0001752724-22-213360.txt : 20220923 0001752724-22-213360.hdr.sgml : 20220923 20220923090634 ACCESSION NUMBER: 0001752724-22-213360 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220731 FILED AS OF DATE: 20220923 DATE AS OF CHANGE: 20220923 PERIOD START: 20221031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TRANSAMERICA FUNDS CENTRAL INDEX KEY: 0000787623 IRS NUMBER: 000000000 FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04556 FILM NUMBER: 221260746 BUSINESS ADDRESS: STREET 1: 1801 CALIFORNIA STREET STREET 2: SUITE 5200 CITY: DENVER STATE: CO ZIP: 80202 BUSINESS PHONE: 720-482-8836 MAIL ADDRESS: STREET 1: 1801 CALIFORNIA STREET STREET 2: SUITE 5200 CITY: DENVER STATE: CO ZIP: 80202 FORMER COMPANY: FORMER CONFORMED NAME: TRANSAMERICA IDEX MUTUAL FUNDS DATE OF NAME CHANGE: 20040301 FORMER COMPANY: FORMER CONFORMED NAME: IDEX MUTUAL FDS DATE OF NAME CHANGE: 20010504 FORMER COMPANY: FORMER CONFORMED NAME: IDEX MUTUAL FUNDS / DATE OF NAME CHANGE: 20010423 0000787623 S000025951 Transamerica Core Bond C000077984 I2 NPORT-P 1 primary_doc.xml NPORT-P false 0000787623 XXXXXXXX S000025951 C000077984 TRANSAMERICA FUNDS 811-04556 0000787623 54930088ZHZE1VMYEY52 1801 CALIFORNIA STREET SUITE 5200 DENVER 80202 720-493-4256 Transamerica Core Bond S000025951 549300X2MQP8EJ7WT185 2022-10-31 2022-07-31 N 1097497365.23 144898574.54 952598790.69 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 1807757.66000000 0.00000000 0.00000000 2725.62000000 USD ACMBS UST Fannie Mae B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association REMICS 31394FVB8 9555.16000000 PA USD 9177.41000000 0.000963407689 Long ABS-MBS USGSE US N 2 2035-09-25 None 0.00000000 N N N N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 Bank of America Corp. 06051GKP3 725000.00000000 PA USD 727387.58000000 0.076358230464 Long DBT CORP US N 2 2028-04-27 Fixed 4.38000000 N N N N N Credit Suisse First Boston Mortgage Securities N/A Credit Suisse First Boston Mortgage Securities Corp. 22541QCV2 42901.99000000 PA USD 41058.93000000 0.004310201776 Long ABS-MBS CORP US N 2 2033-06-25 Variable 3.29000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association 31409TVS4 20089.11000000 PA USD 21047.78000000 0.002209511517 Long ABS-MBS USGSE US N 2 2036-10-01 Fixed 6.50000000 N N N N N N FHLMC Structured Pass Through Securities S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corp. 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REMICS 31392PBJ3 22807.50000000 PA USD 24998.70000000 0.002624263251 Long ABS-MBS USGSE US N 2 2032-06-15 Fixed 6.50000000 N N N N N N UTAH ACQUISITION SUB 254900JOFV74IJ7H9933 Utah Acquisition Sub, Inc. 62854AAN4 185000.00000000 PA USD 175094.05000000 0.018380671034 Long DBT CORP US N 2 2026-06-15 Fixed 3.95000000 N N N N N N MIZUHO FINANCIAL GROUP 353800CI5L6DDAN5XZ33 Mizuho Financial Group, Inc. 60687YBP3 410000.00000000 PA USD 362428.77000000 0.038046318507 Long DBT CORP JP N 2 2027-05-22 Fixed 1.23000000 N N N N N N Vericrest Opportunity Loan Transferee N/A VOLT CI LLC 92873EAA8 823501.25000000 PA USD 773935.62000000 0.081244656991 Long ABS-MBS CORP US N 2 2051-05-25 Variable 1.99000000 N N N N N N Progress Residential Trust N/A Progress Residential Trust 74333EAE2 2000000.00000000 PA USD 1785714.40000000 0.187457134887 Long ABS-O CORP US N 2 2038-05-17 Fixed 2.41000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association REMICS 31398GKH1 130247.84000000 PA USD 16478.46000000 0.001729842632 Long ABS-MBS USGSE US N 2 2040-01-25 Floating 3.99000000 N N N N N N FMC GMSR Issuer Trust N/A FMC GMSR Issuer Trust 30259RAK1 1440000.00000000 PA USD 1301841.22000000 0.136662069354 Long ABS-MBS CORP US N 2 2026-10-25 Variable 3.85000000 N N N N N N OFFICE PPTY INCOME TRST N/A Office Properties Income Trust 67623CAE9 420000.00000000 PA USD 333662.94000000 0.035026597058 Long DBT CORP US N 2 2027-02-01 Fixed 2.40000000 N N N N N N BANK OF AMERICA CORP 9DJT3UXIJIZJI4WXO774 Bank of America Corp. 06051GJS9 185000.00000000 PA USD 167848.30000000 0.017620041264 Long DBT CORP US N 2 2027-07-22 Fixed 1.73000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 Government National Mortgage Association REMICS 38375LV72 21845.47000000 PA USD 1134.73000000 0.000119119403 Long ABS-MBS USGA US N 2 2037-11-20 Floating 4.42000000 N N N N N N WAMU Mortgage Pass-Through Certificates N/A WaMu Mortgage Pass-Through Certificates Trust 92922FQK7 48474.19000000 PA USD 47057.75000000 0.004939933837 Long ABS-MBS CORP US N 2 2034-06-25 Fixed 5.50000000 N N N N N N LSEGA FINANCING PLC 2138009YFYTGEHZNNZ09 LSEGA Financing PLC 50220PAC7 765000.00000000 PA USD 687264.37000000 0.072146256820 Long DBT CORP GB N 2 2028-04-06 Fixed 2.00000000 N N N N N MASSACHUSETTS ELECTRIC 549300XN8GZY5U5O1B96 Massachusetts Electric Co. 575634AT7 201000.00000000 PA USD 172090.73000000 0.018065394548 Long DBT CORP US N 2 2046-08-15 Fixed 4.00000000 N N N N N N SAUDI INTERNATIONAL BOND 635400FMICXSM3SI3H65 Saudi Government International Bonds 80413TAV1 272000.00000000 PA USD 239355.10000000 0.025126538301 Long DBT NUSS SA N 2 2033-02-02 Fixed 2.25000000 N N N N N N MASTR Alternative Loans Trust N/A MASTR Alternative Loan Trust 576434KV5 10194.76000000 PA USD 9875.96000000 0.001036738666 Long ABS-MBS CORP US N 2 2033-12-25 Fixed 6.00000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 Government National Mortgage Association REMICS 38373A2C9 106114.64000000 PA USD 9335.78000000 0.000980032736 Long ABS-MBS USGA US N 2 2039-07-16 Floating 3.94000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corp. REMICS 31397TP89 22772.16000000 PA USD 1550.27000000 0.000162741126 Long ABS-MBS USGSE US N 2 2038-05-15 Floating 4.05000000 N N N N N N PROV ST JOSEPH HLTH OBL N/A Providence St Joseph Health Obligated Group 743756AB4 168000.00000000 PA USD 162469.58000000 0.017055404813 Long DBT CORP US N 2 2026-10-01 Fixed 2.75000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corp. REMICS 31392PAG0 27337.72000000 PA USD 28963.92000000 0.003040516142 Long ABS-MBS USGSE US N 2 2032-06-15 Fixed 6.50000000 N N N N N N Countrywide Home Loans N/A CHL Mortgage Pass-Through Trust 12669FVR1 77583.74000000 PA USD 75797.86000000 0.007956955303 Long ABS-MBS CORP US N 2 2034-06-25 Fixed 5.50000000 N N N N N N DANSKE BANK A/S MAES062Z21O4RZ2U7M96 Danske Bank AS 23636AAY7 996000.00000000 PA USD 984345.72000000 0.103332665296 Long DBT CORP DK N 2 2023-12-08 Fixed 1.17000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association REMICS 31359TCU0 24958.20000000 PA USD 25797.11000000 0.002708077130 Long ABS-MBS USGSE US N 2 2028-04-18 Fixed 6.50000000 N N N N N N GSR Mortgage Loan Trust N/A GSR Mortgage Loan Trust 36242D7M9 5408.06000000 PA USD 5108.49000000 0.000536268789 Long ABS-MBS CORP US N 2 2035-06-25 Floating 2.76000000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810RG5 3000000.00000000 PA USD 3057421.86000000 0.320955882988 Long DBT UST US N 2 2044-05-15 Fixed 3.38000000 N N N N N N FannieMae Whole Loan N/A Federal National Mortgage Association REMIC Trust 31398F7A3 204241.26000000 PA USD 217177.98000000 0.022798473200 Long ABS-MBS USGSE US N 2 2049-12-25 Fixed 6.00000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association REMICS 31395NWL7 17268.79000000 PA USD 15296.47000000 0.001605762063 Long ABS-MBS USGSE US N 2 2036-07-25 None 0.00000000 N N N N N N Fanniemae-Aces B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association-Aces 3136AX7E9 1333224.82000000 PA USD 1328500.14000000 0.139460615842 Long ABS-MBS USGSE US N 2 2027-06-25 Variable 3.07000000 N N N N N N FannieMae Whole Loan 549300BSAMDSBFTN8J04 Federal National Mortgage Association REMIC Trust 31396L5A4 57273.03000000 PA USD 56758.95000000 0.005958326900 Long ABS-MBS USGSE US N 2 2046-10-25 Floating 2.50000000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810SS8 4275000.00000000 PA USD 3122252.92000000 0.327761587618 Long DBT UST US N 2 2050-11-15 Fixed 1.63000000 N N N N N N ACC Trust N/A ACC Trust 00091HAB8 3000000.00000000 PA USD 2897826.60000000 0.304202212759 Long ABS-O CORP US N 2 2025-02-20 Fixed 2.55000000 N N N N N N Impac Secured Assets Corp. N/A Impac Secured Assets CMN Owner Trust 45254TMS0 23575.04000000 PA USD 20027.81000000 0.002102439158 Long ABS-MBS CORP US N 2 2033-08-25 Fixed 5.50000000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association 31411SM94 29045.10000000 PA USD 29765.69000000 0.003124682740 Long ABS-MBS USGSE US N 2 2037-02-01 Floating 1.93000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corp. REMICS 3137ADLC9 1000000.00000000 PA USD 1082042.30000000 0.113588460385 Long ABS-MBS USGSE US N 2 2041-07-15 Fixed 5.00000000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corp. REMICS 31393WSZ3 98560.58000000 PA USD 103658.47000000 0.010881650387 Long ABS-MBS USGSE US N 2 2033-07-15 Fixed 5.00000000 N N N N N N Macquarie Group Ltd ACMHD8HWFMFUIQQ8Y590 Macquarie Group Ltd. 55608JAP3 600000.00000000 PA USD 607653.71000000 0.063789049066 Long DBT CORP AU N 2 2030-01-15 Fixed 5.03000000 N N N N N N CONTL AIRLINES 2012-2 A N/A Continental Airlines Pass-Through Trust 210795QB9 146950.05000000 PA USD 141046.63000000 0.014806509453 Long DBT CORP US N 2 2024-10-29 Fixed 4.00000000 N N N N N N SOCIETE GENERALE O2RNE8IBXP4R0TD8PU41 Societe Generale SA 83368RBD3 1220000.00000000 PA USD 989943.58000000 0.103920306185 Long DBT CORP FR N 2 2032-06-09 Fixed 2.89000000 N N N N N N Fanniemae-Aces B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association-Aces 3136AWWF0 1170924.58000000 PA USD 1163926.43000000 0.122184327901 Long ABS-MBS USGSE US N 2 2029-04-25 Variable 3.12000000 N N N N N N Government National Mortgage Association 549300M8ZYFG0OCMTT87 Government National Mortgage Association 3617XDQN6 460567.86000000 PA USD 459476.36000000 0.048233985229 Long ABS-MBS USGA US N 2 2052-02-20 Fixed 3.50000000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 U.S. Treasury STRIPS Coupon 912833LY4 500000.00000000 PA USD 453986.80000000 0.047657713240 Long DBT UST US N 2 2026-02-15 None 0.00000000 N N N N N UBS GROUP AG 549300SZJ9VS8SGXAN81 UBS Group AG 90351DAB3 200000.00000000 PA USD 200915.56000000 0.021091309580 Long DBT CORP CH N 2 2025-09-24 Fixed 4.13000000 N N N N N N Countrywide Home Loans N/A CHL Mortgage Pass-Through Trust 12669FPC1 83939.77000000 PA USD 79987.35000000 0.008396751159 Long ABS-MBS CORP US N 2 2034-04-25 Fixed 5.75000000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 U.S. Treasury STRIPS Coupon 912833LN8 4570000.00000000 PA USD 4477883.88000000 0.470070288117 Long DBT UST US N 2 2023-05-15 None 0.00000000 N N N N N 2022-08-30 TRANSAMERICA FUNDS Vincent Toner Vincent Toner Treasurer XXXX NPORT-EX 2 NPORT_IXFU_16057732_0722.htm FOR VALIDATION PURPOSES ONLY - [397013.IXFU]

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS

At July 31, 2022

(unaudited)

 

     Principal      Value  
ASSET-BACKED SECURITIES - 10.8%  

Academic Loan Funding Trust

     

Series 2013-1A, Class A,

     

1-Month LIBOR + 0.80%,
3.06% (A), 12/26/2044 (B)

     $  327,082        $  318,764  

ACC Trust

     

Series 2022-1, Class B,

     

2.55%, 02/20/2025 (B)

     3,000,000        2,897,827  

Accelerated LLC

     

Series 2021-1H, Class B,

     

1.90%, 10/20/2040 (B)

     850,735        779,483  

American Homes 4 Rent Trust

     

Series 2014-SFR2, Class A,

     

3.79%, 10/17/2036 (B)

     1,907,053        1,899,745  

Series 2014-SFR2, Class E,

     

6.23%, 10/17/2036 (B)

     200,000        203,008  

Series 2014-SFR3, Class D,

     

5.04%, 12/17/2036 (B)

     270,000        270,399  

Series 2014-SFR3, Class E,

     

6.42%, 12/17/2036 (B)

     725,000        743,048  

Series 2015-SFR1, Class A,

     

3.47%, 04/17/2052 (B)

     865,480        853,248  

Series 2015-SFR1, Class D,

     

4.41%, 04/17/2052 (B)

     1,800,000        1,789,720  

Series 2015-SFR1, Class E,

     

5.64%, 04/17/2052 (B)

     825,000        836,811  

Series 2015-SFR2, Class E,

     

6.07%, 10/17/2052 (B)

     1,155,000        1,188,247  

American Tower Trust #1

     

Series 2013, Class 2A,

     

3.07%, 03/15/2048 (B)

     400,000        397,848  

AMSR Trust

     

Series 2020-SFR4, Class A,

     

1.36%, 11/17/2037 (B)

     2,000,000        1,871,226  

Business Jet Securities LLC

     

Series 2020-1A, Class A,

     

2.98%, 11/15/2035 (B)

     346,586        322,075  

Series 2021-1A, Class A,

     

2.16%, 04/15/2036 (B)

     692,758        630,814  

BXG Receivables Note Trust

     

Series 2022-A, Class C,

     

5.35%, 09/28/2037 (B)

     2,239,556        2,210,256  

Camillo Trust

     

Series 2016-SFR1,

     

5.00%, 12/05/2023 (A) (C)

     1,790,425        1,788,053  

CarNow Auto Receivables Trust

     

Series 2021-1A, Class A,

     

0.97%, 10/15/2024 (B)

     196,471        195,952  

Series 2021-2A, Class B,

     

1.30%, 01/15/2026 (B)

     1,650,000        1,610,427  

Cars Net Lease Mortgage Notes

     

Series 2020-1A, Class A3,

     

3.10%, 12/15/2050 (B)

     421,635        393,832  

Carvana Auto Receivables Trust

     

Series 2019-3A, Class D,

     

3.04%, 04/15/2025 (B)

     2,770,000        2,747,267  

CFIN Issuer LLC

     

Series 2022-RTL1, Class AA,

     

3.25%, 02/16/2026 (B)

     2,100,000        2,068,500  

Chase Funding Trust

     

Series 2003-2, Class 2A2,

     

1-Month LIBOR + 0.56%,
2.82% (A), 02/25/2033

     371,969        351,404  

Series 2003-6, Class 1A5,

     

4.89% (A), 11/25/2034 (D)

     105,995        102,946  
     Principal      Value  
ASSET-BACKED SECURITIES (continued)  

Consumer Receivables Asset Investment Trust

     

Series 2021-1, Class A1X,

     

3-Month LIBOR + 3.00%,
5.20% (A), 03/24/2023 (B)

     $   1,162,686        $   1,154,685  

COOF Securitization Trust Ltd., Interest Only STRIPS

     

Series 2014-1, Class A,

     

2.88% (A), 06/25/2040 (B)

     133,427        11,193  

CoreVest American Finance Ltd.

