0001145549-23-070117.txt : 20231124 0001145549-23-070117.hdr.sgml : 20231124 20231124161803 ACCESSION NUMBER: 0001145549-23-070117 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230930 FILED AS OF DATE: 20231124 DATE AS OF CHANGE: 20231124 PERIOD START: 20240630 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TOUCHSTONE STRATEGIC TRUST CENTRAL INDEX KEY: 0000711080 IRS NUMBER: 311276717 STATE OF INCORPORATION: MA FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-03651 FILM NUMBER: 231436902 BUSINESS ADDRESS: STREET 1: 303 BROADWAY STREET 2: SUITE 1100 CITY: CINCINNATI STATE: OH ZIP: 45202-4203 BUSINESS PHONE: 5133628000 MAIL ADDRESS: STREET 1: 303 BROADWAY STREET 2: SUITE 1100 CITY: CINCINNATI STATE: OH ZIP: 45202-4203 FORMER COMPANY: FORMER CONFORMED NAME: COUNTRYWIDE STRATEGIC TRUST DATE OF NAME CHANGE: 19970303 FORMER COMPANY: FORMER CONFORMED NAME: MIDWEST STRATEGIC TRUST DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: FINANCIAL INDEPENDENCE TRUST DATE OF NAME CHANGE: 19900604 0000711080 S000059009 Touchstone Balanced Fund C000193583 Class A SEBLX C000193584 Class C SBACX C000193585 Class Y SIBLX C000231974 Class R6 TBARX NPORT-P 1 primary_doc.xml NPORT-P false 0000711080 XXXXXXXX S000059009 C000231974 C000193585 C000193583 C000193584 Touchstone Strategic Trust 811-03651 0000711080 5493006Z577I3GNQF624 303 Broadway Suite 1100 Cincinnati 45202 8006388194 Touchstone Strategic Trust-Touchstone Balanced Fund S000059009 549300KT2SFR9V4KST18 2024-06-30 2023-09-30 N 802462243.140000000000 2074912.900000000000 800387330.240000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 1052.000000000000 USD N Short-Term Invts T 549300UJV6OHYATSFU27 Short-Term Invts T INVSCO GOVT INST 825252885 496831.05 NS USD 496831.05 0.0620738274 Long STIV RF US N 1 N N AB BSL CLO 2 LTD N/A ABBSL 2021-2A B1 00037LAC4 1000000 PA USD 984159 0.1229603422 Long ABS-CBDO CORP KY Y 2 2034-04-17 Floating 6.910290000000 N N N N N N AB BSL CLO 3 LTD N/A ABBSL 2021-3A B 00037QAC3 1500000 PA USD 1475310 0.1843245069 Long ABS-CBDO CORP KY Y 2 2034-10-20 Floating 6.950430000000 N N N N N N AT&T Inc 549300Z40J86GGSTL398 T 4.5 05/15/35 00206RCP5 433000 PA USD 370959.53 0.0463475015 Long DBT CORP US N 2 2035-05-15 Fixed 4.500000000000 N N N N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 ABBV 4.45 05/14/46 00287YAW9 774000 PA USD 632066.37 0.0789700619 Long DBT CORP US N 2 2046-05-14 Fixed 4.450000000000 N N N N N N Aercap Ireland Capital DAC 549300TI38531ODB1G63 AER 2.45 10/29/26 00774MAV7 1217000 PA USD 1090358.35 0.1362288368 Long DBT CORP IE N 2 2026-10-29 Fixed 2.450000000000 N N N N N N Agate Bay Mortgage Trust 2013-1 549300FEDPP088KAOR45 ABMT 2013-1 B3 008414AF1 86951.78 PA USD 80661.81 0.0100778469 Long ABS-O CORP US Y 2 2043-07-25 Floating 3.555283400000 N N N N N N Agate Bay Mortgage Trust N/A ABMT 2015-4 B2 00842ACC1 276666.75 PA USD 260317.35 0.0325239219 Long ABS-O CORP US Y 2 2045-06-25 Floating 3.500497600000 N N N N N N Agate Bay Mortgage Trust 549300LK2ZDVY7I44B84 ABMT 2015-7 B1 00842CAS4 385695.3 PA USD 348022.24 0.0434817278 Long ABS-O CORP US Y 2 2045-10-25 Floating 3.645102900000 N N N N N N Airbnb Inc 549300HMUDNO0RY56D37 Airbnb Inc COM CL A 009066101 42643 NS USD 5851046.03 0.7310268178 Long EC CORP US N 1 N N N Air Canada Pass Through Certificates, Series 2015-1 4B4HI3CGXMBDC0G6BM51 ACACN 3.6 03/15/27 144A 009090AA9 74700.03 PA USD 69056.61 0.0086278989 Long ABS-O CORP CA Y 2 2028-09-15 Fixed 3.600000000000 N N N N N N Aker BP ASA 549300NFTY73920OYK69 AKERBP 6 06/13/33 144A 00973RAM5 690000 PA USD 667055.2 0.0833415491 Long DBT CORP NO Y 2 2033-06-13 Fixed 6.000000000000 N N N N N N Alcon Finance Corp 549300CUZUI9VU7XNK42 ALCSW 3.8 09/23/49 144A 01400EAC7 679000 PA USD 480729.87 0.0600621539 Long DBT CORP US Y 2 2049-09-23 Fixed 3.800000000000 N N N N N N Alibaba Group Holding Ltd. 5493001NTNQJDH60PM02 Alibaba Group Holding Ltd. SPON ADS EACH REP 8 ORD SHS 01609W102 35184 NS USD 3051860.16 0.3812979097 Long EC CORP KY N 1 N N N Alphabet Inc. 5493006MHB84DD0ZWV18 Alphabet Inc. CAP USD0.001 CL C 02079K107 214937 NS USD 28339443.45 3.5407161482 Long EC CORP US N 1 N N N Amazon.com, Inc. ZXTILKJKG63JELOEG630 Amazon.com, Inc. COM USD0.01 023135106 181305 NS USD 23047491.6 2.8795422827 Long EC CORP US N 1 N N N American Express Company R4PP93JZOLY261QX3811 AXP V5.282 07/27/29 025816DH9 1181000 PA USD 1151567.18 0.1438762380 Long DBT CORP US N 2 2029-07-27 Fixed 5.282000000000 N N N N N N American Tower Corporation 5493006ORUSIL88JOE18 AMT 5.9 11/15/33 03027XCF5 1219000 PA USD 1191707.03 0.1488912911 Long DBT CORP US N 2 2033-11-15 Fixed 5.900000000000 N N N N N N Cencora Inc AI8GXW8LG5WK7E9UD086 Cencora Inc COM USD0.01 03073E105 65880 NS USD 11856423.6 1.4813357423 Long EC CORP US N 1 N N N Amgen Inc. 62QBXGPJ34PQ72Z12S66 AMGN 5.15 03/02/28 031162DP2 876000 PA USD 861652.22 0.1076544052 Long DBT CORP US N 2 2028-03-02 Fixed 5.150000000000 N N N N N N Anheuser-Busch Companies LLC / Anheuser-Busch InBev Worldwide Inc 5493002J2SVENP0PVK27 ABIBB 4.9 02/01/46 * 03522AAJ9 664000 PA USD 585052.9 0.0730962220 Long DBT CORP US N 2 2046-02-01 Fixed 4.900000000000 N N N N N N Apple Inc. HWUPKR0MPOU8FGXBT394 Apple Inc. COM USD0.00001 037833100 217560 NS USD 37248447.6 4.6538027518 Long EC CORP US N 1 N N N Apple Inc. HWUPKR0MPOU8FGXBT394 AAPL 4.65 02/23/46 037833BX7 580000 PA USD 518029.26 0.0647223214 Long DBT CORP US N 2 2046-02-23 Fixed 4.650000000000 N N N N N N Ares Capital Corporation WEQ82666OJYSI5GUAB47 ARCC 3.25 07/15/25 04010LAY9 820000 PA USD 768175.28 0.0959754423 Long DBT CORP US N 2 2025-07-15 Fixed 3.250000000000 N N N N N N Ashtead Capital Inc. 213800J1134IW58IC398 AHTLN 4 05/01/28 144A 045054AJ2 884000 PA USD 803834.26 0.1004306577 Long DBT CORP US Y 2 2028-05-01 Fixed 4.000000000000 N N N N N N BBCMS MORTGAGE TRUST N/A BBCMS 2021-C11 A5 05493MAF1 870000 PA USD 672484.77 0.0840199169 Long ABS-O CORP US N 2 2054-09-17 Fixed 2.322000000000 N N N N N N B.A.T. Capital Corporation 2138005GYEXN7XRHFA84 BATSLN 3.557 08/15/27 05526DBB0 1037000 PA USD 948833.41 0.1185467803 Long DBT CORP US N 2 2027-08-15 Fixed 3.557000000000 N N N N N N BBCMS MORTGAGE TRUST N/A BBCMS 2021-C12 A5 05552XBG2 2520000 PA USD 1998839.3 0.2497340006 Long ABS-O CORP US N 2 2054-11-18 Fixed 2.689000000000 N N N N N N BPR TRUST 2021-KEN N/A BPR 2021-KEN B 05591QAG1 900000 PA USD 888851.25 0.1110526387 Long ABS-O CORP US Y 2 2029-02-15 Floating 7.374999900000 N N N N N N BX COMMERCIAL MORTGAGE TRUST N/A BX 2020-VIV3 B 05608EAA2 1500000 PA USD 1247479.95 0.1558595324 Long ABS-O CORP US Y 2 2044-03-11 Floating 3.662004200000 N N N N N N BX COMMERCIAL MORTGAGE TRUST 2020-VIV4 N/A BX 2020-VIV4 A 05608MAA4 1500000 PA USD 1219550.55 0.1523700468 Long ABS-O CORP US Y 2 2044-03-11 Fixed 2.843000000000 N N N N N N Bahamas (Commonwealth of) 549300W13SXC7EKNJC20 BAHAMA 6 11/21/28 144A 056732AJ9 674000 PA USD 554523.57 0.0692819025 Long DBT NUSS BS Y 2 2028-11-21 Fixed 6.000000000000 N N N N N N Bank 2018-Bnk14 N/A BANK 2018-BN14 A3 06035RAR7 825000 PA USD 749072.12 0.0935887028 Long ABS-O CORP US N 2 2060-09-17 Fixed 3.966000000000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation COM USD0.01 060505104 226643 NS USD 6205485.34 0.7753102911 Long EC CORP US N 1 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 BAC V3.705 04/24/28 06051GGL7 753000 PA USD 693564.6 0.0866536205 Long DBT CORP US N 2 2028-04-24 Fixed 3.705000000000 N N N N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 BAC V2.687 04/22/32 06051GJT7 479000 PA USD 376776.47 0.0470742671 Long DBT CORP US N 2 2032-04-22 Fixed 2.687000000000 N N N N N N Bank of Montreal NQQ6HPCNCCU6TUTQYE16 BMO V3.803 12/15/32 06368BGS1 828000 PA USD 723400.77 0.0903813370 Long DBT CORP CA N 2 2032-12-15 Fixed 3.803000000000 N N N N N N The Bank of New York Mellon Corporation WFLLPEPC7FZXENRZV188 BK V5.834 10/25/33 MTN 06406RBM8 790000 PA USD 776630.02 0.0970317733 Long DBT CORP US N 2 2033-10-25 Fixed 5.834000000000 N N N N N N Bank of Nova Scotia L3I9ZG2KFGXZ61BMYR72 BNS V3.625 10/27/81 2 0641598N9 1290000 PA USD 920619.85 0.1150217920 Long DBT CORP CA N 2 2081-10-27 Fixed 3.625000000000 N N N N N N BANK 2022-BNK39 N/A BANK 2022-BNK39 A4 06539VAJ7 1150000 PA USD 924199.23 0.1154689980 Long ABS-O CORP US N 2 2055-02-18 Floating 2.928000000000 N N N N N N Bank 2019-Bnk21 N/A BANK 2019-BN21 XA 06540BBE8 26280406.44 PA USD 985460.05 0.1231228947 Long ABS-O CORP US N 2 2052-10-18 Floating 0.958673000000 N N N N N N BANK 2020-BNK26 N/A BANK 2020-BN26 A4 06540JBG6 905000 PA USD 729946.76 0.0911991897 Long ABS-O CORP US N 2 2063-03-16 Fixed 2.403000000000 N N N N N N Barclays PLC 213800LBQA1Y9L22JB70 BACR V2.894 11/24/32 06738EBV6 1092000 PA USD 822034.29 0.1027045605 Long DBT CORP GB N 2 2032-11-24 Fixed 2.894000000000 N N N N N N BBCMS MORTGAGE TRUST 2022-C14 N/A BBCMS 2022-C14 A5 07336AAE7 670000 PA USD 539865.23 0.0674504967 Long ABS-O CORP US N 2 2055-02-18 Floating 2.946000000000 N N N N N N Becton, Dickinson and Company ICE2EP6D98PQUILVRZ91 BDX 4.685 12/15/44 075887BG3 700000 PA USD 590852.35 0.0738208025 Long DBT CORP US N 2 2044-12-15 Fixed 4.685000000000 N N N N N N Amcor Flexibles North America Inc PTVU09TE3QPJPL7K4E13 AMCR 2.63 06/19/30 081437AT2 792000 PA USD 639545.97 0.0799045594 Long DBT CORP US N 2 2030-06-19 Fixed 2.630000000000 N N N N N N Berkshire Hathaway Finance Corporation 549300RLHFT5RU20WM87 BRK 4.25 01/15/49 084664CR0 520000 PA USD 425656.11 0.0531812654 Long DBT CORP US N 2 2049-01-15 Fixed 4.250000000000 N N N N N N Berkshire Hathaway Inc. 5493000C01ZX7D35SD85 Berkshire Hathaway Inc. COM USD0.0033 CLASS'B' 084670702 71331 NS USD 24987249.3 3.1218946572 Long EC CORP US N 1 N N N Biomarin Pharmaceutical Inc. NSLL8ITTRR0J5HEMR848 Biomarin Pharmaceutical Inc. COM USD0.001 09061G101 108095 NS USD 9564245.6 1.1949521486 Long EC CORP US N 1 N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 The Boeing Company COM USD5.00 097023105 39393 NS USD 7550850.24 0.9433995210 Long EC CORP US N 1 N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 BA 5.805 05/01/50 097023CW3 469000 PA USD 427476.83 0.0534087452 Long DBT CORP US N 2 2050-05-01 Fixed 5.805000000000 N N N N N N Braskem Netherlands Finance B V 2549000TLMHFQ74DS330 BRASKM 4.5 01/31/30 144A 10554TAD7 600000 PA USD 489057.78 0.0611026389 Long DBT CORP NL Y 2 2030-01-31 Fixed 4.500000000000 N N N N N N Braskem Netherlands Finance B V 2549000TLMHFQ74DS330 BRASKM 5.875 01/31/50 144A 10554TAE5 531000 PA USD 382578.92 0.0477992224 Long DBT CORP NL Y 2 2050-01-31 Fixed 5.875000000000 N N N N N N Bristol-Myers Squibb Company HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Company COM USD0.10 110122108 115178 NS USD 6684931.12 0.8352120114 Long EC CORP US N 1 N N N British Telecommunications PLC 549300OWFMSO9NYV4H90 BRITEL 3.25 11/08/29 144A 11102AAE1 1084000 PA USD 935912.52 0.1169324507 Long DBT CORP GB Y 2 2029-11-08 Fixed 3.250000000000 N N N N N N Broadcom Inc 549300WV6GIDOZJTV909 AVGO 4.15 11/15/30 11135FAQ4 1309000 PA USD 1160528.15 0.1449958172 Long DBT CORP US N 2 2030-11-15 Fixed 4.150000000000 N N N N N N Brunswick Corporation YM4O38W15AX4YLLQKU27 BC 4.4 09/15/32 117043AU3 765000 PA USD 622581.59 0.0777850381 Long DBT CORP US N 2 2032-09-15 Fixed 4.400000000000 N N N N N N Burlington Northern Santa Fe LLC N/A BNSF 5.75 05/01/40 12189LAA9 887000 PA USD 879981.82 0.1099444965 Long DBT CORP US N 2 2040-05-01 Fixed 5.750000000000 N N N N N N CF HIPPOLYTA ISSUER LLC N/A SORT 2020-1 A1 12530MAA3 337294.5 PA USD 306405.81 0.0382821914 Long ABS-O CORP US Y 2 2060-07-15 Fixed 1.690000000000 N N N N N N CLI FUNDING VI LLC 549300NQLBWJD5AREU05 CLIF 2020-3A A 12563LAS6 1113875 PA USD 967002.56 0.1208168250 Long ABS-O CORP US Y 2 2045-10-18 Fixed 2.070000000000 N N N N N N CMS Energy Corporation 549300IA9XFBAGNIBW29 CMS V4.75 06/01/50 125896BU3 1251000 PA USD 1067177.93 0.1333326865 Long DBT CORP US N 2 2050-06-01 Fixed 4.750000000000 N N N N N N Credit Suisse Commercial Mortgage Trust N/A CSMC 2013-IVR3 B2 12646XAX0 169501.01 PA USD 160664.72 0.0200733712 Long ABS-O CORP US Y 2 2043-05-25 Floating 3.404445000000 N N N N N N Credit Suisse Mortgage Capital LLC N/A CSMC 2015-WIN1 B3 12649KAW7 289145.85 PA USD 266624.54 0.0333119391 Long ABS-O CORP US Y 2 2044-12-25 Floating 3.769438500000 N N N N N N Csmc Tr N/A CSMC 2015-1 B3 12649NAU5 287807.52 PA USD 264079.66 0.0329939830 Long ABS-O CORP US Y 2 2045-01-25 Floating 3.901616200000 N N N N N N CVS Health Corp 549300EJG376EN5NQE29 CVS 5.125 07/20/45 126650CN8 686000 PA USD 580408.84 0.0725159955 Long DBT CORP US N 2 2045-07-20 Fixed 5.125000000000 N N N N N N Sabra Health Care Ltd Partnership / Sabra Capital Corp 5493001YP3WEETKSV608 SBRA 5.125 08/15/26 14162VAB2 671000 PA USD 642248.68 0.0802422347 Long DBT CORP US N 2 2026-08-15 Fixed 5.125000000000 N N N N N N Carrier Global Corporation 549300JE3W6CWY2NAN77 CARR 3.577 04/05/50 14448CAS3 603000 PA USD 406503.98 0.0507884076 Long DBT CORP US N 2 2050-04-05 Fixed 3.577000000000 N N N N N N Celanese US Holdings Llc CD30XVRLT4QO00B1C706 CE 6.165 07/15/27 15089QAM6 833000 PA USD 821491.41 0.1026367334 Long DBT CORP US N 2 2027-07-15 Fixed 6.165000000000 N N N N N N Cenovus Energy Inc 549300F4XPHJ7NOSP309 CVECN 5.25 06/15/37 15135UAP4 224000 PA USD 200583.48 0.0250608015 Long DBT CORP CA N 2 2037-06-15 Fixed 5.250000000000 N N N N N N Charter Communications Operating, LLC/Charter Communications Operating Capital Corp. 549300TPZNMN50BJ3745 CHTR 6.484 10/23/45 161175BA1 577000 PA USD 503788.94 0.0629431428 Long DBT CORP US N 2 2045-10-23 Fixed 6.484000000000 N N N N N N Cheniere Energy Inc MIHC87W9WTYSYZWV1J40 LNG 4.625 10/15/28 16411RAK5 1136000 PA USD 1047802.89 0.1309119785 Long DBT CORP US N 2 2028-10-15 Fixed 4.625000000000 N N N N N N Chile (Republic of) 549300FLZTJM5YJF8D34 CHILE 3.1 01/22/61 168863DQ8 750000 PA USD 428701.54 0.0535617599 Long DBT NUSS CL N 2 2061-01-22 Fixed 3.100000000000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 C 3.2 10/21/26 172967KY6 699000 PA USD 645381.44 0.0806336402 Long DBT CORP US N 2 2026-10-21 Fixed 3.200000000000 N N N N N N Citigroup Inc. 6SHGI4ZSSLCXXQSBB395 C V6.174 05/25/34 17327CAR4 576000 PA USD 551125.18 0.0688573094 Long DBT CORP US N 2 2034-05-25 Fixed 6.174000000000 N N N N N N CITIGROUP COMMERCIAL MORTGAGE TRUST N/A CGCMT 2020-GC46 A5 17328RAZ2 755000 PA USD 621978.66 0.0777097084 Long ABS-O CORP US N 2 2053-02-18 Fixed 2.717000000000 N N N N N N Colombia (Republic of) 549300MHDRBVRF6B9117 COLOM 3.25 04/22/32 195325DZ5 663000 PA USD 477879.6 0.0597060426 Long DBT NUSS CO N 2 2032-04-22 Fixed 3.250000000000 N N N N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation COM USD0.01 CL A 20030N101 196354 NS USD 8706336.36 1.0877653895 Long EC CORP US N 1 N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 CMCSA 4 03/01/48 20030NCK5 692000 PA USD 518358.2 0.0647634190 Long DBT CORP US N 2 2048-03-01 Fixed 4.000000000000 N N N N N N Deutsche Bank Securities Inc. 9J6MBOOO7BECTDTUZW19 COMM 2018-HOME A 20048JAA8 1220000 PA USD 1089253.82 0.1360908374 Long ABS-O CORP US Y 2 2033-04-12 Floating 3.942239100000 N N N N N N CommonSpirit Health N/A CATMED 4.187 10/01/49 20268JAC7 734000 PA USD 547090.64 0.0683532359 Long DBT CORP US N 2 2049-10-01 Fixed 4.187000000000 N N N N N N Continental Resources, Inc. XXRTID9RYWOZ0UPIVR53 CLR 5.75 01/15/31 144A 212015AT8 620000 PA USD 582542.71 0.0727826001 Long DBT CORP US Y 2 2031-01-15 Fixed 5.750000000000 N N N N N N Corestates Capital III N/A WFC F 02/15/27 144A 21869MAA5 1255000 PA USD 1197225.07 0.1495807123 Long DBT CORP US Y 2 2027-02-15 Floating 6.196180000000 N N N N N N Crown Castle Inc. 54930012H97VSM0I2R19 CCI 3.65 09/01/27 22822VAH4 856000 PA USD 785886.33 0.0981882522 Long DBT CORP US N 2 2027-09-01 Fixed 3.650000000000 N N N N N N DH Europe Finance II SARL 222100KDGL314CKTZ511 DHR 3.25 11/15/39 23291KAJ4 847000 PA USD 635509.58 0.0794002549 Long DBT CORP LU N 2 2039-11-15 Fixed 3.250000000000 N N N N N N Phillips 66 VQOHU6HCVU6YY1KUKU03 DCP 6.75 09/15/37 23311RAA4 656000 PA USD 665931.18 0.0832011146 Long DBT CORP US Y 2 2037-09-15 Fixed 6.750000000000 N N N N N N DEEPHAVEN RESIDENTIAL MORTGAGE TRUST 2022-2 N/A DRMT 2022-2 A1 24380XAA5 982582.81 PA USD 900255.24 0.1124774476 Long ABS-O CORP US Y 2 2067-03-25 Floating 4.300000000000 N N N N N N John Deere Capital Corp. E0KSF7PFQ210NWI8Z391 DE 2.45 01/09/30 MTN 24422EVD8 859000 PA USD 729996.55 0.0912054105 Long DBT CORP US N 2 2030-01-09 Fixed 2.450000000000 N N N N N N Walt Disney Company 549300GZKULIZ0WOW665 Walt Disney Company COM DISNEY USD0.01 254687106 42324 NS USD 3430360.2 0.4285875189 Long EC CORP US N 1 N N N Dreyfus Government Cash Management Funds 549300F7IDB6WRO7VJ11 Dreyfus Government Cash Management Funds SH BEN INT 262006208 22971771.42 NS USD 22971771.42 2.8700818406 Long STIV RF US N 1 N N N Driven Brands Funding Llc N/A HONK 2019-1A A2 26208LAD0 835625 PA USD 787022.54 0.0983302097 Long ABS-O CORP US Y 2 2049-04-20 Fixed 4.641000000000 N N N N N N Duke Energy Progress LLC 0NIFZ782LS46WOC9QK20 DUK 4.15 12/01/44 26442RAD3 502000 PA USD 384523.34 0.0480421573 Long DBT CORP US N 2 2044-12-01 Fixed 4.150000000000 N N N N N N Dupont De Nemours Inc 5493004JF0SDFLM8GD76 Dupont De Nemours Inc COM USD0.01 26614N102 107398 NS USD 8010816.82 1.0008675197 Long EC CORP US N 1 N N N Electricite de France SA 549300X3UK4GG3FNMO06 EDF 4.875 09/21/38 144A 268317AV6 823000 PA USD 669308.84 0.0836231178 Long DBT CORP FR Y 2 2038-09-21 Fixed 4.875000000000 N N N N N N Edison International 549300I7ROF15MAEVP56 EIX 4.125 03/15/28 281020AM9 504000 PA USD 464302.09 0.0580096751 Long DBT CORP US N 2 2028-03-15 Fixed 4.125000000000 N N N N N N ELARA HGV TIMESHARE ISSUER LLC N/A EHGVT 2019-A B 28416TAB1 254458.45 PA USD 236635.09 0.0295650719 Long ABS-O CORP US Y 2 2034-01-25 Fixed 2.910000000000 N N N N N N Elevance Health Inc. 8MYN82XMYQH89CTMTH67 ELV 4.75 02/15/33 28622HAB7 768000 PA USD 715039.03 0.0893366253 Long DBT CORP US N 2 2033-02-15 Fixed 4.750000000000 N N N N N N Exxon Mobil Corporation J3WHBG0MTS7O8ZVMDC91 Exxon Mobil