores Inc.   0.88  04/15/26   1,730,000    1,590,088
United Airlines 2019-2AA PT   2.70  05/01/32   3,275,539    2,802,000
US Airways 2012 2A PTT   4.63  06/03/25     965,799      949,794
US Airways 2013 1A PTT   3.95  11/15/25   2,275,149    2,220,543
Volkswagen Group of America Finance LLC (a)   5.30  03/22/27     930,000      931,930
Volkswagen Group of America Finance LLC (a)   5.25  03/22/29   1,395,000    1,395,987
Total Consumer Discretionary       22,297,671
Consumer Staples | 2.9%    
7-Eleven, Inc. (a)   0.95  02/10/26     800,000      739,212
Altria Group Inc.   6.20  11/01/28   1,395,000    1,453,969
Bimbo Bakeries USA Inc. (a)   6.05  01/15/29     695,000      719,130
Campbell Soup Co.   5.20  03/21/29     910,000      914,360
JBS USA Food Co.   2.50  01/15/27   3,364,000    3,100,872
Kenvue Inc.   5.05  03/22/28     465,000      469,996
Philip Morris International Inc.   4.75  02/12/27   1,195,000    1,188,361
Philip Morris International Inc.   5.13  11/17/27     805,000      809,163
Philip Morris International Inc.   4.88  02/15/28   1,060,000    1,057,079
Philip Morris International Inc.   4.88  02/13/29   2,275,000    2,260,504
Total Consumer Staples       12,712,646
Energy | 1.8%    
Cheniere Corpus Christi Holdings LLC   5.13  06/30/27   2,000,000    1,995,232
Marathon Oil Corp.   4.40  07/15/27   1,277,000    1,240,914
Phillips 66 Co.   1.30  02/15/26   1,500,000    1,395,533
Phillips 66 Co.   4.95  12/01/27   1,780,000    1,781,126
Targa Resources Corp.   5.20  07/01/27   1,670,000    1,667,581
Total Energy       8,080,386
Financials | 16.7%    
American Express Co.  4.99(b)  05/01/26     870,000      864,806
American Express Co.  5.10(b)  02/16/28   1,750,000    1,747,300
Antares Holdings LP   3.95  07/15/26     335,000      314,827
                
7

Portfolio of Investments  |  Short-Term Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 38.8% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Financials | 16.7% (Continued)    
Antares Holdings LP   2.75%  01/15/27   $1,000,000      $895,882
Athene Global Funding (a)   5.52  03/25/27   1,960,000    1,961,938
Athene Global Funding (a)   5.58  01/09/29     805,000      810,228
Bank of America Corp.  2.02(b)  02/13/26   2,100,000    2,034,423
Bank of America Corp.  1.32(b)  06/19/26   2,100,000    1,996,177
Bank of America Corp.  4.83(b)  07/22/26   2,770,000    2,745,076
Bank of America Corp.  1.20(b)  10/24/26     920,000      861,088
Bank of America Corp.  4.95(b)  07/22/28   1,955,000    1,940,082
Bank of America Corp.  6.20(b)  11/10/28     565,000      584,467
Blue Owl Capital Corp. III   3.13  04/13/27   1,321,000    1,202,610
Blue Owl Credit Income Corp.   3.13  09/23/26   2,135,000    1,958,851
Citigroup Inc.   7.00  12/01/25   2,000,000    2,049,808
Citigroup Inc.  5.17(b)  02/13/30   2,290,000    2,279,315
F&G Global Funding (a)   1.75  06/30/26   2,500,000    2,266,617
Fifth Third Bancorp  6.34(b)  07/27/29   1,000,000    1,030,871
GA Global Funding Trust (a)   3.85  04/11/25   1,715,000    1,682,871
GA Global Funding Trust (a)   2.25  01/06/27   2,370,000    2,168,668
General Motors Financial Co., Inc.   5.40  04/06/26     465,000      465,173
Goldman Sachs Group, Inc.  2.64(b)  02/24/28     930,000      866,186
Goldman Sachs Group, Inc.  3.62(b)  03/15/28   2,857,000    2,732,819
J.P. Morgan Chase & Co.  2.08(b)  04/22/26   2,055,000    1,980,120
J.P. Morgan Chase & Co.  4.08(b)  04/26/26     700,000      689,275
J.P. Morgan Chase & Co.  1.04(b)  02/04/27     910,000      842,165
J.P. Morgan Chase & Co.  5.04(b)  01/23/28     915,000      911,845
J.P. Morgan Chase & Co.  4.85(b)  07/25/28     890,000      882,495
J.P. Morgan Chase & Co.  6.09(b)  10/23/29     820,000      852,482
M&T Bank Corp.  7.41(b)  10/30/29   1,800,000    1,898,392
Manufacturers and Traders Trust Co.   4.65  01/27/26   1,040,000    1,017,362
Metropolitan Life Global Funding I (a)   4.85  01/08/29     455,000      451,531
Morgan Stanley  2.19(b)  04/28/26     425,000      410,019
Morgan Stanley  4.68(b)  07/17/26   1,190,000    1,177,178
Morgan Stanley   3.13  07/27/26     925,000      884,752
Morgan Stanley  1.51(b)  07/20/27     865,000      793,899
Morgan Stanley  5.45(b)  07/20/29   1,390,000    1,402,189
Morgan Stanley Bank N.A.  4.95(b)  01/14/28   3,435,000    3,420,851
Owl Rock Technology Finance Corp.   2.50  01/15/27     632,000      561,150
Pacific Life Global Funding II  (a)   5.50  07/18/28   1,385,000    1,407,037
PNC Financial Services Group Inc. (The)  5.30(b)  01/21/28   1,380,000    1,381,576
PNC Financial Services Group Inc. (The)  5.58(b)  06/12/29     465,000      470,664
Principal Life Global Funding II (a)   5.00  01/16/27     915,000      914,874
Santander Holdings USA, Inc.  2.49(b)  01/06/28   1,000,000      908,812
Santander Holdings USA, Inc.  6.50(b)  03/09/29     460,000      470,489
SCE Recovery Funding LLC   0.86  11/15/31   1,450,756    1,242,437
Truist Financial Corp.  6.05(b)  06/08/27     925,000      937,485
Truist Financial Corp.  5.44(b)  01/24/30   2,440,000    2,437,154
Wells Fargo & Co.  3.91(b)  04/25/26   1,900,000    1,864,771
Wells Fargo & Co.  2.19(b)  04/30/26   2,120,000    2,041,622
Wells Fargo & Co.  3.53(b)  03/24/28     915,000      870,887
Wells Fargo & Co.  4.81(b)  07/25/28   2,140,000    2,108,581
Wells Fargo & Co.  6.30(b)  10/23/29     465,000      484,316
Wells Fargo & Co.  5.20(b)  01/23/30   1,595,000    1,591,638
Total Financials       72,768,131
Health Care | 2.1%    
AbbVie Inc.   4.80  03/15/27     915,000      915,945
8
                

Portfolio of Investments  |  Short-Term Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 38.8% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Health Care | 2.1% (Continued)    
AbbVie Inc.   4.80%  03/15/29     $455,000      $455,668
AstraZeneca Finance LLC   4.85  02/26/29   1,365,000    1,368,851
Bayer US Finance LLC (a)   6.25  01/21/29   1,144,000    1,163,928
Baylor Scott & White Holdings   0.83  11/15/25   1,000,000      925,134
GE HealthCare Technologies Inc.   5.65  11/15/27     975,000      992,826
Medtronic Global Holdings SCA   4.25  03/30/28     925,000      908,730
Pfizer Investment Enterprises Pte Ltd.   4.45  05/19/28     885,000      872,408
Solventum Corp. (a)   5.45  02/25/27     455,000      456,571
Solventum Corp. (a)   5.40  03/01/29     915,000      916,844
Total Health Care       8,976,905
Industrials | 2.5%    
American Airlines Group Inc.   3.60  03/22/29   2,425,046    2,293,121
American Airlines Group Inc.   3.95  01/11/32     865,000      795,716
BNSF Railway Co. (a)   3.44  06/16/28     747,636      710,373
Boeing Co. (The)   2.20  02/04/26   1,900,000    1,778,778
Delta Air Lines, Inc. (a)   7.00  05/01/25     965,000      977,661
ERAC USA Finance LLC (a)   4.60  05/01/28     925,000      913,288
Federal Express Corp. 20-1   1.88  02/20/34   2,063,816    1,710,007
John Deere Capital Corp.   4.95  07/14/28     915,000      921,897
Regal Rexnord Corp. (a)   6.05  02/15/26     370,000      371,911
Regal Rexnord Corp. (a)   6.05  04/15/28     460,000      466,331
Total Industrials       10,939,083
Information Technology | 0.3%    
Amphenol Corp.   4.75  03/30/26     935,000      928,190
Avnet Inc.   6.25  03/15/28     610,000      624,861
Total Information Technology       1,553,051
Materials | 1.5%    
Celanese US Holdings LLC   6.05  03/15/25     745,000      746,434
Celanese US Holdings LLC   6.17  07/15/27   1,330,000    1,354,618
EIDP Inc.   4.50  05/15/26   1,390,000    1,373,994
Newmont Corp. (a)   5.30  03/15/26   1,000,000    1,002,461
Sealed Air Corp. (a)   1.57  10/15/26   2,200,000    1,987,201
Total Materials       6,464,708
Real Estate | 0.5%    
Extra Space Storage LP   5.70  04/01/28     460,000      468,246
VICI Properties LP (a)   3.50  02/15/25   1,600,000    1,564,890
Total Real Estate       2,033,136
Utilities | 4.7%    
American Water Capital Corp.   2.80  05/01/30   2,830,000    2,491,304
CenterPoint Energy Houston Electric LLC   5.20  10/01/28   1,850,000    1,881,459
Consumers Energy Co.   4.60  05/30/29     456,000      450,696
DTE Electric Co.   4.85  12/01/26   1,000,000      999,336
Entergy Louisiana, LLC   3.78  04/01/25   1,445,000    1,415,348
Exelon Corp.   5.15  03/15/28     830,000      832,030
Florida Power & Light Co.   4.45  05/15/26     465,000      460,519
Florida Power & Light Co.   5.05  04/01/28     625,000      631,836
Florida Power & Light Co.   4.40  05/15/28     465,000      459,978
Metropolitan Edison Co. (a)   4.00  04/15/25   4,250,000    4,140,963
                
9

Portfolio of Investments  |  Short-Term Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 38.8% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Utilities | 4.7% (Continued)    
Metropolitan Edison Co. (a)   5.20%  04/01/28   $1,330,000    $1,331,306
Pacific Gas & Electric Co.   4.55  07/01/30   1,390,000    1,321,226
PacifiCorp   5.10  02/15/29   2,305,000    2,321,564
San Diego Gas & Electric Co.   4.95  08/15/28   1,400,000    1,405,251
Southern California Edison Co.   5.30  03/01/28     440,000      444,897
Total Utilities       20,587,713
Total Corporate Bonds–Other        
(Cost $172,570,246)       169,602,234
U.S. Government & Agency Obligations | 23.3% of portfolio
Federal Farm Credit Banks Funding Corp.   2.25  01/14/30   1,423,000    1,252,167
U.S. International Development Finance Corp.  0.67(c)  04/23/29   1,230,000    1,198,445
U.S. International Development Finance Corp.   2.36  10/15/29     600,588      564,444
U.S. International Development Finance Corp.   1.05  10/15/29     863,568      781,928
U.S. Treasury Note   4.63  02/28/26  47,896,000   47,856,710
U.S. Treasury Note   4.13  02/15/27  27,027,000   26,798,960
U.S. Treasury Note   4.25  03/15/27  19,779,000   19,687,831
U.S. Treasury Note   4.25  02/28/29   3,549,000    3,553,713
Total U.S. Government & Agency Obligations        
(Cost $102,125,165)       101,694,198
    