     

Series 2019-1, Class B,

     

3.88%, 03/15/2052 (B)

     1,300,000        1,278,139  

Series 2019-3, Class A,

     

2.71%, 10/15/2052 (B)

     822,878        795,732  

Credito Real USA Auto Receivables Trust

     

Series 2021-1A, Class A,

     

1.35%, 02/16/2027 (B)

     343,817        335,252  

Diamond Resorts Owner Trust

     

Series 2018-1, Class A,

     

3.70%, 01/21/2031 (B)

     281,257        280,340  

Diversified ABS Phase III LLC

     

4.88%, 04/28/2039 (E) (F)

     2,267,614        2,199,585  

Drive Auto Receivables Trust

     

Series 2019-1, Class D,

     

4.09%, 06/15/2026

     418,336        418,312  

DT Auto Owner Trust

     

Series 2019-4A, Class C,

     

2.73%, 07/15/2025 (B)

     700,511        699,514  

Series 2021-2A, Class C,

     

1.10%, 02/16/2027 (B)

     761,000        724,461  

Series 2022-2A, Class B,

     

4.22%, 01/15/2027 (B)

     2,400,000        2,385,701  

Exeter Automobile Receivables Trust

     

Series 2022-2A, Class D,

     

4.56%, 07/17/2028

     2,100,000        2,024,886  

Series 2022-3A, Class D,

     

6.76%, 09/15/2028

     2,200,000        2,239,694  

FirstKey Homes Trust

     

Series 2020-SFR2, Class E,

     

2.67%, 10/19/2037 (B)

     2,000,000        1,842,746  

Series 2021-SFR1, Class E1,

     

2.39%, 08/17/2038 (B)

     3,220,000        2,833,059  

Series 2022-SFR1, Class D,

     

5.20%, 05/17/2039 (B)

     915,000        905,181  

Flagship Credit Auto Trust

     

Series 2018-3, Class C,

     

3.79%, 12/16/2024 (B)

     376,607        376,618  

Series 2019-4, Class D,

     

3.12%, 01/15/2026 (B)

     2,200,000        2,134,292  

Series 2021-4, Class C,

     

1.96%, 12/15/2027 (B)

     1,700,000        1,591,410  

Series 2022-2, Class D,

     

5.80%, 04/17/2028 (B)

     2,318,000        2,315,940  

FMC GMSR Issuer Trust

     

Series 2022-GT1, Class A,

     

6.19%, 04/25/2027 (B)

     1,900,000        1,797,909  

Foundation Finance Trust

     

Series 2019-1A, Class A,

     

3.86%, 11/15/2034 (B)

     242,448        239,457  

Series 2020-1A, Class A,

     

3.54%, 07/16/2040 (B)

     773,264        761,293  

FTF Funding II LLC

     

Series 2019-1, Class A,

     

Zero Coupon, 08/15/2024

     105,597        104,541  
 

 

Transamerica Funds

    Page    1         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
ASSET-BACKED SECURITIES (continued)  

GLS Auto Receivables Issuer Trust

     

Series 2022-1A, Class D,

     

3.97%, 01/18/2028 (B)

     $   2,500,000        $   2,375,747  

Gold Key Resorts LLC

     

Series 2014-A, Class A,

     

3.22%, 03/17/2031 (B)

     12,013        11,834  

Golden Bear LLC

     

Series 2016-R, Class R,

     

5.65%, 09/20/2047 (B)

     28,358        28,125  

Goodgreen Trust

     

Series 2017, Class R1,

     

5.00%, 10/20/2051 (B)

     895,754        806,179  

Series 2017-1A, Class A,

     

3.74%, 10/15/2052 (B)

     137,178        131,782  

Series 2017-2A, Class A,

     

3.26%, 10/15/2053 (B)

     707,103        657,452  

Series 2019-2A, Class A,

     

2.76%, 04/15/2055 (B)

     849,544        779,687  

Hero Funding Trust

     

Series 2016-3A, Class A1,

     

3.08%, 09/20/2042 (B)

     129,615        126,684  

Series 2017-1A, Class A2,

     

4.46%, 09/20/2047 (B)

     380,362        375,154  

Series 2017-3A, Class A2,

     

3.95%, 09/20/2048 (B)

     495,351        482,023  

Hilton Grand Vacations Trust

     

Series 2017-AA, Class A,

     

2.66%, 12/26/2028 (B)

     82,752        81,477  

KGS-Alpha SBA COOF Trust, Interest Only STRIPS

     

Series 2012-2, Class A,

     

0.79% (A), 08/25/2038 (B)

     669,964        13,224  

Series 2014-2, Class A,

     

2.94% (A), 04/25/2040 (B)

     125,450        9,305  

LL ABS Trust

     

Series 2022-1A, Class B,

     

5.05%, 11/15/2029 (B)

     1,900,000        1,867,644  

LP LMS Asset Securitization Trust

     

Series 2021-2A, Class A,

     

1.75%, 01/15/2029 (B)

     1,218,386        1,196,958  

Mariner Finance Issuance Trust

     

Series 2019-AA, Class B,

     

3.51%, 07/20/2032 (B)

     1,335,000        1,286,354  

Mercury Financial Credit Card Master Trust

     

Series 2021-1A, Class A,

     

1.54%, 03/20/2026 (B)

     900,000        854,215  

NRZ Excess Spread-Collateralized Notes

     

Series 2020-PLS1, Class A,

     

3.84%, 12/25/2025 (B)

     989,798        940,255  

Series 2021-FHT1, Class A,

     

3.10%, 07/25/2026 (B)

     2,344,486        2,146,540  

Series 2021-GNT1, Class A,

     

3.47%, 11/25/2026 (B)

     1,465,804        1,365,681  

Octane Receivables Trust

     

Series 2022-1A, Class D,

     

5.54%, 02/20/2029 (B)

     2,000,000        1,951,163  

Oportun Funding XIV LLC

     

Series 2021-A, Class A,

     

1.21%, 03/08/2028 (B)

     505,000        472,902  

Oportun Issuance Trust

     

Series 2021-B, Class A,

     

1.47%, 05/08/2031 (B)

     900,000        834,996  

P4 SFR Holdco LLC

     

Series 2019-STL, Class A,

     

7.25%, 10/11/2026 (E) (F)

     1,400,000        1,400,000  
     Principal      Value  
ASSET-BACKED SECURITIES (continued)  

PNMAC GMSR Issuer Trust

     

Series 2022-GT1, Class A,

     

1-Month SOFR + 4.25%,
5.76% (A), 05/25/2027 (B)

     $   1,700,000        $   1,690,515  

PRET LLC

     

Series 2021-NPL6, Class A1,

     

2.49% (A), 07/25/2051 (B) (D)

     1,282,518        1,201,440  

Progress Residential Trust

     

Series 2021-SFR1, Class A,

     

1.05%, 04/17/2038 (B)

     4,176,303        3,750,774  

Series 2021-SFR2, Class D,

     

2.20%, 04/19/2038 (B)

     2,000,000        1,803,505  

Series 2021-SFR4, Class E1,

     

2.41%, 05/17/2038 (B)

     2,000,000        1,785,714  

Series 2021-SFR5, Class E2,

     

2.36%, 07/17/2038 (B)

     2,750,000        2,378,150  

Series 2021-SFR6, Class E1,

     

2.43%, 07/17/2038 (B)

     2,365,000        2,067,201  

Series 2021-SFR9, Class E1,

     

2.81%, 11/17/2040 (B)

     1,845,000        1,513,891  

Series 2022-SFR1, Class E1,

     

3.93%, 02/17/2041 (B)

     1,700,000        1,530,973  

Series 2022-SFR2, Class E1,

     

4.55%, 04/17/2027

     1,500,000        1,398,135  

Series 2022-SFR3, Class E1,

     

5.20%, 04/17/2039 (B)

     1,660,000        1,576,712  

Renew Financial

     

Series 2017-1A, Class A,

     

3.67%, 09/20/2052 (B)

     176,092        166,002  

Santander Drive Auto Receivables Trust

     

Series 2022-4, Class A3,

     

4.14%, 02/16/2027

     2,389,000        2,394,839  

SART

     

Series 2018-1,

     

4.75%, 06/15/2025

     599,988        593,028  

SCF Equipment Leasing LLC

     

Series 2022-1A, Class D,

     

3.79%, 11/20/2031 (B)

     1,045,000        991,503  

Sierra Timeshare Receivables Funding LLC

     

Series 2022-1A, Class C,

     

3.94%, 10/20/2038 (B)

     897,896        867,357  

Structured Asset Securities Corp. Mortgage Pass-Through Certificates

     

Series 2004-6XS, Class A5A,

     

6.03% ( A), 03/25/2034 (D)

     29,797        29,410  

Series 2004-6XS, Class A5B,

     

6.05% (A), 03/25/2034 (D)

     29,797        29,410  

Structured Asset Securities Corp. Pass-Through Certificates

     

Series 2002-AL1, Class A2,

     

3.45%, 02/25/2032

     18,209        16,334  

Tricolor Auto Securitization Trust

     

Series 2020-1A, Class A,

     

4.88%, 11/15/2026 (B)

     198,914        198,771  

Series 2021-1A, Class D,

     

1.92%, 05/15/2026 (B)

     330,000        320,399  

US Auto Funding

     

Series 2021-1A, Class A,

     

0.79%, 07/15/2024 (B)

     444,624        442,038  

VSE VOI Mortgage LLC

     

Series 2018-A, Class A,

     

3.56%, 02/20/2036 (B)

     224,448        220,625  
     

 

 

 

Total Asset-Backed Securities
(Cost $106,915,546)

 

     103,082,947  
     

 

 

 
 

 

Transamerica Funds

    Page    2         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES - 26.0%  
Aerospace & Defense - 0.7%  

Airbus SE

     

3.15%, 04/10/2027 (B)

     $   327,000        $   320,137  

3.95%, 04/10/2047 (B)

     150,000        136,262  

BAE Systems PLC

     

1.90%, 02/15/2031 (B)

     201,000        168,310  

3.00%, 09/15/2050 (B)

     239,000        182,945  

Boeing Co.

     

1.17%, 02/04/2023

     435,000        429,555  

1.43%, 02/04/2024

     885,000        851,309  

1.95%, 02/01/2024

     600,000        581,847  

2.20%, 02/04/2026

     540,000        503,441  

2.75%, 02/01/2026

     580,000        553,750  

3.10%, 05/01/2026 (G)

     400,000        383,479  

3.25%, 03/01/2028

     366,000        340,267  

4.88%, 05/01/2025

     290,000        294,290  

5.15%, 05/01/2030

     450,000        454,848  

L3 Harris Technologies, Inc.

     

1.80%, 01/15/2031

     350,000        289,084  

Precision Castparts Corp.

     

4.20%, 06/15/2035

     150,000        153,336  

Raytheon Technologies Corp.

     

3.20%, 03/15/2024

     140,000        139,720  

3.75%, 11/01/2046

     285,000        254,753  

4.15%, 05/15/2045

     148,000        139,003  

4.50%, 06/01/2042

     542,000        544,809  
     

 

 

 
        6,721,145  
     

 

 

 
Airlines - 0.8%  

Air Canada Pass-Through Trust

     

3.30%, 07/15/2031 (B)

     544,712        497,912  

3.55%, 07/15/2031 (B)

     322,056        285,055  

3.60%, 09/15/2028 (B)

     416,924        393,661  

4.13%, 11/15/2026 (B)

     412,651        385,050  

American Airlines Pass-Through Trust

     

3.00%, 04/15/2030

     751,268        681,540  

3.65%, 02/15/2029

     637,815        590,431  

3.70%, 04/01/2028

     120,058        104,291  

British Airways Pass-Through Trust

     

3.30%, 06/15/2034 (B)

     398,555        365,094  

4.13%, 03/20/2033 (B)

     402,725        366,775  

Continental Airlines Pass-Through Trust

     

4.00%, 04/29/2026

     146,950        141,047  

Spirit Airlines Pass-Through Trust

     

3.38%, 08/15/2031

     215,898        198,175  

United Airlines Pass-Through Trust

     

2.88%, 04/07/2030

     457,273        415,405  

3.10%, 04/07/2030

     392,492        334,440  

3.50%, 09/01/2031

     569,551        525,045  

3.65%, 07/07/2027

     141,354        126,522  

3.70%, 09/01/2031

     542,033        480,282  

4.15%, 02/25/2033

     537,524        509,819  

4.55%, 08/25/2031

     478,308        415,537  

4.60%, 09/01/2027

     680,442        624,905  
     

 

 

 
        7,440,986  
     

 

 

 
Auto Components - 0.0% (H)  

Lear Corp.

     

2.60%, 01/15/2032 (G)

     185,000        149,617  
     

 

 

 
Automobiles - 0.2%  

General Motors Co.

     

6.13%, 10/01/2025

     210,000        220,745  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Automobiles (continued)  

Nissan Motor Co. Ltd.

     

3.52%, 09/17/2025 (B)

     $   788,000        $   757,410  

4.35%, 09/17/2027 (B)

     1,253,000        1,176,409  
     

 

 

 
        2,154,564  
     

 

 

 
Banks - 4.6%  

ABN AMRO Bank NV

     

Fixed until 12/13/2028,
2.47% (A), 12/13/2029 (B)

     300,000        261,177  

AIB Group PLC

     

4.75%, 10/12/2023 (B)

     700,000        698,864  

Australia & New Zealand Banking Group Ltd.

     

4.40%, 05/19/2026 (B)

     200,000        199,172  

Banco Nacional de Panama

     

2.50%, 08/11/2030 (B)

     300,000        239,250  

Banco Santander SA

     

Fixed until 09/14/2026,
1.72% (A), 09/14/2027

     1,400,000        1,235,973  

1.85%, 03/25/2026

     400,000        363,836  

2.75%, 05/28/2025 - 12/03/2030

     800,000        733,754  

Bank of America Corp.

     

Fixed until 07/22/2026,
1.73% (A), 07/22/2027

     185,000        167,848  

Fixed until 06/14/2028,
2.09% (A), 06/14/2029

     946,000        835,562  

Fixed until 02/04/2027,
2.55% (A), 02/04/2028

     1,445,000        1,342,477  

Fixed until 10/20/2031,
2.57% (A), 10/20/2032

     655,000        562,439  

Fixed until 04/22/2031,
2.69% (A), 04/22/2032

     670,000        583,644  

Fixed until 02/04/2032,
2.97% (A), 02/04/2033

     1,540,000        1,366,630  

Fixed until 01/23/2025,
3.37% (A), 01/23/2026

     200,000        195,340  

Fixed until 04/24/2027,
3.71% (A), 04/24/2028

     1,300,000        1,266,210  

Fixed until 03/05/2028,
3.97% (A), 03/05/2029

     354,000        346,517  

Fixed until 04/27/2027,
4.38% (A), 04/27/2028 (G)

     725,000        727,388  

Bank of Ireland Group PLC

     

Fixed until 09/30/2026,
2.03% (A), 09/30/2027 (B)

     337,000        294,070  

Bank of Montreal

     

Fixed until 12/15/2027,
3.80% (A), 12/15/2032

     223,000        209,310  

Barclays PLC

     

Fixed until 12/10/2023,
1.01% (A), 12/10/2024

     604,000        574,964  

Fixed until 11/24/2031,
2.89% (A), 11/24/2032

     246,000        201,663  

BNP Paribas SA

     

Fixed until 09/15/2028,
2.16% (A), 09/15/2029 (B)

     775,000        656,554  

Fixed until 06/09/2025,
2.22% (A), 06/09/2026 (B)

     230,000        214,845  

Fixed until 08/12/2030,
2.59% (A), 08/12/2035 (B)

     530,000        425,186  

Fixed until 01/13/2030,
3.05% (A), 01/13/2031 (B)

     385,000        338,684  

BPCE SA

     

1.00%, 01/20/2026 (B)

     435,000        390,505  

Fixed until 10/06/2025,
1.65% (A), 10/06/2026 (B)

     309,000        279,086  
 

 

Transamerica Funds

    Page    3         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Banks (continued)  

BPCE SA (continued)

     

Fixed until 01/20/2031, 2.28% (A), 01/20/2032 (B)

     $   1,315,000        $   1,058,944  

4.63%, 07/11/2024 (B)

     600,000        597,621  

Citigroup, Inc.