Corporation COM NPV 30231G102 110577 NS USD 13001643.66 1.6244189743 Long EC CORP US N 1 N N N NextEra Energy Capital Holdings Inc UMI46YPGBLUE4VGNNT48 NEE V0 10/01/66 302570AW6 1055000 PA USD 947178.37 0.1183400004 Long DBT CORP US N 2 2066-10-01 Floating 7.244070000000 N N N N N N Meta Platforms Inc BQ4BKCS1HXDV9HN80Z93 Meta Platforms Inc COM USD0.000006 CL 'A' 30303M102 72764 NS USD 21844480.44 2.7292386592 Long EC CORP US N 1 N N N Fremf 2019-K103 Mortgage Trust N/A FREMF 2019-K103 B 30315DAS7 1370000 PA USD 1182782.24 0.1477762322 Long ABS-O USGSE US Y 2 2029-11-25 Floating 3.573925500000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 FG G08062 3128MJB82 1236.54 PA USD 1213.92 0.0001516666 Long ABS-MBS USGSE US N 2 2035-06-01 Fixed 5.000000000000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 FG G08637 3128MJV72 117093.33 PA USD 107188.95 0.0133921348 Long ABS-MBS USGSE US N 2 2045-04-01 Fixed 4.000000000000 N N N N N N Federal Home Loan Mortgage Corporation B1V7KEBTPIMZEU4LTD58 FR SD8148 3132DWBR3 1420970.27 PA USD 1181186.23 0.1475768275 Long ABS-MBS USGA US N 2 2051-05-01 Fixed 3.000000000000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 FG Q02664 3132GF5Z6 725820.42 PA USD 686992.37 0.0858324894 Long ABS-MBS USGSE US N 2 2041-08-01 Fixed 4.500000000000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 FG Q29260 3132M95V2 624299.17 PA USD 571494.93 0.0714022959 Long ABS-MBS USGSE US N 2 2044-10-01 Fixed 4.000000000000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 FG Q29056 3132M9WR1 1262398.68 PA USD 1155614.21 0.1443818719 Long ABS-MBS USGSE US N 2 2044-10-01 Fixed 4.000000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FNR 2019-35 KB 3136B5GY5 1500000 PA USD 1105168.35 0.1380791909 Long ABS-O USGSE US N 2 2049-07-25 Fixed 3.000000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FNR 2022-16 KB 3136BMNW4 2150000 PA USD 1487063.84 0.1857930259 Long ABS-O USGSE US N 2 2049-11-25 Fixed 2.500000000000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 FHR 4991 HB 3137FUUM4 515000 PA USD 342330.85 0.0427706483 Long ABS-O USGSE US N 2 2050-07-25 Fixed 2.000000000000 N N N N N N Federal Home Loan Mortgage Corporation S6XOOCT0IEG5ABCC6L87 FHR 5178 CV 3137H53J4 1650000 PA USD 1134424.67 0.1417344612 Long ABS-O USGSE US N 2 2040-11-25 Fixed 2.000000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN AH8925 3138AA4K4 231998.19 PA USD 219282.89 0.0273970966 Long ABS-MBS USGSE US N 2 2041-03-01 Fixed 4.500000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN AR9195 3138W7GD0 275665.81 PA USD 235935.3 0.0294776405 Long ABS-MBS USGSE US N 2 2043-03-01 Fixed 3.000000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN 725423 31402C4G4 250976.29 PA USD 249857.78 0.0312171083 Long ABS-MBS USGSE US N 2 2034-05-01 Fixed 5.500000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN 725610 31402DDP2 222508.96 PA USD 221515.55 0.0276760440 Long ABS-MBS USGSE US N 2 2034-07-01 Fixed 5.500000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN 748895 31403G7G1 46251.73 PA USD 45680.61 0.0057073130 Long ABS-MBS USGSE US N 2 2033-12-01 Fixed 6.000000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN BC1809 3140EWAK1 471996.37 PA USD 414417.24 0.0517770865 Long ABS-MBS USGSE US N 2 2046-05-01 Fixed 3.500000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN BT7156 3140LV5S4 1735478.11 PA USD 1326408.74 0.1657208566 Long ABS-MBS USGSE US N 2 2051-08-01 Fixed 2.000000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN CB1336 3140QLPW0 1897513.49 PA USD 1526495.71 0.1907196244 Long ABS-MBS USGSE US N 2 2041-08-01 Fixed 2.000000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM5279 3140X82M8 475037.93 PA USD 413619.14 0.0516773722 Long ABS-MBS USGSE US N 2 2050-11-01 Fixed 3.500000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM5085 3140X8UK1 1795078.26 PA USD 1374447.19 0.1717227570 Long ABS-MBS USGSE US N 2 2050-12-01 Fixed 2.000000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM5166 3140X8W45 555092.33 PA USD 462703.8 0.0578099856 Long ABS-MBS USGSE US N 2 2050-12-01 Fixed 3.000000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM5468 3140X9CE3 377886.79 PA USD 334366 0.0417755238 Long ABS-MBS USGSE US N 2 2036-01-01 Fixed 2.500000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM5682 3140X9J48 539794.09 PA USD 432283.91 0.0540093394 Long ABS-MBS USGSE US N 2 2051-01-01 Fixed 2.500000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM7913 3140XBYK0 1487900.97 PA USD 1281637.31 0.1601271361 Long ABS-MBS USGSE US N 2 2036-04-01 Fixed 2.000000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM8360 3140XCJE9 1873782.72 PA USD 1497277.28 0.1870690881 Long ABS-MBS USGSE US N 2 2051-08-01 Fixed 2.500000000000 N N N N N N Fnma Pass-Thru I B1V7KEBTPIMZEU4LTD58 FN FM8361 3140XCJF6 1833313.28 PA USD 1462212.59 0.1826881230 Long ABS-MBS USGSE US N 2 2051-08-01 Fixed 2.500000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN MA4166 31418DTY8 616344.56 PA USD 528064.54 0.0659761243 Long ABS-MBS USGSE US N 2 2040-10-01 Fixed 3.000000000000 N N N N N N Federal National Mortgage Association B1V7KEBTPIMZEU4LTD58 FN AD9193 31418XGB8 90302.5 PA USD 88329.77 0.0110358781 Long ABS-MBS USGSE US N 2 2040-09-01 Fixed 5.000000000000 N N N N N N FedEx Corporation 549300E707U7WNPZN687 FedEx Corporation COM USD0.10 31428X106 17118 NS USD 4534900.56 0.5665882490 Long EC CORP US N 1 N N N FedEx Corporation 549300E707U7WNPZN687 FDX 5.1 01/15/44 31428XAW6 595000 PA USD 513920.4 0.0642089624 Long DBT CORP US N 2 2044-01-15 Fixed 5.100000000000 N N N N N N Firstenergy Transmission Llc 549300AINIIPOLYX2R63 FE 5.45 07/15/44 144A 33767BAA7 1041000 PA USD 910846.59 0.1138007257 Long DBT CORP US Y 2 2044-07-15 Fixed 5.450000000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 G2 5175 36202FXC5 413697.6 PA USD 392701.94 0.0490639875 Long ABS-MBS USGA US N 2 2041-09-20 Fixed 4.500000000000 N N N N N N GS Mortgage Securities Corp CU46ESEFJB81SUVBJO28 GSMS 2017-FARM B 36254XAE4 700000 PA USD 561741.04 0.0701836497 Long ABS-O CORP US Y 2 2043-01-12 Floating 3.429956200000 N N N N N N GS MORTGAGE SECURITIES TRUST N/A GSMS 2020-GC47 A5 36258RBA0 1205000 PA USD 967678.87 0.1209013228 Long ABS-O CORP US N 2 2053-05-14 Fixed 2.377200000000 N N N N N N GS MORTGAGE-BACKED SECURITIES TRUST N/A GSMBS 2021-PJ8 A8 36262WAJ5 1209696.03 PA USD 1017827.35 0.1271668493 Long ABS-O CORP US Y 2 2052-01-25 Floating 2.500000000000 N N N N N N General Motors Financial Company Inc 5493008B6JBRUJ90QL97 GM 5.65 01/17/29 37045XCS3 550000 PA USD 533483.01 0.0666531053 Long DBT CORP US N 2 2029-01-17 Fixed 5.650000000000 N N N N N N General Motors Financial Company Inc 5493008B6JBRUJ90QL97 GM 3.1 01/12/32 37045XDS2 1461000 PA USD 1133795.38 0.1416558380 Long DBT CORP US N 2 2032-01-12 Fixed 3.100000000000 N N N N N N Ghana (Republic of) 213800PP4399SNNXZ126 GHANA 7.625 05/16/29 144A 374422AG8 680000 PA USD 300111.2 0.0374957460 Long DBT NUSS GH Y 2 2029-05-16 Fixed 7.625000000000 Y Y N N N N Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. COM USD0.01 38141G104 35137 NS USD 11369279.09 1.4204721465 Long EC CORP US N 1 N N N Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 GS V3.691 06/05/28 38141GWL4 674000 PA USD 621237.59 0.0776171194 Long DBT CORP US N 2 2028-06-05 Fixed 3.691000000000 N N N N N N Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 GS V2.615 04/22/32 38141GYB4 796000 PA USD 621838.67 0.0776922181 Long DBT CORP US N 2 2032-04-22 Fixed 2.615000000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 GNR 2010-169 AW 38377RL60 186650.69 PA USD 180304.7 0.0225271807 Long ABS-O USGA US N 2 2040-12-20 Fixed 4.500000000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 GNR 2012-147 IO 38378B3G2 3583085.19 PA USD 43314.48 0.0054116899 Long ABS-O USGA US N 2 2054-04-16 Floating 0.547880000000 N N N N N N HONO 2021-LULU MORTGAGE TRUST N/A HONO 2021-LULU B 40390MAG0 1000000 PA USD 940911.9 0.1175570707 Long ABS-O CORP US Y 2 2036-12-15 Floating 6.875480100000 N N N N N N HCA Inc. L3CJ6J7LJ2DX62FTXD46 HCA 5.375 09/01/26 404121AH8 812000 PA USD 796946.16 0.0995700619 Long DBT CORP US N 2 2026-09-01 Fixed 5.375000000000 N N N N N N HCA Healthcare Inc 529900PH4ZGUH2MNEU89 HCA Healthcare Inc COM USD0.01 40412C101 45085 NS USD 11090008.3 1.3855801911 Long EC CORP US N 1 N N N Hilton Worldwide Holdings Inc 549300HVGPK36ICB0B89 Hilton Worldwide Holdings Inc COM USD0.01 43300A203 40497 NS USD 6081839.46 0.7598620356 Long EC CORP US N 1 N N N Home Depot Inc QEKMOTMBBKA8I816DO57 HD 5.95 04/01/41 437076AV4 605000 PA USD 618534.1 0.0772793467 Long DBT CORP US N 2 2041-04-01 Fixed 5.950000000000 N N N N N N Host Hotels & Resorts, L.P. FXB7X4WXVA8QPMNOGS12 HST 4.5 02/01/26 F 44107TAW6 948000 PA USD 909156.89 0.1135896154 Long DBT CORP US N 2 2026-02-01 Fixed 4.500000000000 N N N N N N Hubbell Incorporated 54930088VDQ6840Y6597 Hubbell Incorporated COM USD0.001 443510607 27788 NS USD 8709037.08 1.0881028161 Long EC CORP US N 1 N N N Huntington Bancshares Incorporated 549300XTVCVV9I7B5T19 HBAN 2.55 02/04/30 446150AS3 1175000 PA USD 928158.6 0.1159636797 Long DBT CORP US N 2 2030-02-04 Fixed 2.550000000000 N N N N N N Imperial Brands Finance Plc 2138008L3B3MCG1DFS50 IMBLN 6.125 07/27/27 144A 45262BAF0 573000 PA USD 571532.28 0.0714069624 Long DBT CORP GB Y 2 2027-07-27 Fixed 6.125000000000 N N N N N N Independence Plaza Trust N/A IPT 2018-INDP XCP 45378YAC8 562000000 PA USD 562 0.0000702160 Long ABS-O CORP US Y 2 2035-07-12 Floating 0.000000000000 N N N N N N International Business Machines Corporation VGRQXHF3J8VDLUA7XE92 International Business Machines Corporation COM USD0.20 459200101 53688 NS USD 7532426.4 0.9410976555 Long EC CORP US N 1 N N N International Flavors & Fragrances Inc. BZLRL03D3GPGMOGFO832 International Flavors & Fragrances Inc. COM USD0.125 459506101 65020 NS USD 4432413.4 0.5537835536 Long EC CORP US N 1 N N N Invitation Homes Operating Partnership Lp 549300147YMUQB3GW319 INVH 4.15 04/15/32 46188BAD4 939000 PA USD 808074.76 0.1009604637 Long DBT CORP US N 2 2032-04-15 Fixed 4.150000000000 N N N N N N Ishares Trust 5493000860OXIC4B5K91 Ishares Trust J.P. MORGAN USD EMERG MKTS 464288281 133451 NS USD 11012376.52 1.3758809146 Long EC RF US N 1 N N N Jbs Usa Lux SA/Jbs Usa Food Company/Jbs Usa Finance Inc P77IMDGVZE8EFBTF2M92 JBSSBZ 4.375 02/02/52 46590XAQ9 398000 PA USD 264547.89 0.0330524835 Long DBT CORP LU N 2 2052-02-02 Fixed 4.375000000000 N N N N N N Jbs Usa Lux SA/Jbs Usa Food Company/Jbs Usa Finance Inc P77IMDGVZE8EFBTF2M92 JBSSBZ 2.5 01/15/27 46590XAS5 1240000 PA USD 1095316.8 0.1368483431 Long DBT CORP LU N 2 2027-01-15 Fixed 2.500000000000 N N N N N N Jpmcc Commercial Mortgage Securities N/A JPMCC 2017-JP7 A5 465968AE5 885000 PA USD 794845.58 0.0993076164 Long ABS-O CORP US N 2 2050-09-16 Fixed 3.454000000000 N N N N N N JACK IN THE BOX FUNDING LLC 5493002OJW26P0SUUP68 JACK 2019-1A A2II 466365AB9 1014000 PA USD 941420.92 0.1176206674 Long ABS-O CORP US Y 2 2049-08-25 Fixed 4.476000000000 N N N N N N JACK IN THE BOX FUNDING LLC 5493002OJW26P0SUUP68 JACK 2022-1A A2I 466365AD5 970000 PA USD 867821.17 0.1084251508 Long ABS-O CORP US Y 2 2052-02-25 Fixed 3.445000000000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 JPM V3.509 01/23/29 46647PAM8 902000 PA USD 818283.42 0.1022359287 Long DBT CORP US N 2 2029-01-23 Fixed 3.509000000000 N N N N N N JPMorgan Chase & Co. 8I5DZWZKVSZI1NUHU748 JPM V2.956 05/13/31 46647PBP0 876000 PA USD 719895.02 0.0899433303 Long DBT CORP US N 2 2031-05-13 Fixed 2.956000000000 N N N N N N J.P. MORGAN MORTGAGE TRUST N/A JPMMT 2017-1 B2 46648CAX2 637147.17 PA USD 538123.16 0.0672328434 Long ABS-O CORP US Y 2 2047-01-25 Floating 3.449210400000 N N N N N N J P Morgan Chase Coml Mtg Secs Tr 2018-Minn N/A JPMCC 2018-MINN A 46650GAA8 500000 PA USD 479484.85 0.0599066017 Long ABS-O CORP US Y 2 2035-11-15 Floating 6.627999900000 N N N N N N JP MORGAN MORTGAGE TRUST N/A JPMMT 2020-5 B1 46653JBU4 1092246.82 PA USD 886483.03 0.1107567544 Long ABS-O CORP US Y 2 2050-12-25 Floating 3.577698200000 N N N N N N JERSEY MIKES FUNDING LLC N/A JMIKE 2019-1A A2 476681AA9 375165 PA USD 344263.03 0.0430120539 Long ABS-O CORP US Y 2 2050-02-15 Fixed 4.433000000000 N N N N N N Johnson & Johnson 549300G0CFPGEF6X2043 Johnson & Johnson COM USD1.00 478160104 93696 NS USD 14593152 1.8232612447 Long EC CORP US N 1 N N N Jones Lang LaSalle Incorporated 6SYKCME112RT8TQUO411 Jones Lang LaSalle Incorporated COM USD0.01 48020Q107 31755 NS USD 4483170.9 0.5601251707 Long EC CORP US N 1 N N N Kilroy Realty L.P. 5493008CT3N3JR7P1552 KRC 3.05 02/15/30 49427RAP7 449000 PA USD 352828.82 0.0440822595 Long DBT CORP US N 2 2030-02-15 Fixed 3.050000000000 N N N N N N Kilroy Realty L.P. 5493008CT3N3JR7P1552 KRC 2.65 11/15/33 49427RAR3 413000 PA USD 279055.65 0.0348650759 Long DBT CORP US N 2 2033-11-15 Fixed 2.650000000000 N N N N N N The Kroger Co. 6CPEOKI6OYJ13Q6O7870 KR 5 04/15/42 501044CR0 301000 PA USD 253926.18 0.0317254122 Long DBT CORP US N 2 2042-04-15 Fixed 5.000000000000 N N N N N N Eli Lilly & Co. FRDRIPF3EKNDJ2CQJL29 LLY 4.875 02/27/53 532457CG1 668000 PA USD 612740.51 0.0765554984 Long DBT CORP US N 2 2053-02-27 Fixed 4.875000000000 N N N N N N Lowes Companies, Inc. WAFCR4OKGSC504WU3E95 LOW 4.5 04/15/30 548661DU8 881000 PA USD 822240.7 0.1027303493 Long DBT CORP US N 2 2030-04-15 Fixed 4.500000000000 N N N N N N Mc Brazil Downstream Trading Sarl 213800T2A7R9TYNXZI63 MCBRAC 7.25 06/30/31 144A 55292WAA8 600042.24 PA USD 460166.39 0.0574929628 Long DBT CORP LU Y 2 2031-06-30 Fixed 7.250000000000 N N N N N N MPLX LP 5493000CZJ19CK4P3G36 MPLX 4.95 03/14/52 55336VBT6 763000 PA USD 597162.96 0.0746092470 Long DBT CORP US N 2 2052-03-14 Fixed 4.950000000000 N N N N N N MADISON PARK FUNDING XLIX LTD N/A MDPK 2021-49A B1 55820VAC7 1150000 PA USD 1138777.15 0.1422782579 Long ABS-CBDO CORP KY Y 2 2034-10-19 Floating 6.964999900000 N N N N N N WarnerMedia Holdings Inc. 549300DXR29GD4N0A520 WBD 4.279 03/15/32 55903VBC6 644000 PA USD 546726.74 0.0683077704 Long DBT CORP US N 2 2032-03-15 Fixed 4.279000000000 N N N N N N WarnerMedia Holdings Inc. 549300DXR29GD4N0A520 WBD 5.141 03/15/52 55903VBE2 954000 PA USD 707572.52 0.0884037632 Long DBT CORP US N 2 2052-03-15 Fixed 5.141000000000 N N N N N N Markel Group Inc 549300SCNO12JLWIK605 Markel Group Inc COM NPV 570535104 6339 NS USD 9334114.11 1.1661996333 Long EC CORP US N 1 N N N Mars Inc. 54930073HKEO6GZBSS03 MARS 3.875 04/01/39 144A 571676AD7 850000 PA USD 674537.95 0.0842764402 Long DBT CORP US Y 2 2039-04-01 Fixed 3.875000000000 N N N N N N Marvell Technology Inc N/A MRVL 2.95 04/15/31 573874AJ3 1048000 PA USD 848131 0.1059650707 Long DBT CORP US N 2 2031-04-15 Fixed 2.950000000000 N N N N N N MasterCard Incorporated AR5L2ODV9HN37376R084 MA 2 11/18/31 57636QAU8 1147000 PA USD 900368.61 0.1124916120 Long DBT CORP US N 2 2031-11-18 Fixed 2.000000000000 N N N N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 Microsoft Corporation COM USD0.00000625 594918104 140613 NS USD 44398554.75 5.5471336280 Long EC CORP US N 1 N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 MSFT 3.5 02/12/35 594918BC7 446000 PA USD 389452.01 0.0486579429 Long DBT CORP US N 2 2035-02-12 Fixed 3.500000000000 N N N N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 MSFT 2.525 06/01/50 594918CC6 1003000 PA USD 611280.98 0.0763731455 Long DBT CORP US N 2 2050-06-01 Fixed 2.525000000000 N N N N N N Microchip Technology Incorporated 5493007PTFULNYZJ1R12 MCHP 0.983 09/01/24 595017BC7 1064000 PA USD 1015678 0.1268983106 Long DBT CORP US N 2 2024-09-01 Fixed 0.983000000000 N N N N N N Micron Technology Inc. B3DXGBC8GAIYWI2Z0172 MU 2.703 04/15/32 595112BS1 544000 PA USD 415523.41 0.0519152908 Long DBT CORP US N 2 2032-04-15 Fixed 2.703000000000 N N N N N N Micron Technology Inc. B3DXGBC8GAIYWI2Z0172 MU 6.75 11/01/29 595112BV4 194000 PA USD 196963.99 0.0246085842 Long DBT CORP US N 2 2029-11-01 Fixed 6.750000000000 N N N N N N Midwest Connector Capital Company LLC N/A MWXCAP 4.625 04/01/29 144A 59833CAC6 1090000 PA USD 996407.03 0.1244906050 Long DBT CORP US Y 2 2029-04-01 Fixed 4.625000000000 N N N N N N MILL CITY MORTGAGE LOAN TRUST N/A MCMLT 2018-3 M3 59980XAJ6 573776.79 PA USD 466923.2 0.0583371553 Long ABS-O CORP US Y 2 2058-08-25 Floating 3.249999800000 N N N N N N MILL CITY MORTGAGE LOAN TRUST N/A MCMLT 2019-1 M1 59981AAG1 1397426.1 PA USD 1221555.41 0.1526205331 Long ABS-O CORP US Y 2 2069-10-25 Floating 3.500000000000 N N N N N N Monster Beverage Corp 52990090AP0E7HCB6F33 Monster Beverage Corp COM USD0.005 61174X109 192794 NS USD 10208442.3 1.2754377680 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 MS V5.297 04/20/37 61747YES0 663000 PA USD 591738.63 0.0739315339 Long DBT CORP US N 2 2037-04-20 Fixed 5.297000000000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 MS 3.95 04/23/27 61761JZN2 998000 PA USD 927442.72 0.1158742380 Long DBT CORP US N 2 2027-04-23 Fixed 3.950000000000 N N N N N N Morgan Stanley Cap I Tst 2018-H3 N/A MSC 2018-H3 A5 61767YAZ3 1100000 PA USD 1016855.62 0.1270454418 Long ABS-O CORP US N 2 2051-07-17 Fixed 4.177000000000 N N N N N N NGPL Pipe Co LLC 549300K3NT1HSQFEM073 NGPLCO 7.768 12/15/37 144A 62912XAC8 745000 PA USD 766531.07 0.0957700155 Long DBT CORP US Y 2 2037-12-15 Fixed 7.768000000000 N N N N N N NEIGHBORLY ISSUER LLC N/A NBLY 2021-1A A2 64016NAA5 830875 PA USD 692623.22 0.0865360050 Long ABS-O CORP US Y 2 2051-04-30 Fixed 3.584000000000 N N N N N N Netflix, Inc. 549300Y7VHGU0I7CE873 Netflix, Inc. COM USD0.001 64110L106 16271 NS USD 6143929.6 0.7676195472 Long EC CORP US N 1 N N N New York Life Global Funding 635400DPNHEAUHB7ZI15 NYLIFE 4.55 01/28/33 144A 64952WEZ2 779000 PA USD 714410.27 0.0892580683 Long DBT CORP US Y 2 2033-01-28 Fixed 4.550000000000 N N N N N N Norfolk Southern Corporation 54930036C8MWP850MI84 NSC 4.837 10/01/41 655844BH0 743000 PA USD 643274.88 0.0803704476 Long DBT CORP US N 2 2041-10-01 Fixed 4.837000000000 N N N N N N Northern Trust Corporation 549300GLF98S992BC502 NTRS 6.125 11/02/32 665859AX2 764000 PA USD 754620.16 0.0942818722 Long DBT CORP