Asset-Backed Securities | 12.8% of portfolio
American Credit Acceptance Receivables Trust 23-4A (a)   6.20  06/14/27   1,028,485    1,030,731
Avant Credit Card Master Trust 21-1A (a)   1.37  04/15/27   2,500,000    2,413,635
Avant Loans Funding Trust 22-REV1 (a)   6.54  09/15/31   2,875,462    2,872,740
Carvana Auto Receivables Trust 24-P1 (a)   5.05  04/10/29   1,130,000    1,127,404
Colony American Finance Ltd. 21-2 (a)   1.41  07/15/54     711,726      644,374
CoreVest American Finance 20-4 (a)   1.17  12/15/52     550,410      515,619
CoreVest American Finance 21-1 (a)   1.57  04/15/53     933,126      862,980
CoreVest American Finance 21-3 (a)   2.49  10/15/54   2,480,000    2,269,578
Entergy New Orleans Storm Recovery Fund 15-1   2.67  06/01/27      63,258       62,914
Exeter Automobile Receivables Trust 22-1A   2.56  06/15/28   2,143,643    2,114,322
FIC Funding 21-1 (a)   1.13  04/15/33     403,408      399,525
First Investors Auto Owner Trust 21-2A (a)   0.48  03/15/27     205,386      203,078
Firstkey Homes Trust 22-SFR2 (a)   4.25  07/17/39     969,055      937,333
Flagship Credit Auto Trust 21-3 (a)   0.36  07/15/27     217,901      216,513
Ford Credit Auto Lease Trust 20-A   5.06  05/15/27     930,000      928,631
Frontier Issuer 23-1A (a)   6.60  08/20/53   3,400,000    3,433,882
Frontier Issuer 23-1B (a)   8.30  08/20/53   2,340,000    2,377,691
FRTKL 21-SFR1 (a)   1.57  09/17/38     970,000      882,833
GLS Auto Select Receivables Trust 24-1A (a)   5.24  03/15/30     925,000      921,768
GM Financial Automobile Leasing Trust 24-1   5.09  03/22/27   1,810,000    1,808,806
Gracie Point International Funding 23-2A (a)  7.61(b)  03/01/27     688,983      694,689
Gracie Point International Funding 24-1A (a)  7.06(b)  03/01/28   2,045,000    2,050,273
Honda Auto Receivables Owner Trust 24-1   5.21  08/15/28   3,180,000    3,193,204
John Deere Owner Trust 23-A   5.01  11/15/27     900,000      897,364
John Deere Owner Trust 23-B   5.18  03/15/28     650,000      650,125
LAD Auto Receivables Trust 21-1 (a)   1.30  08/17/26     134,947      133,934
LAD Auto Receivables Trust 23-2 (a)   5.93  06/15/27     533,804      534,310
Longtrain Leasing III LLC 2015-1 (a)   2.98  01/15/45     265,577      261,349
NP SPE II LLC 17-1 (a)   3.37  10/21/47     212,743      203,769
Oasis Securitisation 22-1A (a)   4.75  05/15/34     145,507      144,526
Oasis Securitisation 22-2A (a)   6.85  10/15/34     793,806      791,385
10
                

Portfolio of Investments  |  Short-Term Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Asset-Backed Securities | 12.8% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Oasis Securitisation 23-1A (a)   7.00%  02/15/35     $875,825      $874,177
Oportun Funding 21-A (a)   1.21  03/08/28     416,428      402,788
Oportun Funding 21-B (a)   1.47  05/08/31   2,225,000    2,110,325
Oscar US Funding Trust 24-1 (a)   5.54  02/10/28   1,885,000    1,882,075
Progress Residential Trust 21-SFR8 (a)   1.51  10/17/38   1,312,100    1,192,685
Progress Residential Trust 22-SFR3 (a)   3.20  04/17/39     910,221      856,801
Santander Drive Auto Receivables Trust 22-5   4.43  03/15/27   1,260,000    1,248,965
Santander Drive Auto Receivables Trust 24-1   5.23  12/15/28     685,000      683,583
Santander Drive Auto Receivables Trust 28   5.25  04/17/28     525,000      524,608
SBA Tower Trust (a)   2.84  01/15/25   4,765,000    4,650,762
SBA Tower Trust (a)   1.88  01/15/26     355,000      331,386
SBA Tower Trust (a)   6.60  01/15/28     775,000      793,946
SVC ABS LLC 23-1A (a)   5.15  02/20/53     457,508      436,549
T-Mobile US Trust 22-1A (a)   4.91  05/22/28   1,780,000    1,771,689
Volkswagen Auto Lease Trust 24-A   5.21  06/21/27     785,000      786,771
Westgate Resorts 20-1A (a)   3.96  03/20/34     150,589      149,337
Westgate Resorts 22-1A (a)   2.29  08/20/36     616,994      591,550
Westlake Automobile Receivables Trust 24-1A (a)   5.55  11/15/27   1,020,000    1,019,269
Total Asset-Backed Securities        
(Cost $56,498,938)       55,886,551
Mortgage-Backed Securities | 11.8% of portfolio
FHLMC 780754  6.09(b)  08/01/33         484          485
FNMA 813842  7.27(b)  01/01/35       1,593        1,617
GNMA 21-8   1.00  01/20/50   1,800,805    1,385,017
GNMA 22-177   5.00  05/20/48   5,206,394    5,160,800
GNMA 23-128   5.75  08/20/47   2,118,787    2,123,015
GNMA 23-22EA   5.00  09/20/49   3,100,312    3,067,835
GNMA 23-22EC   5.00  01/20/51   1,544,299    1,528,068
GNMA 23-4   5.00  07/20/49     788,903      780,157
GNMA 23-59   5.00  11/20/41   1,648,119    1,636,574
GNMA 23-84KA   5.50  06/20/42   2,006,403    1,995,486
GNMA 24-1   5.50  08/20/48   6,683,685    6,619,843
GNMA 24-11   5.00  09/20/50   2,194,622    2,161,502
GNMA 24-43   5.50  08/20/48   3,500,000    3,504,200
GNMA 786576   4.50  09/20/52     925,153      876,766
GNMA 787194   7.50  12/20/53   2,066,647    2,121,141
GNMA 787238   7.50  02/20/54   2,273,028    2,332,965
GNMA 787291   7.50  03/20/54   2,885,000    2,961,074
GNMA CK0445   4.00  02/15/52   2,196,422    2,061,625
GNMA CV1215   7.00  07/20/53   2,273,343    2,321,121
GNMA CW8493   8.00  11/20/53     991,352    1,018,456
GNMA CW8494   7.50  11/20/53   2,122,998    2,178,209
GNMA CW8495   7.50  11/20/53   1,186,013    1,216,857
GNMA CZ5438   7.00  01/20/54   1,997,584    2,040,899
GNMA MA8017   2.50  05/20/37   1,476,116    1,337,485
GNMA MA8917   5.00  06/20/38   1,020,612    1,016,200
Total Mortgage-Backed Securities        
(Cost $51,850,856)       51,447,397
    
Yankee Bonds | 11.4% of portfolio
AerCap Holdings NV   6.10  01/15/27     500,000      508,183
Avolon Holdings Funding Ltd. (a)   5.50  01/15/26   1,225,000    1,212,278
Avolon Holdings Funding Ltd. (a)   2.75  02/21/28     607,000      543,113
BAE Systems PLC (a)   5.00  03/26/27   1,115,000    1,112,733
BAE Systems PLC (a)   5.13  03/26/29   1,115,000    1,118,858
                
11

Portfolio of Investments  |  Short-Term Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Yankee Bonds | 11.4% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Banco Bilbao Vizcaya Argentaria SA   5.38%  03/13/29   $1,400,000    $1,412,436
Banco Santander SA  6.53(b)  11/07/27     400,000      410,266
Banco Santander SA   5.59  08/08/28   1,400,000    1,419,774
Barclays PLC  7.33(b)  11/02/26   1,410,000    1,444,589
Barclays PLC  5.83(b)  05/09/27     855,000      856,815
Barclays PLC  5.67(b)  03/12/28   1,360,000    1,364,838
BNP Paribas (a)  1.32(b)  01/13/27     700,000      650,678
BPCE SA (a)  5.98(b)  01/18/27     610,000      611,574
BPCE SA (a)   5.20  01/18/27   1,375,000    1,377,801
Danske Bank AS (a)  5.43(b)  03/01/28   1,365,000    1,367,898
Delta and SkyMiles IP Ltd. (a)   4.50  10/20/25     454,999      450,372
Delta and SkyMiles IP Ltd. (a)   4.75  10/20/28   2,000,000    1,956,114
Deutsche Bank AG   1.69  03/19/26     295,000      276,172
Electricite de France SA (a)   5.70  05/23/28     500,000      507,254
Hyundai Capital Services Inc. (a)   5.13  02/05/27   2,305,000    2,287,838
Korea National Oil Corp. (a)   4.75  04/03/26     500,000      493,540
Lloyds Banking Group PLC  4.72(b)  08/11/26     750,000      741,017
Macquarie Airfinance Holdings Ltd. (a)   6.40  03/26/29     500,000      507,910
Macquarie Group Ltd. (a)  1.34(b)  01/12/27   2,500,000    2,318,760
Mizuho Financial Group Inc. (a)   3.48  04/12/26     750,000      724,495
Nationwide Building Society (a)  2.97(b)  02/16/28   1,500,000    1,399,071
Natwest Group PLC  5.85(b)  03/02/27     765,000      768,670
Nutrien Ltd.   4.90  03/27/28     925,000      920,101
Roche Holdings Inc. (a)   5.34  11/13/28   2,536,000    2,597,406
Royal Bank of Canada   4.88  01/19/27   1,140,000    1,137,507
Santander UK Group Holdings PLC  6.83(b)  11/21/26     460,000      467,589
Santander UK Group Holdings PLC  6.53(b)  01/10/29   1,005,000    1,038,905
Saudi Arabian Oil Co. (a)   1.63  11/24/25     500,000      469,800
Saudi Arabian Oil Co. (a)   3.50  04/16/29   1,360,000    1,267,117
Societe Generale (a)  5.52(b)  01/19/28   1,155,000    1,147,055
Societe Generale (a)  5.63(b)  01/19/30     455,000      453,061
Sumitomo Mitsui Financial Group Inc.   5.46  01/13/26   1,810,000    1,816,092
Svenska Handelsbanken AB (a)   5.25  06/15/26     460,000      461,140
Svenska Handelsbanken AB (a)   5.50  06/15/28   2,060,000    2,080,983
TransCanada Pipelines Ltd.   7.06  10/14/25   6,043,000    6,134,630
Triton Container International Ltd. (a)   2.05  04/15/26   1,390,000    1,280,839
Var Energi ASA (a)   7.50  01/15/28     595,000      629,317
Total Yankee Bonds        
(Cost $50,379,330)       49,744,589
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 0.9% of portfolio
Energy | 0.8%    
Petroleos Mexicanos  5.93(b)  04/15/25   2,931,250    2,928,437
Petroleos Mexicanos   2.46  12/15/25      87,800       83,272
Reliance Industries Ltd.   1.87  01/15/26     633,895      608,870
Total Energy       3,620,579
Financials | 0.1%    
MSN 41079 and 41084 Ltd.   1.72  07/13/24     109,444      108,619
MSN 41079 and 41084 Ltd.   1.63  12/14/24     179,461      176,426
Santa Rosa Leasing LLC   1.69  08/15/24      60,857       60,433
Total Financials       345,478
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $4,002,178)       3,966,057
    