     

Fixed until 11/03/2031,
2.52% (A), 11/03/2032

     285,000        241,659  

Fixed until 05/01/2031,
2.56% (A), 05/01/2032

     1,145,000        986,265  

Fixed until 01/25/2032,
3.06% (A), 01/25/2033

     281,000        249,478  

Fixed until 04/24/2024,
3.35% (A), 04/24/2025

     175,000        172,933  

Fixed until 10/27/2027,
3.52% (A), 10/27/2028

     400,000        382,310  

Fixed until 07/24/2027,
3.67% (A), 07/24/2028

     575,000        556,904  

Fixed until 05/24/2027,
4.66% (A), 05/24/2028

     545,000        552,267  

Commonwealth Bank of Australia

     

3.31%, 03/11/2041 (B)

     250,000        194,400  

Credit Agricole SA

     

Fixed until 01/26/2026, 1.25% (A), 01/26/2027 (B)

     656,000        583,939  

Fixed until 06/16/2025, 1.91% (A), 06/16/2026 (B)

     360,000        332,727  

2.81%, 01/11/2041 (B)

     250,000        178,723  

4.38%, 03/17/2025 (B)

     200,000        197,510  

Danske Bank AS

     

Fixed until 12/08/2022, 1.17% (A), 12/08/2023 (B)

     996,000        984,346  

Fifth Third Bank NA

     

3.85%, 03/15/2026

     200,000        198,371  

HSBC Holdings PLC

     

Fixed until 09/22/2027,
2.01% (A), 09/22/2028

     1,805,000        1,572,028  

Fixed until 08/17/2028,
2.21% (A), 08/17/2029

     330,000        281,882  

Fixed until 08/18/2030,
2.36% (A), 08/18/2031

     580,000        477,933  

Fixed until 05/18/2023,
3.95% (A), 05/18/2024

     1,007,000        1,003,454  

Fixed until 03/13/2027,
4.04% (A), 03/13/2028

     1,103,000        1,062,103  

HSBC USA, Inc.

     

3.75%, 05/24/2024

     200,000        200,132  

ING Groep NV

     

Fixed until 07/01/2025,
1.40% (A), 07/01/2026 (B)

     410,000        374,564  

Fixed until 04/01/2026,
1.73% (A), 04/01/2027

     225,000        203,013  

KeyCorp

     

4.15%, 10/29/2025

     235,000        236,998  

Fixed until 06/01/2032,
4.79% (A), 06/01/2033

     115,000        117,075  

Lloyds Banking Group PLC

     

Fixed until 05/11/2026,
1.63% (A), 05/11/2027

     330,000        296,994  

Fixed until 11/07/2022,
2.91% (A), 11/07/2023

     200,000        199,219  

Fixed until 03/18/2025,
3.51% (A), 03/18/2026

     395,000        386,465  

4.38%, 03/22/2028

     339,000        335,053  

4.58%, 12/10/2025

     200,000        197,166  

Macquarie Bank Ltd.

     

Fixed until 03/03/2031,
3.05% (A), 03/03/2036 (B)

     405,000        327,697  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Banks (continued)  

Mitsubishi UFJ Financial Group, Inc.

     

2.05%, 07/17/2030

     $   700,000        $   586,948  

3.75%, 07/18/2039

     430,000        382,527  

Mizuho Financial Group, Inc.

     

Fixed until 05/22/2026,
1.23% (A), 05/22/2027

     410,000        362,429  

Fixed until 05/25/2025,
2.23% (A), 05/25/2026

     680,000        640,023  

Fixed until 09/13/2029,
2.87% (A), 09/13/2030

     402,000        355,541  

National Australia Bank Ltd.

     

Fixed until 08/02/2029,
3.93% (A), 08/02/2034 (B)

     590,000        542,486  

NatWest Group PLC

     

Fixed until 05/22/2027,
3.07% (A), 05/22/2028

     1,100,000        1,017,425  

Fixed until 11/01/2024,
3.75% (A), 11/01/2029

     554,000        532,058  

Fixed until 03/22/2024,
4.27% (A), 03/22/2025

     255,000        252,739  

Fixed until 05/08/2029,
4.45% (A), 05/08/2030

     370,000        356,462  

4.80%, 04/05/2026

     462,000        466,662  

Fixed until 05/18/2028,
4.89% (A), 05/18/2029

     200,000        197,756  

Nordea Bank Abp

     

1.50%, 09/30/2026 (B)

     228,000        206,486  

Santander UK Group Holdings PLC

     

Fixed until 06/14/2026,
1.67% (A), 06/14/2027

     320,000        283,190  

Societe Generale SA

     

Fixed until 12/14/2025,
1.49% (A), 12/14/2026 (B)

     870,000        774,516  

Fixed until 06/09/2026,
1.79% (A), 06/09/2027 (B)

     310,000        273,887  

Fixed until 06/09/2031,
2.89% (A), 06/09/2032 (B)

     1,220,000        989,944  

3.00%, 01/22/2030 (B)

     391,000        338,216  

4.25%, 04/14/2025 (B)

     270,000        266,092  

Standard Chartered PLC

     

Fixed until 01/14/2026,
1.46% (A), 01/14/2027 (B)

     255,000        227,642  

Fixed until 03/15/2028,
4.87% (A), 03/15/2033 (B)

     300,000        285,315  

Sumitomo Mitsui Financial Group, Inc.

     

3.04%, 07/16/2029

     1,240,000        1,132,084  

UniCredit SpA

     

Fixed until 06/03/2026,
1.98% (A), 06/03/2027 (B)

     1,500,000        1,299,941  

Fixed until 06/19/2027,
5.86% (A), 06/19/2032 (B)

     200,000        178,101  

Wells Fargo & Co.

     

Fixed until 06/17/2026,
3.20% (A), 06/17/2027

     1,070,000        1,027,802  

4.30%, 07/22/2027

     246,000        249,437  

4.40%, 06/14/2046

     165,000        150,974  

4.65%, 11/04/2044

     184,000        172,992  

4.90%, 11/17/2045

     202,000        195,874  

Westpac Banking Corp.

     

3.13%, 11/18/2041

     371,000        286,599  
     

 

 

 
        43,483,269  
     

 

 

 
 

 

Transamerica Funds

    Page    4         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Beverages - 0.4%  

Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc.

     

4.70%, 02/01/2036

     $   684,000        $   704,531  

Anheuser-Busch InBev Finance, Inc.

     

4.70%, 02/01/2036

     154,000        158,622  

Anheuser-Busch InBev Worldwide, Inc.

     

4.44%, 10/06/2048

     820,000        775,920  

4.60%, 06/01/2060

     225,000        215,840  

Coca-Cola Femsa SAB de CV

     

1.85%, 09/01/2032

     280,000        230,261  

2.75%, 01/22/2030

     835,000        765,945  

Constellation Brands, Inc.

     

4.40%, 11/15/2025

     185,000        188,389  

5.25%, 11/15/2048

     110,000        113,872  

Fomento Economico Mexicano SAB de CV

     

3.50%, 01/16/2050

     550,000        433,950  

Keurig Dr. Pepper, Inc.

     

3.43%, 06/15/2027 (G)

     120,000        117,502  

4.42%, 05/25/2025

     123,000        125,274  
     

 

 

 
        3,830,106  
     

 

 

 
Biotechnology - 0.4%  

AbbVie, Inc.

     

3.20%, 11/21/2029

     438,000        417,457  

4.05%, 11/21/2039

     1,420,000        1,344,783  

4.40%, 11/06/2042

     425,000        410,036  

4.45%, 05/14/2046

     165,000        159,022  

4.55%, 03/15/2035

     300,000        306,940  

Biogen, Inc.

     

2.25%, 05/01/2030

     303,000        259,270  

Gilead Sciences, Inc.

     

2.60%, 10/01/2040

     545,000        422,110  

Regeneron Pharmaceuticals, Inc.

     

1.75%, 09/15/2030

     920,000        770,708  
     

 

 

 
        4,090,326  
     

 

 

 
Building Products - 0.1%  

Masco Corp.

     

2.00%, 10/01/2030

     160,000        131,244  

6.50%, 08/15/2032

     410,000        456,536  
     

 

 

 
        587,780  
     

 

 

 
Capital Markets - 2.0%  

Blackstone Secured Lending Fund

     

3.65%, 07/14/2023

     415,000        409,135  

Credit Suisse Group AG

     

Fixed until 02/02/2026,
1.31% (A), 02/02/2027 (B)

     1,255,000        1,081,431  

Fixed until 06/05/2025,
2.19% (A), 06/05/2026 (B)

     250,000        227,728  

Fixed until 01/12/2028,
3.87% (A), 01/12/2029 (B)

     765,000        693,792  

4.28%, 01/09/2028 (B)

     400,000        372,880  

Deutsche Bank AG

     

Fixed until 11/24/2025,
2.13% (A), 11/24/2026

     335,000        300,165  

3.70%, 05/30/2024

     700,000        690,999  

Goldman Sachs Group, Inc.

     

Fixed until 03/09/2026,
1.43% (A), 03/09/2027

     1,085,000        980,272  

Fixed until 10/21/2026,
1.95% (A), 10/21/2027

     330,000        301,158  

Fixed until 01/27/2031,
1.99% (A), 01/27/2032

     290,000        239,175  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Capital Markets (continued)  

Goldman Sachs Group, Inc. (continued)

 

Fixed until 07/21/2031,
2.38% (A), 07/21/2032

     $   1,575,000        $   1,329,721  

Fixed until 02/24/2027,
2.64% (A), 02/24/2028

     493,000        459,424  

Fixed until 09/29/2024,
3.27% (A), 09/29/2025

     725,000        710,858  

3.50%, 01/23/2025

     178,000        177,605  

Fixed until 06/05/2027,
3.69% (A), 06/05/2028

     1,727,000        1,684,691  

Fixed until 04/23/2038,
4.41% (A), 04/23/2039

     450,000        430,884  

6.75%, 10/01/2037

     200,000        234,279  

Macquarie Group Ltd.

     

Fixed until 01/15/2029,
5.03% (A), 01/15/2030 (B)

     600,000        607,654  

Morgan Stanley

     

Fixed until 02/13/2031,
1.79% (A), 02/13/2032

     1,000,000        818,537  

Fixed until 04/28/2025,
2.19% (A), 04/28/2026

     450,000        428,477  

3.13%, 07/27/2026

     239,000        232,812  

Fixed until 07/22/2027,
3.59% (A), 07/22/2028

     1,067,000        1,032,467  

Fixed until 01/24/2028,
3.77% (A), 01/24/2029

     278,000        270,615  

4.30%, 01/27/2045

     280,000        265,260  

Fixed until 01/23/2029,
4.43% (A), 01/23/2030

     457,000        458,425  

5.00%, 11/24/2025

     260,000        267,856  

Nomura Holdings, Inc.

     

2.65%, 01/16/2025

     603,000        580,969  

2.68%, 07/16/2030

     370,000        311,231  

Northern Trust Corp.

     

Fixed until 05/08/2027,
3.38% (A), 05/08/2032

     343,000        325,937  

UBS Group AG

     

Fixed until 08/15/2022,
2.86% (A), 08/15/2023 (B)

     200,000        199,945  

Fixed until 08/13/2029,
3.13% (A), 08/13/2030 (B)

     1,520,000        1,369,675  

4.13%, 09/24/2025 (B)

     200,000        200,916  

Fixed until 05/12/2025,
4.49% (A), 05/12/2026 (B)

     910,000        915,263  
     

 

 

 
        18,610,236  
     

 

 

 
Chemicals - 0.2%  

Albemarle Corp.

     

5.45%, 12/01/2044

     200,000        197,559  

DuPont de Nemours, Inc.

     

5.32%, 11/15/2038

     145,000        149,243  

International Flavors & Fragrances, Inc.

     

5.00%, 09/26/2048

     187,000        180,592  

LYB International Finance III LLC

     

1.25%, 10/01/2025

     128,000        117,353  

Nutrien Ltd.

     

4.13%, 03/15/2035

     450,000        433,965  

5.00%, 04/01/2049

     140,000        143,059  

Sherwin-Williams Co.

     

2.30%, 05/15/2030

     500,000        435,750  

Union Carbide Corp.

     

7.75%, 10/01/2096

     210,000        261,749  
     

 

 

 
        1,919,270  
     

 

 

 
Commercial Services & Supplies - 0.1%  

ERAC USA Finance LLC

     

5.63%, 03/15/2042 (B)

     141,000        147,846  
 

 

Transamerica Funds

    Page    5         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Commercial Services & Supplies (continued)  

Triton Container International Ltd.

     

1.15%, 06/07/2024 (B)

     $   450,000        $   420,912  

3.15%, 06/15/2031 (B)

     1,000,000        814,145  
     

 

 

 
        1,382,903  
     

 

 

 
Construction & Engineering - 0.1%  

Quanta Services, Inc.

     

2.35%, 01/15/2032

     440,000        355,865  

2.90%, 10/01/2030

     640,000        553,034  

Toll Brothers Finance Corp.

     

4.88%, 03/15/2027

     500,000        492,634  
     

 

 

 
        1,401,533  
     

 

 

 
Construction Materials - 0.0% (H)  

CRH America, Inc.

     

5.13%, 05/18/2045 (B)

     200,000        202,249  

Martin Marietta Materials, Inc.

     

3.45%, 06/01/2027

     276,000        267,088  
     

 

 

 
        469,337  
     

 

 

 
Consumer Finance - 0.6%  

Capital One Financial Corp.

     

Fixed until 11/02/2026,
1.88% (A), 11/02/2027

     76,000        67,822  

3.20%, 02/05/2025

     123,000        120,313  

3.75%, 07/28/2026

     124,000        121,678  

4.20%, 10/29/2025

     150,000        150,117  

General Motors Financial Co., Inc.

     

1.20%, 10/15/2024

     225,000        210,449  

1.25%, 01/08/2026

     747,000        673,950  

2.35%, 01/08/2031

     149,000        120,180  

2.70%, 06/10/2031

     360,000        294,997  

3.80%, 04/07/2025

     495,000        488,497  

4.35%, 01/17/2027

     180,000        176,811  

Hyundai Capital America

     

1.15%, 11/10/2022 (B)

     649,000        644,613  

1.30%, 01/08/2026 (B)

     180,000        161,983  

1.50%, 06/15/2026 (B)

     515,000        460,584  

1.80%, 01/10/2028 (B)

     345,000        296,133  

3.00%, 02/10/2027 (B) (G)

     215,000        200,655  

Mercedes-Benz Finance North America LLC

     

3.35%, 02/22/2023 (B)

     300,000        299,666  

S&P Global, Inc.

     

2.90%, 03/01/2032 (B)

     393,000        365,048  

4.25%, 05/01/2029 (B) (G)

     519,000        530,896  

Stellantis Finance US, Inc.

     

2.69%, 09/15/2031 (B) (G)

     312,000        255,980  

Volkswagen Group of America Finance LLC

     

1.63%, 11/24/2027 (B)

     310,000        270,412  
     

 

 

 
        5,910,784  
     

 

 

 
Containers & Packaging - 0.1%  

Graphic Packaging International LLC

     

1.51%, 04/15/2026 (B)

     457,000        416,928  

International Paper Co.

     

8.70%, 06/15/2038

     120,000        158,102  

WRKCo, Inc.

     

3.00%, 09/15/2024

     350,000        341,871  

3.75%, 03/15/2025

     300,000        298,960  
     

 

 

 
        1,215,861  
     

 

 

 
Diversified Consumer Services - 0.2%  

Ford Foundation

     

2.82%, 06/01/2070

     190,000        136,074  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Diversified Consumer Services (continued)  

Nationwide Building Society

     

1.50%, 10/13/2026 (B)

     $   1,000,000        $   900,198  

Pepperdine University

     

3.30%, 12/01/2059

     310,000        233,091  

SART

     

4.75%, 07/15/2024 (E)

     515,625        509,437  

University of Southern California

     

3.23%, 10/01/2120

     310,000        212,075  
     

 

 

 
        1,990,875  
     

 

 

 
Diversified Financial Services - 0.9%  

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

     

1.75%, 01/30/2026

     189,000        167,295  

2.45%, 10/29/2026

     230,000        204,599  

2.88%, 08/14/2024 (G)

     345,000        330,927  

3.00%, 10/29/2028

     1,285,000        1,125,573  

3.30%, 01/30/2032

     270,000        227,149  

4.50%, 09/15/2023

     1,225,000        1,223,557  

6.50%, 07/15/2025

     150,000        154,845  

Aviation Capital Group LLC

     

3.88%, 05/01/2023 (B)

     300,000        297,006  

5.50%, 12/15/2024 (B)

     558,000        553,663  

Brookfield Finance, Inc.