US N 2 2032-11-02 Fixed 6.125000000000 N N N N N N Northwestern Mutual Life Insurance Co. 1DU7IM20QESYGDO4HO54 NWMLIC 3.85 09/30/47 144A 668138AA8 1087708 PA USD 770174.14 0.0962251788 Long DBT CORP US Y 2 2047-09-30 Fixed 3.850000000000 N N N N N N Occidental Petroleum Corporation IM7X0T3ECJW4C1T7ON55 OXY 7.95 06/15/39 674599DH5 393000 PA USD 426026.28 0.0532275142 Long DBT CORP US N 2 2039-06-15 Fixed 7.950000000000 N N N N N N Ohio Power Company 06ZODLC132CY1O2Y7D77 AEP 2.9 10/01/51 R 677415CU3 1040000 PA USD 615874.03 0.0769469989 Long DBT CORP US N 2 2051-10-01 Fixed 2.900000000000 N N N N N N Oracle Corp. 1Z4GXXU7ZHVWFCD8TV52 Oracle Corp. COM USD0.01 68389X105 119074 NS USD 12612318.08 1.5757768275 Long EC CORP US N 1 N N N Oracle Corp. 1Z4GXXU7ZHVWFCD8TV52 ORCL 4.3 07/08/34 68389XAV7 247000 PA USD 212513.79 0.0265513686 Long DBT CORP US N 2 2034-07-08 Fixed 4.300000000000 N N N N N N Oracle Corp. 1Z4GXXU7ZHVWFCD8TV52 ORCL 3.6 04/01/40 68389XBW4 365000 PA USD 263662.66 0.0329418833 Long DBT CORP US N 2 2040-04-01 Fixed 3.600000000000 N N N N N N PNC Capital Trust C N/A PNC F 06/01/28 69349AAA0 1226000 PA USD 1152613.54 0.1440069697 Long DBT CORP US N 2 2028-06-01 Floating 6.241210000000 N N N N N N Pacific Gas and Electric Company 1HNPXZSMMB7HMBMVBS46 PCG 3.5 08/01/50 694308JJ7 909000 PA USD 541082.45 0.0676025756 Long DBT CORP US N 2 2050-08-01 Fixed 3.500000000000 N N N N N N PacifiCorp. SGY07Y7FNYBNLM6Z1M11 BRKHEC 5.75 04/01/37 695114CD8 739000 PA USD 699305.03 0.0873708270 Long DBT CORP US N 2 2037-04-01 Fixed 5.750000000000 N N N N N N Palmer Square Clo 2021-4 Ltd / Llc N/A PLMRS 2021-4A B 69702EAC9 1500000 PA USD 1478934 0.1847772877 Long ABS-CBDO CORP KY Y 2 2034-10-16 Floating 6.910290000000 N N N N N N Paypal Holdings Inc. 5493005X2GO78EFZ3E94 Paypal Holdings Inc. COM USD0.0001 70450Y103 65367 NS USD 3821354.82 0.4774381947 Long EC CORP US N 1 N N N Pemex Project Funding Master Trust 549300CAZKPF4HKMPX17 PEMEX 6.625 06/15/35 706451BG5 663000 PA USD 444123.61 0.0554885857 Long DBT NUSS MX N 2 2035-06-15 Fixed 6.625000000000 N N N N N N Philip Morris International Inc. HL3H1H2BGXWVG3BSWR90 Philip Morris International Inc. COM NPV 718172109 104833 NS USD 9705439.14 1.2125928002 Long EC CORP US N 1 N N N Philip Morris International Inc. HL3H1H2BGXWVG3BSWR90 PM 5.375 02/15/33 718172DB2 1188000 PA USD 1126388.43 0.1407304173 Long DBT CORP US N 2 2033-02-15 Fixed 5.375000000000 N N N N N N Planet Fitness Inc. 549300NX9W3U2DO53T22 PLNT 2022-1A A2I 72703PAD5 985000 PA USD 880340.8 0.1099893472 Long ABS-O CORP US Y 2 2051-12-05 Fixed 3.251000000000 N N N N N N Prudential Financial, Inc. 5PRBRS5FEH7NREC8OR45 PRU V5.125 03/01/52 744320BJ0 387000 PA USD 333146.12 0.0416231126 Long DBT CORP US N 2 2052-03-01 Fixed 5.125000000000 N N N N N N Cooperatieve Rabobank U.A. DG3RU1DBUFHT4ZF9WN62 RABOBK V1.106 02/24/27 144A 74977RDK7 856000 PA USD 760264.14 0.0949870283 Long DBT CORP NL Y 2 2027-02-24 Fixed 1.106000000000 N N N N N N RTX Corporation I07WOS4YJ0N7YRFE7309 RTX Corporation COM 75513E101 96838 NS USD 6969430.86 0.8707572692 Long EC CORP US N 1 N N N Citizens Bank National Association DRMSV1Q0EKMEXLAU1P80 CFG V4.575 08/09/28 75524KPG3 790000 PA USD 721596.86 0.0901559573 Long DBT CORP US N 2 2028-08-09 Fixed 4.575000000000 N N N N N N Rockford Tower Clo 2021-3 Ltd / Llc N/A ROCKT 2021-3A B 77341NAE5 1500000 PA USD 1467615 0.1833630974 Long ABS-CBDO CORP KY Y 2 2034-10-20 Floating 7.000430000000 N N N N N N Roper Technologies Inc 54930003T4SXCIWVXY35 ROP 2.95 09/15/29 776743AG1 547000 PA USD 474201 0.0592464401 Long DBT CORP US N 2 2029-09-15 Fixed 2.950000000000 N N N N N N Royal Bank of Canada ES7IP3U3RHIGC71XBU11 RY 5.2 08/01/28 GMTN 78016HZS2 1000000 PA USD 973282.86 0.1216014826 Long DBT CORP CA N 2 2028-08-01 Fixed 5.200000000000 N N N N N N SBA Tower Trust N/A SBATOW 6.599 01/15/28 144A 78403DAZ3 593000 PA USD 594668.05 0.0742975341 Long ABS-O CORP US Y 2 2052-11-15 Fixed 6.599000000000 N N N N N N Commercial Mortgage Trust N/A SGCMS 2019-787E A 78426RAA0 825000 PA USD 707361.52 0.0883774010 Long ABS-O CORP US Y 2 2041-02-15 Fixed 4.163000000000 N N N N N N SS&C Technologies Holdings Inc. 529900POY8H7NPPNKK71 SS&C Technologies Holdings Inc. COM USD0.01 78467J100 105250 NS USD 5529835 0.6908948694 Long EC CORP US N 1 N N N Salesforce Inc RCGZFPDMRW58VJ54VR07 Salesforce Inc COM USD0.001 79466L302 57012 NS USD 11560893.36 1.4444123393 Long EC CORP US N 1 N N N Schlumberger Limited 213800ZUA17OK3QLGM62 Schlumberger Limited COM USD0.01 806857108 140557 NS USD 8194473.1 1.0238134451 Long EC CORP CW N 1 N N N The Charles Schwab Corporation 549300VSGCJ7E698NM85 The Charles Schwab Corporation COM USD0.01 808513105 54730 NS USD 3004677 0.3754028689 Long EC CORP US N 1 N N N Sequoia Mtg Trust N/A SEMT 2015-2 A19 81733YBN8 143650.48 PA USD 123463.82 0.0154255090 Long ABS-O CORP US Y 2 2045-05-25 Floating 3.500001200000 N N N N N N Sequoia Mtg Trust 549300FECQ7XLTBL1027 .SEMT2 2018-CH3 B1B 81746WCE6 875544.32 PA USD 800114.43 0.0999659040 Long ABS-O CORP US Y 2 2048-08-25 Floating 4.763041300000 N N N N N N Sequoia Mtg Trust 549300FECQ7XLTBL1027 SEMT 2018-CH3 B2B 81746WCG1 794374.06 PA USD 725937.15 0.0906982310 Long ABS-O CORP US Y 2 2048-08-25 Floating 4.763040500000 N N N N N N 7-Eleven Inc. 549300K23JPL0SS3LB18 SVELEV 1.8 02/10/31 144A 817826AE0 967000 PA USD 734152.08 0.0917246004 Long DBT CORP US Y 2 2031-02-10 Fixed 1.800000000000 N N N N N N The Sherwin-Williams Company Z15BMIOX8DDH0X2OBP21 SHW 4.5 06/01/47 824348AX4 846000 PA USD 675964.74 0.0844547027 Long DBT CORP US N 2 2047-06-01 Fixed 4.500000000000 N N N N N N Southwest Airlines Co. UDTZ87G0STFETI6HGH41 Southwest Airlines Co. COM USD1 844741108 162613 NS USD 4401933.91 0.5499754611 Long EC CORP US N 1 N N N Stanley Black & Decker, Inc. 549300DJ09SMTO561131 Stanley Black & Decker, Inc. COM USD2.50 854502101 46252 NS USD 3865742.16 0.4829839271 Long EC CORP US N 1 N N N Starbucks Corporation OQSJ1DU9TAOC51A47K68 Starbucks Corporation COM USD0.001 855244109 64894 NS USD 5922875.38 0.7400011415 Long EC CORP US N 1 N N N Starbucks Corporation OQSJ1DU9TAOC51A47K68 SBUX 3.35 03/12/50 855244AX7 484000 PA USD 317760.94 0.0397008958 Long DBT CORP US N 2 2050-03-12 Fixed 3.350000000000 N N N N N N STORE Capital Corp. 5493004EA6C9IHDZ7N66 STOR 4.625 03/15/29 862121AB6 552000 PA USD 472242.29 0.0590017198 Long DBT CORP US N 2 2029-03-15 Fixed 4.625000000000 N N N N N N STORE Capital Corp. 5493004EA6C9IHDZ7N66 STOR 2.75 11/18/30 862121AC4 196000 PA USD 140400.44 0.0175415620 Long DBT CORP US N 2 2030-11-18 Fixed 2.750000000000 N N N N N N STORE Capital Corp. 5493004EA6C9IHDZ7N66 STOR 2.7 12/01/31 862121AD2 363000 PA USD 247927.48 0.0309759376 Long DBT CORP US N 2 2031-12-01 Fixed 2.700000000000 N N N N N N SunTrust Capital I 549300DRQQI75D2JP341 TFC F 05/15/27 A 86787XAA3 1368000 PA USD 1270945.46 0.1587913017 Long DBT CORP US N 2 2027-05-15 Floating 6.296180000000 N N N N N N T-Mobile USA, Inc. 549300V2JRLO5DIFGE82 TMUS 3.875 04/15/30 87264ABF1 943000 PA USD 835962.84 0.1044447867 Long DBT CORP US N 2 2030-04-15 Fixed 3.875000000000 N N N N N N T-Mobile USA, Inc. 549300V2JRLO5DIFGE82 TMUS 5.75 01/15/54 87264ADB8 566000 PA USD 521729.33 0.0651846063 Long DBT CORP US N 2 2054-01-15 Fixed 5.750000000000 N N N N N N TAL ADVANTAGE VII LLC N/A TAL 2020-1A A 87407RAA4 332225 PA USD 291903.58 0.0364702899 Long ABS-O CORP US Y 2 2045-09-20 Fixed 2.050000000000 N N N N N N Texas Instruments Incorporated WDJNR2L6D8RWOEB8T652 Texas Instruments Incorporated COM USD1.00 882508104 59302 NS USD 9429611.02 1.1781309703 Long EC CORP US N 1 N N N Textainer Marine Containers Ltd 549300X48KLHDDGPK024 TMCL 2021-3A A 88315LAS7 1250000 PA USD 1024063.13 0.1279459446 Long ABS-O CORP BM Y 2 2046-08-20 Fixed 1.940000000000 N N N N N N Thermo Fisher Scientific Inc HCHV7422L5HDJZCRFL38 TMO 5.404 08/10/43 883556CY6 762000 PA USD 727638.62 0.0909108119 Long DBT CORP US N 2 2043-08-10 Fixed 5.404000000000 N N N N N N Toll Brothers Finance Corp. N/A TOL 3.8 11/01/29 88947EAU4 1021000 PA USD 890606.76 0.1112719713 Long DBT CORP US N 2 2029-11-01 Fixed 3.800000000000 N N N N N N Towd Point Mortgage Trust 2015-6 N/A TPMT 2015-6 B1 89172RAE5 1400000 PA USD 1261590.54 0.1576225025 Long ABS-O CORP US Y 2 2055-04-25 Floating 3.823210200000 N N N N N N TOWD POINT MORTGAGE TRUST N/A TPMT 2019-4 M1B 89178BAS3 1140000 PA USD 868778.95 0.1085448154 Long ABS-O CORP US Y 2 2059-10-25 Floating 3.000000000000 N N N N N N Toyota Motor Corp. 5493006W3QUS5LMH6R84 TOYOTA 5.118 07/13/28 892331AQ2 1208000 PA USD 1201762.62 0.1501476316 Long DBT CORP JP N 2 2028-07-13 Fixed 5.118000000000 N N N N N N Mexico (United Mexican States) 254900EGTWEU67VP6075 MEX 3.771 05/24/61 91087BAN0 728000 PA USD 426016.78 0.0532263273 Long DBT NUSS MX N 2 2061-05-24 Fixed 3.771000000000 N N N N N N U.S. Bancorp. N1GZ7BBF3NP8GI976H15 USB V4.967 07/22/33 MTN 91159HJG6 669000 PA USD 584173.42 0.0729863402 Long DBT CORP US N 2 2033-07-22 Fixed 4.967000000000 N N N N N N United States Treasury Bonds 254900HROIFWPRGM1V77 T 1.75 08/15/41 912810TA6 5355000 PA USD 3332232.4 0.4163274797 Long DBT UST US N 2 2041-08-15 Fixed 1.750000000000 N N N N N N United States Treasury Bonds 254900HROIFWPRGM1V77 T 2.375 02/15/42 912810TF5 1600000 PA USD 1105062.5 0.1380659661 Long DBT UST US N 2 2042-02-15 Fixed 2.375000000000 N N N N N N United States Treasury Bonds 254900HROIFWPRGM1V77 T 3.25 05/15/42 912810TH1 5015000 PA USD 3993389.64 0.4989321406 Long DBT UST US N 2 2042-05-15 Fixed 3.250000000000 N N N N N N United States Treasury Bonds 254900HROIFWPRGM1V77 T 4 11/15/52 912810TL2 8594000 PA USD 7609046.99 0.9506705944 Long DBT UST US N 2 2052-11-15 Fixed 4.000000000000 N N N N N N United States Treasury Bonds 254900HROIFWPRGM1V77 T 4 11/15/42 912810TM0 7890000 PA USD 6998368.38 0.8743727088 Long DBT UST US N 2 2042-11-15 Fixed 4.000000000000 N N N N N N United States Treasury Bonds 254900HROIFWPRGM1V77 TII 1.5 02/15/53 912810TP3 5404136.9 PA USD 4454507.59 0.5565439909 Long DBT UST US N 2 2053-02-15 Fixed 1.500000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 0.25 10/31/25 91282CAT8 7000000 PA USD 6347578.16 0.7930632983 Long DBT UST US N 2 2025-10-31 Fixed 0.250000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 0.75 05/31/26 91282CCF6 6834000 PA USD 6137786.25 0.7668520000 Long DBT UST US N 2 2026-05-31 Fixed 0.750000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 2.75 08/15/32 91282CFF3 1000 PA USD 865.98 0.0001081951 Long DBT UST US N 2 2032-08-15 Fixed 2.750000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 4.375 10/31/24 91282CFQ9 3275000 PA USD 3238412.09 0.4046056163 Long DBT UST US N 2 2024-10-31 Fixed 4.375000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 4.125 11/15/32 91282CFV8 3199000 PA USD 3085785.41 0.3855365138 Long DBT UST US N 2 2032-11-15 Fixed 4.125000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 3.5 02/15/33 91282CGM7 21405000 PA USD 19642432.03 2.4541158122 Long DBT UST US N 2 2033-02-15 Fixed 3.500000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 4 02/29/28 91282CGP0 12045000 PA USD 11735876.4 1.4662746344 Long DBT UST US N 2 2028-02-29 Fixed 4.000000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 3.375 05/15/33 91282CHC8 18619000 PA USD 16893833.28 2.1107072341 Long DBT UST US N 2 2033-05-15 Fixed 3.375000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 T 3.625 05/31/28 91282CHE4 10914000 PA USD 10462944.9 1.3072351978 Long DBT UST US N 2 2028-05-31 Fixed 3.625000000000 N N N N N N United States Treasury Notes 254900HROIFWPRGM1V77 TII 1.375 07/15/33 91282CHP9 7478517.9 PA USD 6914561.67 0.8639019396 Long DBT UST US N 2 2033-07-15 Fixed 1.375000000000 N N N N N N UnitedHealth Group Inc. 549300GHBMY8T5GXDE41 UnitedHealth Group Inc. COM USD0.01 91324P102 32291 NS USD 16280799.29 2.0341150684 Long EC CORP US N 1 N N N UnitedHealth Group Inc. 549300GHBMY8T5GXDE41 UNH 3.5 08/15/39 91324PDT6 871000 PA USD 670141.15 0.0837271062 Long DBT CORP US N 2 2039-08-15 Fixed 3.500000000000 N N N N N N Verizon Communications Inc. 2S72QS2UO2OESLG6Y829 VZ 2.987 10/30/56 92343VFW9 877000 PA USD 486291.12 0.0607569737 Long DBT CORP US N 2 2056-10-30 Fixed 2.987000000000 N N N N N N Paramount Global 5KYC8KF17ROCY24M3H09 PARA 4.2 05/19/32 92556HAD9 632000 PA USD 502571.66 0.0627910564 Long DBT CORP US N 2 2032-05-19 Fixed 4.200000000000 N N N N N Viatris Inc 254900ZZTSW7NL773X71 VTRS 2.7 06/22/30 92556VAD8 950000 PA USD 742744.8 0.0927981706 Long DBT CORP US N 2 2030-06-22 Fixed 2.700000000000 N N N N N N Visa Inc 549300JZ4OKEHW3DPJ59 Visa Inc COM STK USD0.0001 92826C839 56869 NS USD 13080438.69 1.6342635866 Long EC CORP US N 1 N N N Visa Inc 549300JZ4OKEHW3DPJ59 V 4.15 12/14/35 92826CAE2 630000 PA USD 570117.98 0.0712302605 Long DBT CORP US N 2 2035-12-14 Fixed 4.150000000000 N N N N N N Waste Management, Inc. 549300YX8JIID70NFS41 WM 4.875 02/15/34 94106LBW8 1188000 PA USD 1124679.92 0.1405169569 Long DBT CORP US N 2 2034-02-15 Fixed 4.875000000000 N N N N N N Weir Group PLC 549300KDR56WHY9I3D10 WEIRLN 2.2 05/13/26 144A 94876QAA4 1533000 PA USD 1377759.74 0.1721366253 Long DBT CORP GB Y 2 2026-05-13 Fixed 2.200000000000 N N N N N N WELLS FARGO MORTGAGE BACKED SECURITIES TRUST 2021-2 N/A WFMBS 2021-2 A3 949798AC6 1199273.31 PA USD 1009633.9 0.1261431637 Long ABS-O CORP US Y 2 2051-06-25 Fixed 2.500000000000 N N N N N N WELLS FARGO COMMERCIAL MORTGAGE TRUST 54930012YCNUERXJ1I74 WFCM 2018-AUS B 94990EAE4 770000 PA USD 665553.97 0.0831539862 Long ABS-O CORP US Y 2 2036-08-15 Floating 4.193576600000 N N N N N N Wells Fargo Commercial Mortgage Trust 2019-C53 N/A WFCM 2019-C53 A4 95002BAE3 2220000 PA USD 1876458.11 0.2344437548 Long ABS-O CORP US N 2 2052-10-18 Fixed 3.040000000000 N N N N N N Westvaco Corporation 4DL8C98Z5G5IXZLH3578 WRK 8.2 01/15/30 961548AV6 520000 PA USD 572434.97 0.0715197441 Long DBT CORP US N 2 2030-01-15 Fixed 8.200000000000 N N N N N N WEC Energy Group Inc. 549300IGLYTZUK3PVP70 WEC V0 05/15/67 976657AH9 1457000 PA USD 1304036.27 0.1629256512 Long DBT CORP US N 2 2067-05-15 Floating 7.738680000000 N N N N N N Workday Inc 549300J0DYC0N31V7G13 Workday Inc COM USD0.001 CL A 98138H101 33490 NS USD 7195326.5 0.8989805596 Long EC CORP US N 1 N N N Ecuador (Republic Of) 5299003Y2U5XK0A35H71 ECUA 6 07/31/30 144A N/A 725000 PA USD 368590.51 0.0460515173 Long DBT NUSS EC Y 2 2030-07-31 Variable 6.000000000000 N N N N N N Medtronic PLC 549300GX3ZBSQWUXY261 Medtronic PLC USD0.0001 G5960L103 123668 NS USD 9690624.48 1.2107418638 Long EC CORP IE N 1 N N N Chicago Board of Trade 549300EX04Q2QBFQTQ27 US 5YR NOTE (CBT) DEC23 N/A 170 NC USD -102921.8 -0.0128589992 N/A DIR CORP US N 1 Wells Fargo Securities LLC VYVVCKR63DVZZN70PB21 Long United States Treasury Notes United States Treasury Notes 2023-12-29 17911094.6 USD -102921.8 N N N ICE Clear Credit LLC T33OE4AS4QXXS2TT7X50 CDX HY CDSI S40 5Y P 101.39 6/20/28 N/A 1 NC USD -160186.72 -0.0200136501 N/A DCR CORP US N 2 Wells Fargo Securities LLC VYVVCKR63DVZZN70PB21 CDX North American High Yield Series S39 5Y CDX.NA.HY S39 5Y Y Payment only if a credit event occurs 2028-06-20 0.000000000000 USD 128396.810000000000 USD 10220000 USD -31789.91 N N N Chicago Board of Trade 549300EX04Q2QBFQTQ27 US ULTRA BOND CBT DEC23 N/A -35 NC USD 221489.8 0.0276728268 N/A DIR CORP US N 1 Wells Fargo Securities LLC VYVVCKR63DVZZN70PB21 Short United States Treasury Notes United States Treasury Notes 2023-12-19 4154062.5 USD 221489.8 N N N 2023-11-22 Touchstone Strategic Trust Terrie A. Wiedenheft Terrie A. Wiedenheft Controller & Treasurer XXXX NPORT-EX 2 tstjunepartf093023.htm PART F
Portfolio of Investments
Touchstone Balanced Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 61.6%  
  Information Technology — 16.2%  
    217,560 Apple, Inc. $ 37,248,448
     53,688 International Business Machines Corp.   7,532,426
    140,613 Microsoft Corp.  44,398,555
    119,074 Oracle Corp.  12,612,318
     57,012 Salesforce, Inc.*  11,560,893
     59,302 Texas Instruments, Inc.   9,429,611
     33,490 Workday, Inc. - Class A*   7,195,327
        129,977,578
  Health Care — 10.0%  
    108,095 BioMarin Pharmaceutical, Inc.*   9,564,246
    115,178 Bristol-Myers Squibb Co.   6,684,931
     65,880 Cencora, Inc.  11,856,424
     45,085 HCA Healthcare, Inc.  11,090,008
     93,696 Johnson & Johnson  14,593,152
    123,668 Medtronic PLC   9,690,624
     32,291 UnitedHealth Group, Inc.  16,280,799
         79,760,184
  Financials — 9.0%  
    226,643 Bank of America Corp.   6,205,485
     71,331 Berkshire Hathaway, Inc. - Class B*  24,987,249
     54,730 Charles Schwab Corp. (The)   3,004,677
     35,137 Goldman Sachs Group, Inc. (The)  11,369,279
      6,339 Markel Group, Inc.*   9,334,114
     65,367 PayPal Holdings, Inc.*   3,821,355
     56,869 Visa, Inc. - Class A  13,080,439
         71,802,598
  Communication Services — 8.5%  
    214,937 Alphabet, Inc. - Class C*  28,339,444
    196,354 Comcast Corp. - Class A   8,706,336
     72,764 Meta Platforms, Inc. - Class A*  21,844,480
     16,271 Netflix, Inc.*   6,143,930
     42,324 Walt Disney Co. (The)*   3,430,360
         68,464,550
  Consumer Discretionary — 5.5%  
     42,643 Airbnb, Inc. - Class A*   5,851,046
     35,184 Alibaba Group Holding Ltd. (China) ADR*   3,051,860
    181,305 Amazon.com, Inc.*  23,047,492
     40,497 Hilton Worldwide Holdings, Inc.   6,081,840
     64,894 Starbucks Corp.   5,922,875
         43,955,113
  Industrials — 5.2%  
     39,393 Boeing Co. (The)*   7,550,850
     17,118 FedEx Corp.   4,534,901
     27,788 Hubbell, Inc.   8,709,037
     96,838 RTX Corp.   6,969,431
    162,613 Southwest Airlines Co.   4,401,934
    105,250 SS&C Technologies Holdings, Inc.   5,529,835
     46,252 Stanley Black & Decker, Inc.   3,865,742
         41,561,730
  Energy — 2.6%  
    110,577 Exxon Mobil Corp.  13,001,643
    136,219 Schlumberger NV   7,941,568
         20,943,211
  Consumer Staples — 2.5%  
    192,794 Monster Beverage Corp.*  10,208,443
    104,833 Philip Morris International, Inc.   9,705,439
         19,913,882
Shares       Market
Value
     