12
                

Portfolio of Investments  |  Short-Term Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Municipal Bonds | 0.5% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
Arizona | 0.5%    
Glendale Arizona   1.45%  07/01/26   $1,000,000      $928,237
Glendale Arizona   1.72  07/01/27   1,235,000    1,124,898
Total Arizona       2,053,135
Total Municipal Bonds        
(Cost $2,235,000)       2,053,135
    
Money Market Fund | 0.5% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  5.26(d)     2,034,449    2,034,449
Total Money Market Fund        
(Cost $2,034,449)       2,034,449
Total Investments in Securities        
(Cost $441,696,162) | 100.0%       $436,428,610
(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 Directors. The total of such securities at period-end amounts to $114,217,793 and represents 26.2% of total investments.
(b) Variable coupon rate as of March 31, 2024.
(c) Interest is paid at maturity.
(d) 7-day yield at March 31, 2024.
LLC -Limited Liability Company
N.A. -North America
LP -Limited Partnership
SCA -Société en Commandite par Actions
Pte -Private Limited Company
ABS -Asset-Backed Security
FHLMC -Federal Home Loan Mortgage Corporation
NV -Naamloze Vennottschap
PLC -Public Limited Company
SA -Sociedad Anonima or Societe Anonyme
AS -Anonim Sirket
AG -Aktiengesellschaft
AB -Aktiebolag
ASA -Allmennaksjeselskap
At March 31, 2024, the cost of investment securities for tax purposes was $441,736,417. Net unrealized depreciation of investment securities was $5,307,807 consisting of unrealized gains of $1,523,090 and unrealized losses of $6,830,897.
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
                
13

Portfolio of Investments  |  Short-Term Bond Fund  |  March 31, 2024  |  (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.
Short-Term Bond Fund Level 1 Level 2 Level 3 Total
Corporate Bonds–Other

$$169,602,234 $$169,602,234
U.S. Government & Agency Obligations

101,694,198 101,694,198
Asset-Backed Securities

55,886,551 55,886,551
Mortgage-Backed Securities

51,447,397 51,447,397
Yankee Bonds

49,744,589 49,744,589
Corporate Bonds Guaranteed by Export-Import Bank of the United States

3,966,057 3,966,057
Municipal Bonds

2,053,135 2,053,135
Money Market Fund

2,034,449 2,034,449
Total $2,034,449 $434,394,161 $ — $436,428,610
14
                

Portfolio of Investments
Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)

Corporate Bonds–Other | 34.5% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Communication Services | 0.9%    
Sprint Spectrum Co. LLC (a)   4.74%  03/20/25    $112,500      $111,880
T-Mobile US, Inc.   3.00  02/15/41    200,000      147,309
Warnermedia Holdings Inc.   4.05  03/15/29    190,000      177,864
Warnermedia Holdings Inc.   4.28  03/15/32    190,000      169,715
Warnermedia Holdings Inc.   5.05  03/15/42    285,000      244,956
Warnermedia Holdings Inc.   5.14  03/15/52    180,000      149,399
Warnermedia Holdings Inc.   5.39  03/15/62    190,000      157,677
Total Communication Services       1,158,800
Consumer Discretionary | 4.0%    
Block Financial Corp.   2.50  07/15/28    145,000      128,805
Daimler Trucks Financial N.A. LLC (a)   3.50  04/07/25    340,000      333,005
Expedia Group, Inc.   4.63  08/01/27    330,000      323,717
Ford Motor Credit Co. LLC   2.90  02/10/29    225,000      198,383
Ford Motor Credit Co. LLC   6.05  03/05/31    200,000      201,422
General Motors Financial Co., Inc.   4.35  01/17/27    150,000      146,499
Hyundai Capital America (a)   5.50  03/30/26    380,000      380,619
Hyundai Capital America (a)   5.65  06/26/26    290,000      290,919
Hyundai Capital America (a)   5.60  03/30/28    290,000      293,294
Hyundai Capital America (a)   5.80  04/01/30    490,000      501,087
Lowe`s Companies, Inc.   5.85  04/01/63    205,000      211,460
Nissan Motor Acceptance Corp. (a)   2.45  09/15/28    435,000      374,767
Ross Stores Inc.   0.88  04/15/26    495,000      454,967
Tractor Supply Co.   1.75  11/01/30    100,000       81,065
United Airlines 2019-2AA PT   2.70  05/01/32    875,144      748,626
US Airways 2013 1A PTT   3.95  11/15/25    248,370      242,409
Volkswagen Group of America Finance LLC (a)   5.60  03/22/34    325,000      328,303
Total Consumer Discretionary       5,239,347
Consumer Staples | 2.8%    
7-Eleven Inc. (a)   1.30  02/10/28     60,000       52,285
7-Eleven Inc. (a)   1.80  02/10/31     60,000       48,202
7-Eleven Inc. (a)   2.80  02/10/51    135,000       83,799
BAT Capital Corp.   5.83  02/20/31    630,000      635,407
Campbell Soup Co.   2.38  04/24/30    250,000      214,047
J.M Smucker Co. (The)   6.50  11/15/53    375,000      416,432
JBS USA Food Co.   3.00  02/02/29    335,000      296,626
JBS USA Food Co.   4.38  02/02/52    530,000      384,887
Kenvue Inc.   5.20  03/22/63     85,000       84,087
Philip Morris International Inc.   4.88  02/15/28    230,000      229,366
Philip Morris International Inc.   5.13  02/15/30    260,000      259,997
Philip Morris International Inc.   5.13  02/13/31    380,000      377,509
Philip Morris International Inc.   5.75  11/17/32    310,000      320,049
Smithfield Foods, Inc. (a)   2.63  09/13/31    340,000      266,260
Total Consumer Staples       3,668,953
Energy | 2.9%    
Boardwalk Pipelines LP   5.63  08/01/34    130,000      130,058
BP Capital Markets America Inc.   2.77  11/10/50    210,000      135,931
Cheniere Corpus Christi Holdings LLC   5.13  06/30/27    180,000      179,571
Cheniere Corpus Christi Holdings LLC   3.70  11/15/29     39,000       36,277
Cheniere Corpus Christi Holdings LLC   2.74  12/31/39    170,000      137,314
Cheniere Energy Inc. (a)   5.65  04/15/34    130,000      130,928
Cheniere Energy Partners LP   5.95  06/30/33    105,000      107,349
                
15

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 34.5% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Energy | 2.9% (Continued)    
Energy Transfer Operating LP   3.75%  05/15/30    $318,000      $293,102
Energy Transfer Operating LP   6.00  06/15/48    420,000      417,450
Entergy Arkansas, LLC   5.15  01/15/33    205,000      205,541
Marathon Oil Corp.   4.40  07/15/27    360,000      349,827
Midwest Connector Capital Co. LLC (a)   4.63  04/01/29    205,000      197,904
MPLX LP   1.75  03/01/26     80,000       74,783
MPLX LP   2.65  08/15/30    245,000      210,725
National Oilwell Varco, Inc.   3.60  12/01/29    112,000      102,994
Phillips 66   2.15  12/15/30    260,000      218,114
Phillips 66   5.30  06/30/33    300,000      301,858
Targa Resources Corp.   5.20  07/01/27    260,000      259,623
Targa Resources Corp.   6.50  02/15/53    305,000      326,833
Total Energy       3,816,182
Financials | 12.0%    
Ally Financial Inc.  6.99(b)  06/13/29    205,000      212,527
American Express Co.  4.99(b)  05/01/26    250,000      248,507
Antares Holdings LP   3.95  07/15/26    375,000      352,418
Athene Global Funding (a)   2.95  11/12/26    120,000      112,146
Athene Holding Ltd.   3.95  05/25/51    300,000      220,374
Bank of America Corp.  4.83(b)  07/22/26    740,000      733,342
Bank of America Corp.  1.20(b)  10/24/26    200,000      187,193
Bank of America Corp.  4.95(b)  07/22/28    525,000      520,994
Bank of America Corp.  6.20(b)  11/10/28    150,000      155,168
Bank of America Corp.  2.50(b)  02/13/31    263,000      226,559
Bank of America Corp.  5.02(b)  07/22/33    445,000      437,995
Blue Owl Capital Corp. III   3.13  04/13/27    396,000      360,510
Blue Owl Credit Income Corp.   3.13  09/23/26    518,000      475,262
Citigroup Inc.  5.17(b)  02/13/30    390,000      388,180
Citigroup Inc.  2.57(b)  06/03/31    870,000      743,411
Citigroup Inc.  6.27(b)  11/17/33    445,000      469,995
Citigroup Inc.  5.83(b)  02/13/35    390,000      386,095
GA Global Funding Trust (a)   3.85  04/11/25    460,000      451,382
Goldman Sachs Group, Inc.  2.64(b)  02/24/28    245,000      228,189
Goldman Sachs Group, Inc.  3.62(b)  03/15/28    153,000      146,350
Goldman Sachs Group, Inc.  2.38(b)  07/21/32    365,000      299,431
Goldman Sachs Group, Inc.  2.91(b)  07/21/42    230,000      165,377
Goldman Sachs Group, Inc.  3.44(b)  02/24/43    255,000      197,525
J.P. Morgan Chase & Co.  2.08(b)  04/22/26    340,000      327,611
J.P. Morgan Chase & Co.  1.04(b)  02/04/27    150,000      138,818
J.P. Morgan Chase & Co.  6.07(b)  10/22/27    125,000      127,541
J.P. Morgan Chase & Co.  5.30(b)  07/24/29    195,000      196,449
J.P. Morgan Chase & Co.  4.91(b)  07/25/33    185,000      181,142
M&T Bank Corp.  7.41(b)  10/30/29    500,000      527,331
Manufacturers and Traders Trust Co.   4.65  01/27/26    300,000      293,470
Metropolitan Life Global Funding I (a)   5.00  01/06/26    340,000      339,128
Metropolitan Life Global Funding I (a)   5.15  03/28/33    180,000      180,202
Morgan Stanley  1.51(b)  07/20/27    200,000      183,560
Morgan Stanley  5.16(b)  04/20/29    320,000      319,742
Morgan Stanley  5.17(b)  01/16/30    370,000      370,313
Morgan Stanley  1.79(b)  02/13/32    510,000      407,685
Morgan Stanley  4.89(b)  07/20/33    170,000      164,880
Northern Trust Corp.   6.13  11/02/32    265,000      279,926
Owl Rock Technology Finance Corp.   3.75  06/17/26    150,000      138,903
Owl Rock Technology Finance Corp.   2.50  01/15/27    139,000      123,417
16
                