     

3.90%, 01/25/2028

     211,000        205,322  

4.70%, 09/20/2047

     50,000        45,265  

China Southern Power Grid International Finance BVI Co. Ltd.

     

3.50%, 05/08/2027 (B)

     480,000        479,069  

GE Capital International Funding Unlimited Co.

     

4.42%, 11/15/2035

     1,757,000        1,737,376  

Jefferies Group LLC

     

6.25%, 01/15/2036

     260,000        265,817  

6.45%, 06/08/2027

     133,000        143,767  

LSEGA Financing PLC

     

2.00%, 04/06/2028 (B) (G)

     765,000        687,264  

Mitsubishi HC Capital, Inc.

     

2.65%, 09/19/2022 (B)

     294,000        293,560  
     

 

 

 
        8,142,054  
     

 

 

 
Diversified Telecommunication Services - 0.6%  

AT&T, Inc.

     

1.65%, 02/01/2028

     140,000        124,487  

2.25%, 02/01/2032

     940,000        800,897  

2.30%, 06/01/2027

     1,600,000        1,492,123  

3.50%, 06/01/2041

     972,000        821,642  

3.55%, 09/15/2055

     211,000        164,689  

Deutsche Telekom AG

     

3.63%, 01/21/2050 (B)

     164,000        136,459  

GTP Acquisition Partners I LLC

     

3.48%, 06/15/2050 (B)

     81,000        78,942  

Verizon Communications, Inc.

     

2.10%, 03/22/2028

     440,000        402,242  

2.36%, 03/15/2032

     290,000        250,924  

2.65%, 11/20/2040

     1,427,000        1,104,728  
     

 

 

 
        5,377,133  
     

 

 

 
Electric Utilities - 1.7%  

AEP Texas, Inc.

     

6.65%, 02/15/2033

     100,000        118,063  

AEP Transmission Co. LLC

     

3.15%, 09/15/2049

     165,000        130,466  

Alabama Power Co.

     

5.60%, 03/15/2033

     160,000        178,090  
 

 

Transamerica Funds

    Page    6         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Electric Utilities (continued)  

Appalachian Power Co.

     

6.38%, 04/01/2036

     $   200,000        $   222,152  

Arizona Public Service Co.

     

5.05%, 09/01/2041

     303,000        297,096  

Baltimore Gas & Electric Co.

     

2.90%, 06/15/2050

     240,000        184,851  

3.50%, 08/15/2046

     688,000        591,332  

Duke Energy Carolinas LLC

     

6.00%, 12/01/2028

     500,000        554,664  

6.45%, 10/15/2032

     100,000        116,054  

Duke Energy Indiana LLC

     

3.75%, 05/15/2046

     1,200,000        1,043,141  

Duquesne Light Holdings, Inc.

     

3.62%, 08/01/2027 (B)

     460,000        433,247  

Edison International

     

5.75%, 06/15/2027

     165,000        172,923  

EDP Finance BV

     

3.63%, 07/15/2024 (B)

     300,000        298,395  

Emera US Finance LP

     

4.75%, 06/15/2046

     350,000        324,606  

Enel Finance International NV

     

3.50%, 04/06/2028 (B)

     265,000        245,506  

Entergy Louisiana LLC

     

2.90%, 03/15/2051

     460,000        351,838  

3.05%, 06/01/2031

     189,000        176,362  

Evergy Metro, Inc.

     

5.30%, 10/01/2041

     500,000        529,185  

Fells Point Funding Trust

     

3.05%, 01/31/2027 (B)

     955,000        899,621  

Florida Power & Light Co.

     

5.13%, 06/01/2041

     112,000        117,993  

5.40%, 09/01/2035

     100,000        111,090  

Fortis, Inc.

     

3.06%, 10/04/2026

     620,000        591,814  

ITC Holdings Corp.

     

2.95%, 05/14/2030 (B)

     230,000        208,302  

Massachusetts Electric Co.

     

4.00%, 08/15/2046 (B)

     201,000        172,091  

Mid-Atlantic Interstate Transmission LLC

     

4.10%, 05/15/2028 (B)

     195,000        194,615  

Nevada Power Co.

     

5.38%, 09/15/2040

     52,000        54,767  

New England Power Co.

     

3.80%, 12/05/2047 (B) (G)

     140,000        121,399  

New York State Electric & Gas Corp.

     

3.25%, 12/01/2026 (B)

     151,000        148,198  

Northern States Power Co.

     

6.20%, 07/01/2037

     89,000        107,817  

NRG Energy, Inc.

     

2.00%, 12/02/2025 (B)

     310,000        284,183  

2.45%, 12/02/2027 (B)

     345,000        304,107  

4.45%, 06/15/2029 (B)

     375,000        344,934  

OGE Energy Corp.

     

0.70%, 05/26/2023

     225,000        218,845  

Ohio Edison Co.

     

6.88%, 07/15/2036

     150,000        182,976  

Oklahoma Gas & Electric Co.

     

0.55%, 05/26/2023

     275,000        268,759  

Pacific Gas & Electric Co.

     

1.70%, 11/15/2023

     290,000        280,304  

2.95%, 03/01/2026

     205,000        187,702  

3.25%, 02/16/2024

     1,020,000        995,832  

3.45%, 07/01/2025

     1,825,000        1,746,331  

3.75%, 08/15/2042

     130,000        92,344  

4.30%, 03/15/2045

     220,000        165,783  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Electric Utilities (continued)  

PG&E Wildfire Recovery Funding LLC

     

4.26%, 06/01/2038

     $   315,000        $   311,920  

5.10%, 06/01/2054

     395,000        428,919  

5.21%, 12/01/2049

     205,000        218,272  

Public Service Electric & Gas Co.

     

3.65%, 09/01/2042

     138,000        124,497  

Southern California Edison Co.

     

4.05%, 03/15/2042

     300,000        259,214  

5.50%, 03/15/2040

     130,000        133,491  

Southern Power Co.

     

5.15%, 09/15/2041

     260,000        259,392  

Toledo Edison Co.

     

6.15%, 05/15/2037

     200,000        234,843  

Tri-State Generation & Transmission
Association, Inc.

     

4.25%, 06/01/2046

     124,000        111,787  

Wisconsin Electric Power Co.

     

3.65%, 12/15/2042

     144,000        121,502  

Xcel Energy, Inc.

     

4.80%, 09/15/2041

     116,000        113,476  
     

 

 

 
        16,085,091  
     

 

 

 
Electrical Equipment - 0.1%  

Eaton Corp.

     

7.63%, 04/01/2024

     500,000        530,793  
     

 

 

 
Electronic Equipment, Instruments & Components - 0.1%  

Arrow Electronics, Inc.

     

3.25%, 09/08/2024

     175,000        171,932  

3.88%, 01/12/2028 (G)

     133,000        128,702  

Corning, Inc.

     

5.35%, 11/15/2048 (G)

     230,000        238,952  

Tyco Electronics Group SA

     

2.50%, 02/04/2032

     400,000        362,028  
     

 

 

 
        901,614  
     

 

 

 
Energy Equipment & Services - 0.1%  

Baker Hughes Holdings LLC

     

5.13%, 09/15/2040

     200,000        202,632  

Halliburton Co.

     

7.60%, 08/15/2096 (B)

     160,000        170,363  

Schlumberger Holdings Corp.

     

3.90%, 05/17/2028 (B)

     170,000        166,083  

Texas Eastern Transmission LP

     

2.80%, 10/15/2022 (B)

     462,000        460,937  

3.50%, 01/15/2028 (B)

     60,000        57,627  
     

 

 

 
        1,057,642  
     

 

 

 
Entertainment - 0.2%  

Activision Blizzard, Inc.

     

1.35%, 09/15/2030

     405,000        338,257  

Netflix, Inc.

     

4.38%, 11/15/2026

     800,000        799,968  

Walt Disney Co.

     

7.70%, 10/30/2025

     300,000        337,129  

8.88%, 04/26/2023

     200,000        209,313  
     

 

 

 
        1,684,667  
     

 

 

 
Equity Real Estate Investment Trusts - 1.4%  

Alexandria Real Estate Equities, Inc.

     

4.00%, 02/01/2050

     419,000        359,597  

American Tower Corp.

     

1.50%, 01/31/2028

     530,000        460,080  

1.88%, 10/15/2030

     490,000        399,806  

2.10%, 06/15/2030

     320,000        267,822  

2.95%, 01/15/2051

     141,000        100,903  

3.10%, 06/15/2050

     214,000        158,232  

3.38%, 10/15/2026

     281,000        271,061  

5.00%, 02/15/2024

     139,000        141,471  
 

 

Transamerica Funds

    Page    7         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Equity Real Estate Investment Trusts (continued)  

Boston Properties LP

     

3.20%, 01/15/2025

     $   228,000        $   224,093  

3.65%, 02/01/2026

     408,000        403,004  

Brixmor Operating Partnership LP

     

2.25%, 04/01/2028

     320,000        278,705  

2.50%, 08/16/2031

     170,000        136,937  

3.85%, 02/01/2025

     400,000        394,644  

Corporate Office Properties LP

     

2.00%, 01/15/2029

     140,000        114,624  

2.75%, 04/15/2031

     523,000        428,008  

Digital Realty Trust LP

     

3.70%, 08/15/2027

     154,000        150,401  

Equinix, Inc.

     

2.90%, 11/18/2026

     510,000        485,363  

Essex Portfolio LP

     

2.65%, 03/15/2032

     400,000        342,679  

GAIF Bond Issuer Pty Ltd.

     

3.40%, 09/30/2026 (B)

     353,000        342,300  

Healthcare Realty Holdings LP

     

2.00%, 03/15/2031

     280,000        224,956  

Healthpeak Properties, Inc.

     

2.13%, 12/01/2028

     575,000        510,308  

3.50%, 07/15/2029

     447,000        421,936  

Life Storage LP

     

2.40%, 10/15/2031

     200,000        164,679  

4.00%, 06/15/2029

     522,000        492,481  

National Retail Properties, Inc.

     

3.50%, 10/15/2027

     150,000        143,374  

3.60%, 12/15/2026

     218,000        212,192  

Office Properties Income Trust

     

2.40%, 02/01/2027

     420,000        333,663  

3.45%, 10/15/2031

     190,000        135,512  

Physicians Realty LP

     

2.63%, 11/01/2031

     220,000        183,492  

Public Storage

     

1.95%, 11/09/2028

     262,000        232,878  

2.25%, 11/09/2031

     220,000        191,519  

Realty Income Corp.

     

3.25%, 01/15/2031

     285,000        266,287  

3.88%, 04/15/2025

     290,000        291,673  

Regency Centers LP

     

2.95%, 09/15/2029

     420,000        377,402  

Sabra Health Care LP

     

3.20%, 12/01/2031

     375,000        308,065  

Safehold Operating Partnership LP

     

2.85%, 01/15/2032 (G)

     673,000        556,602  

Scentre Group Trust 1 / Scentre Group Trust 2

     

3.50%, 02/12/2025 (B)

     500,000        489,170  

UDR, Inc.

     

2.10%, 08/01/2032

     330,000        265,138  

3.20%, 01/15/2030

     500,000        453,596  

Ventas Realty LP

     

3.75%, 05/01/2024

     300,000        298,241  

3.85%, 04/01/2027

     203,000        199,080  

Welltower, Inc.

     

3.10%, 01/15/2030

     330,000        299,925  

4.25%, 04/01/2026

     250,000        251,583  

WP Carey, Inc.

     

2.25%, 04/01/2033

     545,000        434,670  
     

 

 

 
        13,198,152  
     

 

 

 
Food & Staples Retailing - 0.4%  

7-Eleven, Inc.

     

1.30%, 02/10/2028 (B)

     921,000        786,176  

2.50%, 02/10/2041 (B)

     225,000        163,034  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Food & Staples Retailing (continued)  

Alimentation Couche-Tard, Inc.

     

3.44%, 05/13/2041 (B) (G)

     $   370,000        $   289,058  

3.63%, 05/13/2051 (B)

     410,000        311,250  

3.80%, 01/25/2050 (B)

     445,000        348,893  

CK Hutchison International 16 Ltd.

     

2.75%, 10/03/2026 (B)

     350,000        339,962  

CVS Pass-Through Trust

     

4.70%, 01/10/2036 (B)

     437,347        429,670  

5.77%, 01/10/2033 (B)

     126,144        133,240  

5.93%, 01/10/2034 (B)

     452,003        474,224  

Kroger Co.

     

8.00%, 09/15/2029

     175,000        213,933  
     

 

 

 
        3,489,440  
     

 

 

 
Food Products - 0.4%  

Bunge Ltd. Finance Corp.

     

2.75%, 05/14/2031

     635,000        548,295  

Campbell Soup Co.

     

2.38%, 04/24/2030 (G)

     700,000        611,666  

3.13%, 04/24/2050

     188,000        143,938  

Cargill, Inc.

     

1.70%, 02/02/2031 (B)

     500,000        424,503  

Conagra Brands, Inc.

     

5.30%, 11/01/2038

     130,000        128,357  

Kraft Heinz Foods Co.

     

4.38%, 06/01/2046

     313,000        277,519  

4.63%, 10/01/2039

     400,000        367,526  

Mead Johnson Nutrition Co.

     

4.13%, 11/15/2025

     288,000        292,334  

Smithfield Foods, Inc.

     

3.00%, 10/15/2030 (B)

     700,000        589,908  

Tyson Foods, Inc.

     

4.88%, 08/15/2034

     100,000        104,832  
     

 

 

 
        3,488,878  
     

 

 

 
Gas Utilities - 0.1%  

Atmos Energy Corp.

     

0.63%, 03/09/2023

     165,000        162,304  

4.13%, 03/15/2049

     570,000        541,797  

Boston Gas Co.

     

4.49%, 02/15/2042 (B)

     330,000        305,688  

Southern Co. Gas Capital Corp.

     

3.25%, 06/15/2026

     85,000        82,908  

5.88%, 03/15/2041

     109,000        117,487  
     

 

 

 
        1,210,184  
     

 

 

 
Health Care Equipment & Supplies - 0.1%  

DH Europe Finance II SARL

     

3.25%, 11/15/2039

     134,000        118,114  

Zimmer Biomet Holdings, Inc.

     

2.60%, 11/24/2031

     493,000        422,540  
     

 

 

 
        540,654  
     

 

 

 
Health Care Providers & Services - 0.9%  

Advocate Health & Hospitals Corp.

     

2.21%, 06/15/2030

     310,000        273,220  

Aetna, Inc.

     

4.50%, 05/15/2042

     153,000        143,558  

6.75%, 12/15/2037

     305,000        358,914  

Bon Secours Mercy Health, Inc.

     

3.21%, 06/01/2050

     345,000        262,436  

Children’s Hospital

     

2.93%, 07/15/2050

     340,000        250,473  

Children’s Hospital Corp.

     

2.59%, 02/01/2050

     300,000        215,410  
 

 

Transamerica Funds

    Page    8         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Health Care Providers & Services (continued)  

Cigna Corp.

     

4.50%, 02/25/2026

     $   367,000        $   377,645  

CommonSpirit Health

     

1.55%, 10/01/2025

     240,000        223,245  

2.78%, 10/01/2030

     240,000        210,899  

Cottage Health Obligated Group

     

3.30%, 11/01/2049

     360,000        298,759  

CVS Health Corp.

     

5.05%, 03/25/2048

     1,125,000        1,144,938  

Elevance Health, Inc.

     

4.10%, 03/01/2028

     425,000        430,951  

4.38%, 12/01/2047

     110,000        107,202  

Hartford HealthCare Corp.

     

3.45%, 07/01/2054

     780,000        655,057  

HCA, Inc.

     

3.50%, 07/15/2051

     180,000        134,252  

4.63%, 03/15/2052 (B)

     200,000        176,002  

5.13%, 06/15/2039

     420,000        399,547  

5.25%, 06/15/2026

     500,000        507,980  

Mayo Clinic

     

4.13%, 11/15/2052

     198,000        192,195  

Memorial Health Services

     

3.45%, 11/01/2049

     720,000        607,637  

NYU Langone Hospitals

     

3.38%, 07/01/2055

     300,000        234,826  

Providence St. Joseph Health Obligated Group

     

2.75%, 10/01/2026

     168,000        162,470  

Texas Health Resources

     

4.33%, 11/15/2055

     175,000        176,292  

UnitedHealth Group, Inc.