  Materials — 1.5%  
    107,398 DuPont de Nemours, Inc. $  8,010,817
     65,020 International Flavors & Fragrances, Inc.   4,432,413
         12,443,230
  Real Estate — 0.6%  
     31,755 Jones Lang LaSalle, Inc.*   4,483,171
  Total Common Stocks $493,305,247
Principal
Amount
       
  U.S. Treasury Obligations — 14.0%
$  5,355,000 U.S. Treasury Bond, 1.750%, 8/15/41       3,332,232
   1,600,000 U.S. Treasury Bond, 2.375%, 2/15/42       1,105,063
   5,015,000 U.S. Treasury Bond, 3.250%, 5/15/42       3,993,390
   7,890,000 U.S. Treasury Bond, 4.000%, 11/15/42       6,998,368
   8,594,000 U.S. Treasury Bond, 4.000%, 11/15/52       7,609,047
   7,478,518 U.S. Treasury Inflation Indexed Note, 1.375%, 7/15/33       6,914,562
   5,404,137 U.S. Treasury Inflation Indexed Note, 1.500%, 2/15/53       4,454,508
   7,000,000 U.S. Treasury Note, 0.250%, 10/31/25       6,347,578
   6,834,000 U.S. Treasury Note, 0.750%, 5/31/26       6,137,786
       1,000 U.S. Treasury Note, 2.750%, 8/15/32             866
  18,619,000 U.S. Treasury Note, 3.375%, 5/15/33      16,893,833
  21,405,000 U.S. Treasury Note, 3.500%, 2/15/33      19,642,432
  10,914,000 U.S. Treasury Note, 3.625%, 5/31/28      10,462,945
  12,045,000 U.S. Treasury Note, 4.000%, 2/29/28      11,735,876
   3,199,000 U.S. Treasury Note, 4.125%, 11/15/32       3,085,786
  3,275,000 U.S. Treasury Note, 4.375%, 10/31/24       3,238,412
  Total U.S. Treasury Obligations $111,952,684
  Corporate Bonds — 11.2%  
  Financials — 3.2%  
   1,217,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Ireland), 2.450%, 10/29/26   1,090,358
   1,181,000 American Express Co., 5.282%, 7/27/29   1,151,567
   1,219,000 American Tower Corp. REIT, 5.900%, 11/15/33   1,191,707
     820,000 Ares Capital Corp., 3.250%, 7/15/25     768,175
     479,000 Bank of America Corp., 2.687%, 4/22/32     376,777
     753,000 Bank of America Corp., 3.705%, 4/24/28     693,565
     828,000 Bank of Montreal (Canada), 3.803%, 12/15/32     723,401
     790,000 Bank of New York Mellon Corp. (The), 5.834%, 10/25/33     776,630
   1,290,000 Bank of Nova Scotia (The) (Canada), 3.625%, 10/27/81     920,620
   1,092,000 Barclays PLC (United Kingdom), 2.894%, 11/24/32     822,034
     520,000 Berkshire Hathaway Finance Corp., 4.250%, 1/15/49     425,656
     699,000 Citigroup, Inc., 3.200%, 10/21/26     645,381
     576,000 Citigroup, Inc., 6.174%, 5/25/34     551,125
     790,000 Citizens Bank NA, 4.575%, 8/9/28     721,597
     856,000 Cooperatieve Rabobank UA (Netherlands), 144a, 1.106%, 2/24/27     760,264
   1,255,000 Corestates Capital III, 144a, (TSFR3M + 0.832%), 6.196%, 2/15/27(A)   1,197,225
     796,000 Goldman Sachs Group, Inc. (The), 2.615%, 4/22/32     621,839
     674,000 Goldman Sachs Group, Inc. (The), 3.691%, 6/5/28     621,238
   1,175,000 Huntington Bancshares, Inc., 2.550%, 2/4/30     928,159
     876,000 JPMorgan Chase & Co., 2.956%, 5/13/31     719,895
     902,000 JPMorgan Chase & Co., 3.509%, 1/23/29     818,283
   1,147,000 Mastercard, Inc., 2.000%, 11/18/31     900,369
     998,000 Morgan Stanley, 3.950%, 4/23/27     927,443
     663,000 Morgan Stanley, 5.297%, 4/20/37     591,739
     779,000 New York Life Global Funding, 144a, 4.550%, 1/28/33      714,410
 