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 34.5% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Financials | 12.0% (Continued)    
Prudential Financial Inc.  6.50%(b)  03/15/54    $620,000      $628,572
Prudential Financial, Inc.  5.70(b)  09/15/48     75,000       74,176
Santander Holdings USA, Inc.  2.49(b)  01/06/28    298,000      270,826
Truist Financial Corp.  5.44(b)  01/24/30    315,000      314,633
Wells Fargo & Co.  2.19(b)  04/30/26    210,000      202,236
Wells Fargo & Co.  3.53(b)  03/24/28    240,000      228,429
Wells Fargo & Co.  2.39(b)  06/02/28    445,000      407,310
Wells Fargo & Co.  5.57(b)  07/25/29    375,000      379,445
Wells Fargo & Co.  5.20(b)  01/23/30    265,000      264,441
Wells Fargo & Co.  2.57(b)  02/11/31    200,000      172,403
Wells Fargo & Co.  6.49(b)  10/23/34    220,000      235,966
Wells Fargo & Co.  3.07(b)  04/30/41    440,000      329,214
Total Financials       15,526,699
Health Care | 3.1%    
AbbVie Inc.   4.95  03/15/31    105,000      105,749
AbbVie Inc.   5.35  03/15/44     65,000       66,277
AbbVie Inc.   5.40  03/15/54    130,000      133,808
Amgen Inc.   5.75  03/02/63    215,000      219,289
Bayer US Finance LLC (a)   6.25  01/21/29    331,000      336,766
Bayer US Finance LLC (a)   6.88  11/21/53    610,000      625,838
Bristol-Myers Squibb Co.   6.25  11/15/53    127,000      143,059
GE HealthCare Technologies Inc.   5.60  11/15/25    225,000      225,758
GE HealthCare Technologies Inc.   5.65  11/15/27    255,000      259,662
GE HealthCare Technologies Inc.   5.91  11/22/32    270,000      283,465
HCA Inc.   5.45  04/01/31    390,000      392,034
HCA Inc.   5.90  06/01/53    315,000      316,740
Pfizer Investment Enterprises Pte Ltd.   4.65  05/19/30    195,000      193,108
Pfizer Investment Enterprises Pte Ltd.   5.11  05/19/43     95,000       92,896
Pfizer Investment Enterprises Pte Ltd.   5.30  05/19/53    255,000      253,530
Solventum Corp. (a)   5.90  04/30/54    380,000      379,065
Total Health Care       4,027,044
Industrials | 1.5%    
Ashtead Capital, Inc. (a)   1.50  08/12/26    240,000      218,512
Ashtead Capital, Inc. (a)   4.25  11/01/29    308,000      287,141
Ashtead Capital, Inc. (a)   2.45  08/12/31    200,000      162,402
BNSF Railway Co. (a)   3.44  06/16/28    340,144      323,190
Boeing Co. (The)   2.20  02/04/26    350,000      327,670
Delta Air Lines, Inc. (a)   7.00  05/01/25    250,000      253,280
Quanta Services, Inc.   2.35  01/15/32    260,000      211,270
Triton International Ltd.   3.25  03/15/32    175,000      142,015
Total Industrials       1,925,480
Information Technology | 1.0%    
Avnet Inc.   6.25  03/15/28    170,000      174,142
Broadcom Cayman Finance Ltd.   3.88  01/15/27    255,000      247,204
Cisco Systems Inc.   4.95  02/26/31    230,000      232,030
Cisco Systems Inc.   5.30  02/26/54    130,000      133,443
VMware, Inc.   1.40  08/15/26    155,000      141,555
VMware, Inc.   4.70  05/15/30    200,000      194,683
VMware, Inc.   2.20  08/15/31    155,000      126,137
Total Information Technology       1,249,194
                
17

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 34.5% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Materials | 1.1%    
Celanese US Holdings LLC   6.05%  03/15/25    $140,000      $140,269
Celanese US Holdings LLC   6.17  07/15/27    360,000      366,664
Celanese US Holdings LLC   6.33  07/15/29    260,000      269,607
Celanese US Holdings LLC   6.38  07/15/32    175,000      181,547
Glencore Funding LLC (a)   2.63  09/23/31    260,000      216,700
Glencore Funding LLC (a)   3.38  09/23/51    170,000      116,357
Silgan Holdings Inc. (a)   1.40  04/01/26    125,000      114,495
Total Materials       1,405,639
Real Estate | 1.0%    
American Tower Corp.   5.50  03/15/28    205,000      206,717
Healthpeak OP, LLC   5.25  12/15/32    125,000      123,980
Host Hotels & Resorts, LP   4.50  02/01/26    150,000      146,883
Realty Income Corp.   4.85  03/15/30    200,000      197,695
VICI Properties LP   4.75  02/15/28    180,000      175,536
VICI Properties LP   6.13  04/01/54    385,000      379,737
Total Real Estate       1,230,548
Utilities | 4.2%    
Ameren Illinois Co.   5.90  12/01/52    175,000      187,408
American Water Capital Corp.   2.80  05/01/30    920,000      809,894
American Water Capital Corp.   5.45  03/01/54    365,000      368,112
Entergy Louisiana, LLC   3.78  04/01/25    325,000      318,331
Exelon Corp.   5.15  03/15/28    235,000      235,575
Florida Power & Light Co.   5.05  04/01/28    170,000      171,859
Indiana Michigan Power Co.   5.63  04/01/53    215,000      217,192
Indianapolis Power & Light Co. (a)   5.65  12/01/32    260,000      264,339
National Fuel Gas Co.   5.50  01/15/26     80,000       79,876
Oklahoma Gas & Electric Co.   5.60  04/01/53    107,000      107,015
Pacific Gas & Electric Co.   3.00  06/15/28    225,000      205,515
Pacific Gas & Electric Co.   4.55  07/01/30    130,000      123,568
Pacific Gas & Electric Co.   4.25  03/15/46    770,000      603,081
PacifiCorp   5.30  02/15/31    500,000      501,434
Public Service Electric & Gas Co.   4.65  03/15/33    105,000      102,342
Public Service Electric & Gas Co.   5.13  03/15/53    300,000      295,117
SCE Recovery Funding LLC   2.51  11/15/43    190,000      130,659
Southern California Edison Co.   5.30  03/01/28    115,000      116,280
Southern California Edison Co.   2.25  06/01/30     55,000       46,736
Southern California Edison Co.   4.50  09/01/40    200,000      177,665
Southern California Edison Co.   4.00  04/01/47    164,000      129,801
Southern California Edison Co.   3.65  02/01/50    214,000      158,493
TerraForm Power Operating LLC (a)   4.75  01/15/30    171,000      156,745
Total Utilities       5,507,037
Total Corporate Bonds–Other        
(Cost $47,332,851)       44,754,923
    
Mortgage-Backed Securities | 31.2% of portfolio
Farm 2021-1 Mortgage Trust 21-1 (a)  2.18(b)  01/25/51    212,665      167,340
FHLMC QA7479   3.00  03/01/50    197,340      172,408
FHLMC QE2363   3.50  05/01/52  1,284,344    1,149,479
FHLMC RA8249   5.50  11/01/52    695,694      694,490
FHLMC SD1188   3.50  06/01/52    679,858      608,729
FHLMC SD1495   5.00  08/01/52    846,396      835,291
18
                

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Mortgage-Backed Securities | 31.2% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
FHLMC SD2605   5.50%  04/01/53    $478,966      $477,568
FHLMC SD7555   3.00  08/01/52    833,036      727,867
FHLMC SD8068   3.00  06/01/50    191,686      167,012
FHLMC SD8193   2.00  02/01/52  5,895,195    4,667,835
FHLMC SD8237   4.00  08/01/52  1,292,334    1,198,632
FNMA BN7662   3.50  07/01/49     77,356       70,293
FNMA CA4016   3.00  08/01/49    455,031      396,760
FNMA FM1000   3.00  04/01/47    831,210      731,161
FNMA FM4231   2.50  09/01/50    219,474      183,076
FNMA MA3691   3.00  07/01/49    131,556      114,778
FNMA MA3834   3.00  11/01/49    273,550      238,406
FNMA MA3960   3.00  03/01/50    126,806      110,221
FNMA MA3992   3.50  04/01/50    126,048      114,062
FNMA MA4048   3.00  06/01/50    572,508      497,392
FNMA MA4124   2.50  09/01/35  1,023,693      934,497
FNMA MA4179   2.00  11/01/35  3,344,645    2,985,449
FNMA MA4254   1.50  02/01/51  2,530,680    1,911,416
FNMA MA4303   2.00  04/01/36  1,347,870    1,201,479
FNMA MA4418   2.00  09/01/36  2,254,883    2,001,534
FNMA MA4437   2.00  10/01/51  3,843,379    3,049,566
FNMA MA4579   3.00  04/01/52    682,624      588,016
GNMA 21-8   1.00  01/20/50    462,284      355,547
GNMA 22-177   5.00  05/20/48  1,365,697    1,353,737
GNMA 23-128   5.75  08/20/47    577,851      579,004
GNMA 23-22EA   5.00  09/20/49    876,528      867,346
GNMA 23-22EC   5.00  01/20/51    428,741      424,234
GNMA 23-4   5.00  07/20/49    224,169      221,684
GNMA 23-59   5.00  11/20/41    455,111      451,923
GNMA 23-76   5.00  05/20/53  1,489,454    1,464,408
GNMA 23-84KA   5.50  06/20/42    632,453      629,012
GNMA 786247   4.00  07/20/52    622,796      582,398
GNMA 786428   4.00  06/20/52  1,024,176      944,861
GNMA 786576   4.50  09/20/52    254,889      241,558
GNMA 787291   7.50  03/20/54    275,000      282,251
GNMA CK0445   4.00  02/15/52  1,143,236    1,073,074
GNMA CV1215   7.00  07/20/53    704,836      719,649
GNMA CW8493   8.00  11/20/53    283,955      291,719
GNMA CW8495   7.50  11/20/53    318,928      327,222
GNMA MA8346   4.00  10/20/52  3,320,079    3,106,023
GNMA MA8880   6.00  05/20/53    547,456      552,563
Total Mortgage-Backed Securities        
(Cost $42,822,444)       40,462,970
    
U.S. Government & Agency Obligations | 15.3% of portfolio
Federal Farm Credit Bank   0.52  10/21/25    300,000      280,591
Federal Farm Credit Bank   1.33  07/01/30    605,000      497,668
U.S. International Development Finance Corp.   1.05  10/15/29    106,613       96,534
U.S. Treasury Note   4.63  02/28/26  1,375,000    1,373,872
U.S. Treasury Note   4.25  03/15/27  1,362,000    1,355,722
U.S. Treasury Note   4.25  02/28/29  1,161,000    1,162,542
U.S. Treasury Note   4.25  02/28/31  1,580,000    1,582,716
U.S. Treasury Note   4.00  02/15/34  1,308,000    1,286,336
U.S. Treasury Note   2.38  02/15/42  4,918,000    3,657,955
U.S. Treasury Note   3.25  05/15/42    510,000      433,520
U.S. Treasury Note   3.38  08/15/42  4,374,000    3,778,042
U.S. Treasury Note   4.50  02/15/44  1,448,000    1,455,919
                