     

4.63%, 07/15/2035

     234,000        249,476  

Universal Health Services, Inc.

     

2.65%, 10/15/2030 (B)

     618,000        505,770  

Yale-New Haven Health Services Corp.

     

2.50%, 07/01/2050

     390,000        270,281  
     

 

 

 
        8,569,435  
     

 

 

 
Hotels, Restaurants & Leisure - 0.1%  

McDonald’s Corp.

     

4.70%, 12/09/2035

     465,000        487,889  

Starbucks Corp.

     

3.75%, 12/01/2047

     600,000        518,674  
     

 

 

 
        1,006,563  
     

 

 

 
Household Durables - 0.1%  

Lennar Corp.

     

4.50%, 04/30/2024

     555,000        556,992  

Whirlpool Corp.

     

4.50%, 06/01/2046

     500,000        443,864  
     

 

 

 
        1,000,856  
     

 

 

 
Independent Power & Renewable Electricity Producers - 0.0% (H)  

Alexander Funding Trust

     

1.84%, 11/15/2023 (B)

     400,000        383,168  
     

 

 

 
Industrial Conglomerates - 0.0% (H)  

Roper Technologies, Inc.

     

2.00%, 06/30/2030

     280,000        234,743  
     

 

 

 
Insurance - 1.1%  

AIA Group Ltd.

     

3.20%, 09/16/2040 (B)

     200,000        161,601  

3.60%, 04/09/2029 (B)

     200,000        196,653  

3.90%, 04/06/2028 (B)

     335,000        336,719  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Insurance (continued)  

AIG SunAmerica Global Financing X

     

6.90%, 03/15/2032 (B)

     $   400,000        $   474,982  

Assurant, Inc.

     

4.20%, 09/27/2023

     319,000        319,432  

Athene Global Funding

     

1.45%, 01/08/2026 (B)

     215,000        194,321  

2.50%, 01/14/2025 (B)

     52,000        49,639  

2.95%, 11/12/2026 (B)

     1,645,000        1,529,028  

Berkshire Hathaway Finance Corp.

     

3.85%, 03/15/2052

     420,000        385,024  

4.40%, 05/15/2042

     268,000        267,709  

Brown & Brown, Inc.

     

2.38%, 03/15/2031

     820,000        675,554  

Corebridge Financial, Inc.

     

3.65%, 04/05/2027 (B)

     380,000        365,964  

3.85%, 04/05/2029 (B)

     265,000        252,003  

F&G Global Funding

     

1.75%, 06/30/2026 (B)

     300,000        271,103  

Hanover Insurance Group, Inc.

     

2.50%, 09/01/2030

     250,000        212,639  

Hartford Financial Services Group, Inc.

     

4.30%, 04/15/2043

     360,000        329,749  

Intact US Holdings, Inc.

     

4.60%, 11/09/2022

     500,000        501,507  

Liberty Mutual Group, Inc.

     

3.95%, 10/15/2050 (B)

     300,000        238,517  

Liberty Mutual Insurance Co.

     

8.50%, 05/15/2025 (B)

     200,000        220,723  

MassMutual Global Funding II

     

2.75%, 06/22/2024 (B)

     400,000        393,312  

Metropolitan Life Global Funding I

     

3.00%, 09/19/2027 (B)

     350,000        335,554  

New York Life Global Funding

     

2.35%, 07/14/2026 (B)

     226,000        215,897  

New York Life Insurance Co.

     

4.45%, 05/15/2069 (B)

     330,000        298,386  

Northwestern Mutual Global Funding

     

1.70%, 06/01/2028 (B)

     320,000        287,600  

Pacific Life Insurance Co.

     

Fixed until 10/24/2047,
4.30% (A), 10/24/2067 (B)

     198,000        173,339  

Prudential Insurance Co. of America

     

8.30%, 07/01/2025 (B)

     900,000        998,089  

Sumitomo Life Insurance Co.

     

Fixed until 09/14/2027,
4.00% (A), 09/14/2077 (B)

     250,000        237,031  

Teachers Insurance & Annuity Association of America

     

4.27%, 05/15/2047 (B)

     260,000        242,575  

Travelers Property Casualty Corp.

     

7.75%, 04/15/2026

     200,000        228,808  
     

 

 

 
        10,393,458  
     

 

 

 
Internet & Catalog Retail - 0.1%  

Amazon.com, Inc.

     

3.95%, 04/13/2052

     630,000        618,944  
     

 

 

 
Internet & Direct Marketing Retail - 0.1%  

Amazon.com, Inc.

     

3.88%, 08/22/2037

     500,000        504,651  
     

 

 

 
IT Services - 0.3%  

CGI, Inc.

     

1.45%, 09/14/2026

     340,000        304,996  

2.30%, 09/14/2031

     609,000        503,412  

Fiserv, Inc.

     

3.20%, 07/01/2026

     230,000        223,769  

4.40%, 07/01/2049

     220,000        199,419  
 

 

Transamerica Funds

    Page    9         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
IT Services (continued)  

Global Payments, Inc.

     

2.90%, 05/15/2030 - 11/15/2031

     $   460,000        $   390,531  

3.20%, 08/15/2029

     997,000        888,382  

Leidos, Inc.

     

2.30%, 02/15/2031

     200,000        165,538  
     

 

 

 
        2,676,047  
     

 

 

 
Leisure Products - 0.1%  

Hasbro, Inc.

     

3.90%, 11/19/2029

     535,000        508,573  
     

 

 

 
Life Sciences Tools & Services - 0.1%  

Thermo Fisher Scientific, Inc.

     

2.00%, 10/15/2031

     555,000        494,710  
     

 

 

 
Machinery - 0.1%  

nVent Finance SARL

     

4.55%, 04/15/2028

     337,000        328,892  

Otis Worldwide Corp.

     

2.57%, 02/15/2030

     775,000        694,228  

Xylem, Inc.

     

2.25%, 01/30/2031 (G)

     235,000        202,277  
     

 

 

 
        1,225,397  
     

 

 

 
Media - 0.7%  

Charter Communications Operating LLC / Charter Communications Operating Capital

     

2.80%, 04/01/2031

     800,000        675,713  

3.70%, 04/01/2051

     375,000        266,090  

4.80%, 03/01/2050

     315,000        263,381  

5.05%, 03/30/2029

     400,000        397,539  

6.83%, 10/23/2055

     150,000        156,865  

Comcast Corp.

     

2.89%, 11/01/2051

     1,533,000        1,163,645  

2.94%, 11/01/2056

     833,000        616,096  

2.99%, 11/01/2063

     219,000        158,956  

3.25%, 11/01/2039

     380,000        328,173  

3.45%, 02/01/2050

     95,000        79,643  

Discovery Communications LLC

     

3.63%, 05/15/2030

     800,000        731,189  

5.20%, 09/20/2047

     335,000        298,093  

Paramount Global

     

2.90%, 01/15/2027 (G)

     250,000        236,607  

4.00%, 01/15/2026

     208,000        208,216  

4.85%, 07/01/2042

     150,000        129,072  

SES SA

     

3.60%, 04/04/2023 (B)

     100,000        98,713  

Time Warner Cable LLC

     

5.50%, 09/01/2041

     400,000        364,877  

Time Warner Entertainment Co. LP

     

8.38%, 07/15/2033

     250,000        298,473  
     

 

 

 
        6,471,341  
     

 

 

 
Metals & Mining - 0.2%  

Anglo American Capital PLC

     

3.63%, 09/11/2024 (B)

     200,000        196,775  

Barrick Gold Corp.

     

6.45%, 10/15/2035

     140,000        161,956  

Freeport-McMoRan, Inc.

     

5.40%, 11/14/2034

     400,000        398,832  

Glencore Funding LLC

     

2.50%, 09/01/2030 (B) (G)

     790,000        656,971  

4.13%, 05/30/2023 (B)

     234,000        233,106  
     

 

 

 
        1,647,640  
     

 

 

 
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Multi-Utilities - 0.4%  

Consolidated Edison Co. of New York, Inc.

     

3.88%, 06/15/2047

     $   260,000        $   229,283  

Delmarva Power & Light Co.

     

4.00%, 06/01/2042

     294,000        267,995  

4.15%, 05/15/2045

     270,000        254,092  

Dominion Energy, Inc.

     

5.25%, 08/01/2033

     500,000        529,593  

NiSource, Inc.

     

5.80%, 02/01/2042

     600,000        633,891  

Public Service Co. of Oklahoma

     

3.15%, 08/15/2051

     360,000        276,830  

Public Service Enterprise Group, Inc.

     

1.60%, 08/15/2030

     450,000        371,890  

San Diego Gas & Electric Co.

     

2.95%, 08/15/2051

     420,000        330,542  

6.00%, 06/01/2026

     320,000        345,854  

6.13%, 09/15/2037

     100,000        115,963  
     

 

 

 
        3,355,933  
     

 

 

 
Multiline Retail - 0.0% (H)  

Nordstrom, Inc.

     

4.25%, 08/01/2031 (G)

     481,000        389,567  
     

 

 

 
Oil, Gas & Consumable Fuels - 1.6%  

Aker BP ASA

     

2.00%, 07/15/2026 (B)

     200,000        182,007  

APA Infrastructure Ltd.

     

4.25%, 07/15/2027 (B)

     386,000        381,551  

BP Capital Markets America, Inc.

     

2.77%, 11/10/2050

     970,000        725,824  

2.94%, 06/04/2051

     35,000        26,671  

3.00%, 03/17/2052

     405,000        312,044  

BP Capital Markets PLC

     

3.28%, 09/19/2027 (G)

     173,000        170,648  

Cameron LNG LLC

     

3.70%, 01/15/2039 (B)

     554,000        487,111  

Chevron USA, Inc.

     

3.25%, 10/15/2029

     290,000        283,636  

Ecopetrol SA

     

5.38%, 06/26/2026

     135,000        130,680  

Energy Transfer LP

     

3.90%, 07/15/2026

     195,000        189,849  

4.15%, 09/15/2029

     395,000        374,385  

4.75%, 01/15/2026

     476,000        478,994  

5.50%, 06/01/2027

     69,000        71,238  

6.05%, 06/01/2041

     538,000        538,099  

6.10%, 02/15/2042

     500,000        494,449  

Eni SpA

     

5.70%, 10/01/2040 (B)

     500,000        525,012  

Enterprise Products Operating LLC

     

4.45%, 02/15/2043

     161,000        150,484  

7.55%, 04/15/2038

     161,000        196,310  

EQT Corp.

     

3.90%, 10/01/2027

     264,000        256,830  

Exxon Mobil Corp.

     

3.00%, 08/16/2039

     1,115,000        959,278  

4.11%, 03/01/2046

     294,000        284,704  

Flex Intermediate Holdco LLC

     

3.36%, 06/30/2031 (B)

     310,000        263,714  

4.32%, 12/30/2039 (B)

     220,000        178,830  

Galaxy Pipeline Assets Bidco Ltd.

     

2.94%, 09/30/2040 (B)

     442,175        371,432  

Gray Oak Pipeline LLC

     

2.00%, 09/15/2023 (B)

     250,000        244,176  

2.60%, 10/15/2025 (B)

     305,000        286,796  

3.45%, 10/15/2027 (B)

     597,000        559,391  
 

 

Transamerica Funds

    Page    10         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Oil, Gas & Consumable Fuels (continued)  

HF Sinclair Corp.

     

2.63%, 10/01/2023 (B)

     $   425,000        $   413,683  

5.88%, 04/01/2026 (B)

     224,000        229,589  

Marathon Petroleum Corp.

     

4.70%, 05/01/2025

     694,000        706,670  

NGPL PipeCo LLC

     

3.25%, 07/15/2031 (B)

     335,000        287,316  

ONEOK Partners LP

     

6.65%, 10/01/2036

     220,000        232,665  

ONEOK, Inc.

     

2.20%, 09/15/2025

     500,000        469,035  

Phillips 66 Co.

     

3.15%, 12/15/2029 (B)

     300,000        276,862  

4.90%, 10/01/2046 (B)

     144,000        143,628  

Pioneer Natural Resources Co.

     

1.90%, 08/15/2030

     720,000        609,175  

Plains All American Pipeline LP / PAA Finance Corp.

     

4.30%, 01/31/2043

     150,000        116,531  

4.70%, 06/15/2044

     160,000        131,030  

Saudi Arabian Oil Co.

     

1.63%, 11/24/2025 (B) (G)

     200,000        187,400  

Southern Natural Gas Co. LLC

     

4.80%, 03/15/2047 (B)

     136,000        123,460  

8.00%, 03/01/2032

     105,000        125,356  

Suncor Energy, Inc.

     

5.95%, 12/01/2034

     550,000        595,914  

7.88%, 06/15/2026

     100,000        112,730  

Targa Resources Corp.

     

4.20%, 02/01/2033

     190,000        178,784  

TotalEnergies Capital International SA

     

2.99%, 06/29/2041

     650,000        543,291  

3.13%, 05/29/2050

     605,000        494,782  

3.46%, 07/12/2049

     200,000        171,986  

Valero Energy Corp.

     

2.15%, 09/15/2027

     390,000        353,876  
     

 

 

 
        15,627,906  
     

 

 

 
Personal Products - 0.1%  

Estee Lauder Cos., Inc.

     

2.60%, 04/15/2030

     549,000        511,768  

GSK Consumer Healthcare Capital US LLC

     

3.38%, 03/24/2029 (B)

     530,000        512,888  
     

 

 

 
        1,024,656  
     

 

 

 
Pharmaceuticals - 0.5%  

AstraZeneca PLC

     

6.45%, 09/15/2037

     180,000        226,774  

Bristol-Myers Squibb Co.

     

4.13%, 06/15/2039

     377,000        376,981  

4.55%, 02/20/2048

     288,000        296,982  

Mylan, Inc.

     

5.40%, 11/29/2043

     100,000        85,199  

Royalty Pharma PLC

     

1.20%, 09/02/2025

     193,000        176,635  

2.15%, 09/02/2031

     287,000        237,630  

Shire Acquisitions Investments Ireland DAC

     

3.20%, 09/23/2026

     778,000        757,337  

Takeda Pharmaceutical Co. Ltd.

     

3.03%, 07/09/2040

     885,000        723,546  

3.18%, 07/09/2050

     415,000        329,094  

Utah Acquisition Sub, Inc.

     

3.95%, 06/15/2026

     185,000        175,094  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Pharmaceuticals (continued)  

Viatris, Inc.

     

2.30%, 06/22/2027

     $   1,260,000        $   1,099,366  

Zoetis, Inc.

     

2.00%, 05/15/2030

     410,000        356,860  
     

 

 

 
        4,841,498  
     

 

 

 
Real Estate Management & Development - 0.0% (H)  

Ontario Teachers’ Cadillac Fairview Properties Trust

     

3.88%, 03/20/2027 (B)

     325,000        321,322  
     

 

 

 
Road & Rail - 0.9%  

Avolon Holdings Funding Ltd.

     

2.13%, 02/21/2026 (B)

     250,000        217,222  

2.53%, 11/18/2027 (B)

     2,259,000        1,871,692  

2.88%, 02/15/2025 (B)

     150,000        138,724  

4.25%, 04/15/2026 (B)

     2,280,000        2,123,328  

4.38%, 05/01/2026 (B)

     510,000        476,027  

5.25%, 05/15/2024 (B)

     555,000        548,354  

5.50%, 01/15/2026 (B)

     890,000        863,985  

Burlington Northern Santa Fe LLC

     

3.55%, 02/15/2050

     233,000        208,452  

5.75%, 05/01/2040

     300,000        347,399  

7.29%, 06/01/2036

     90,000        119,326  

Canadian Pacific Railway Co.

     

3.00%, 12/02/2041

     500,000        415,900  

CSX Corp.

     

4.75%, 11/15/2048

     215,000        221,139  

6.00%, 10/01/2036

     340,000        397,437  

Kansas City Southern

     

3.50%, 05/01/2050

     500,000        416,723  

4.70%, 05/01/2048

     316,000        314,164  

Park Aerospace Holdings Ltd.

     

4.50%, 03/15/2023 (B)

     95,000        94,160  

5.50%, 02/15/2024 (B)

     42,000        41,521  
     

 

 

 
        8,815,553  
     

 

 

 
Semiconductors & Semiconductor Equipment - 0.6%  

Analog Devices, Inc.