1

Touchstone Balanced Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Corporate Bonds — 11.2% (Continued)  
  Financials — (Continued)  
$    764,000 Northern Trust Corp., 6.125%, 11/2/32 $    754,620
   1,087,708 Northwestern Mutual Life Insurance Co. (The), 144a, 3.850%, 9/30/47     770,174
   1,226,000 PNC Capital Trust, (TSFR3M + 0.832%), 6.241%, 6/1/28(A)   1,152,614
     387,000 Prudential Financial, Inc., 5.125%, 3/1/52     333,146
   1,000,000 Royal Bank of Canada (Canada), MTN, 5.200%, 8/1/28     973,283
   1,368,000 Truist Bank, Ser A, (TSFR3M + 0.932%), 6.300%, 5/15/27(A)   1,270,945
    669,000 US Bancorp, 4.967%, 7/22/33     584,173
         25,498,412
  Consumer Discretionary — 1.2%  
     967,000 7-Eleven, Inc., 144a, 1.800%, 2/10/31     734,152
      74,700 Air Canada 2015-1 Class A Pass Through Trust (Canada), 144a, 3.600%, 3/15/27      69,057
   1,037,000 BAT Capital Corp. (United Kingdom), 3.557%, 8/15/27     948,833
     765,000 Brunswick Corp., 4.400%, 9/15/32     622,582
   1,461,000 General Motors Financial Co., Inc., 3.100%, 1/12/32   1,133,795
     550,000 General Motors Financial Co., Inc., 5.650%, 1/17/29     533,483
     605,000 Home Depot, Inc. (The), 5.950%, 4/1/41     618,534
     573,000 Imperial Brands Finance PLC (United Kingdom), 144a, 6.125%, 7/27/27     571,532
     881,000 Lowe's Cos., Inc., 4.500%, 4/15/30     822,241
   1,021,000 Toll Brothers Finance Corp., 3.800%, 11/1/29     890,607
   1,208,000 Toyota Motor Corp. (Japan), 5.118%, 7/13/28   1,201,763
     644,000 Warnermedia Holdings, Inc., 4.279%, 3/15/32     546,727
    954,000 Warnermedia Holdings, Inc., 5.141%, 3/15/52     707,572
          9,400,878
  Health Care — 1.1%  
     774,000 AbbVie, Inc., 4.450%, 5/14/46     632,066
     679,000 Alcon Finance Corp. (Switzerland), 144a, 3.800%, 9/23/49     480,730
     876,000 Amgen, Inc., 5.150%, 3/2/28     861,652
     700,000 Becton Dickinson & Co., 4.685%, 12/15/44     590,852
     734,000 CommonSpirit Health, 4.187%, 10/1/49     547,091
     686,000 CVS Health Corp., 5.125%, 7/20/45     580,409
     847,000 DH Europe Finance II Sarl, 3.250%, 11/15/39     635,510
     768,000 Elevance Health, Inc., 4.750%, 2/15/33     715,039
     668,000 Eli Lilly & Co., 4.875%, 2/27/53     612,740
     812,000 HCA, Inc., 5.375%, 9/1/26     796,946
     762,000 Thermo Fisher Scientific, Inc., 5.404%, 8/10/43     727,639
     871,000 UnitedHealth Group, Inc., 3.500%, 8/15/39     670,141
    950,000 Viatris, Inc., 2.700%, 6/22/30     742,745
          8,593,560
  Industrials — 1.0%  
     792,000 Amcor Flexibles North America, Inc., 2.630%, 6/19/30     639,546
     469,000 Boeing Co. (The), 5.805%, 5/1/50     427,477
     887,000 Burlington Northern Santa Fe LLC, 5.750%, 5/1/40     879,982
     603,000 Carrier Global Corp., 3.577%, 4/5/50     406,504
     595,000 FedEx Corp., 5.100%, 1/15/44     513,920
     859,000 John Deere Capital Corp., MTN, 2.450%, 1/9/30     729,996
     743,000 Norfolk Southern Corp., 4.837%, 10/1/41     643,275
     547,000 Roper Technologies, Inc., 2.950%, 9/15/29     474,201
   1,188,000 Waste Management, Inc., 4.875%, 2/15/34   1,124,680
   1,533,000 Weir Group PLC (The) (United Kingdom), 144a, 2.200%, 5/13/26   1,377,760
    520,000 WestRock MWV LLC, 8.200%, 1/15/30     572,435
          7,789,776
  Utilities — 0.9%  
  1,251,000 CMS Energy Corp., 4.750%, 6/1/50   1,067,178
Principal
Amount
      MarketValue
     
  Utilities — (Continued)  
$    502,000 Duke Energy Progress LLC, 4.150%, 12/1/44 $    384,523
     504,000 Edison International, 4.125%, 3/15/28     464,302
     823,000 Electricite de France SA (France), 144a, 4.875%, 9/21/38     669,309
   1,041,000 FirstEnergy Transmission LLC, 144a, 5.450%, 7/15/44     910,847
   1,055,000 NextEra Energy Capital Holdings, Inc., (TSFR3M + 2.329%), 7.724%, 10/1/66(A)     947,178
   1,040,000 Ohio Power Co., Ser R, 2.900%, 10/1/51     615,874
     909,000 Pacific Gas and Electric Co., 3.500%, 8/1/50     541,083
     739,000 PacifiCorp., 5.750%, 4/1/37     699,305
  1,457,000 WEC Energy Group, Inc., (TSFR3M + 2.374%), 7.739%, 5/15/67(A)   1,304,036
          7,603,635
  Energy — 0.9%  
     690,000 Aker BP ASA (Norway), 144a, 6.000%, 6/13/33     667,055
     224,000 Cenovus Energy, Inc. (Canada), 5.250%, 6/15/37     200,584
   1,136,000 Cheniere Energy, Inc., 4.625%, 10/15/28   1,047,803
     620,000 Continental Resources, Inc., 144a, 5.750%, 1/15/31     582,543
     656,000 DCP Midstream Operating LP, 144a, 6.750%, 9/15/37     665,931
     600,042 MC Brazil Downstream Trading SARL (Brazil), 144a, 7.250%, 6/30/31     460,166
   1,090,000 Midwest Connector Capital Co. LLC, 144a, 4.625%, 4/1/29     996,407
     763,000 MPLX LP, 4.950%, 3/14/52     597,163
     745,000 NGPL PipeCo LLC, 144a, 7.768%, 12/15/37     766,531
     393,000 Occidental Petroleum Corp., 7.950%, 6/15/39     426,026
    663,000 Petroleos Mexicanos (Mexico), 6.625%, 6/15/35     444,124
          6,854,333
  Information Technology — 0.8%  
     580,000 Apple, Inc., 4.650%, 2/23/46     518,029
   1,309,000 Broadcom, Inc., 4.150%, 11/15/30   1,160,528
   1,048,000 Marvell Technology, Inc., 2.950%, 4/15/31     848,131
   1,064,000 Microchip Technology, Inc., 0.983%, 9/1/24   1,015,678
     544,000 Micron Technology, Inc., 2.703%, 4/15/32     415,523
     194,000 Micron Technology, Inc., 6.750%, 11/1/29     196,964
   1,003,000 Microsoft Corp., 2.525%, 6/1/50     611,281
     446,000 Microsoft Corp., 3.500%, 2/12/35     389,452
     365,000 Oracle Corp., 3.600%, 4/1/40     263,663
     247,000 Oracle Corp., 4.300%, 7/8/34     212,514
    630,000 Visa, Inc., 4.150%, 12/14/35     570,118
          6,201,881
  Real Estate — 0.6%  
     856,000 Crown Castle International Corp. REIT, 3.650%, 9/1/27     785,886
     948,000 Host Hotels & Resorts LP REIT, Ser F, 4.500%, 2/1/26     909,157
     939,000 Invitation Homes Operating Partnership LP REIT, 4.150%, 4/15/32     808,075
     413,000 Kilroy Realty LP REIT, 2.650%, 11/15/33     279,056
     449,000 Kilroy Realty LP REIT, 3.050%, 2/15/30     352,829
     671,000 Sabra Health Care LP REIT, 5.125%, 8/15/26     642,249
     593,000 SBA Tower Trust REIT, 144a, 6.599%, 1/15/28     594,668
     363,000 STORE Capital Corp. REIT, 2.700%, 12/1/31     247,928
     196,000 STORE Capital Corp. REIT, 2.750%, 11/18/30     140,400
    552,000 STORE Capital Corp. REIT, 4.625%, 3/15/29     472,242
          5,232,490
  Consumer Staples — 0.6%  
     664,000 Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc. (Belgium), 4.900%, 2/1/46     585,053
     884,000 Ashtead Capital, Inc. (United Kingdom), 144a, 4.000%, 5/1/28      803,834
 
2

Touchstone Balanced Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Corporate Bonds — 11.2% (Continued)  
  Consumer Staples — (Continued)  
$  1,240,000 JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 2.500%, 1/15/27 $  1,095,317
     398,000 JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 4.375%, 2/2/52     264,548
     301,000 Kroger Co. (The), 5.000%, 4/15/42     253,926
     850,000 Mars, Inc., 144a, 3.875%, 4/1/39     674,538
   1,188,000 Philip Morris International, Inc., 5.375%, 2/15/33   1,126,388
    484,000 Starbucks Corp., 3.350%, 3/12/50     317,761
          5,121,365
  Communication Services — 0.6%  
     433,000 AT&T, Inc., 4.500%, 5/15/35     370,960
   1,084,000 British Telecommunications PLC (United Kingdom), 144a, 3.250%, 11/8/29     935,912
     577,000 Charter Communications Operating LLC / Charter Communications Operating Capital, 6.484%, 10/23/45     503,789
     692,000 Comcast Corp., 4.000%, 3/1/48     518,358
     632,000 Paramount Global, 4.200%, 5/19/32     502,572
     943,000 T-Mobile USA, Inc., 3.875%, 4/15/30     835,963
     566,000 T-Mobile USA, Inc., 5.750%, 1/15/54     521,729
    877,000 Verizon Communications, Inc., 2.987%, 10/30/56     486,291
          4,675,574
  Materials — 0.3%  
     600,000 Braskem Netherlands Finance BV (Brazil), 144a, 4.500%, 1/31/30     489,058
     531,000 Braskem Netherlands Finance BV (Brazil), 144a, 5.875%, 1/31/50     382,579
     833,000 Celanese US Holdings LLC, 6.165%, 7/15/27     821,491
    846,000 Sherwin-Williams Co. (The), 4.500%, 6/1/47     675,965
          2,369,093
  Total Corporate Bonds  $89,340,997
  Commercial Mortgage-Backed Securities — 2.5%
     825,000 BANK, Ser 2018-BN14, Class A3, 3.966%, 9/15/60         749,072
  26,280,406 BANK, Ser 2019-BN21, Class XA, 0.959%, 10/17/52(A)(B)(C)         985,460
     905,000 BANK, Ser 2020-BN26, Class A4, 2.403%, 3/15/63         729,947
   1,150,000 BANK, Ser 2022-BNK39, Class A4, 2.928%, 2/15/55(A)(C)         924,199
     870,000 BBCMS Mortgage Trust, Ser 2021-C11, Class A5, 2.322%, 9/15/54         672,485
   2,520,000 BBCMS Mortgage Trust, Ser 2021-C12, Class A5, 2.689%, 11/15/54       1,998,839
     670,000 BBCMS Mortgage Trust, Ser 2022-C14, Class A5, 2.946%, 2/15/55(A)(C)         539,865
     900,000 BPR Trust, Ser 2021-KEN, Class B, 144a, (TSFR1M + 2.064%), 7.396%, 2/15/29(A)         888,851
   1,500,000 BX Commercial Mortgage Trust, Ser 2020-VIV3, Class B, 144a, 3.662%, 3/9/44(A)(C)       1,247,480
   1,500,000 BX Commercial Mortgage Trust, Ser 2020-VIV4, Class A, 144a, 2.843%, 3/9/44       1,219,550
     755,000 Citigroup Commercial Mortgage Trust, Ser 2020-GC46, Class A5, 2.717%, 2/15/53         621,979
   1,220,000 COMM Mortgage Trust, Ser 2018-HOME, Class A, 144a, 3.942%, 4/10/33(A)(C)       1,089,254
     700,000 GS Mortgage Securities Trust, Ser 2017-FARM, Class B, 144a, 3.659%, 1/10/43(A)(C)         561,741
   1,205,000 GS Mortgage Securities Trust, Ser 2020-GC47, Class A5, 2.377%, 5/12/53         967,679
  1,000,000 HONO Mortgage Trust, Ser 2021-LULU, Class B, 144a, (TSFR1M + 1.564%), 6.897%, 10/15/36(A)          940,912
Principal
Amount
      MarketValue
  Commercial Mortgage-Backed Securities — 2.5% (Continued)
$562,000,000 Independence Plaza Trust, Ser 2018-INDP, Class XCP, 144a, 7/10/35(A)(B)(C)     $        562
     885,000 JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2017-JP7, Class A5, 3.454%, 9/15/50         794,846
     500,000 JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2018-MINN, Class A, 144a, (TSFR1M + 1.317%), 6.649%, 11/15/35(A)         479,485
   1,100,000 Morgan Stanley Capital I Trust, Ser 2018-H3, Class A5, 4.177%, 7/15/51       1,016,856
     825,000 SG Commercial Mortgage Securities Trust, Ser 2019-787E, Class A, 144a, 4.163%, 2/15/41         707,361
     770,000 Wells Fargo Commercial Mortgage Trust, Ser 2018-AUS, Class B, 144a, 4.194%, 8/17/36(A)(C)         665,554
  2,220,000 Wells Fargo Commercial Mortgage Trust, Ser 2019-C53, Class A4, 3.040%, 10/15/52       1,876,458
  Total Commercial Mortgage-Backed Securities  $19,678,435
  U.S. Government Mortgage-Backed Obligations — 2.0%
       1,237 FHLMC, Pool #G08062, 5.000%, 6/1/35           1,214
     117,093 FHLMC, Pool #G08637, 4.000%, 4/1/45         107,189
     725,820 FHLMC, Pool #Q02664, 4.500%, 8/1/41         686,992
   1,262,399 FHLMC, Pool #Q29056, 4.000%, 10/1/44       1,155,614
     624,299 FHLMC, Pool #Q29260, 4.000%, 10/1/44         571,495
   1,420,970 FHLMC REMIC, Pool #SD8148, 3.000%, 5/1/51       1,181,186
     250,976 FNMA, Pool #725423, 5.500%, 5/1/34         249,858
     222,509 FNMA, Pool #725610, 5.500%, 7/1/34         221,516
      46,252 FNMA, Pool #748895, 6.000%, 12/1/33          45,681
      90,303 FNMA, Pool #AD9193, 5.000%, 9/1/40          88,330
     231,998 FNMA, Pool #AH8925, 4.500%, 3/1/41         219,283
     275,666 FNMA, Pool #AR9195, 3.000%, 3/1/43         235,935
     471,996 FNMA, Pool #BC1809, 3.500%, 5/1/46         414,417
   1,735,478 FNMA, Pool #BT7156, 2.000%, 8/1/51       1,326,409
   1,897,513 FNMA, Pool #CB1336, 2.000%, 8/1/41       1,526,496
   1,795,078 FNMA, Pool #FM5085, 2.000%, 12/1/50       1,374,447
     555,092 FNMA, Pool #FM5166, 3.000%, 12/1/50         462,704
     475,038 FNMA, Pool #FM5279, 3.500%, 11/1/50         413,619
     377,887 FNMA, Pool #FM5468, 2.500%, 1/1/36         334,366
     539,794 FNMA, Pool #FM5682, 2.500%, 1/1/51         432,284
   1,487,901 FNMA, Pool #FM7913, 2.000%, 4/1/36       1,281,637
   1,873,783 FNMA, Pool #FM8360, 2.500%, 8/1/51       1,497,277
   1,833,313 FNMA, Pool #FM8361, 2.500%, 8/1/51       1,462,213
     616,345 FNMA, Pool #MA4166, 3.000%, 10/1/40         528,064
    413,698 GNMA, Pool #5175, 4.500%, 9/20/41         392,702
  Total U.S. Government Mortgage-Backed Obligations  $16,210,928
  Asset-Backed Securities — 2.0%
   1,000,000 AB BSL CLO 2 Ltd. (Cayman Islands), Ser 2021-2A, Class B1, 144a, (TSFR3M + 1.912%), 7.220%, 4/15/34(A)         984,159
   1,500,000 AB BSL CLO 3, Ltd. (Cayman Islands), Ser 2021-3A, Class B, 144a, (TSFR3M + 1.962%), 7.288%, 10/20/34(A)       1,475,310
     337,295 CF Hippolyta Issuer LLC, Ser 2020-1, Class A1, 144a, 1.690%, 7/15/60         306,406
   1,113,875 CLI Funding VI LLC, Ser 2020-3A, Class A, 144a, 2.070%, 10/18/45         967,003
     835,625 Driven Brands Funding LLC, Ser 2019-1A, Class A2, 144a, 4.641%, 4/20/49         787,022
     254,458 Elara HGV Timeshare Issuer LLC, Ser 2019-A, Class B, 144a, 2.910%, 1/25/34         236,635
  1,014,000 Jack in the Box Funding LLC, Ser 2019-1A, Class A2II, 144a, 4.476%, 8/25/49          941,421
 