19

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
U.S. Government & Agency Obligations | 15.3% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
U.S. Treasury Note   4.75%  11/15/53  $2,723,000    $2,906,803
Total U.S. Government & Agency Obligations        
(Cost $21,080,505)       19,868,220
Asset-Backed Securities | 9.3% of portfolio
Avant Credit Card Master Trust 21-1A (a)   1.37  04/15/27    500,000      482,727
Avant Loans Funding Trust 21-REV1 (a)   1.21  07/15/30     15,240       15,220
Avant Loans Funding Trust 22-REV1 (a)   6.54  09/15/31    518,454      517,964
Carvana Auto Receivables Trust 24-P1 (a)   5.05  04/10/29    325,000      324,253
Colony American Finance Ltd. 21-2 (a)   1.41  07/15/54    164,244      148,702
CoreVest American Finance 20-4 (a)   1.17  12/15/52     89,741       84,068
CoreVest American Finance 21-1 (a)   1.57  04/15/53    652,536      603,482
CoreVest American Finance 21-3 (a)   2.49  10/15/54    660,000      604,001
FIC Funding 21-1 (a)   1.13  04/15/33     22,149       21,936
First Investors Auto Owner Trust 21-2A (a)   0.48  03/15/27     52,814       52,220
Firstkey Homes Trust 22-SFR2 (a)   4.25  07/17/39    323,018      312,444
Flagship Credit Auto Trust 21-3 (a)   0.36  07/15/27     25,844       25,679
Ford Credit Auto Lease Trust 20-A   5.06  05/15/27    260,000      259,617
Frontier Issuer 23-1A (a)   6.60  08/20/53  1,000,000    1,009,965
Frontier Issuer 23-1B (a)   8.30  08/20/53    675,000      685,872
FRTKL 21-SFR1 (a)   1.57  09/17/38    250,000      227,534
GLS Auto Select Receivables Trust 24-1A (a)   5.24  03/15/30    265,000      264,074
GM Financial Automobile Leasing Trust 24-1   5.09  03/22/27    525,000      524,654
Gracie Point International Funding 23-2A (a)  7.61(b)  03/01/27    175,165      176,616
Honda Auto Receivables Owner Trust 24-1   5.21  08/15/28    580,000      582,408
John Deere Owner Trust 23-B   5.18  03/15/28    185,000      185,036
LAD Auto Receivables Trust 21-1 (a)   1.30  08/17/26     35,961       35,691
LAD Auto Receivables Trust 23-2 (a)   5.93  06/15/27    147,581      147,721
Oasis Securitisation 22-1A (a)   4.75  05/15/34     41,573       41,293
Oasis Securitisation 22-2A (a)   6.85  10/15/34    209,068      208,431
Oasis Securitisation 23-1A (a)   7.00  02/15/35    245,535      245,073
Oportun Funding 21-A (a)   1.21  03/08/28    116,756      112,931
Oportun Funding 21-B (a)   1.47  05/08/31  1,000,000      948,461
PenFed Auto Receivable Owner 22-A (a)   3.96  04/15/26    240,694      239,127
Progress Residential Trust 21-SFR8 (a)   1.51  10/17/38    336,461      305,840
Progress Residential Trust 22-SFR3 (a)   3.20  04/17/39    246,006      231,568
Progress Residential Trust 22-SFR3 (a)   3.60  04/17/39    165,000      155,983
SBA Tower Trust (a)   2.84  01/15/25    230,000      224,486
SBA Tower Trust (a)   1.88  01/15/26     20,000       18,670
SBA Tower Trust (a)   1.63  11/15/26    240,000      217,160
SBA Tower Trust (a)   6.60  01/15/28    210,000      215,134
SBA Tower Trust (a)   2.59  10/15/31    430,000      346,650
SBIC 2023-10B   5.69  09/10/33    341,790      349,795
T-Mobile US Trust 22-1A (a)   4.91  05/22/28    505,000      502,642
Volkswagen Auto Lease Trust 24-A   5.21  06/21/27    230,000      230,519
Westgate Resorts 22-1A (a)   2.29  08/20/36    176,284      169,014
Total Asset-Backed Securities        
(Cost $12,339,927)       12,054,661
    
Yankee Bonds | 6.7% of portfolio
AerCap Ireland Capital DAC   3.88  01/23/28    250,000      237,016
Aptiv PLC   3.10  12/01/51    280,000      176,595
Avolon Holdings Funding Ltd. (a)   5.50  01/15/26    625,000      618,509
Avolon Holdings Funding Ltd. (a)   2.75  02/21/28    130,000      116,317
BAE Systems PLC (a)   5.00  03/26/27    325,000      324,339
BAE Systems PLC (a)   5.13  03/26/29    325,000      326,125
20
                

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Yankee Bonds | 6.7% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Banco Santander SA  6.53%(b)  11/07/27    $200,000      $205,133
Barclays PLC  7.33(b)  11/02/26    370,000      379,076
Barclays PLC  5.83(b)  05/09/27    240,000      240,510
Barclays PLC  6.04(b)  03/12/55    200,000      208,230
BP Capital Markets America Inc.   4.81  02/13/33    110,000      108,559
BPCE SA (a)  5.98(b)  01/18/27    250,000      250,645
Cenovus Energy Inc.   5.25  06/15/37    395,000      377,853
Danske Bank AS (a)  5.43(b)  03/01/28    260,000      260,552
Delta and SkyMiles IP Ltd. (a)   4.75  10/20/28    550,000      537,931
Deutsche Bank AG   1.69  03/19/26    150,000      140,427
Enbridge Inc.   5.70  03/08/33    320,000      327,729
Hyundai Capital Services Inc. (a)   5.13  02/05/27    550,000      545,905
Mitsubishi UFJ Financial Group Inc.   3.74  03/07/29    300,000      285,333
Mizuho Financial Group Inc.  4.25(b)  09/11/29    200,000      193,203
Nissan Motor Co., Ltd. (a)   4.81  09/17/30    200,000      186,755
OCI NV (a)   6.70  03/16/33    310,000      308,967
Petronas Capital Ltd. (a)   3.40  04/28/61    360,000      246,629
Roche Holdings Inc. (a)   5.49  11/13/30    390,000      404,178
Roche Holdings Inc. (a)   5.22  03/08/54    200,000      202,862
Santander UK Group Holdings PLC  6.53(b)  01/10/29    275,000      284,278
Societe Generale (a)  5.52(b)  01/19/28    325,000      322,765
Sumitomo Mitsui Financial Group Inc.   5.46  01/13/26    240,000      240,808
Sumitomo Mitsui Financial Group Inc.   5.52  01/13/28    200,000      203,954
Svenska Handelsbanken AB (a)   5.50  06/15/28    260,000      262,648
Var Energi ASA (a)   7.50  01/15/28    200,000      211,535
Total Yankee Bonds        
(Cost $8,960,624)       8,735,366
Municipal Bonds | 1.3% of portfolio
Arizona | 0.2%    
Pinal County Arizona Revenue Obligation   1.58  08/01/26    110,000      101,706
Yuma Arizona Pledged Revenue   2.63  07/15/38    135,000      105,779
Total Arizona       207,485
California | 0.9%    
City of Chula Vista California Pension Obligation   2.91  06/01/45    255,000      178,331
City of Monterey Park California Pension Obligation   1.89  06/01/30  1,000,000      845,852
Huntington Beach California Pension Obligation   1.68  06/15/27    155,000      140,707
San Francisco California City & County Airports   3.35  05/01/51    100,000       74,919
Total California       1,239,809
Texas | 0.1%    
North Texas Tollway Authority Revenue   3.01  01/01/43    150,000      114,603
Total Texas       114,603
West Virginia | 0.1%    
West Virginia State University Revenues   3.01  10/01/41    150,000      116,688
Total West Virginia       116,688
Total Municipal Bonds        
(Cost $2,055,000)       1,678,585
    
                
21

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Corporate Bond Guaranteed by Export-Import Bank of the United States | 0.1% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
Energy | 0.1%    
Petroleos Mexicanos  5.93%(b)  04/15/25     $89,375       $89,289
Total Energy       89,289
Total Corporate Bond Guaranteed by Export-Import Bank of the United States        
(Cost $89,351)       89,289
    
Money Market Fund | 1.6% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  5.26(c)    2,140,318    2,140,318
Total Money Market Fund        
(Cost $2,140,318)       2,140,318
Total Investments in Securities        
(Cost $136,821,020) | 100.0%       $129,784,332
(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 $23,147,574 and represents 17.8% of total investments.
(b) Variable coupon rate as of March 31, 2024.
(c) 7-day yield at March 31, 2024.
LLC -Limited Liability Company
N.A. -North America
LP -Limited Partnership
Pte -Private Limited Company
FHLMC -Federal Home Loan Mortgage Corporation
DAC -Designated Activity Company
PLC -Public Limited Company
SA -Sociedad Anonima or Societe Anonyme
AS -Anonim Sirket
AG -Aktiengesellschaft
NV -Naamloze Vennottschap
AB -Aktiebolag
ASA -Allmennaksjeselskap
At March 31, 2024, the cost of investment securities for tax purposes was $136,940,694. Net unrealized depreciation of investment securities was $7,156,362 consisting of unrealized gains of $568,384 and unrealized losses of $7,724,746.
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).
22
                

Portfolio of Investments  |  Intermediate Bond Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
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
Corporate Bonds–Other

$$44,754,923 $$44,754,923
Mortgage-Backed Securities

40,462,970 40,462,970
U.S. Government & Agency Obligations

19,868,220 19,868,220
Asset-Backed Securities

12,054,661 12,054,661
Yankee Bonds

8,735,366 8,735,366
Municipal Bonds

1,678,585 1,678,585
Corporate Bond Guaranteed by Export-Import Bank of the United States

89,289 89,289
Money Market Fund

2,140,318 2,140,318
Total $2,140,318 $127,644,014 $ — $129,784,332
                
23

Portfolio of Investments
Rural America Growth & Income Fund  |  March 31, 2024  |  (Unaudited)

Common Stocks | 59.4% of portfolio
      Shares Value
Communication Services | 1.6%
Media        
Cable One, Inc.           42      $17,771
Wireless Telecommunication Services        
T-Mobile U.S., Inc.          872     142,328
Total Communication Services       160,099
Consumer Discretionary | 7.5%
Hotels, Restaurants & Leisure        
Choice Hotels International, Inc.        1,059     133,804
Leisure Products        
Malibu Boats, Inc. Class A (a)        1,079      46,699
Specialty Retail        
ARKO Corp.        4,866      27,736
Burlington Stores, Inc. (a)          552     128,169
Lowe's Companies, Inc.          317      80,750
Ollie's Bargain Outlet Holdings, Inc. (a)          588      46,787
O'Reilly Automotive, Inc. (a)          151     170,461
Tractor Supply Co.          503     131,645
Total Consumer Discretionary       766,051
Consumer Staples | 2.0%
Consumer Staples Distribution & Retail        
Dollar General Corp.          344      53,685
Food Products        
Hershey Co. (The)          785     152,682
Total Consumer Staples       206,367
Energy | 3.8%
Oil, Gas & Consumable Fuels        
Chevron Corp.          705     111,207
ConocoPhillips          981     124,861
Marathon Petroleum Corp.          724     145,886
Total Energy       381,954
Financials | 7.4%
Banks        
FB Financial Corp.          568      21,391
Glacier Bancorp, Inc.          991      39,918
SouthState Corp.          346      29,420
Truist Financial Corp.        2,002      78,038
Capital Markets        
CME Group, Inc.          769     165,558
Intercontinental Exchange, Inc.          948     130,284
Financial Services        
Jack Henry & Associates, Inc.          842     146,281
Insurance        
Allstate Corp.          180      31,142
American International Group, Inc.          548      42,837
Chubb Ltd.          266      68,928
Total Financials       753,797
24
                