     

2.80%, 10/01/2041

     367,000        305,723  

Broadcom, Inc.

     

1.95%, 02/15/2028 (B)

     1,000,000        879,341  

3.14%, 11/15/2035 (B)

     356,000        287,746  

3.19%, 11/15/2036 (B)

     925,000        743,117  

KLA Corp.

     

3.30%, 03/01/2050

     700,000        590,642  

Microchip Technology, Inc.

     

0.97%, 02/15/2024

     144,000        137,327  

0.98%, 09/01/2024

     276,000        258,811  

NXP BV / NXP Funding LLC / NXP USA, Inc.

     

2.50%, 05/11/2031 (G)

     570,000        481,539  

3.25%, 05/11/2041

     585,000        454,785  

TSMC Arizona Corp.

     

4.50%, 04/22/2052

     345,000        346,425  

TSMC Global Ltd.

     

4.63%, 07/22/2032

     294,000        303,420  

Xilinx, Inc.

     

2.38%, 06/01/2030

     860,000        783,343  
     

 

 

 
        5,572,219  
     

 

 

 
Software - 0.3%  

Microsoft Corp.

     

2.92%, 03/17/2052

     307,000        259,495  

3.04%, 03/17/2062

     183,000        153,269  

Oracle Corp.

     

2.30%, 03/25/2028

     690,000        618,938  
 

 

Transamerica Funds

    Page    11         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Software (continued)  

VMware, Inc.

     

1.40%, 08/15/2026

     $   1,179,000        $   1,061,770  

4.65%, 05/15/2027

     220,000        223,035  

Workday, Inc.

     

3.50%, 04/01/2027

     578,000        566,617  
     

 

 

 
        2,883,124  
     

 

 

 
Specialty Retail - 0.1%  

AutoZone, Inc.

     

1.65%, 01/15/2031

     600,000        492,705  

O’Reilly Automotive, Inc.

     

3.60%, 09/01/2027

     747,000        740,754  
     

 

 

 
        1,233,459  
     

 

 

 
Technology Hardware, Storage & Peripherals - 0.4%  

Apple, Inc.

     

2.40%, 08/20/2050 (G)

     1,000,000        750,681  

3.45%, 02/09/2045

     528,000        485,575  

3.75%, 09/12/2047

     500,000        477,006  

3.85%, 08/04/2046

     207,000        200,576  

4.65%, 02/23/2046

     119,000        128,728  

Dell International LLC / EMC Corp.

     

5.45%, 06/15/2023

     67,000        67,736  

6.02%, 06/15/2026

     1,293,000        1,373,545  

HP, Inc.

     

3.00%, 06/17/2027

     335,000        318,379  
     

 

 

 
        3,802,226  
     

 

 

 
Tobacco - 0.2%  

Altria Group, Inc.

     

2.45%, 02/04/2032

     665,000        524,766  

BAT Capital Corp.

     

2.26%, 03/25/2028

     290,000        248,485  

3.73%, 09/25/2040 (G)

     195,000        141,195  

3.98%, 09/25/2050

     300,000        210,031  

4.39%, 08/15/2037

     400,000        331,411  

4.54%, 08/15/2047

     290,000        217,945  

BAT International Finance PLC

     

1.67%, 03/25/2026

     215,000        194,353  
     

 

 

 
        1,868,186  
     

 

 

 
Trading Companies & Distributors - 0.3%  

Air Lease Corp.

     

3.25%, 03/01/2025 - 10/01/2029

     1,153,000        1,027,805  

3.38%, 07/01/2025

     950,000        909,087  

BOC Aviation Ltd.

     

2.75%, 09/18/2022 (B)

     270,000        269,690  

3.50%, 10/10/2024 (B)

     200,000        195,617  

International Lease Finance Corp.

     

5.88%, 08/15/2022

     154,000        154,118  

WW Grainger, Inc.

     

4.60%, 06/15/2045

     198,000        202,417  
     

 

 

 
        2,758,734  
     

 

 

 
Transportation Infrastructure - 0.0% (H)  

Mexico City Airport Trust

     

5.50%, 07/31/2047 (B)

     200,000        152,250  
     

 

 

 
Water Utilities - 0.0% (H)  

American Water Capital Corp.

     

3.85%, 03/01/2024

     300,000        300,783  

4.00%, 12/01/2046

     172,000        155,510  
     

 

 

 
        456,293  
     

 

 

 
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Wireless Telecommunication Services - 0.1%  

America Movil SAB de CV

     

4.38%, 04/22/2049 (G)

     $   251,000        $   241,592  

Rogers Communications, Inc.

     

4.55%, 03/15/2052 (B)

     370,000        349,997  

Vodafone Group PLC

     

4.88%, 06/19/2049

     545,000        522,861  

5.25%, 05/30/2048

     260,000        262,954  
     

 

 

 
        1,377,404  
     

 

 

 

Total Corporate Debt Securities
(Cost $271,435,491)

 

     247,280,750  
     

 

 

 
FOREIGN GOVERNMENT OBLIGATIONS - 0.4%  
Chile - 0.0% (H)  

Chile Government International Bond

     

2.55%, 01/27/2032

     218,000        192,246  
     

 

 

 
Mexico - 0.4%  

Mexico Government International Bond

     

2.66%, 05/24/2031

     467,000        399,317  

3.75%, 01/11/2028

     1,042,000        1,021,823  

3.77%, 05/24/2061

     345,000        240,010  

4.13%, 01/21/2026 (G)

     615,000        621,427  

4.35%, 01/15/2047 (G)

     183,000        147,634  

4.60%, 02/10/2048 (G)

     200,000        166,377  

4.75%, 03/08/2044

     190,000        165,311  

5.75%, 10/12/2110

     550,000        487,598  
     

 

 

 
        3,249,497  
     

 

 

 
Panama - 0.0% (H)  

Panama Government International Bond

     

4.50%, 04/16/2050

     200,000        165,096  
     

 

 

 
Saudi Arabia - 0.0% (H)  

Saudi Government International Bond

     

2.25%, 02/02/2033 (B)

     272,000        239,355  
     

 

 

 

Total Foreign Government Obligations
(Cost $4,411,689)

 

     3,846,194  
     

 

 

 
MORTGAGE-BACKED SECURITIES - 5.4%  

American General Mortgage Loan Trust

     

Series 2006-1, Class A5,

     

5.75% (A), 12/25/2035 (B)

     416        436  

Banc of America Funding Trust

     

Series 2004-3, Class 1A1,

     

5.50%, 10/25/2034

     23,970        23,334  

Banc of America Mortgage Trust

     

Series 2003-C, Class 3A1,

     

2.75% (A), 04/25/2033

     4,852        4,709  

Bayview Financing Trust

     

Series 2020-3F, Class A,

     

1-Month LIBOR + 3.00%,
3.08% (A), 11/10/2022 (B) (C)

     500,071        499,478  

BB-UBS Trust

     

Series 2012-SHOW, Class A,

     

3.43%, 11/05/2036 (B)

     1,500,000        1,445,953  

Bear Stearns ARM Trust

     

Series 2003-4, Class 3A1,

     

3.50% (A), 07/25/2033

     13,863        13,514  

Series 2004-2, Class 14A,

     

3.08% (A), 05/25/2034

     11,098        10,496  
 

 

Transamerica Funds

    Page    12         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

Bear Stearns Commercial Mortgage Securities Trust, Interest Only STRIPS

     

Series 2005-PWR8, Class X1,

     

0.72% (A), 06/11/2041 (B)

     $   2,435        $   2  

Chase Mortgage Finance Trust

     

Series 2007-A1, Class 1A3,

     

2.69% (A), 02/25/2037

     160,925        155,811  

Series 2007-A1, Class 2A1,

     

3.65% (A), 02/25/2037

     31,822        30,825  

Series 2007-A1, Class 7A1,

     

3.73% (A), 02/25/2037

     19,422        19,385  

Series 2007-A1, Class 9A1,

     

3.13% (A), 02/25/2037

     11,421        11,174  

Series 2007-A2, Class 1A1,

     

3.21% (A), 06/25/2035

     4,871        4,686  

Series 2007-A2, Class 2A1,

     

2.93% (A), 06/25/2035

     48,301        47,993  

CHL Mortgage Pass-Through Trust

     

Series 2004-3, Class A26,

     

5.50%, 04/25/2034

     55,960        53,094  

Series 2004-3, Class A4,

     

5.75%, 04/25/2034

     83,940        79,987  

Series 2004-5, Class 1A4,

     

5.50%, 06/25/2034

     77,584        75,798  

Series 2004-8, Class 2A1,

     

4.50%, 06/25/2019 (E)

     254        255  

Citigroup Global Markets Mortgage Securities VII, Inc.

     

Series 2003-HYB1, Class A,

     

2.24% (A), 09/25/2033

     16,565        16,806  

Citigroup Mortgage Loan Trust, Inc.

     

Series 2003-1, Class 3A4,

     

5.25%, 09/25/2033

     16,725        15,783  

Series 2005-2, Class 2A11,

     

5.50%, 05/25/2035

     52,234        50,378  

Series 2009-10, Class 1A1,

     

2.54% (A), 09/25/2033 (B)

     52,159        51,425  

COMM Mortgage Trust

     

Series 2015-CR25, Class A4,

     

3.76%, 08/10/2048

     562,000        558,392  

Series 2018-HOME, Class A,

     

3.82% (A), 04/10/2033 (B)

     2,410,000        2,318,180  

COMM Mortgage Trust, Interest Only STRIPS

     

Series 2012-CR2, Class XA,

     

1.13% (A), 08/15/2045

     69,688        5  

Credit Suisse First Boston Mortgage Securities Corp.

     

Series 2003-21, Class 1A4,

     

5.25%, 09/25/2033

     22,933        21,951  

Series 2003-AR15, Class 3A1,

     

3.29% (A), 06/25/2033

     42,902        41,059  

Series 2004-5, Class 3A1,

     

5.25%, 08/25/2019 (E)

     13,645        13,645  

CSFB Mortgage-Backed Pass-Through Certificates

     

Series 2003-27, Class 5A4,

     

5.25%, 11/25/2033

     5,147        4,892  

Series 2003-29, Class 5A1,

     

7.00%, 12/25/2033

     29,728        29,445  

Series 2004-4, Class 2A4,

     

5.50%, 09/25/2034

     45,868        44,783  

Series 2004-8, Class 1A4,

     

5.50%, 12/25/2034

     88,683        84,487  

CSMC OA LLC

     

Series 2014-USA, Class D,

     

4.37%, 09/15/2037 (B)

     500,000        422,026  
     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

CSMC Trust

     

Series 2022-JR1, Class A1,

     

4.27% (A), 10/25/2066 (B) (D)

     $   1,701,256        $   1,676,315  

Deutsche Alt-A Securities, Inc. Mortgage Loan Trust

     

Series 2005-1, Class 2A1,

     

4.31% (A), 02/25/2020

     6,161        6,079  

FMC GMSR Issuer Trust

     

3.69%, 02/25/2024 (B)

     2,835,000        2,778,300  

Series 2020-GT1, Class A,

     

4.45% (A), 01/25/2026 (B)

     1,700,000        1,535,392  

Series 2021-GT1, Class A,

     

3.62% (A), 07/25/2026 (B)

     1,700,000        1,556,571  

Series 2021-GT2, Class A,

     

3.85% (A), 10/25/2026 (B)

     1,440,000        1,301,841  

GSMPS Mortgage Loan Trust

     

Series 2005-RP3, Class 1AF,

     

1-Month LIBOR + 0.35%,
2.61% (A), 09/25/2035 (B)

     493,849        428,241  

GSMPS Mortgage Loan Trust, Interest Only STRIPS

     

Series 2005-RP3, Class 1AS,

     

2.52% (A), 09/25/2035 (B)

     370,387        16,943  

GSR Mortgage Loan Trust

     

Series 2003-7F, Class 1A4,

     

5.25%, 06/25/2033

     102,748        98,954  

Series 2004-8F, Class 2A3,

     

6.00%, 09/25/2034

     69,123        68,517  

Series 2005-5F, Class 8A3,

     

1-Month LIBOR + 0.50%,
2.76% (A), 06/25/2035

     5,408        5,109  

Headlands Residential LLC

     

Series 2017-RPL1, Class A,

     

3.88% (A), 11/25/2024 (B) (D)

     713,340        706,805  

Home RE Ltd.

     

Series 2022-1, Class M1A,

     

1-Month SOFR + 2.85%,
4.36% (A), 10/25/2034 (B)

     1,600,000        1,599,017  

Impac CMB Trust

     

Series 2005-4, Class 2A1,

     

1-Month LIBOR + 0.30%,
2.86% (A), 05/25/2035

     82,637        74,476  

Impac Secured Assets CMN Owner Trust

     

Series 2003-2, Class A1,

     

5.50%, 08/25/2033

     23,575        20,028  

Impac Secured Assets Trust

     

Series 2006-1, Class 2A1,

     

1-Month LIBOR + 0.70%,
2.96% (A), 05/25/2036

     47,028        43,283  

Independence Plaza Trust

     

Series 2018-INDP, Class A,

     

3.76%, 07/10/2035 (B)

     1,590,000        1,550,416  

JPMorgan Chase Commercial Mortgage Securities Trust, Interest Only STRIPS

     

Series 2006-CB15, Class X1,

     

0.25% (A), 06/12/2043

     922,229        22  

JPMorgan Mortgage Trust

     

Series 2004-A3, Class 4A1,

     

3.63% (A), 07/25/2034

     1,521        1,500  

Series 2004-A4, Class 1A1,

     

3.69% (A), 09/25/2034

     7,469        6,990  

Series 2004-S1, Class 1A7,

     

5.00%, 09/25/2034

     802        803  

Series 2005-A1, Class 3A4,

     

2.72% (A), 02/25/2035

     30,749        29,397  

Series 2006-A2, Class 5A3,

     

2.34% (A), 11/25/2033

     50,895        49,806  

Series 2006-A3, Class 6A1,

     

3.36% (A), 08/25/2034

     6,250        6,154  
 

 

Transamerica Funds

    Page    13         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

LHOME Mortgage Trust

     

Series 2021-RTL1, Class A1,

     

2.09% (A), 09/25/2026 (B)

     $   810,000        $   776,166  

MASTR Adjustable Rate Mortgages Trust

     

Series 2004-13, Class 2A1,

     

2.68% (A), 04/21/2034

     76,417        73,740  

Series 2004-13, Class 3A7,

     

3.43% (A), 11/21/2034

     46,019        43,920  

MASTR Alternative Loan Trust

     

Series 2003-9, Class 2A1,

     

6.00%, 12/25/2033

     10,195        9,876  

MASTR Asset Securitization Trust

     

Series 2003-11, Class 9A6,

     

5.25%, 12/25/2033

     119,782        114,624  

Series 2004-P7, Class A6,

     

5.50%, 12/27/2033 (B)

     15,039        13,967  

MASTR Resecuritization Trust, Principal Only STRIPS

     

Series 2005, Class 3,

     

Zero Coupon, 05/28/2035 (B)

     4,994        4,191  

Merrill Lynch Mortgage Investors Trust

     

Series 2003-A4, Class 2A,

     

3.00% (A), 07/25/2033

     26,806        25,315  

Series 2003-A5, Class 2A6,

     

3.11% (A), 08/25/2033

     11,065        10,524  

Series 2004-1, Class 2A1,

     

2.44% (A), 12/25/2034

     54,998        52,755  

Series 2004-A4, Class A2,

     

3.31% (A), 08/25/2034

     26,246        24,998  

Series 2004-D, Class A2,

     

6-Month LIBOR + 0.72%,
1.55% (A), 09/25/2029

     43,206        41,205  

Morgan Stanley Capital I Trust, Interest Only STRIPS

     

Series 2006-T21, Class X,

     

0.07% (A), 10/12/2052 (B)

     3,116,853        12  

Morgan Stanley Mortgage Loan Trust

     

Series 2004-3, Class 4A,

     

5.65% (A), 04/25/2034

     71,357        70,745  

MRCD Mortgage Trust

     

Series 2019-PARK, Class D,

     

2.72%, 12/15/2036 (B)

     1,443,000        1,313,131  

PRET LLC

     

Series 2021-RN4, Class A1,

     

2.49% (A), 10/25/2051 (B)

     2,491,899        2,335,522  

Pretium Mortgage Credit Partners I LLC

     

Series 2021-NPL1, Class A1,

     

2.24% (A), 09/27/2060 (B) (D)

     1,383,733        1,310,918  

Prime Mortgage Trust

     

Series 2004-CL1, Class 1A1,

     

6.00%, 02/25/2034

     21,577        21,220  

Prime Mortgage Trust, Principal Only STRIPS

     

Series 2004-CL1, Class 1,

     

Zero Coupon, 02/25/2034

     1,179        870  

PRPM LLC

     

Series 2021-1, Class A1,

     

2.12% (A), 01/25/2026 (B)

     1,280,004        1,217,846  

Series 2021-3, Class A1,

     

1.87% (A), 04/25/2026 (B) (D)

     781,163        737,590  

RAMP Trust

     

Series 2004-SL2, Class A3,

     

7.00%, 10/25/2031

     52,142        51,287  
     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

Seasoned Credit Risk Transfer Trust

     

Series 2017-4, Class M60C,

     

3.50%, 06/25/2057

     $   1,502,797        $   1,489,194  

Series 2018-2, Class M55D,

     

4.00%, 11/25/2057

     2,030,200        2,053,589  

Series 2019-1, Class MT,

     

3.50%, 07/25/2058

     1,650,531        1,641,653  

Series 2019-3, Class MB,

     

3.50%, 10/25/2058

     939,935        901,458  

Series 2019-4, Class M55D,

     

4.00%, 02/25/2059

     1,154,757        1,168,595  

Series 2022-1, Class MTU,

     

3.25%, 11/25/2061

     1,762,659        1,727,205  

Sequoia Mortgage Trust

     

Series 2004-11, Class A1,

     

1-Month LIBOR + 0.60%,
2.73% (A), 12/20/2034

     101,881        93,341  

Series 2004-11, Class A3,

     

1-Month LIBOR + 0.60%,
2.73% (A), 12/20/2034

     492        491  

Series 2004-12, Class A3,

     

6-Month LIBOR + 0.32%,
3.07% (A), 01/20/2035

     53,893        50,543  

SLG Office Trust

     

Series 2021-OVA, Class A,

     

2.59%, 07/15/2041 (B)

     1,620,000        1,429,724  

Structured Asset Mortgage Investments II Trust

     

Series 2004-AR5, Class 1A1,

     

1-Month LIBOR + 0.66%,
2.78% (A), 10/19/2034

     100,330        95,437  

Structured Asset Securities Corp.