3

Touchstone Balanced Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Asset-Backed Securities — 2.0% (Continued)
$    970,000 Jack in the Box Funding LLC, Ser 2022-1A, Class A2I, 144a, 3.445%, 2/26/52     $    867,821
     375,165 Jersey Mike's Funding, Ser 2019-1A, Class A2, 144a, 4.433%, 2/15/50         344,263
   1,150,000 Madison Park Funding XLIX Ltd. (Cayman Islands), Ser 2021-49A, Class B1, 144a, (TSFR3M + 1.962%), 7.282%, 10/19/34(A)       1,138,777
     830,875 Neighborly Issuer LLC, Ser 2021-1A, Class A2, 144a, 3.584%, 4/30/51         692,623
   1,500,000 Palmer Square CLO, Ltd. (Cayman Islands), Ser 2021-4A, Class B, 144a, (TSFR3M + 1.912%), 7.220%, 10/15/34(A)       1,478,934
     985,000 Planet Fitness Master Issuer LLC, Ser 2022-1A, Class A2I, 144a, 3.251%, 12/5/51         880,341
   1,500,000 Rockford Tower CLO, Ltd. (Cayman Islands), Ser 2021-3A, Class B, 144a, (TSFR3M + 2.012%), 7.338%, 10/20/34(A)(D)       1,467,615
     332,225 TAL Advantage VII LLC, Ser 2020-1A, Class A, 144a, 2.050%, 9/20/45         291,904
   1,250,000 Textainer Marine Containers, Ltd. (China), Ser 2021-3A, Class A, 144a, 1.940%, 8/20/46       1,024,063
   1,400,000 Towd Point Mortgage Trust, Ser 2015-6, Class B1, 144a, 3.823%, 4/25/55(A)(C)       1,261,590
  1,140,000 Towd Point Mortgage Trust, Ser 2019-4, Class M1B, 144a, 3.000%, 10/25/59(A)(C)         868,779
  Total Asset-Backed Securities  $16,014,666
Shares        
  Exchange-Traded Fund — 1.4%  
    133,451 iShares JP Morgan USD Emerging Markets Bond ETF  11,012,377
Principal
Amount
       
  Non-Agency Collateralized Mortgage Obligations — 1.1%
$     86,952 Agate Bay Mortgage Trust, Ser 2013-1, Class B3, 144a, 3.555%, 7/25/43(A)(C)          80,662
     276,667 Agate Bay Mortgage Trust, Ser 2015-4, Class B2, 144a, 3.501%, 6/25/45(A)(C)         260,317
     385,695 Agate Bay Mortgage Trust, Ser 2015-7, Class B1, 144a, 3.645%, 10/25/45(A)(C)         348,022
     169,501 CSMC Trust, Ser 2013-IVR3, Class B2, 144a, 3.404%, 5/25/43(A)(C)         160,665
     287,808 CSMC Trust, Ser 2015-1, Class B3, 144a, 3.902%, 1/25/45(A)(C)         264,080
     289,146 CSMC Trust, Ser 2015-WIN1, Class B3, 144a, 3.769%, 12/25/44(A)(C)         266,625
     982,583 Deephaven Residential Mortgage Trust, Ser 2022-2, Class A1, 144a, 4.300%, 3/25/67(A)(C)         900,255
   1,209,696 GS Mortgage-Backed Securities Trust, Ser 2021-PJ8, Class A8, 144a, 2.500%, 1/25/52(A)(C)       1,017,827
     637,147 JP Morgan Mortgage Trust, Ser 2017-1, Class B2, 144a, 3.449%, 1/25/47(A)(C)         538,123
   1,092,247 JP Morgan Mortgage Trust, Ser 2020-5, Class B1, 144a, 3.578%, 12/25/50(A)(C)         886,483
     573,777 Mill City Mortgage Loan Trust, Ser 2018-3, Class M3, 144a, 3.250%, 8/25/58(A)(C)         466,923
   1,397,426 Mill City Mortgage Loan Trust, Ser 2019-1, Class M1, 144a, 3.500%, 10/25/69(A)(C)       1,221,555
     143,650 Sequoia Mortgage Trust, Ser 2015-2, Class A19, 144a, 3.500%, 5/25/45(A)(C)         123,464
     875,544 Sequoia Mortgage Trust, Ser 2018-CH3, Class B1B, 144a, 4.763%, 8/25/48(A)(C)          800,115
Principal
Amount
      MarketValue
  Non-Agency Collateralized Mortgage Obligations — 1.1%
(Continued)
$    794,374 Sequoia Mortgage Trust, Ser 2018-CH3, Class B2B, 144a, 4.763%, 8/25/48(A)(C)     $    725,937
  1,199,273 Wells Fargo Mortgage Backed Securities Trust, Ser 2021-2, Class A3, 144a, 2.500%, 6/25/51(A)(C)       1,009,634
  Total Non-Agency Collateralized Mortgage Obligations   $9,070,687
  Agency Collateralized Mortgage Obligations — 0.7%
     515,000 FHLMC REMIC, Ser 4991, Class HB, 2.000%, 7/25/50         342,331
   1,650,000 FHLMC REMIC, Ser 5178, Class CV, 2.000%, 11/25/40       1,134,425
   1,500,000 FNMA REMIC, Ser 2019-35, Class KB, 3.000%, 7/25/49       1,105,168
   2,150,000 FNMA REMIC, Ser 2022-16, Class KB, 2.500%, 11/25/49       1,487,064
   1,370,000 FREMF Mortgage Trust, Ser 2019-K103, Class B, 144a, 3.574%, 12/25/51(A)(C)       1,182,782
     186,651 GNMA, Ser 2010-169, Class AW, 4.500%, 12/20/40         180,305
  3,583,085 GNMA, Ser 2012-147, Class IO, 0.548%, 4/16/54(A)(B)(C)          43,314
  Total Agency Collateralized Mortgage Obligations   $5,475,389
  Sovereign Government Obligations — 0.3%
     674,000 Bahamas Government International Bond, 144a, 6.000%, 11/21/28         554,524
     750,000 Chile Government International Bond, 3.100%, 1/22/61         428,701
     663,000 Colombia Government International Bond, 3.250%, 4/22/32         477,880
     725,000 Ecuador Government International Bond, 144a, 6.000%, 7/31/30(A)(C)         368,590
     680,000 Ghana Government International Bond, 144a, 7.625%, 5/16/29#         300,111
    728,000 Mexico Government International Bond, 3.771%, 5/24/61         426,017
  Total Sovereign Government Obligations   $2,555,823
Shares        
  Short-Term Investment Funds — 2.9%  
 23,076,905 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω  23,076,905
    496,831 Invesco Government & Agency Portfolio, Institutional Class, 5.26%∞Ω**     496,831
  Total Short-Term Investment Funds  $23,573,736
  Total Investment Securities—99.7%
(Cost $691,070,238)
$798,190,969
  Other Assets in Excess of Liabilities — 0.3%   2,103,020
  Net Assets — 100.0% $800,293,989
(A) Variable rate security - Rate reflected is the rate in effect as of September 30, 2023.
(B) Interest only security - This type of security represents the right to receive the monthly interest payments on an underlying pool of mortgages. Payments of principal on the pool reduce the value of the “interest only” holding.
(C) Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.
(D) Security has no stated coupon and is considered an equity position in the collateralized loan obligation (“CLO”). CLO equity investments are entitled to recurring distributions which are generally equal to the excess cash flow generated from the underlying investments after payment of the contractual payments to debt holders and fund expenses.
 
4

Touchstone Balanced Fund (Unaudited) (Continued)
# The issuer is in default of certain debt covenants. Income is not being accrued.
* Non-income producing security.
** Represents collateral for securities loaned.
All or a portion of the security is on loan. The total market value of the securities on loan as of September 30, 2023 was $477,443.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
ADR – American Depositary Receipt
CLO – Collateralized Loan Obligation
DAC – Designated Activity Company
ETF – Exchange-Traded Fund
FHLMC – Federal Home Loan Mortgage Corporation
FNMA – Federal National Mortgage Association
FREMF – Freddie Mac Multifamily Securitization
GNMA – Government National Mortgage Association
ICE – Intercontinental Exchange, Inc.
IO – Interest Only
LLC – Limited Liability Company
LP – Limited Partnership
MTN – Medium Term Note
PLC – Public Limited Company
REIT – Real Estate Investment Trust
REMIC – Real Estate Mortgage Investment Conduit
TSFR1M – One Month Term Secured Overnight Financing Rate
TSFR3M – Three Month Term Secured Overnight Financing Rate
USD – United States Dollar
144a - This is a restricted security that was sold in a transaction qualifying for the exemption under Rule 144a of the Securities Act of 1933. This security may be sold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2023, these securities were valued at $51,566,792 or 6.4% of net assets. These securities were deemed liquid pursuant to procedures approved by the Board of Trustees.
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Assets:        
Common Stocks $493,305,247 $$— $493,305,247
U.S. Treasury Obligations 111,952,684 111,952,684
Corporate Bonds 89,340,997 89,340,997
Commercial Mortgage-Backed Securities 19,678,435 19,678,435
U.S. Government Mortgage-Backed Obligations 16,210,928 16,210,928
Asset-Backed Securities 16,014,666 16,014,666
Exchange-Traded Fund 11,012,377 11,012,377
Non-Agency Collateralized Mortgage Obligations 9,070,687 9,070,687
Agency Collateralized Mortgage Obligations 5,475,389 5,475,389
Sovereign Government Obligations 2,555,823 2,555,823
Short-Term Investment Funds 23,573,736 23,573,736
Other Financial Instruments        
Futures        
Interest rate contracts 221,490 221,490
Total Assets $528,112,850 $270,299,609 $— $798,412,459
Liabilities:        
Other Financial Instruments        
Swap Agreements        
Credit contracts $$(31,790) $— $(31,790)
Futures        
Interest rate contracts (102,922) (102,922)
Total Liabilities $(102,922) $(31,790) $— $(134,712)
Total $528,009,928 $270,267,819 $— $798,277,747
 
5

Touchstone Balanced Fund (Unaudited) (Continued)
Futures Contracts
At September 30, 2023, $88,750 was segregated with the broker as collateral for futures contracts. The Fund had the following futures contracts, brokered by Wells Fargo, open at September 30, 2023: 
Description Expiration Date Number of
Contracts
Notional Value Unrealized
Appreciation/
Depreciation
Short Futures:        
30-Year U.S. Ultra Treasury Bond 12/19/2023 35 $4,154,063 $221,490
Long Futures:        
5-Year U.S. Treasury Note 12/29/2023 170 17,911,095 (102,922)
        $118,568
 Centrally Cleared Credit Default Swaps on Credit Indices(1)
Counterparty Termination
Date
Notional
Amount(2)
Pay Fixed
Rate
Clearinghouse Underlying
Bond
Value(3) Premiums
Paid/
(Received)
Unrealized
Depreciation
Buy Protection:                
Wells Fargo 6/20/28 $10,220,000 5.000% ICE Markit CDX North America High Yield
Series 40 5Y Index
$(160,187) $(128,397) $(31,790)
(1) If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index.
(2) The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.
(3) The quoted market prices and resulting values for credit default swap agreements on the underlying bond serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of the period end. Decreasing market values (sell protection) or increasing market values (buy protection) when compared to the notional amount of the swap, represent a deterioration of the referenced entity's credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.
See accompanying Notes to Portfolios of Investments.
6

Portfolio of Investments
Touchstone Core Municipal Bond Fund – September 30, 2023 (Unaudited)
Principal
Amount
      Market
Value
  Fixed Rate Revenue Bonds – 76.3%
$  550,000 Barry County, MO, COP, 5.000%, 10/01/37 $   544,180
   500,000 Chicago O'Hare International Airport, Revenue Ser A, 5.000%, 01/01/31    515,694
   500,000 Chicago, IL, Wastewater Transmission Revenue Ser C, 5.000%, 01/01/26    504,992
   525,000 Citizens Property Insurance, Inc., Revenue Ser A1, 5.000%, 06/01/25    529,043
   450,000 City of Erie Higher Education Building Authority, Revenue, 5.000%, 05/01/47    392,991
   500,000 Cleveland County Educational Fac. Auth., Revenue, 5.000%, 06/01/25    508,272
   500,000 Cleveland, OH, Airport System Rev. Ser B, 5.000%, 01/01/37    517,145
   500,000 Cobb County Kennestone Hospital Auth., Revenue, 4.000%, 04/01/52    412,549
   500,000 Colorado Health Fac. Auth., Revenue, 5.000%, 11/01/28    517,293
   500,000 Colorado River Municipal Water District, Revenue, 5.000%, 01/01/25    505,987
   500,000 Connecticut State Health & Educational Fac. Auth., Revenue, 5.000%, 07/01/48    495,222
   500,000 County of Miami-Dade FL Transit System, Revenue, 5.000%, 07/01/32    508,066
   500,000 County of Nez Perce, COP, 5.000%, 03/01/52    482,329
   685,000 DeKalb-Jackson Water Supply District Inc, Revenue Ser A, 5.000%, 07/01/32    723,635
   500,000 Ferris State University, Revenue Ser A, 5.000%, 10/01/23    500,000
   500,000 Florida Development Finance Corp., Revenue Ser A, 5.000%, 06/15/30    504,227
   425,000 Georgetown, TX, Utility System Revenue, 5.000%, 08/15/35    450,293
   500,000 Greater Jasper School Building Corp., Revenue, 5.000%, 07/15/29    522,698
   510,000 Greater Texas Cultural Education Fac. Finance Corp., Revenue, 5.000%, 03/01/28    535,745
   350,000 Guam Power Auth., Revenue Ser A, 5.000%, 10/01/26    354,424
   500,000 Hamilton County, OH, 5.000%, 08/15/40    500,156
1,000,000 Hamilton County, OH EDR, 5.000%, 06/01/33  1,011,188
   465,000 Harris County Cultural Education Fac. Finance Corp., Revenue Ser A, 5.000%, 07/01/52    438,994
   500,000 Health Care Auth. for Baptist Health/The, Revenue Ser A, 5.000%, 11/15/32    523,414
   500,000 Hospitals & Higher Education Fac. Auth. of Philadelphia/The, Revenue, 5.000%, 07/01/37    509,806
   500,000 Illinois Finance Auth., Revenue Ser A, 5.000%, 08/15/47    495,918
   675,000 Illinois State Toll Highway Authority, Revenue Ser A, 5.000%, 01/01/46    686,597
   500,000 Iowa Higher Education Loan Auth., Revenue, 5.375%, 10/01/52    485,570
   500,000 Kentucky Asset Liability Commission, Revenue Ser A, 5.000%, 09/01/25    508,826
   595,000 Kentucky Public Energy Auth., Revenue Ser 1, 4.000%, 02/01/30    563,495
   500,000 Kentucky State Property & Building Commission, Revenue Ser A, 5.000%, 11/01/23    500,266
   500,000 Kentucky State Property & Building Commission, Revenue Ser B, 5.000%, 11/01/23    500,266
   500,000 Los Angeles, CA, Wastewater System Revenue Ser C, 5.000%, 06/01/25    512,484
   500,000 Louisiana Local Government Environmental Fac. & Community Development Auth, Revenue, 5.000%, 08/15/30    513,522
  500,000 Louisiana Public Fac. Auth., Revenue Ser A, 5.000%, 10/15/37     522,512
Principal
Amount
      Market
Value
   
$  500,000 Louisville/Jefferson County Metropolitan Government, Revenue Ser A, 5.000%, 05/15/52 $   464,639
   500,000 Medford Hospital Fac. Auth., Revenue Ser A, 5.000%, 08/15/27    517,620
   500,000 Metropolitan Government Nashville & Davidson County Sports Auth., Revenue Ser A, 5.250%, 07/01/53    514,879
   500,000 Michigan Finance Auth., Revenue, 5.000%, 04/15/28    523,706
   500,000 Michigan Finance Authority, Revenue Ser C, 5.000%, 06/01/32    532,764
   500,000 Michigan State Building Auth., Revenue Ser I, 5.000%, 04/15/34    509,950
   500,000 Missouri Joint Municipal Electric Utility Commission, Revenue, 5.000%, 12/01/36    519,552
   500,000 Monroeville Finance Auth., Revenue Ser B, 5.000%, 02/15/29    525,935
   575,000 Montrose Redevelopment Auth., 5.000%, 09/01/26    587,574
   500,000 Municipal Electric Authority of Georgia Ser A, 5.000%, 07/01/52    487,537
   500,000 New Hampshire Business Finance Auth., Revenue Ser A, 5.250%, 06/01/51    518,164
   500,000 New Jersey Economic Development Auth., Revenue EDR, 5.000%, 03/01/28    521,579
   500,000 New Jersey Transportation Trust Fund Authority, Revenue Ser AA, 5.000%, 06/15/45    507,479
   500,000 New York State Dormitory Auth., Revenue, 5.000%, 07/01/29    508,407
   500,000 New York State Dormitory Auth., Revenue, 5.000%, 05/01/52    498,310
   500,000 Newark Higher Education Finance Corp., Revenue Ser A, 4.000%, 04/01/57    387,645
   500,000 North Kent Sewer Auth., Revenue, 5.000%, 11/01/23    500,318
   500,000 Ohio Higher Educational Fac. Commission, 5.000%, 03/01/34    474,397
   500,000 Oregon State Fac. Auth., Revenue Ser A, 5.000%, 06/01/52    474,941
   500,000 Ozark Reorg School District No R-6, COP, 5.000%, 04/01/45    484,614
   500,000 Pasco County School Board, COP Ser B, 5.000%, 08/01/46    499,728
   500,000 Pennsylvania Economic Development Financing Auth., Revenue EDR Ser 2, 5.000%, 07/01/38    489,247
   500,000 Pennsylvania Higher Educational Fac. Auth., Revenue Ser A, 5.000%, 05/01/32    529,487
   500,000 Philadelphia Auth. for Industrial Development, Revenue, 5.250%, 11/01/47    503,802
   500,000 Polaris Career Center COP, 5.000%, 11/01/35    506,582
   500,000 Pulaski County, AR, Revenue, 5.250%, 03/01/53    510,154
   500,000 Regional Transportation District, Revenue Ser A, 5.000%, 01/15/29    518,336
   500,000 Regional Transportation District, Revenue Ser A, 5.000%, 01/15/31    522,048
   500,000 Rhode Island Health and Educational Building Corp., Revenue Ser A, 5.000%, 05/15/48    510,975
   520,000 South Carolina Public Service Auth., Revenue Ser A, 4.000%, 12/01/52    422,740
   585,000 South Wayne County Water and Sewer Authority, Revenue, 4.000%, 02/15/37    558,656
   500,000 St Lucie County School Board, COP Ser A, 5.000%, 07/01/48    506,787
   510,000 State Board of Higher Education of the State of North Dakota, Revenue Ser A, 5.000%, 04/01/29    526,995
   500,000 State of Illinois Sales Tax Revenue Ser B, 5.000%, 06/15/33    509,870
   500,000 Tobacco Settlement Financing Corp, Revenue Ser A, 5.000%, 06/01/30    516,556
  500,000 Town of Upland, Revenue EDR, 4.000%, 09/01/43     412,616
 