Portfolio of Investments  |  Rural America Growth & Income Fund  |  March 31, 2024  |  
(Unaudited)  |  (Continued)
Common Stocks | 59.4% of portfolio (Continued)
      Shares Value
Health Care | 10.1%
Health Care Equipment & Supplies        
Integer Holdings Corp. (a)        1,400     $163,352
Stryker Corp.          624     223,311
Health Care Providers & Services        
AMN Healthcare Services, Inc. (a)          685      42,819
Cencora, Inc.          275      66,822
Centene Corp. (a)        1,489     116,857
Life Sciences Tools & Services        
IQVIA Holdings Inc. (a)          564     142,630
Mettler-Toledo International, Inc. (a)           51      67,896
Pharmaceuticals        
Zoetis Inc.        1,176     198,991
Total Health Care       1,022,678
Industrials | 10.1%
Commercial Services & Supplies        
Casella Waste Systems, Inc. Class A (a)          793      78,404
Ground Transportation        
CSX Corp.        3,403     126,149
J.B. Hunt Transport Services, Inc.          344      68,542
Machinery        
Cummins Inc.          241      71,011
Deere & Co.          522     214,406
Xylem, Inc.          267      34,507
Software        
Paycom Software, Inc.          480      95,525
Trading Companies & Distributors        
Applied Industrial Technologies, Inc.          595     117,542
Fastenal Co.        2,913     224,709
Total Industrials       1,030,795
Information Technology | 8.9%
Electronic Equipment, Instruments & Components        
Advanced Energy Industries, Inc.          948      96,677
Corning Inc.        3,070     101,187
Trimble Inc. (a)        1,522      97,956
Semiconductors & Semiconductor Equipment        
Diodes Inc. (a)        1,204      84,882
Micron Technology, Inc.        1,736     204,657
Software        
ANSYS, Inc. (a)          482     167,331
Tyler Technologies, Inc. (a)          354     150,454
Total Information Technology       903,144
Materials | 4.3%
Chemicals        
Sherwin-Williams Co. (The)          309     107,325
Construction Materials        
Vulcan Materials Co.          413     112,716
Containers & Packaging        
Ball Corp.        1,577     106,227
Metals & Mining        
Freeport-McMoRan Inc.        2,303     108,287
Total Materials       434,555
                
25

Portfolio of Investments  |  Rural America Growth & Income Fund  |  March 31, 2024  |  
(Unaudited)  |  (Continued)
Common Stocks | 59.4% of portfolio (Continued)
      Shares Value
Real Estate | 3.7%
Health Care REITs        
Community Healthcare Trust Inc.          798      $21,187
Specialized REITs        
American Tower Corp.          802     158,467
Crown Castle Inc.        1,302     137,791
Uniti Group Inc.        9,981      58,888
Total Real Estate       376,333
Total Common Stocks        
(Cost $ 5,505,492)       6,035,773
U.S. Government & Agency Obligations | 25.6% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount  
Federal Farm Credit Bank    0.52%  10/21/25  $200,000     187,061
Federal Farm Credit Bank    3.32  02/25/26  200,000     195,024
Federal Farm Credit Bank    1.20  04/28/27  195,000     176,059
Federal Farm Credit Bank    3.38  09/15/27   65,000      62,839
Federal Farm Credit Bank    3.87  08/15/28  265,000     260,510
Federal Farm Credit Bank    3.43  12/06/28   62,000      59,781
Federal Farm Credit Bank    4.00  09/27/29  200,000     197,179
Federal Farm Credit Bank    4.09  05/03/32  324,000     306,849
Federal Farm Credit Bank    3.50  09/01/32   50,000      46,613
Federal Farm Credit Bank    2.50  04/14/36   70,000      54,659
Federal Farm Credit Banks Funding Corp.    2.25  01/14/30   70,000      61,596
Federal Farm Credit Banks Funding Corp.    6.69  10/18/38   30,000      30,191
Tennessee Valley Authority    2.88  09/15/24   99,000      97,863
Tennessee Valley Authority    0.75  05/15/25  128,000     122,117
Tennessee Valley Authority    1.50  09/15/31   65,000      53,620
U.S. Treasury Note    4.62  02/28/26   83,000      82,932
U.S. Treasury Note    4.12  02/15/27   24,000      23,797
U.S. Treasury Note    4.25  03/15/27  301,000     299,612
U.S. Treasury Note    4.25  02/28/29   17,000      17,023
U.S. Treasury Note    4.25  02/28/31  225,000     225,387
U.S. Treasury Note    4.00  02/15/34   41,000      40,321
Total U.S. Government & Agency Obligations        
(Cost $ 2,644,862)       2,601,033
    
Corporate Bonds–Other | 9.2% of portfolio
Communication Services | 0.8%
T-Mobile USA Inc.    4.80  07/15/28   41,000      40,661
T-Mobile USA, Inc.    3.75  04/15/27   44,000      42,376
Total Communication Services       83,037
Consumer Discretionary | 1.1%
Choice Hotels International, Inc.    3.70  01/15/31   25,000      21,905
Dollar General Corp.    5.00  11/01/32   30,000      29,643
Kohl's Corp.    4.25  07/17/25   22,000      21,515
Tractor Supply Co.    1.75  11/01/30   44,000      35,668
Total Consumer Discretionary       108,731
Consumer Staples | 0.4%
Bunge Limited Finance Corp.    3.75  09/25/27   10,000       9,597
26
                

Portfolio of Investments  |  Rural America Growth & Income Fund  |  March 31, 2024  |  
(Unaudited)  |  (Continued)
Corporate Bonds–Other | 9.2% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Consumer Staples | 0.4% (Continued)
Bunge Limited Finance Corp.    2.75%  05/14/31   $35,000      $30,142
Total Consumer Staples       39,739
Energy | 0.0%
Murphy Oil Corp.    6.38  07/15/28    2,000       2,013
Total Energy       2,013
Financials | 3.7%
American Tower Corp.    3.95  03/15/29   60,000      56,683
Chubb INA Holdings Inc.    3.15  03/15/25   36,000      35,251
Cincinnati Financial Corp.    6.92  05/15/28   25,000      26,578
Globe Life Inc.    4.55  09/15/28   33,000      32,325
Intercontinental Exchange, Inc.    3.75  12/01/25   78,000      76,322
M&T Bank Corp.  7.41 (b)  10/30/29   35,000      36,913
Metlife, Inc.    3.00  03/01/25   42,000      41,107
Truist Financial Corp.  1.27 (b)  03/02/27   45,000      41,603
Truist Financial Corp.  5.43 (b)  01/24/30   25,000      24,971
Total Financials       371,753
Health Care | 0.8%
Laboratory Corporation of America Holdings    1.55  06/01/26   43,000      39,826
Zoetis Inc.    5.40  11/14/25   40,000      40,053
Total Health Care       79,879
Industrials | 0.5%
CNH Industrial Capital LLC    1.45  07/15/26   17,000      15,605
J.B. Hunt Transport Services, Inc.    3.88  03/01/26   23,000      22,483
John Deere Capital Corp.    4.95  07/14/28   15,000      15,113
Total Industrials       53,201
Information Technology | 0.2%
Micron Technology, Inc.    4.66  02/15/30   26,000      25,396
Total Information Technology       25,396
Materials | 0.7%
Mosaic Co.    4.05  11/15/27   22,000      21,222
Steel Dynamics, Inc.    2.40  06/15/25   27,000      25,999
Vulcan Materials Co.    3.50  06/01/30   32,000      29,329
Total Materials       76,550
Real Estate | 0.5%
American Tower Corp.    5.50  03/15/28   30,000      30,251
Crown Castle International Corp.    3.80  02/15/28   18,000      17,041
Total Real Estate       47,292
Utilities | 0.5%
Black Hills Corp.    2.50  06/15/30   60,000      50,217
Total Utilities       50,217
Total Corporate Bonds–Other        
(Cost $ 985,286)       937,808
    
                
27

Portfolio of Investments  |  Rural America Growth & Income Fund  |  March 31, 2024  |  
(Unaudited)  |  (Continued)
Asset-Backed Securities | 1.7% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
John Deere Owner Trust 23-A    5.01%  11/15/27   $50,000      $49,854
John Deere Owner Trust 23-B    5.18  03/15/28   20,000      20,004
SBA Tower Trust (c)    1.63  11/15/26   30,000      27,145
SBA Tower Trust (c)    2.59  10/15/31   52,000      41,920
SBA Tower Trust (c)    2.84  01/15/25   35,000      34,161
Total Asset-Backed Securities        
(Cost $ 187,198)       173,084
    
Mortgage-Backed Securities | 1.7% of portfolio
Farm 2021-1 Mortgage Trust 21-1 (c)   2.18(b)  01/25/51   25,019      19,687
Freddie Mac Multiclass Certificates 21-P009    1.13  01/25/31   35,807      31,444
GNMA 786428    4.00  06/20/52   47,416      43,744
GNMA 786576    4.50  09/20/52   56,642      53,680
GNMA II POOL 785401    2.50  10/20/50   26,978      22,422
Total Mortgage-Backed Securities        
(Cost $ 186,671)       170,977
    
Municipal Bonds | 0.9% of portfolio
Kansas | 0.1%
City of Wichita, Kansas Water & Sewer Utility Revenue    3.00  10/01/24   10,000       9,896
Montana | 0.1%
Yellowstone County School District No. 2 Billings    2.22  06/15/32   15,000      12,402
Pennsylvania | 0.4%
Geisinger Health System Revenue    2.25  04/01/27   20,000      18,546
New Castle Sanitation Authority    1.16  06/01/25   25,000      23,837
Total Pennsylvania       42,383
Washington | 0.3%
Northwest Open Access Network Revenue    1.69  12/01/27   30,000      26,556
Total Municipal Bonds        
(Cost $ 100,950)       91,237
    
Money Market Fund | 1.5% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund   5.26%(d)    156,021     156,021
Total Money Market Fund        
(Cost $ 156,021)       156,021
Total Investments in Securities        
(Cost $9,766,480) | 100.0%       $10,165,933
(a) Non-income producing.
(b) Variable coupon rate as of March 31, 2024.
(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 $122,913 and represents 1.2% of total investments.
(d) 7-day yield at March 31, 2024.
CME -Chicago Mercantile Exchange
LLC -Limited Liability Company
28
                

Portfolio of Investments  |  Rural America Growth & Income Fund  |  March 31, 2024  |  
(Unaudited)  |  (Continued)
At March 31, 2024, the cost of investment securities for tax purposes was $9,786,088. Net unrealized appreciation of investment securities was $379,845 consisting of unrealized gains of $955,144 and unrealized losses of $575,299.
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.
Rural America Growth & Income Fund Level 1 Level 2 Level 3 Total
Common Stocks

$6,035,773 $$$6,035,773
U.S. Government & Agency Obligations

2,601,033 2,601,033
Corporate Bonds–Other

937,808 937,808
Asset-Backed Securities

173,084 173,084
Mortgage-Backed Securities

170,977 170,977
Municipal Bonds

91,237 91,237
Money Market Fund

156,021 156,021
Total $6,191,794 $3,974,139 $ — $10,165,933
                
29

Portfolio of Investments
Stock Index Fund  |  March 31, 2024  |  (Unaudited)