     

Series 2004-4XS, Class 1A5,

     

5.14% (A), 02/25/2034 (D)

     155,410        147,455  

Structured Asset Securities Corp. Mortgage Pass-Through Certificates

     

Series 2003-37A, Class 2A,

     

2.44% (A), 12/25/2033

     32,027        31,094  

Thornburg Mortgage Securities Trust

     

Series 2003-4, Class A1,

     

1-Month LIBOR + 0.64%,
2.90% (A), 09/25/2043

     47,575        45,878  

Series 2004-1, Class II2A,

     

1.37% (A), 03/25/2044

     16,087        15,744  

Toorak Mortgage Corp. Ltd.

     

Series 2019-2, Class A1,

     

3.72% (A), 09/25/2022 (D)

     299,078        296,594  

Towd Point Mortgage Trust

     

Series 2021-R1, Class A1,

     

2.92% (A), 11/30/2060 (B)

     2,283,482        2,064,235  

UBS-BAMLL Trust

     

Series 2012-WRM, Class A,

     

3.66%, 06/10/2030 (B)

     31,690        31,636  

UBS-Barclays Commercial Mortgage Trust

     

Series 2012-C2, Class A4,

     

3.53%, 05/10/2063

     27,197        27,170  

UBS-Barclays Commercial Mortgage Trust, Interest Only STRIPS

     

Series 2012-C2, Class XA,

     

0.80% (A), 05/10/2063 (B)

     755,064        33  

VM Master Issuer LLC

     

Series 2022-1, Class A1,

     

5.16% (A), 05/24/2025 (B) (E)

     2,000,000        1,991,200  

VOLT C LLC

     

Series 2021-NPL9, Class A1,

     

1.99% (A), 05/25/2051 (B) (D)

     705,026        662,690  

VOLT CI LLC

     

Series 2021-NP10, Class A1,

     

1.99% (A), 05/25/2051 (B) (D)

     823,501        773,936  
 

 

Transamerica Funds

    Page    14         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

VOLT XCIII LLC

     

Series 2021-NPL2, Class A1,

     

1.89% (A), 02/27/2051 (B) (D)

     $   1,971,945        $   1,860,770  

VOLT XCIV LLC

     

Series 2021-NPL3, Class A1,

     

2.24% (A), 02/27/2051 (B) (D)

     1,379,316        1,315,078  

VOLT XCV LLC

     

Series 2021-NPL4, Class A1,

     

2.24% (A), 03/27/2051 (B) (D)

     438,927        417,326  

VOLT XCVII LLC

     

Series 2021-NPL6, Class A1,

     

2.24% (A), 04/25/2051 (B) (D)

     1,219,607        1,156,996  

Wachovia Bank Commercial Mortgage Trust, Interest Only STRIPS

     

Series 2006-C24, Class XC,

     

0.00% (A), 03/15/2045 (B)

     443,539        4  

WaMu Mortgage Pass-Through Certificates Trust

     

Series 2003-AR6, Class A1,

     

3.45% (A), 06/25/2033

     76,005        71,895  

Series 2003-AR7, Class A7,

     

3.80% (A), 08/25/2033

     34,939        32,855  

Series 2003-AR8, Class A,

     

2.81% (A), 08/25/2033

     12,618        12,333  

Series 2003-AR9, Class 1A6,

     

2.54% (A), 09/25/2033

     62,820        59,752  

Series 2003-S3, Class 1A4,

     

5.50%, 06/25/2033

     68,004        65,877  

Series 2003-S4, Class 2A10,

     

1-Month LIBOR + 17.46%,
11.25% (A), 06/25/2033

     2,786        2,856  

Series 2003-S9, Class A8,

     

5.25%, 10/25/2033

     34,276        32,891  

Series 2004-AR3, Class A1,

     

3.10% (A), 06/25/2034

     6,937        6,562  

Series 2004-AR3, Class A2,

     

3.10% (A), 06/25/2034

     71,348        67,498  

Series 2004-S2, Class 2A4,

     

5.50%, 06/25/2034

     48,474        47,058  

Washington Mutual MSC Mortgage Pass-Through Certificates Trust

     

Series 2004-RA2, Class 2A,

     

7.00%, 07/25/2033

     26,511        27,041  

Wells Fargo Commercial Mortgage Trust

     

Series 2016-C35, Class A4,

     

2.93%, 07/15/2048

     1,915,000        1,840,604  

Wells Fargo Mortgage-Backed Securities Trust

     

Series 2004-U, Class A1,

     

3.02% (A), 10/25/2034

     121,025        113,764  
     

 

 

 

Total Mortgage-Backed Securities
(Cost $54,873,333)

 

     51,831,623  
     

 

 

 
MUNICIPAL GOVERNMENT OBLIGATIONS - 0.6%  
California - 0.2%  

State of California, General Obligation Unlimited,

     

7.30%, 10/01/2039

     520,000        679,967  

University of California Regents Medical Center Pooled Revenue, Revenue Bonds,

     

Series N,

     

3.71%, 05/15/2120

     820,000        627,066  
     

 

 

 
        1,307,033  
     

 

 

 
     Principal      Value  
MUNICIPAL GOVERNMENT OBLIGATIONS (continued)  
New York - 0.2%  

New York State Dormitory Authority, Revenue Bonds,

     

Series D,

     

5.60%, 03/15/2040

     $   280,000        $   315,838  

Port Authority of New York & New Jersey, Revenue Bonds,

     

4.46%, 10/01/2062

     800,000        805,432  

5.65%, 11/01/2040

     655,000        744,502  
     

 

 

 
        1,865,772  
     

 

 

 
Ohio - 0.2%  

American Municipal Power, Inc., Revenue Bonds,

     

Series B,

     

7.50%, 02/15/2050

     640,000        843,317  

Ohio State University, Revenue Bonds,

     

Series A,

     

4.80%, 06/01/2111

     1,370,000        1,407,510  
     

 

 

 
        2,250,827  
     

 

 

 

Total Municipal Government Obligations
(Cost $5,228,570)

 

     5,423,632  
     

 

 

 
U.S. GOVERNMENT AGENCY OBLIGATIONS - 26.7%  

Federal Home Loan Mortgage Corp.

     

12-Month LIBOR + 1.58%,
1.83% (A), 12/01/2036

     43,570        44,394  

12-Month LIBOR + 1.64%,
1.89% (A), 11/01/2036

     17,121        17,447  

12-Month LIBOR + 1.67%,
1.92% (A), 12/01/2036

     65,852        67,468  

12-Month LIBOR + 1.70%,
2.07% (A), 02/01/2037

     19,695        20,045  

6-Month LIBOR + 1.70%,
2.14% (A), 10/01/2036

     12,194        12,202  

12-Month LIBOR + 1.91%,
2.16% (A), 04/01/2037

     1,192        1,198  

12-Month LIBOR + 2.00%,
2.25% (A), 11/01/2036

     2,989        2,985  

12-Month LIBOR + 1.77%,
2.33% (A), 09/01/2037

     10,352        10,386  

1-Year CMT + 2.36%,
2.36% (A), 10/01/2037

     5,310        5,277  

1-Year CMT + 2.25%,
2.37% (A), 02/01/2036

     97,524        100,278  

1-Year CMT + 2.25%,
2.38% (A), 01/01/2035

     134,273        137,713  

1-Year CMT + 2.24%,
2.50% (A), 11/01/2036

     56,734        58,184  

12-Month LIBOR + 2.04%,
2.56% (A), 05/01/2037

     11,479        11,528  

12-Month LIBOR + 1.98%,
2.67% (A), 04/01/2037

     15,442        15,410  

12-Month LIBOR + 1.89%,
2.69% (A), 05/01/2038

     4,382        4,394  

6-Month LIBOR + 1.56%,
2.69% (A), 05/01/2037

     38,586        39,396  

6-Month LIBOR + 2.01%,
2.72% (A), 05/01/2037

     15,262        15,796  

1-Year CMT + 2.65%,
2.78% (A), 10/01/2037

     57,358        56,842  

3.00%, 10/01/2051 - 02/01/2052

     6,515,288        6,332,359  

12-Month LIBOR + 2.47%,
3.06% (A), 03/01/2036

     25,362        26,326  
 

 

Transamerica Funds

    Page    15         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)  

Federal Home Loan Mortgage Corp. (continued)

     

1-Year CMT + 2.25%,
3.28% (A), 07/01/2036

     $   89,360        $   92,345  

1-Year CMT + 2.43%,
3.30% (A), 12/01/2031

     147,070        146,880  

3.50%, 06/01/2042 - 02/01/2052

     2,203,672        2,202,868  

12-Month LIBOR + 2.33%,
3.52% (A), 05/01/2036

     9,191        9,512  

12-Month LIBOR + 2.18%,
3.56% (A), 05/01/2037

     63,040        65,237  

4.00%, 04/01/2043 - 09/01/2049

     2,775,181        2,843,548  

4.50%, 05/01/2041 - 07/01/2047

     4,309,718        4,488,930  

5.00%, 08/01/2040

     106,313        112,015  

5.50%, 05/01/2023 - 12/01/2035

     223,128        223,803  

6.00%, 12/01/2036 - 06/01/2037

     47,386        51,057  

6.50%, 05/01/2035 - 03/01/2038

     480,414        521,572  

7.50%, 02/01/2038 - 09/01/2038

     26,132        28,141  

10.00%, 10/01/2030

     1,774        1,846  

Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates

     

2.31%, 12/25/2022

     1,021,799        1,017,364  

2.72%, 07/25/2026

     1,456,000        1,431,581  

2.74%, 09/25/2025

     1,000,000        987,376  

2.81%, 09/25/2024

     2,693,781        2,667,809  

2.84%, 09/25/2022

     75,294        75,136  

2.93%, 01/25/2023

     250,015        249,121  

3.21% (A), 04/25/2028

     970,000        976,123  

3.24%, 04/25/2027

     1,097,000        1,099,199  

3.30% (A), 11/25/2027

     965,000        970,719  

3.33%, 05/25/2027

     590,000        591,202  

Federal Home Loan Mortgage Corp. REMIC

     

1-Month LIBOR + 0.40%,
1.46% (A), 07/15/2037

     212,527        210,842  

1-Month LIBOR + 0.25%,
2.25% (A), 08/15/2023

     12,309        12,307  

1-Month LIBOR + 0.30%,
2.30% (A), 03/15/2036

     15,861        15,732  

1-Month LIBOR + 1.20%,
3.20% (A), 07/15/2039

     6,953        7,067  

4.00%, 11/15/2041 - 07/15/2042

     2,595,711        2,727,476  

4.50%, 06/15/2025

     391,462        396,096  

5.00%, 07/15/2033 - 07/15/2041

     8,177,571        8,754,153  

5.30%, 01/15/2033

     182,357        193,306  

5.50%, 10/15/2032 - 01/15/2039

     1,068,408        1,151,764  

(3.62) * 1-Month LIBOR + 27.21%,
5.50% (A), 05/15/2041

     171,140        173,201  

(3.67) * 1-Month LIBOR + 27.50%,
5.50% (A), 05/15/2041

     178,181        178,875  

5.70% (A), 10/15/2038

     84,543        90,427  

6.00%, 05/15/2034 - 06/15/2038

     762,753        839,365  

6.25%, 10/15/2023

     15,557        15,742  

6.50%, 02/15/2026 - 06/15/2032

     319,156        338,705  

(1.50) * 1-Month LIBOR + 9.08%,
6.51% (A), 11/15/2033

     10,574        10,359  

7.00%, 12/15/2036

     204,802        230,839  

7.50%, 11/15/2036 - 12/15/2036

     242,481        276,383  

7.53% (A), 11/15/2046

     287,694        318,009  

(7.27) * 1-Month LIBOR + 48.00%,
8.00% (A), 06/15/2035

     8,519        9,097  

(3.33) * 1-Month LIBOR + 17.50%,
10.84% (A), 02/15/2040

     178,796        202,810  

(1.83) * 1-Month LIBOR + 14.85%,
11.18% (A), 06/15/2033

     12,954        15,149  

(2.50) * 1-Month LIBOR + 17.45%,
12.45% (A), 02/15/2038

     6,513        7,622  
     Principal      Value  
U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)  

Federal Home Loan Mortgage Corp. REMIC (continued)

 

(4.00) * 1-Month LIBOR + 22.00%,
14.00% (A), 05/15/2035

     $   22,614        $   25,496  

(3.00) * 1-Month LIBOR + 20.22%,
14.22% (A), 07/15/2035

     15,348        18,511  

(2.60) * 1-Month LIBOR + 20.93%,
15.73% (A), 08/15/2031

     18,046        21,175  

(4.50) * 1-Month LIBOR + 24.75%,
15.75% (A), 06/15/2035

     36,308        46,433  

Federal Home Loan Mortgage Corp. REMIC, Interest Only STRIPS

     

0.90% (A), 01/15/2040

     174,290        6,693  

(1.00) * 1-Month LIBOR + 6.00%,
4.00% (A), 11/15/2037 - 10/15/2040

     241,410        32,301  

(1.00) * 1-Month LIBOR + 6.05%,
4.05% (A), 05/15/2038

     22,772        1,550  

(1.00) * 1-Month LIBOR + 6.10%,
4.10% (A), 05/15/2039

     19,766        2,572  

(1.00) * 1-Month LIBOR + 6.25%,
4.25% (A), 12/15/2039

     95,352        11,323  

(1.00) * 1-Month LIBOR + 6.34%,
4.34% (A), 12/15/2039

     253,041        21,414  

(1.00) * 1-Month LIBOR + 6.40%,
4.40% (A), 01/15/2037

     25,519        1,491  

(1.00) * 1-Month LIBOR + 6.45%,
4.45% (A), 11/15/2037

     11,679        1,735  

(1.00) * 1-Month LIBOR + 6.80%,
4.80% (A), 09/15/2039

     64,507        5,056  

5.00%, 10/15/2039 - 08/15/2040

     142,869        7,929  

Federal Home Loan Mortgage Corp. REMIC, Principal Only STRIPS

     

09/15/2032 - 12/15/2043

     1,843,115        1,595,923  

Federal Home Loan Mortgage Corp. STRIPS

     

3.50%, 07/15/2042

     612,182        610,522  

Federal Home Loan Mortgage Corp. Structured Pass-Through Certificates

     