7

Touchstone Core Municipal Bond Fund (Unaudited) (Continued)
Principal
Amount
      Market
Value
  Fixed Rate Revenue Bonds – 76.3% (Continued)
$  500,000 Troy Capital Resource Corp., Revenue, 5.000%, 09/01/30 $   525,697
   620,000 Walton County District School Board, COP, 5.000%, 07/01/25    626,803
   500,000 Wisconsin Health & Educational Fac. Auth., Revenue, 5.000%, 03/15/53    431,477
   500,000 Wisconsin Health & Educational Fac. Auth., Revenue Ser B, 5.250%, 12/01/48    498,891
  240,000 Yamhill County, OR, Revenue, 4.000%, 12/01/41    204,966
  Total Fixed Rate Revenue Bonds $38,690,222
  General Obligation Bonds – 21.8%
   500,000 Albuquerque Municipal School District No 12, UTGO Ser A, 5.000%, 08/01/35    534,713
   500,000 Bartholomew Consolidated School Corp., LTGO, 6.000%, 01/15/26    521,680
   500,000 Bexar County Hospital District, LTGO, 5.000%, 02/15/48    510,030
   500,000 Chicago Board of Education, UTGO Ser A, 4.000%, 12/01/47    388,408
   500,000 Chicago, IL, UTGO Ser A, 5.000%, 01/01/34    513,473
   150,000 Detroit, MI, UTGO Ser C, 6.000%, 05/01/43    158,143
   505,000 Ecorse Public School District, UTGO, 5.000%, 05/01/27    526,253
   150,000 Gold Hill Mesa Metropolitan District No 2, LTGO Ser A, 5.000%, 12/01/29    156,990
   500,000 Grand Rapids Public Schools, UTGO, 5.000%, 05/01/25    506,532
   500,000 Hudsonville Public Schools, UTGO, 5.000%, 05/01/53    499,481
   500,000 Indianapolis Board of School Commissioners, LTGO, 5.000%, 07/15/24    503,526
   500,000 Jackson, MS, UTGO, 5.000%, 03/01/28    500,625
   610,000 Milwaukee, WI, UTGO Ser N3, 5.000%, 04/01/29    634,659
   500,000 North Pine Vistas Metropolitan District No 2, LTGO, 5.250%, 12/01/42    518,810
   450,000 School District of Philadelphia/The, LTGO Ser B, 5.000%, 09/01/30    473,957
   440,000 School District of Philadelphia/The, LTGO Ser D, 5.000%, 09/01/25    446,795
   500,000 St Louis, MO, UTGO Ser A, 5.000%, 02/15/43    506,549
   500,000 State of Illinois, UTGO Ser B, 5.500%, 05/01/47    518,704
1,000,000 Toledo, OH, LTGO, 4.000%, 12/01/35    970,863
  500,000 Town of Millbury, 5.000%, 08/30/24     505,673
Principal
Amount
      Market
Value
   
$  500,000 Whispering Pines Metropolitan District No 1, LTGO, 5.000%, 12/01/52 $   489,677
  650,000 Wichita Falls Independent School District, UTGO, 4.000%, 02/01/26    652,896
  Total General Obligation Bonds $11,038,437
Shares        
  Short-Term Investment Fund — 1.7%
  861,327 Dreyfus Government Cash Management Institutional Shares, 5.22%∞Ω    861,327
  Total Investment Securities—99.8%
(Cost $54,000,977)
$50,589,986
  Other Assets in Excess of Liabilities — 0.2%     $81,866
  Net Assets — 100.0% $50,671,852
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
COP–Certificates of Participation
EDR–Economic Development Revenue
LTGO–Limited Tax General Obligation
UTGO–Unlimited Tax General Obligation
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Municipal Bonds $$49,728,659 $— $49,728,659
Short-Term Investment Fund 861,327 861,327
Total $861,327 $49,728,659 $— $50,589,986
See accompanying Notes to Portfolios of Investments.
 
8

Portfolio of Investments
Touchstone International Equity Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 92.2%  
  France — 20.3%  
  Communication Services — 2.2%  
  142,000 JCDecaux SE* $  2,402,579
  Consumer Discretionary — 7.5%  
   91,700 Accor SA   3,084,278
  113,100 Cie Generale des Etablissements Michelin SCA   3,461,648
    1,900 LVMH Moet Hennessy Louis Vuitton SE   1,434,178
  Consumer Staples — 1.5%  
    9,700 Pernod Ricard SA   1,614,953
  Energy — 3.7%  
   60,200 TotalEnergies SE   3,958,111
  Financials — 2.5%  
   42,500 Edenred SE   2,658,631
  Health Care — 2.9%  
   29,000 Sanofi   3,113,883
  Total France  21,728,261
  United Kingdom — 13.2%  
  Communication Services — 2.2%  
  340,200 Rightmove PLC   2,321,627
  Health Care — 3.7%  
1,497,049 ConvaTec Group PLC, 144a   3,967,287
  Industrials — 5.5%  
   52,500 Bunzl PLC   1,869,724
  178,300 Howden Joinery Group PLC   1,595,347
  640,000 Rotork PLC   2,424,598
  Information Technology — 1.8%  
   47,900 Spectris PLC   1,983,548
  Total United Kingdom  14,162,131
  Switzerland — 10.4%  
  Consumer Staples — 2.6%  
   25,000 Nestle SA   2,829,900
  Health Care — 7.8%  
   31,300 Alcon, Inc.   2,415,341
   32,500 Novartis AG   3,319,181
    9,700 Roche Holding AG   2,648,111
  Total Switzerland  11,212,533
  Germany — 10.1%  
  Communication Services — 1.7%  
   27,200 Scout24 SE, 144a   1,886,009
  Health Care — 2.5%  
   87,900 Fresenius SE & Co. KGaA   2,730,194
  Industrials — 1.5%  
   20,700 Brenntag SE   1,601,698
  Information Technology — 2.1%  
   17,100 SAP SE   2,213,459
  Materials — 2.3%  
   76,400 FUCHS SE   2,446,483
  Total Germany  10,877,843
  Japan — 5.8%  
  Consumer Discretionary — 2.7%  
  173,300 USS Co. Ltd.   2,864,883
  Health Care — 1.5%  
  122,600 Olympus Corp.   1,591,776
Shares       Market
Value
     
  Japan — (Continued)  
  Industrials — 1.6%  
   66,500 FANUC Corp. $  1,729,494
  Total Japan   6,186,153
  United States — 5.2%  
  Health Care — 3.1%  
   42,800 Medtronic PLC   3,353,808
  Industrials — 2.1%  
   69,200 Experian PLC   2,263,364
  Total United States   5,617,172
  Canada — 4.5%  
  Materials — 4.5%  
   52,700 Agnico Eagle Mines Ltd.   2,394,732
  169,300 Barrick Gold Corp.   2,459,259
  Total Canada   4,853,991
  Netherlands — 4.0%  
  Health Care — 2.8%  
  151,112 Koninklijke Philips NV*   3,015,025
  Information Technology — 1.2%  
    2,200 ASML Holding NV   1,295,251
  Total Netherlands   4,310,276
  Mexico — 3.4%  
  Communication Services — 1.8%  
  873,398 Megacable Holdings SAB de CV   1,929,469
  Consumer Staples — 1.6%  
  859,200 Kimberly-Clark de Mexico SAB de CV - Class A   1,710,758
  Total Mexico   3,640,227
  Hong Kong — 3.1%  
  Consumer Discretionary — 3.1%  
  548,000 Galaxy Entertainment Group Ltd.   3,279,024
  Greece — 2.4%  
  Consumer Discretionary — 2.4%  
  156,000 OPAP SA   2,611,702
  Brazil — 2.0%  
  Financials — 2.0%  
  243,800 Pagseguro Digital Ltd. - Class A*   2,099,118
  South Korea — 1.9%  
  Information Technology — 1.9%  
   39,700 Samsung Electronics Co. Ltd.   2,006,999
  Norway — 1.8%  
  Energy — 1.8%  
  142,900 TGS ASA   1,950,526
  Tanzania — 1.4%  
  Communication Services — 1.4%  
1,710,000 Helios Towers PLC*   1,531,396
  Taiwan — 1.4%  
  Information Technology — 1.4%  
   16,900 Taiwan Semiconductor Manufacturing Co. Ltd. ADR   1,468,610
  Spain — 1.2%  
  Industrials — 1.2%  
   41,800 Befesa SA, 144a   1,274,103
 
9

Touchstone International Equity Fund (Unaudited) (Continued)
Shares       Market
Value
  Common Stocks — 92.2% (Continued)  
  China — 0.1%  
  Consumer Discretionary — 0.1%  
    5,190 Meituan - Class B, 144a* $     75,131
  Total Common Stocks  $98,885,196
  Short-Term Investment Fund — 7.0%  
7,447,740 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω   7,447,740
  Total Investment Securities — 99.2%
(Cost $97,804,131)
$106,332,936
  Other Assets in Excess of Liabilities — 0.8%     891,354
  Net Assets — 100.0% $107,224,290
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
ADR – American Depositary Receipt
PLC – Public Limited Company
144a - This is a restricted security that was sold in a transaction qualifying for the exemption under Rule 144a of the Securities Act of 1933. This security may be sold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2023, these securities were valued at $7,202,530 or 6.7% of net assets. These securities were deemed liquid pursuant to procedures approved by the Board of Trustees.
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks        
France $$21,728,261 $— $21,728,261
United Kingdom 1,983,548 12,178,583 14,162,131
Switzerland 11,212,533 11,212,533
Germany 10,877,843 10,877,843
Japan 6,186,153 6,186,153
United States 3,353,808 2,263,364 5,617,172
Canada 4,853,991 4,853,991
Netherlands 4,310,276 4,310,276
Mexico 3,640,227 3,640,227
Hong Kong 3,279,024 3,279,024
Greece 2,611,702 2,611,702
Brazil 2,099,118 2,099,118
South Korea 2,006,999 2,006,999
Norway 1,950,526 1,950,526
Tanzania 1,531,396 1,531,396
Taiwan 1,468,610 1,468,610
Spain 1,274,103 1,274,103
China 75,131 75,131
Short-Term Investment Fund 7,447,740 7,447,740
Total $26,378,438 $79,954,498 $— $106,332,936
See accompanying Notes to Portfolios of Investments.
10

Portfolio of Investments
Touchstone International Growth Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 95.7%  
  United States — 16.4%  
  Information Technology — 16.4%  
    5,220 Accenture PLC - Class A $ 1,603,114
   10,455 Arista Networks, Inc.*  1,922,988
    8,570 Microsoft Corp.  2,705,978
    6,570 NVIDIA Corp.  2,857,884
  Total United States  9,089,964
  India — 12.8%  
  Financials — 8.9%  
   29,360 HDFC Bank Ltd. ADR  1,732,533
  137,690 ICICI Bank Ltd. ADR  3,183,393
  Information Technology — 3.9%  
   19,755 LTIMindtree Ltd., 144a  1,234,318
   21,545 Tata Consultancy Services Ltd.    912,263
  Total India  7,062,507
  Switzerland — 8.1%  
  Consumer Staples — 2.9%  
   59,040 Coca-Cola HBC AG  1,614,377
  Health Care — 5.2%  
   23,710 Alcon, Inc.  1,829,640
    8,070 Straumann Holding AG  1,027,141
  Total Switzerland  4,471,158
  Canada — 8.0%  
  Consumer Discretionary — 4.2%  
   33,345 Dollarama, Inc.  2,297,387
  Industrials — 3.8%  
   65,695 CAE, Inc.*  1,533,730
    7,760 Canadian Pacific Kansas City Ltd.    576,808
  Total Canada  4,407,925
  United Kingdom — 6.0%  
  Consumer Discretionary — 2.6%  
  125,215 Entain PLC  1,420,166
  Health Care — 2.0%  
    8,280 AstraZeneca PLC  1,116,844
  Information Technology — 1.4%  
   54,740 Kainos Group PLC    767,397
  Total United Kingdom  3,304,407
  France — 5.9%  
  Information Technology — 5.9%  
   18,680 Capgemini SE  3,259,544
  Germany — 5.6%  
  Communication Services — 2.2%  
   27,205 Stroeer SE & Co. KGaA  1,209,551
  Information Technology — 3.4%  
   14,385 SAP SE  1,862,024
  Total Germany  3,071,575
  Spain — 5.1%  
  Consumer Discretionary — 1.8%  
   16,370 Amadeus IT Group SA    988,792
  Health Care — 3.3%  
  141,345 Grifols SA*  1,830,686
  Total Spain  2,819,478
Shares       Market
Value
     
  Israel — 4.3%  
  Information Technology — 4.3%  
   14,065 Nice Ltd. ADR* $ 2,391,050
  Argentina — 4.3%  
  Information Technology — 4.3%  
   12,055 Globant SA*  2,385,082
  Netherlands — 4.2%  
  Information Technology — 4.2%  
    3,984 ASML Holding NV  2,345,581
  Sweden — 3.9%  
  Consumer Discretionary — 3.9%  
   21,630 Evolution AB, 144a  2,182,668
  Singapore — 3.2%  
  Financials — 3.2%  
   71,100 DBS Group Holdings Ltd.  1,746,191
  Taiwan — 2.7%  
  Information Technology — 2.7%  
   17,050 Taiwan Semiconductor Manufacturing Co. Ltd. ADR  1,481,645
  Indonesia — 2.5%  
  Financials — 2.5%  
3,525,000 Bank Mandiri Persero Tbk PT  1,372,025
  Italy — 1.5%  
  Financials — 1.5%  
  134,530 Nexi SpA, 144a*    819,702
  Poland — 1.2%  
  Consumer Staples — 1.2%  
    8,520 Dino Polska SA, 144a*    690,492
  Total Common Stocks $52,900,994
  Short-Term Investment Fund — 4.4%  
2,420,388 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω  2,420,388
  Total Investment Securities — 100.1%
(Cost $53,256,413)
$55,321,382
  Liabilities in Excess of Other Assets — (0.1)%    (65,499)
  Net Assets — 100.0% $55,255,883
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
ADR – American Depositary Receipt
PLC – Public Limited Company
144a - This is a restricted security that was sold in a transaction qualifying for the exemption under Rule 144a of the Securities Act of 1933. This security may be sold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2023, these securities were valued at $4,927,180 or 8.9% of net assets. These securities were deemed liquid pursuant to procedures approved by the Board of Trustees.
 
11

Touchstone International Growth Fund (Unaudited) (Continued)
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks        
United States $9,089,964 $$— $9,089,964
India 4,915,926 2,146,581 7,062,507
Switzerland 4,471,158 4,471,158
Canada 4,407,925 4,407,925
United Kingdom 767,397 2,537,010 3,304,407
France 3,259,544 3,259,544
Germany 3,071,575 3,071,575
Spain 2,819,478 2,819,478
Israel 2,391,050 2,391,050
Argentina 2,385,082 2,385,082
Netherlands 2,345,581 2,345,581
Sweden 2,182,668 2,182,668
Singapore 1,746,191 1,746,191
Taiwan 1,481,645 1,481,645
Indonesia 1,372,025 1,372,025
Italy 819,702 819,702
Poland 690,492 690,492
Short-Term Investment Fund 2,420,388 2,420,388
Total $27,859,377 $27,462,005 $— $55,321,382
See accompanying Notes to Portfolios of Investments.
12

Portfolio of Investments
Touchstone Large Cap Focused Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 93.5%  
  Information Technology — 24.3%  
  1,192,750 Apple, Inc. $  204,210,727
    278,071 International Business Machines Corp.    39,013,361
    757,177 Microsoft Corp.   239,078,638
    597,489 Oracle Corp.    63,286,035
    308,737 Salesforce, Inc.*    62,605,689
    315,055 Texas Instruments, Inc.    50,096,896
    174,337 Workday, Inc. - Class A*    37,456,304
          695,747,650
  Health Care — 15.2%  
    596,094 BioMarin Pharmaceutical, Inc.*    52,742,397
    615,801 Bristol-Myers Squibb Co.    35,741,090
    342,035 Cencora, Inc.    61,556,039
    244,688 HCA Healthcare, Inc.    60,188,354
    517,873 Johnson & Johnson    80,658,720
    676,738 Medtronic PLC    53,029,190
    179,842 UnitedHealth Group, Inc.    90,674,538
          434,590,328
  Financials — 14.2%  
  1,968,763 Bank of America Corp.    53,904,731
    386,061 Berkshire Hathaway, Inc. - Class B*   135,237,168
    303,965 Charles Schwab Corp. (The)    16,687,679
    193,410 Goldman Sachs Group, Inc. (The)    62,581,674
     33,943 Markel Group, Inc.*    49,980,728
    341,804 PayPal Holdings, Inc.*    19,981,862
    292,038 Visa, Inc. - Class A    67,171,660
          405,545,502
  Communication Services — 12.9%  
  1,167,554 Alphabet, Inc. - Class C*   153,941,995
  1,034,614 Comcast Corp. - Class A    45,874,785
    387,355 Meta Platforms, Inc. - Class A*   116,287,844
     87,632 Netflix, Inc.*    33,089,843
    236,159 Walt Disney Co. (The)*    19,140,687
          368,335,154
  Consumer Discretionary — 8.0%  
    222,780 Airbnb, Inc. - Class A*    30,567,644
    180,099 Alibaba Group Holding Ltd. (China) ADR*    15,621,787
    955,520 Amazon.com, Inc.*   121,465,702
    206,817 Hilton Worldwide Holdings, Inc.    31,059,777
    327,273 Starbucks Corp.    29,870,207
          228,585,117
  Industrials — 7.6%  
    197,301 Boeing Co. (The)*    37,818,656
     94,428 FedEx Corp.    25,015,866
    133,501 Hubbell, Inc.    41,840,548
    545,667 RTX Corp.    39,271,654
    820,086 Southwest Airlines Co.    22,199,728
    597,739 SS&C Technologies Holdings, Inc.    31,405,207
    254,999 Stanley Black & Decker, Inc.    21,312,816
          218,864,475
Shares       Market
Value
     
  Energy — 4.0%  
    614,529 Exxon Mobil Corp. $   72,256,320
    753,307 Schlumberger NV    43,917,798
          116,174,118
  Consumer Staples — 3.9%  
  1,047,244 Monster Beverage Corp.*    55,451,570
    594,112 Philip Morris International, Inc.    55,002,889
          110,454,459
  Materials — 2.5%  
    613,323 DuPont de Nemours, Inc.    45,747,763
    361,806 International Flavors & Fragrances, Inc.    24,664,315
           70,412,078
  Real Estate — 0.9%  
    188,994 Jones Lang LaSalle, Inc.*    26,682,173
  Total Common Stocks $2,675,391,054
  Short-Term Investment Fund — 6.5%  
187,152,121 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω   187,152,121
  Total Investment Securities—100.0%
(Cost $1,811,191,738)
$2,862,543,175
  Liabilities in Excess of Other Assets — (0.0%)      (582,820)
  Net Assets — 100.0% $2,861,960,355
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
ADR – American Depositary Receipt
PLC – Public Limited Company
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $2,675,391,054 $— $— $2,675,391,054
Short-Term Investment Fund 187,152,121 187,152,121
Total $2,862,543,175 $— $— $2,862,543,175
See accompanying Notes to Portfolios of Investments.
 