  Cost Value
INVESTMENT $22,905,940 $241,413,656
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 March 31, 2024, the Stock Index Fund's ownership interest in the S&P 500 Index Master Portfolio was 0.62%.  See the Appendix for the S&P 500 Index Master Portfolio for holdings information.
30
                

Portfolio of Investments
Value Fund  |  March 31, 2024  |  (Unaudited)

Common Stocks | 98.6% of portfolio
  Shares Value
Communication Services | 8.2%
Entertainment    
Walt Disney Co. (The)    180,600    $22,098,216
Interactive Media & Services    
Alphabet, Inc., Class C (a)    172,020    26,191,765
Meta Platforms, Inc., Class A     75,500    36,661,290
Total Communication Services   84,951,271
Consumer Discretionary | 8.0%
Distributors    
LKQ Corp.    169,500     9,052,995
Hotels, Restaurants & Leisure    
McDonald's Corp.     57,097    16,098,499
Household Durables    
PulteGroup, Inc.     94,700    11,422,714
Specialty Retail    
Home Depot, Inc.     36,918    14,161,745
TJX Companies, Inc. (The)    143,200    14,523,344
Ulta Beauty, Inc. (a)     35,356    18,486,945
Total Consumer Discretionary   83,746,242
Consumer Staples | 0.8%
Food Products    
Kraft Heinz Co. (The)    227,700     8,402,130
Total Consumer Staples   8,402,130
Energy | 7.5%
Oil, Gas & Consumable Fuels    
Chevron Corp.    165,900    26,169,066
ConocoPhillips    237,500    30,229,000
Diamondback Energy, Inc.    112,200    22,234,674
Total Energy   78,632,740
Financials | 20.8%
Banks    
Bank of America Corp.    557,102    21,125,308
Citigroup, Inc.    221,939    14,035,422
JPMorgan Chase & Co.    226,791    45,426,237
Truist Financial Corp.    318,400    12,411,232
Capital Markets    
Goldman Sachs Group, Inc.     76,674    32,025,963
Financial Services    
Fiserv, Inc. (a)    197,400    31,548,468
Visa Inc., Class A     74,898    20,902,534
Insurance    
Allstate Corp.     86,984    15,049,102
American International Group, Inc.     52,494     4,103,456
Chubb Ltd.     78,938    20,455,204
Total Financials   217,082,926
Health Care | 18.5%
Biotechnology    
AbbVie Inc.    180,763    32,916,943
Common Stocks | 98.6% of portfolio (Continued)
  Shares Value
Health Care | 18.5% (Continued)
Health Care Equipment & Supplies    
Abbott Laboratories    265,156    $30,137,631
Boston Scientific Corp. (a)    416,696    28,539,509
Health Care Providers & Services    
Centene Corp. (a)    321,997    25,270,324
Cigna Corp.     64,814    23,539,797
Pharmaceuticals    
Bristol-Myers Squibb Co.    248,501    13,476,209
Merck & Co., Inc.    187,182    24,698,665
Royalty Pharma PLC, Class A    483,484    14,683,409
Total Health Care   193,262,487
Industrials | 16.5%
Aerospace & Defense    
Northrop Grumman Corp.     47,031    22,511,859
Electrical Equipment    
Eaton Corp. PLC     88,687    27,730,651
Ground Transportation    
CSX Corp.    617,782    22,901,179
Industrial Conglomerates    
Honeywell International, Inc.    165,173    33,901,758
Machinery    
Deere & Co.     46,700    19,181,558
Parker-Hannifin Corp.     82,422    45,809,323
Total Industrials   172,036,328
Information Technology | 8.3%
Semiconductors & Semiconductor Equipment    
Lam Research Corp.     28,300    27,495,431
NXP Semiconductors NV     94,763    23,479,429
Software    
Microsoft Corp.     62,114    26,132,602
Oracle Corp.     73,400     9,219,774
Total Information Technology   86,327,236
Materials | 5.9%
Chemicals    
DuPont de Nemours, Inc.    226,278    17,348,734
Containers & Packaging    
Avery Dennison Corp.    117,587    26,251,298
Metals & Mining    
Freeport-McMoRan Inc.    375,000    17,632,500
Total Materials   61,232,532
Real Estate | 4.1%
Specialized REITs    
Crown Castle Inc.    130,700    13,831,981
Digital Realty Trust, Inc.    111,801    16,103,816
 
                
31

Portfolio of Investments  |  Value Fund  |  March 31, 2024  |  (Unaudited)  |  (Continued)
Common Stocks | 98.6% of portfolio (Continued)
  Shares Value
Real Estate | 4.1% (Continued)
VICI Properties Inc.    444,235    $13,233,761
Total Real Estate   43,169,558
Total Common Stocks    
(Cost $527,618,580)   1,028,843,450
Money Market Fund | 1.4% of portfolio
State Street Institutional U.S. Government Money Market Fund Premier Class, 5.26% (b) 14,363,447    14,363,447
Total Money Market Fund    
(Cost $14,363,447)   14,363,447
Total Investments in Securities    
(Cost $541,982,027) | 100.0%   $1,043,206,897
(a) Non-income producing.
(b) 7-day yield at March 31, 2024.
PLC -Public Limited Company
NV -Naamloze Vennottschap
At March 31, 2024, the cost of investment securities for tax purposes was $542,994,470. Net unrealized appreciation of investment securities was $500,212,427 consisting of unrealized gains of $506,083,523 and unrealized losses of $5,871,096.
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

$1,028,843,450 $$$1,028,843,450
Money Market Fund

14,363,447 14,363,447
Total $1,043,206,897 $ — $ — $1,043,206,897
32
                

Portfolio of Investments
Growth Fund  |  March 31, 2024  |  (Unaudited)

Common Stocks | 99.8% of portfolio
  Shares Value
Communication Services | 14.0%
Entertainment    
Netflix, Inc. (a)   7,552   $4,586,556
Spotify Technology SA (a)   9,592   2,531,329
Interactive Media & Services    
Alphabet, Inc., Class A (a) 146,946  22,178,560
Meta Platforms, Inc., Class A  35,439  17,208,470
Wireless Telecommunication Services    
T-Mobile U.S., Inc.  14,347   2,341,717
Total Communication Services   48,846,632
Consumer Discretionary | 12.4%
Broadline Retail    
Amazon.com, Inc. (a) 149,916  27,041,848
Coupang, Inc. (a) 138,519   2,464,253
MercadoLibre, Inc. (a)     340     514,066
Hotels, Restaurants & Leisure    
Booking Holdings, Inc.   1,326   4,810,569
Chipotle Mexican Grill, Inc. (a)   1,184   3,441,616
Leisure Products    
Peloton Interactive, Inc. (a)  69,531     297,940
Specialty Retail    
Ross Stores, Inc.  32,842   4,819,892
Total Consumer Discretionary   43,390,184
Consumer Staples | 0.8%
Beverages    
Monster Beverage Corp. (a)  13,608     806,682
Consumer Staples Distribution & Retail    
Dollar General Corp.  13,397   2,090,736
Total Consumer Staples   2,897,418
Energy | 0.8%
Energy Equipment & Services    
Schlumberger NV  50,656   2,776,455
Total Energy   2,776,455
Financials | 10.8%
Capital Markets    
Charles Schwab Corp.  29,006   2,098,294
Tradeweb Markets Inc.  16,666   1,736,097
Financial Services    
Affirm Holdings, Inc. (a)   6,661     248,189
Fiserv, Inc. (a)  68,002  10,868,080
Global Payments, Inc.  19,841   2,651,948
Mastercard Inc., Class A  24,886  11,984,351
Visa Inc., Class A  29,881   8,339,189
Total Financials   37,926,148
Health Care | 15.3%
Biotechnology    
argenx SE ADR (a)   3,700   1,456,764
Common Stocks | 99.8% of portfolio (Continued)
  Shares Value
Health Care | 15.3% (Continued)
Legend Biotech Corp. ADR (a)  20,220   $1,134,140
Health Care Equipment & Supplies    
Becton, Dickinson & Co.  15,387   3,807,513
Intuitive Surgical, Inc. (a)  19,371   7,730,773
Penumbra, Inc. (a)   3,982     888,703
Stryker Corp.  19,530   6,989,201
Health Care Providers & Services    
Cigna Corp.  24,687   8,966,072
Humana, Inc.   2,777     962,841
UnitedHealth Group, Inc.  24,292  12,017,252
Life Sciences Tools & Services    
Danaher Corp.   5,077   1,267,828
Pharmaceuticals    
Eli Lilly & Co.  10,895   8,475,874
Total Health Care   53,696,961
Industrials | 3.1%
Aerospace & Defense    
Howmet Aerospace Inc.  31,411   2,149,455
Machinery    
Ingersoll Rand Inc.  53,965   5,123,977
Professional Services    
Equifax Inc.   4,000   1,070,080
Paylocity Holding Corp. (a)  15,102   2,595,429
Total Industrials   10,938,941
Information Technology | 42.6%
Electronic Equipment, Instruments & Components    
Amphenol Corp., Class A  51,161   5,901,422
IT Services    
MongoDB, Inc. (a)   1,708     612,557
Shopify Inc., Class A (a)  18,500   1,427,645
Semiconductors & Semiconductor Equipment    
Advanced Micro Devices, Inc. (a)  17,833   3,218,678
ASML Holding NV ADR   5,272   5,116,318
NVIDIA Corp.  32,870  29,700,017
Software    
Adobe Inc. (a)   9,325   4,705,395
Atlassian Corp., Class A (a)  14,400   2,809,584
Aurora Innovation, Inc. (a)  86,713     244,531
Cadence Design Systems, Inc. (a)   8,828   2,747,980
Dynatrace, Inc. (a)  40,349   1,873,807
Fair Isaac Corp. (a)   1,985   2,480,476
Fortinet, Inc. (a)  25,900   1,769,229
Intuit, Inc.  18,095  11,761,750
Microsoft Corp. 112,140  47,179,541
salesforce.com, Inc.   7,377   2,221,805
ServiceNow, Inc. (a)   7,019   5,351,285
 
                
33

Portfolio of Investments  |  Growth Fund  |  March 31, 2024  |  (Unaudited)  |  (Continued)
Common Stocks | 99.8% of portfolio (Continued)
  Shares Value
Information Technology | 42.6% (Continued)
Technology Hardware, Storage & Peripherals    
Apple, Inc. 117,522  $20,152,673
Total Information Technology   149,274,693
Total Common Stocks    
(Cost $169,969,169)   349,747,432
Money Market Fund | 0.2% of portfolio
State Street Institutional U.S. Government Money Market Fund Premier Class, 5.26% (b) 814,404     814,404
Total Money Market Fund    
(Cost $814,404)   814,404
Total Investments in Securities    
(Cost $170,783,573) | 100.0%   $350,561,836
(a) Non-income producing.
(b) 7-day yield at March 31, 2024.
SA -Sociedad Anonima or Societe Anonyme
NV -Naamloze Vennottschap
ADR -American Depositary Receipt
SE -Societas Europaea
At March 31, 2024, the cost of investment securities for tax purposes was $171,983,838. Net unrealized appreciation of investment securities was $178,577,998 consisting of unrealized gains of $180,666,962 and unrealized losses of $2,088,964.
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

$349,747,432 $$$349,747,432
Money Market Fund

814,404 814,404
Total $350,561,836 $ — $ — $350,561,836
34
                

Portfolio of Investments
International Equity Fund  |  March 31, 2024  |  (Unaudited)

Common Stocks | 95.7% of portfolio
  Shares Value
Australia | 2.1%
BHP Group Ltd. ADR    32,364  $1,867,079
Total Australia   1,867,079
Britain | 8.1%
Haleon PLC   569,627  2,387,179
Rio Tinto PLC    29,166  1,844,016
Shell PLC    85,557  2,838,736
Total Britain   7,069,931
Canada | 7.6%
Alimentation Couche-Tard Inc.    33,600  1,917,697
Canadian National Railway Co.    10,749  1,415,751
Manulife Financial Corp.   131,800  3,291,716
Total Canada   6,625,164
China | 1.3%
Haier Smart Home Co., Ltd.   182,548    568,053
Zhejiang Sanhua Intelligent Controls Co., Ltd.   158,000    525,260
Total China   1,093,313
Denmark | 2.9%
Coloplast A/S     2,080    280,835
Genmab A/S (a)     4,424  1,326,442
Novozymes A/S, Class B    15,803    929,556
Total Denmark   2,536,833
France | 10.2%
Air Liquide SA     6,985  1,453,219
Dassault Systèmes SE    36,619  1,621,018
L’Oréal SA     5,958  2,821,540
Schneider Electric SE    12,975  2,933,341
Total France   8,829,118
Germany | 13.5%
Allianz SE REG    11,015  3,301,384
BioNTech SE ADR (a)    13,860  1,278,585
Infineon Technologies AG    86,070  2,926,856
SAP SE ADR    13,771  2,685,758
Symrise AG    12,717  1,522,363
Total Germany   11,714,946
Hong Kong | 1.7%
AIA Group Ltd.   223,400  1,502,716
Total Hong Kong   1,502,716
India | 0.9%
HDFC Bank Ltd. ADR    13,523    756,882
Total India   756,882
Common Stocks | 95.7% of portfolio (Continued)
  Shares Value
Indonesia | 0.3%
PT Telkom Indonesia (Persero) Tbk. ADR    11,663    $259,618
Total Indonesia   259,618
Japan | 16.2%
Chugai Pharmaceutical Co., Ltd.    79,300  3,030,480
Daifuku Co., Ltd.    50,900  1,220,043
Keyence Corp.     2,900  1,346,356
Komatsu Ltd.    58,500  1,731,060
Shimano, Inc.     5,800    862,829
Shionogi & Co., Ltd.    24,700  1,262,213
Sony Group Corp.    28,800  2,469,621
Sysmex Corp.    50,100    894,029
Unicharm Corp.    39,100  1,244,797
Total Japan   14,061,428
Netherlands | 2.2%
Adyen NV (a)     1,140  1,925,616
Total Netherlands   1,925,616
Republic of South Korea | 1.5%
Samsung Electronics Co., Ltd. GDR       884  1,312,503
Total Republic of South Korea   1,312,503
Russia | 0.0%
LUKOIL PJSC (a)     6,253          0
Total Russia   0
Singapore | 3.7%
DBS Group Holdings Ltd.   121,115  3,232,295
Total Singapore   3,232,295
Spain | 3.7%
Banco Bilboa Vizcaya Argentaria SA   271,853  3,237,359
Total Spain   3,237,359
Sweden | 9.3%
Alfa Laval AB    44,682  1,755,749
Assa Abloy AB    42,623  1,223,208
Atlas Copco AB, Class A    99,465  1,679,820
Epiroc AB, Class A    66,799  1,253,987
Skandinaviska Enskilda Banken AB, Class A   163,699  2,217,717
Total Sweden   8,130,481
Switzerland | 6.6%
Alcon Inc.    21,740  1,810,725
Nestlé SA ADR    11,452  1,216,774
Roche Holding AG REG     6,661  1,700,679
 
                
35

Portfolio of Investments  |  International Equity Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Common Stocks | 95.7% of portfolio (Continued)
  Shares Value
Switzerland | 6.6% (Continued)
Sonova Holding AG REG     3,638  $1,053,539
Total Switzerland   5,781,717
Taiwan | 1.7%
Taiwan Semiconductor Manufacturing Co. Ltd. ADR    10,614  1,444,035
Total Taiwan   1,444,035
United States of America | 2.2%
Linde PLC     4,087  1,897,676
Total United States of America   1,897,676
Total Common Stocks    
(Cost $62,231,311)   83,278,710
    
Money Market Fund | 4.3% of portfolio
  Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class, 5.26% (b) 3,721,628  $3,721,628
Total Money Market Fund    
(Cost $3,721,628)   3,721,628
Total Investments in Securities    
(Cost $65,952,939) | 100.0%   $87,000,338
 
(a) Non-income producing.
(b) 7-day yield at March 31, 2024.
ADR -American Depositary Receipt
PLC -Public Limited Company
A/S -Aktieselskab
SA -Sociedad Anonima or Societe Anonyme
SE -Societas Europaea
REG -Registered Shares
AG -Aktiengesellschaft
Tbk. -Terbuka
NV -Naamloze Vennottschap
GDR -Global Depositary Receipt
AB -Aktiebolag
At March 31, 2024, the cost of investment securities for tax purposes was $65,994,632. Net unrealized appreciation of investment securities was $21,005,706 consisting of unrealized gains of $23,788,881 and unrealized losses of $2,783,175.
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.
36
                

Portfolio of Investments  |  International Equity Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
International Equity Fund Level 1 Level 2 Level 3 Total
Common Stocks

$18,625,522 $64,653,188 $$83,278,710
Money Market Fund

3,721,628 3,721,628
Total $22,347,150 $64,653,188 $ — $87,000,338
                
37

Portfolio of Investments
Small-Company Stock Fund  |  March 31, 2024  |  (Unaudited)

Common Stocks | 98.6% of portfolio
  Shares Value
Consumer Discretionary | 7.8%
Broadline Retail    
Savers Value Village, Inc. (a)    37,400     $721,072
Hotels, Restaurants & Leisure    
Hilton Grand Vacations Inc. (a)   110,400   5,211,984
Household Durables    
MDC Holdings, Inc.    42,388   2,666,629
Leisure Products    
Malibu Boats, Inc., Class A (a)    61,500   2,661,720
Topgolf Callaway Brands Corp. (a)   187,951   3,039,168
YETI Holdings, Inc. (a)    82,700   3,188,085
Specialty Retail    
ARKO Corp.   441,500   2,516,550
Total Consumer Discretionary   20,005,208
Energy | 8.7%
Oil, Gas & Consumable Fuels    
Matador Resources Co.    59,300   3,959,461
Northern Oil and Gas, Inc.   161,900   6,424,192
Permian Resources Corp.   243,300   4,296,678
SM Energy Co.   153,300   7,642,005
Total Energy   22,322,336
Financials | 15.5%
Banks    
Atlantic Union Bankshares Corp.   129,592   4,575,894
Cadence Bank   136,750   3,965,750
FB Financial Corp.   138,259   5,206,834
Glacier Bancorp, Inc.   104,116   4,193,792
Live Oak Bancshares, Inc.   123,000   5,105,730
Capital Markets    
Donnelley Financial Solutions, Inc. (a)    56,900   3,528,369
Consumer Finance    
Encore Capital Group, Inc. (a)   116,283   5,303,668
Insurance    
Kinsale Capital Group, Inc.    14,826   7,779,795
Total Financials   39,659,832
Health Care | 13.8%
Health Care Equipment & Supplies    
Enovis Corp. (a)    56,976   3,558,151
Envista Holdings Corp. (a)   106,000   2,266,280
Globus Medical, Inc.  (a)    66,225   3,552,309
Integer Holdings Corp. (a)    76,970   8,980,860
iRhythm Technologies, Inc. (a)    16,900   1,960,400
Lantheus Holdings, Inc. (a)    31,600   1,966,784
STAAR Surgical Co. (a)    35,236   1,348,834
Health Care Providers & Services    
AMN Healthcare Services, Inc. (a)    39,087   2,443,327
Life Sciences Tools & Services    
Medpace Holdings, Inc. (a)    22,650   9,153,998
Total Health Care   35,230,943
Common Stocks | 98.6% of portfolio (Continued)
  Shares Value
Industrials | 26.5%
Aerospace & Defense    
Triumph Group, Inc. (a)   407,930   $6,135,267
Building Products    
Hayward Holdings, Inc. (a)   386,000   5,909,660
Construction & Engineering    
Comfort Systems USA, Inc.    29,188   9,273,320
Electrical Equipment    
Atkore Inc.    53,500  10,184,260
Ground Transportation    
Werner Enterprises, Inc.    85,933   3,361,699
Machinery    
ESAB Corp.    57,176   6,321,950
Federal Signal Corp.   118,894  10,090,534
John Bean Technologies Corp.    34,600   3,629,194
Professional Services    
CACI International Inc., Class A (a)     8,371   3,171,186
Trading Companies & Distributors    
Applied Industrial Technologies, Inc.    48,326   9,546,801
Total Industrials   67,623,871
Information Technology | 15.9%
Electronic Equipment, Instruments & Components    
Advanced Energy Industries, Inc.    63,162   6,441,261
Plexus Corp. (a)    35,600   3,375,592
Semiconductors & Semiconductor Equipment    
Axcelis Technologies, Inc. (a)    11,000   1,226,720
Diodes Inc. (a)    67,486   4,757,763
Software    
Altair Engineering Inc., Class A (a)    94,477   8,139,193
Descartes Systems Group Inc. (The) (a)    86,570   7,923,752
Model N, Inc. (a)   153,300   4,364,451
PowerSchool Holdings, Inc.  (a)   207,669   4,421,273
Total Information Technology   40,650,005
Materials | 6.8%
Chemicals    
Avient Corp.   170,627   7,405,212
Construction Materials    
Summit Materials, Inc., Class A (a)   225,209  10,037,565
Total Materials   17,442,777
Real Estate | 3.6%
Health Care REITs    
Community Healthcare Trust Inc.    78,900   2,094,795
Office REITs    
Easterly Government Properties, Inc.   229,311   2,639,369
 
38
                

Portfolio of Investments  |  Small-Company Stock Fund  |  March 31, 2024  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.6% of portfolio (Continued)
  Shares Value
Real Estate | 3.6% (Continued)
Real Estate Management & Development    
DigitalBridge Group, Inc.    79,200   $1,526,184
Specialized REITs    
Uniti Group Inc.   497,500   2,935,250
Total Real Estate   9,195,598
Total Common Stocks    
(Cost $176,555,325)   252,130,570
    
Money Market Fund | 1.4% of portfolio
  Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class, 5.26% (b) 3,454,310   $3,454,310
Total Money Market Fund    
(Cost $3,454,310)   3,454,310
Total Investments in Securities    
(Cost $180,009,635) | 100.0%   $255,584,880
 
(a) Non-income producing.
(b) 7-day yield at March 31, 2024.
At March 31, 2024, the cost of investment securities for tax purposes was $179,583,446. Net unrealized appreciation of investment securities was $76,001,434 consisting of unrealized gains of $90,374,759 and unrealized losses of $14,373,325.
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

$252,130,570 $$$252,130,570
Money Market Fund

3,454,310 3,454,310
Total $255,584,880 $ — $ — $255,584,880
                
39

Appendix
S&P 500 Index Master Portfolio
40