13

Portfolio of Investments
Touchstone Large Cap Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 98.1%  
  Financials — 24.6%  
   49,562 Berkshire Hathaway, Inc. - Class B* $ 17,361,569
   16,535 BlackRock, Inc.  10,689,712
  146,665 Charles Schwab Corp. (The)   8,051,908
   72,454 Fiserv, Inc.*   8,184,404
   67,741 Progressive Corp. (The)   9,436,321
   44,255 Visa, Inc. - Class A  10,179,093
         63,903,007
  Consumer Discretionary — 13.5%  
   62,649 CarMax, Inc.*   4,431,164
   29,823 Home Depot, Inc. (The)   9,011,317
   25,555 Lowe's Cos., Inc.   5,311,351
    8,744 O'Reilly Automotive, Inc.*   7,947,072
   92,052 Starbucks Corp.   8,401,586
         35,102,490
  Materials — 12.6%  
   25,821 Air Products & Chemicals, Inc.   7,317,672
   39,110 Albemarle Corp.   6,650,264
   25,935 Martin Marietta Materials, Inc.  10,645,799
   18,005 NewMarket Corp.   8,192,995
         32,806,730
  Information Technology — 12.6%  
  104,593 Apple, Inc.  17,907,368
  117,071 Cisco Systems, Inc.   6,293,737
   53,741 Texas Instruments, Inc.   8,545,356
         32,746,461
  Industrials — 12.5%  
   35,425 FedEx Corp.   9,384,791
   35,412 Norfolk Southern Corp.   6,973,685
   20,932 Old Dominion Freight Line, Inc.   8,564,119
   52,553 Republic Services, Inc.   7,489,328
         32,411,923
  Consumer Staples — 8.7%  
  179,361 Altria Group, Inc.   7,542,130
   83,197 Church & Dwight Co., Inc.   7,623,341
   67,211 Nestle SA (Switzerland) ADR   7,606,269
         22,771,740
Shares       Market
Value
     
  Communication Services — 6.1%  
  120,975 Alphabet, Inc. - Class C* $ 15,950,554
  Health Care — 4.1%  
   41,290 Johnson & Johnson   6,430,917
  126,852 Pfizer, Inc.   4,207,681
         10,638,598
  Energy — 3.4%  
   52,082 Chevron Corp.   8,782,067
  Total Common Stocks $255,113,570
  Short-Term Investment Fund — 1.9%  
4,922,598 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω   4,922,598
  Total Investment Securities—100.0%
(Cost $166,657,075)
$260,036,168
  Other Assets in Excess of Liabilities — 0.0%       6,287
  Net Assets — 100.0% $260,042,455
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
ADR – American Depositary Receipt
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $255,113,570 $— $— $255,113,570
Short-Term Investment Fund 4,922,598 4,922,598
Total $260,036,168 $— $— $260,036,168
See accompanying Notes to Portfolios of Investments.
 
14

Portfolio of Investments
Touchstone Large Company Growth Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 99.6%  
  Information Technology — 53.4%  
17,717 Accenture PLC - Class A $  5,441,068
13,601 Adobe, Inc.*   6,935,150
28,833 Arista Networks, Inc.*   5,303,254
 6,773 ASML Holding NV (Netherlands)   3,986,994
22,524 Autodesk, Inc.*   4,660,441
18,967 Entegris, Inc.   1,781,191
17,663 EPAM Systems, Inc.*   4,516,252
12,618 Intuit, Inc.   6,447,041
45,772 Microsoft Corp.  14,452,509
21,935 NVIDIA Corp.   9,541,506
         63,065,406
  Financials — 16.4%  
48,523 Charles Schwab Corp. (The)   2,663,913
28,865 Fiserv, Inc.*   3,260,590
11,027 FleetCor Technologies, Inc.*   2,815,634
 5,820 Mastercard, Inc. - Class A   2,304,196
50,072 PayPal Holdings, Inc.*   2,927,209
23,460 Visa, Inc. - Class A   5,396,035
         19,367,577
  Communication Services — 8.3%  
74,663 Alphabet, Inc. - Class A*   9,770,400
  Consumer Discretionary — 8.2%  
66,128 Amazon.com, Inc.*   8,406,191
   727 Chipotle Mexican Grill, Inc.*   1,331,741
          9,737,932
  Health Care — 6.1%  
53,512 Boston Scientific Corp.*   2,825,434
26,534 Neurocrine Biosciences, Inc.*   2,985,075
 2,668 Thermo Fisher Scientific, Inc.   1,350,461
          7,160,970
  Industrials — 3.6%  
10,718 Automatic Data Processing, Inc.   2,578,536
 6,561 Paycom Software, Inc.   1,701,070
          4,279,606
Shares       Market
Value
     
  Materials — 2.0%  
 6,385 Linde PLC $  2,377,455
  Consumer Staples — 1.6%  
36,197 Monster Beverage Corp.*   1,916,631
  Total Common Stocks $117,675,977
  Short-Term Investment Fund — 0.1%  
85,109 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω      85,109
  Total Investment Securities—99.7%
(Cost $82,771,860)
$117,761,086
  Other Assets in Excess of Liabilities — 0.3%     386,978
  Net Assets — 100.0% $118,148,064
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
PLC – Public Limited Company
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $117,675,977 $— $— $117,675,977
Short-Term Investment Fund 85,109 85,109
Total $117,761,086 $— $— $117,761,086
See accompanying Notes to Portfolios of Investments.
 
15

Portfolio of Investments
Touchstone Small Company Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 97.7%  
  Industrials — 21.1%  
   157,572 ASGN, Inc.* $ 12,870,481
    75,705 Clean Harbors, Inc. *  12,669,989
   140,612 Crane Co.  12,491,970
    62,078 Curtiss-Wright Corp.  12,144,319
    58,317 EMCOR Group, Inc.  12,269,314
   121,148 ESCO Technologies, Inc.  12,652,697
   441,635 ExlService Holdings, Inc.*  12,383,445
   212,319 Federal Signal Corp.  12,681,814
   205,352 ITT, Inc.  20,106,014
   292,679 KBR, Inc.  17,250,500
   230,656 MAXIMUS, Inc.  17,225,390
   276,590 WNS Holdings Ltd. (India) ADR*  18,935,352
   440,834 Zurn Elkay Water Solutions Corp.  12,352,169
        186,033,454
  Information Technology — 19.0%  
   120,089 Advanced Energy Industries, Inc.  12,383,578
   498,147 Box, Inc. - Class A*  12,060,139
 1,712,750 CCC Intelligent Solutions Holdings, Inc.*  22,865,212
   262,370 Ciena Corp.*  12,399,606
   181,325 CommVault Systems, Inc.*  12,259,383
   203,667 Crane NXT Co.  11,317,775
   435,327 Digi International, Inc.*  11,753,829
   141,751 Onto Innovation, Inc.*  18,076,088
   562,940 PowerSchool Holdings, Inc. - Class A*  12,756,220
    90,690 Qualys, Inc.*  13,834,759
    71,526 SPS Commerce, Inc.*  12,203,051
   288,200 Tower Semiconductor Ltd. (Israel)*   7,078,192
   342,245 Verint Systems, Inc.*   7,868,213
        166,856,045
  Health Care — 15.5%  
   178,760 Bio-Techne Corp.  12,168,193
    24,370 Chemed Corp.  12,665,089
   178,252 Encompass Health Corp.  11,971,404
   190,983 Ensign Group, Inc. (The)  17,748,050
   251,097 Globus Medical, Inc. - Class A*  12,466,966
   182,354 Merit Medical Systems, Inc.*  12,586,073
   550,534 Premier, Inc. - Class A  11,836,481
   357,493 Progyny, Inc.*  12,161,912
   170,367 QuidelOrtho Corp.*  12,443,606
   442,820 R1 RCM, Inc.*   6,673,298
 1,019,221 Veradigm, Inc.*  13,392,564
        136,113,636
  Consumer Discretionary — 13.4%  
   394,496 Frontdoor, Inc.*  12,067,633
   388,140 Gentex Corp.  12,630,076
   111,425 Grand Canyon Education, Inc.*  13,023,354
   258,853 Malibu Boats, Inc. - Class A*  12,688,974
   130,603 Oxford Industries, Inc.  12,554,866
   189,957 Skyline Champion Corp.*  12,104,060
   569,616 Steven Madden Ltd.  18,096,700
   129,460 Texas Roadhouse, Inc.  12,441,106
    48,927 TopBuild Corp.*  12,310,033
        117,916,802
  Financials — 9.7%  
   413,399 Atlantic Union Bankshares Corp.  11,897,623
    89,070 Evercore, Inc. - Class A  12,280,972
 1,652,851 FNB Corp.  17,834,262
Shares       Market
Value
     
  Financials — (Continued)  
   580,652 Home BancShares, Inc. $ 12,158,853
   183,885 SouthState Corp.  12,386,493
   466,100 Webster Financial Corp.  18,788,491
         85,346,694
  Real Estate — 9.4%  
   311,057 Agree Realty Corp. REIT  17,182,789
   774,630 Apple Hospitality REIT, Inc.  11,882,824
   122,764 Colliers International Group, Inc. (Canada)  11,693,271
   726,598 COPT Defense Properties REIT  17,314,830
   557,761 Kite Realty Group Trust REIT  11,947,241
   360,229 STAG Industrial, Inc. REIT  12,431,503
         82,452,458
  Materials — 4.2%  
   148,628 Ashland, Inc.  12,139,935
    74,042 Eagle Materials, Inc.  12,329,474
   289,963 Silgan Holdings, Inc.  12,500,305
         36,969,714
  Communication Services — 2.7%  
   690,591 Cargurus, Inc.*  12,099,154
   189,491 Ziff Davis, Inc.*  12,068,682
         24,167,836
  Energy — 2.7%  
   235,190 Cactus, Inc. - Class A  11,808,890
   324,768 ChampionX Corp.  11,568,236
         23,377,126
  Total Common Stocks $859,233,765
  Short-Term Investment Fund — 3.0%  
26,882,022 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω  26,882,022
  Total Investment Securities—100.7%
(Cost $723,726,526)
$886,115,787
  Liabilities in Excess of Other Assets — (0.7%)  (6,282,108)
  Net Assets — 100.0% $879,833,679
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
ADR – American Depositary Receipt
REIT – Real Estate Investment Trust
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $859,233,765 $— $— $859,233,765
Short-Term Investment Fund 26,882,022 26,882,022
Total $886,115,787 $— $— $886,115,787
See accompanying Notes to Portfolios of Investments.
 
16

Portfolio of Investments
Touchstone Value Fund – September 30, 2023 (Unaudited)
Shares       Market
Value
  Common Stocks — 99.3%  
  Financials — 17.4%  
   41,303 American Express Co. $  6,161,995
  159,709 American International Group, Inc.   9,678,365
  274,603 Fidelity National Information Services, Inc.  15,177,308
   90,820 M&T Bank Corp.  11,484,189
   79,965 Northern Trust Corp.   5,555,968
   87,832 The Allstate Corp.   9,785,363
  212,474 US Bancorp   7,024,390
  301,053 Wells Fargo & Co.  12,301,026
   29,569 Willis Towers Watson PLC   6,178,738
         83,347,342
  Health Care — 13.6%  
  504,745 Avantor, Inc.*  10,640,025
  131,031 CVS Health Corp.   9,148,585
   30,279 Elevance Health, Inc.  13,184,082
   91,092 Medtronic PLC   7,137,969
  123,035 Merck & Co., Inc.  12,666,453
   24,433 UnitedHealth Group, Inc.  12,318,874
         65,095,988
  Energy — 13.5%  
  325,285 Enbridge, Inc. (Canada)  10,796,209
  372,087 Halliburton Co.  15,069,524
   83,364 Hess Corp.  12,754,692
  101,813 Phillips 66  12,232,832
   60,291 Pioneer Natural Resources  13,839,799
         64,693,056
  Consumer Discretionary — 11.0%  
  148,008 Aptiv PLC*  14,592,109
  276,994 Aramark   9,611,692
  320,022 Las Vegas Sands Corp.  14,669,809
   32,086 Lithia Motors, Inc.   9,475,958
   49,669 Wynn Resorts Ltd.   4,589,912
         52,939,480
  Industrials — 10.6%  
   52,827 AECOM   4,386,754
   66,766 JB Hunt Transport Services, Inc.  12,586,726
  205,857 Southwest Airlines Co.   5,572,549
   75,058 Stanley Black & Decker, Inc.   6,273,348
  587,458 Vertiv Holdings Co.  21,853,437
         50,672,814
  Information Technology — 9.7%  
   18,169 Broadcom, Inc.  15,090,808
   84,886 Cognizant Technology Solutions Corp. - Class A   5,750,177
   88,228 Oracle Corp.   9,345,110
   89,429 QUALCOMM, Inc.   9,931,985
   66,005 Skyworks Solutions, Inc.   6,507,433
         46,625,513
  Materials — 7.3%  
   51,913 Air Products & Chemicals, Inc.  14,712,144
  314,823 Axalta Coating Systems Ltd. *   8,468,739
Shares       Market
Value
     
  Materials — (Continued)  
   85,780 CRH PLC $  4,694,740
   98,721 DuPont de Nemours, Inc.   7,363,599
         35,239,222
  Communication Services — 6.7%  
   62,794 Alphabet, Inc. - Class A*   8,217,223
  383,870 Comcast Corp. - Class A  17,020,796
   55,525 Electronic Arts, Inc.   6,685,210
         31,923,229
  Real Estate — 3.4%  
   18,378 Public Storage REIT   4,842,971
  402,313 VICI Properties, Inc. REIT  11,707,308
         16,550,279
  Utilities — 3.1%  
   76,704 Entergy Corp.   7,095,120
  102,881 Pinnacle West Capital Corp.   7,580,272
         14,675,392
  Consumer Staples — 3.0%  
  155,493 Philip Morris International, Inc.  14,395,542
  Total Common Stocks $476,157,857
  Short-Term Investment Fund — 1.7%  
8,060,485 Dreyfus Government Cash Management, Institutional Shares, 5.22%∞Ω   8,060,485
  Total Investment Securities—101.0%
(Cost $407,903,205)
$484,218,342
  Liabilities in Excess of Other Assets — (1.0%)  (4,916,078)
  Net Assets — 100.0% $479,302,264
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2023.
Portfolio Abbreviations:
PLC – Public Limited Company
REIT – Real Estate Investment Trust
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $476,157,857 $— $— $476,157,857
Short-Term Investment Fund 8,060,485 8,060,485
Total $484,218,342 $— $— $484,218,342
See accompanying Notes to Portfolios of Investments.
 
17

Notes to Portfolios of Investments
September 30, 2023 (Unaudited)
Security valuation and fair value measurements — U.S. generally accepted accounting principles (“U.S. GAAP”) defines fair value as the price the Funds would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date.  All investments in securities are recorded at their fair value. The Funds define the term “market value”, as used throughout this report, as the estimated fair value. The Funds use various methods to measure fair value of their portfolio securities on a recurring basis. U.S. GAAP fair value measurement standards require disclosure of a hierarchy that prioritizes inputs to valuation methods. These inputs are summarized in the three broad levels listed below:
•  Level 1 − quoted prices in active markets for identical securities
•  Level 2 − other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
•  Level 3 − significant unobservable inputs (including a Fund's own assumptions in determining the fair value of investments)
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
The aggregate value by input level, as of September 30, 2023, for each Fund’s investments, is included in each Fund’s Portfolio of Investments, which also includes a breakdown of the Fund’s investments by geographic, or sector allocation. The Funds did not hold or transfer any Level 3 categorized securities during the period ended September 30, 2023.
Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the hierarchy.
The Funds' portfolio securities are valued as of the close of the regular session of trading on the New York Stock Exchange (“NYSE”) (currently 4:00 p.m., Eastern Time or at the time as of which the NYSE establishes official closing prices). Portfolio securities traded on stock exchanges are valued at the last reported sale price, official close price, or last bid price if no sales are reported. Portfolio securities quoted by NASDAQ are valued at the NASDAQ Official Closing Price (“NOCP”) or from the primary exchange on which the security trades. To the extent these securities are actively traded, they are categorized in Level 1 of the fair value hierarchy. Options and futures are valued at the last quoted sales price. If there is no such reported sale on the valuation date, long option positions are valued at the most recent bid price, and short option positions are valued at the most recent ask price on the valuation date and are categorized in Level 1. Shares of mutual funds in which the Funds invest are valued at their respective net asset value (“NAV”) as reported by the underlying funds and are categorized in Level 1.
Debt securities held by the Funds are valued at their evaluated bid by an independent pricing service or at their last broker-quoted bid prices as obtained from one or more of the major market makers for such securities. Independent pricing services use information provided by market makers or estimates of market values through accepted market modeling conventions. Observable inputs to the models may include prepayment speeds, pricing spread, yield, trade information, dealer quotes, market color, cash flow models, the securities’ terms and conditions, among others, and are generally categorized in Level 2. Investments in asset-backed and mortgage-backed securities are valued by independent pricing services using models that consider estimated cash flows of each tranche of the security, establish a benchmark yield and develop an estimated tranche specific spread to the benchmark yield based on the unique attributes of the tranche, and are generally categorized in Level 2. Debt securities with remaining maturities of 60 days or less may be valued at amortized cost, provided such amount approximates market value and are categorized in Level 2. While this method provides consistency in valuation (and may only be used if it approximates market value), it may result in periods during which fair value, as determined by amortized cost, is higher or lower than the price that would be received if the Fund sold the investment.
Securities mainly traded on a non-U.S. exchange or denominated in foreign currencies are generally valued according to the preceding closing values on that exchange, translated to U.S. dollars using currency exchange rates as of the close of regular trading on the NYSE, and are generally categorized in Level 1. However, if an event that may change the value of a security occurs after the time that the closing value on the non-U.S. exchange was determined, but before the close of regular trading on the NYSE, the security may be priced based on fair value and is generally categorized in Level 2. This may cause the value of the security, if held on the books of a Fund, to be different from the closing value on the non-U.S. exchange and may affect the calculation of that Fund’s NAV. The Funds may use fair value pricing under the following circumstances, among others:
•  If the value of a security has been materially affected by events occurring before the Funds' pricing time but after the close of the primary markets on which the security is traded.
•  If the exchange on which a portfolio security is principally traded closes early or if trading in a particular portfolio security was halted during the day and did not resume prior to the Funds' NAV calculation.
•  If a security is so thinly traded that reliable market quotations are unavailable due to infrequent trading.
•  If the validity of market quotations is not reliable.
Securities held by the Funds that do not have readily available market quotations, significant observable inputs, or securities for which the available market quotations are not reliable, are priced at their estimated fair value using procedures approved by the Funds’ Board of Trustees and are generally categorized in Level 3.
18

Notes to Portfolios of Investments (Unaudited) (Continued)
Each Fund is an investment company that follows the accounting and reporting guidance of Accounting Standards Codification Topic 946 applicable to investment companies.
Security transactions—Security transactions are reflected for financial reporting purposes as of the trade date.
19