1.60% (A), 10/25/2037

     195,031        186,241  

5.23%, 05/25/2043

     590,588        622,355  

6.50%, 02/25/2043

     203,886        227,033  

6.50% (A), 09/25/2043

     89,601        102,058  

7.00%, 02/25/2043 - 07/25/2043

     221,996        245,482  

7.50%, 02/25/2042 - 09/25/2043

     265,389        294,867  

Federal Home Loan Mortgage Corp., Interest Only STRIPS

     

(1.00) * 1-Month LIBOR + 7.70%,
5.70% (A), 08/15/2036

     167,103        29,122  

Federal National Mortgage Association

     

0.75%, 09/25/2028

     2,642,398        2,532,266  

1.00%, 11/25/2033

     1,694,716        1,649,302  

6-Month LIBOR + 1.17%,
1.67% (A), 09/01/2036

     13,392        13,558  

1.71% (A), 11/25/2031

     2,500,000        2,190,311  

6-Month LIBOR + 1.46%,
1.79% (A), 02/01/2037

     5,807        5,879  

12-Month LIBOR + 1.57%,
1.82% (A), 09/01/2036

     55,368        56,572  

6-Month LIBOR + 1.53%,
1.93% (A), 02/01/2037

     29,045        29,766  

12-Month LIBOR + 1.25%,
1.93% (A), 11/01/2037

     18,553        18,837  

12-Month LIBOR + 1.76%,
2.01% (A), 09/01/2037

     3,861        3,858  

12-Month LIBOR + 1.77%,
2.02% (A), 10/01/2036

     21,037        20,885  

12-Month LIBOR + 1.80%,
2.05% (A), 12/01/2036

     8,701        8,679  
 

 

Transamerica Funds

    Page    16         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)  

Federal National Mortgage Association (continued)

 

12-Month LIBOR + 1.82%,
2.07% (A), 09/01/2036

     $   6,026        $   6,000  

12-Month LIBOR + 1.88%,
2.13% (A), 08/01/2036

     2,814        2,798  

2.15%, 01/25/2023

     618,308        616,100  

12-Month LIBOR + 1.95%,
2.20% (A), 11/01/2036

     699        698  

12-Month LIBOR + 1.61%,
2.22% (A), 04/01/2037

     1,849        1,848  

6-Month LIBOR + 1.34%,
2.29% (A), 07/01/2037

     31,233        31,800  

12-Month LIBOR + 1.69%,
2.30% (A), 04/01/2036

     17,185        17,542  

1-Year CMT + 2.02%,
2.35% (A), 11/01/2037

     28,489        29,303  

2.43%, 08/01/2026

     1,826,370        1,777,959  

2.44%, 06/01/2030

     2,390,411        2,265,022  

2.47% (A), 12/25/2026

     331,435        323,348  

1-Month LIBOR + 0.22%,
2.48% (A), 03/25/2045 - 02/25/2046

     70,340        69,679  

2.49%, 05/01/2026

     944,311        922,075  

2.50%, 09/01/2051 - 07/01/2061

     6,401,295        5,965,681  

12-Month LIBOR + 1.79%,
2.53% (A), 07/01/2037

     14,456        14,364  

2.58%, 03/01/2032

     2,593,165        2,431,262  

2.61%, 06/01/2026

     1,012,000        991,813  

2.62%, 11/01/2031

     4,165,000        3,945,713  

2.63%, 03/01/2026

     2,758,658        2,712,461  

2.64%, 06/01/2026

     2,477,000        2,430,309  

1-Month LIBOR + 0.40%,
2.66% (A), 05/25/2042

     126,143        125,438  

2.70%, 07/01/2026

     1,214,198        1,193,820  

2.80%, 01/01/2028

     1,094,671        1,081,206  

1-Month LIBOR + 0.55%,
2.81% (A), 08/25/2042

     269,932        271,888  

2.92%, 01/01/2025

     2,391,847        2,374,351  

2.94% (A), 01/25/2026

     2,986,399        2,953,125  

2.94%, 12/01/2028

     5,000,000        4,903,167  

2.98%, 06/01/2027

     1,687,752        1,672,744  

3.00%, 06/01/2043 - 02/01/2052

     4,314,783        4,185,110  

3.02%, 07/01/2024 - 07/01/2029

     7,476,552        7,406,637  

3.06% (A), 05/25/2027 - 03/25/2028

     2,627,300        2,617,856  

12-Month LIBOR + 1.64%,
3.06% (A), 07/01/2037

     10,346        10,609  

3.07% (A), 06/25/2027

     1,333,225        1,328,500  

3.08% (A), 02/25/2030

     776,188        771,287  

3.08%, 12/01/2024

     1,764,472        1,760,452  

3.09%, 09/01/2029

     3,797,000        3,759,250  

12-Month LIBOR + 1.72%,
3.10% (A), 05/01/2036

     7,594        7,611  

6-Month LIBOR + 2.50%,
3.11% (A), 03/01/2036

     81,449        85,285  

3.11%, 03/01/2027

     1,847,457        1,843,087  

3.12% (A), 04/25/2029

     1,170,925        1,163,926  

12-Month LIBOR + 2.38%,
3.13% (A), 03/01/2036

     41,508        42,998  

3.15%, 04/01/2031

     2,463,525        2,475,168  

12-Month LIBOR + 2.37%,
3.18% (A), 08/01/2037

     15,969        16,090  

3.24%, 06/01/2026

     854,077        856,091  

3.36% (A), 07/25/2028

     2,032,000        2,050,120  

3.37%, 05/01/2037

     817,030        814,664  

3.50%, 04/01/2043 - 03/01/2060

     15,261,137        15,270,171  

3.54%, 06/01/2032

     2,822,000        2,871,309  

3.76%, 12/01/2035

     1,795,080        1,836,436  

3.97%, 12/01/2025

     383,741        393,286  

4.00%, 01/01/2043 - 04/01/2052

     4,241,449        4,343,827  
     Principal      Value  
U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)  

Federal National Mortgage Association (continued)

     

12-Month LIBOR + 1.84%,
4.09% (A), 06/01/2036

     $   16,591        $   17,017  

4.45%, 07/01/2026

     1,231,021        1,292,154  

4.55%, 06/25/2043

     53,629        54,633  

5.00%, 08/01/2024 - 08/01/2040

     279,540        296,720  

5.50%, 11/01/2032 - 07/01/2037

     697,992        740,047  

6.00%, 01/01/2024 - 11/01/2037

     774,330        813,837  

6.50%, 06/01/2023 - 07/25/2042

     479,901        512,007  

7.00%, 12/25/2033 - 02/25/2044

     401,795        441,538  

7.50%, 10/01/2037 - 12/25/2045

     147,802        166,368  

8.00%, 10/01/2031

     13,460        14,003  

Federal National Mortgage Association Grantor Trust

     

2.90%, 06/25/2027

     2,031,428        2,006,986  

6.50%, 11/25/2031

     106,882        118,863  

7.00%, 12/25/2041 - 02/25/2044

     304,267        332,961  

7.50%, 08/25/2041 - 12/25/2041

     230,754        252,987  

Federal National Mortgage Association Multifamily Trust REMIC

     

Series 2022-M1G, Class A2,

     

1.53% (A), 09/25/2031

     10,700,000        9,263,177  

Federal National Mortgage Association REMIC

     

1-Month LIBOR + 0.25%,
1.64% (A), 06/27/2036

     92,517        91,206  

1-Month LIBOR + 0.24%,
2.50% (A), 10/25/2046

     57,273        56,759  

1-Month LIBOR + 0.29%,
2.55% (A), 07/25/2036

     58,470        58,120  

1-Month LIBOR + 0.40%,
2.66% (A), 06/25/2037

     13,115        13,061  

1-Month LIBOR + 0.55%,
2.81% (A), 08/25/2041

     94,553        94,804  

2.86% (A), 12/25/2039

     65,989        68,595  

1-Month LIBOR + 0.60%,
2.86% (A), 04/25/2040

     71,924        72,250  

3.00%, 01/25/2046

     467,760        461,492  

3.50%, 02/25/2043

     391,314        384,206  

4.50%, 02/25/2039 - 05/25/2041

     536,856        561,729  

5.11% (A), 01/25/2032 (D)

     8,096        8,240  

5.34% (A), 12/25/2042

     72,253        73,595  

5.50%, 08/25/2025 - 10/25/2040

     3,112,315        3,345,197  

5.75%, 08/25/2034

     392,719        398,677  

5.85% (A), 05/25/2051

     66,897        72,507  

6.00% (A), 06/25/2040

     74,647        80,312  

6.00%, 03/25/2029 - 12/25/2049

     917,414        975,515  

6.20% (A), 02/25/2040

     83,205        88,972  

6.25%, 09/25/2038

     10,507        11,444  

6.43% (A), 03/25/2040

     122,944        130,518  

6.50%, 04/18/2028 - 11/25/2041

     347,133        374,502  

6.75%, 04/25/2037

     33,083        34,716  

7.00%, 03/25/2038 - 11/25/2041

     677,822        756,685  

7.50%, 05/17/2024

     10,041        10,228  

8.00%, 02/25/2023

     11,864        11,941  

(2.00) * 1-Month LIBOR + 12.66%,
8.14% (A), 03/25/2040

     87,265        95,408  

(3.33) * 1-Month LIBOR + 17.67%,
10.14% (A), 04/25/2040

     91,531        97,583  

(2.50) * 1-Month LIBOR + 16.88%,
11.23% (A), 08/25/2035 - 10/25/2035

     25,532        28,936  

(2.75) * 1-Month LIBOR + 17.88%,
11.66% (A), 09/25/2024

     21,008        20,854  

(2.00) * 1-Month LIBOR + 16.20%,
11.68% (A), 01/25/2034

     2,347        2,346  

(2.75) * 1-Month LIBOR + 19.53%,
13.31% (A), 05/25/2034

     53,282        63,412  
 

 

Transamerica Funds

    Page    17         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)  

Federal National Mortgage Association REMIC (continued)

 

(2.75) * 1-Month LIBOR + 20.13%,
13.92% (A), 05/25/2035

     $   43,601        $   45,561  

(3.33) * 1-Month LIBOR + 22.67%,
15.14% (A), 04/25/2037

     30,254        37,968  

(3.67) * 1-Month LIBOR + 24.57%,
16.28% (A), 11/25/2035

     27,195        30,865  

Federal National Mortgage Association
REMIC, Interest Only STRIPS

     

0.69% (A), 01/25/2038

     29,167        968  

1.02% (A), 04/25/2041

     115,340        6,134  

(1.00) * 1-Month LIBOR + 4.44%,
2.18% (A), 11/25/2040

     234,785        17,816  

(1.00) * 1-Month LIBOR + 5.00%,
2.74% (A), 07/25/2040

     268,617        25,579  

(1.00) * 1-Month LIBOR + 5.90%,
3.64% (A), 10/25/2039

     17,869        2,058  

(1.00) * 1-Month LIBOR + 6.00%,
3.74% (A), 02/25/2038 - 06/25/2039

     246,717        24,181  

(1.00) * 1-Month LIBOR + 6.18%,
3.92% (A), 12/25/2039

     5,563        622  

(1.00) * 1-Month LIBOR + 6.25%,
3.99% (A), 01/25/2040

     130,248        16,478  

(1.00) * 1-Month LIBOR + 6.35%,
4.09% (A), 12/25/2037

     157,998        19,441  

(1.00) * 1-Month LIBOR + 6.40%,
4.14% (A), 07/25/2037 - 05/25/2040

     347,090        46,936  

(1.00) * 1-Month LIBOR + 6.42%,
4.16% (A), 04/25/2040

     51,246        5,919  

(1.00) * 1-Month LIBOR + 6.45%,
4.19% (A), 10/25/2037 - 12/25/2037

     147,102        22,343  

(1.00) * 1-Month LIBOR + 6.62%,
4.36% (A), 07/25/2037

     65,561        8,387  

(1.00) * 1-Month LIBOR + 6.65%,
4.39% (A), 10/25/2026 - 03/25/2039

     219,354        16,507  

(1.00) * 1-Month LIBOR + 6.70%,
4.44% (A), 03/25/2036

     585,481        79,319  

(1.00) * 1-Month LIBOR + 6.99%,
4.73% (A), 03/25/2038

     59,447        9,284  

(1.00) * 1-Month LIBOR + 7.10%,
4.84% (A), 02/25/2040

     49,152        5,814  

5.00%, 07/25/2039

     34,638        5,914  

5.50%, 10/25/2039

     51,631        9,387  

Federal National Mortgage Association
REMIC, Principal Only STRIPS

     

10/25/2023 - 12/25/2043

     1,328,204        1,151,151  

Federal National Mortgage Association,
Interest Only STRIPS

     

1.97% (A), 11/25/2033

     12,665,017        1,448,190  

2.01% (A), 07/25/2030

     13,752,904        1,497,676  

Federal National Mortgage Association,
Principal Only STRIPS

     

09/25/2024 - 08/25/2032

     131,046        120,926  

FREMF Mortgage Trust

     

3.58% (A), 11/25/2049 (B)

     920,000        894,380  

3.72% (A), 01/25/2048 (B)

     1,405,000        1,371,872  

3.72% (A), 01/25/2048 (B)

     4,355,000        4,288,158  

3.83% (A), 11/25/2047 (B)

     2,000,000        1,960,399  

3.89% (A), 07/25/2049 (B)

     750,000        746,980  

4.07% (A), 11/25/2047 (B)

     853,000        842,394  

Government National Mortgage Association

     

2.50%, 08/20/2051 - 10/20/2051

     955,544        909,963  

3.00%, 01/20/2052 - 02/20/2052

     4,671,545        4,558,662  

3.50%, 01/20/2051 - 02/20/2052

     14,432,210        14,467,788  

1-Year CMT + 1.64%,
3.69% (A), 05/20/2072

     1,718,559        1,780,063  
     Principal      Value  
U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)  

Government National Mortgage Association (continued)

 

1-Year CMT + 1.71%,
3.72% (A), 03/20/2072

     $   1,883,116        $   1,956,510  

1-Year CMT + 1.76%,
3.78% (A), 11/20/2071

     1,733,187        1,802,584  

1-Year CMT + 1.78%,
3.78% (A), 04/20/2072

     1,889,337        1,971,585  

1-Year CMT + 1.75%,
3.78% (A), 11/20/2071

     2,170,203        2,256,252  

1-Year CMT + 1.84%,
3.89% (A), 08/20/2071

     1,522,821        1,588,857  

4.00%, 02/20/2052

     2,184,324        2,222,096  

4.50%, 11/20/2049

     1,553,705        1,624,227  

5.00%, 05/20/2052

     2,294,517        2,355,147  

5.50%, 09/20/2039

     122,968        133,925  

6.00%, 08/20/2038

     16,498        17,513  

6.50%, 01/15/2032 - 12/15/2035

     260,863        281,919  

7.00%, 09/15/2031

     44,190        47,868  

7.50%, 10/15/2037

     39,594        43,285  

Government National Mortgage
Association REMIC

     

1-Month LIBOR + 0.45%,
1.57% (A), 03/20/2060

     8,871        8,761  

1-Month LIBOR + 0.47%,
1.59% (A), 05/20/2063

     589,557        585,004  

1-Month LIBOR + 0.50%,
1.62% (A), 06/20/2067

     1,374,921        1,361,283  

1-Month LIBOR + 0.52%,
1.64% (A), 10/20/2062

     528,324        524,872  

1-Month LIBOR + 0.53%,
1.65% (A), 10/20/2062

     817,197        817,085  

1-Month LIBOR + 0.58%,
1.70% (A), 05/20/2066

     234,286        233,254  

1-Month LIBOR + 0.60%,
1.72% (A), 11/20/2065

     1,932,351        1,917,699  

1-Month LIBOR + 0.65%,
1.77% (A), 05/20/2061 - 01/20/2066

     3,664,119        3,644,490  

1-Month LIBOR + 0.70%,
1.82% (A), 05/20/2061 - 03/20/2066

     2,648,938        2,636,903  

1-Month LIBOR + 1.00%,
2.12% (A), 12/20/2066

     488,867        489,967  

4.50%, 11/20/2034

     697,148        714,138  

5.50%, 01/16/2033 - 09/20/2039

     1,795,570        1,871,037  

5.75%, 02/20/2036 - 10/20/2037

     224,886        236,321  

5.83% (A), 10/20/2033

     113,210        119,307  

6.00%, 11/20/2033 - 12/20/2035

     392,887        411,542  

(6.25) * 1-Month LIBOR + 44.50%,
7.00% (A), 09/20/2034

     5,774        5,900  

7.00%, 08/16/2039 - 10/16/2040

     230,354        249,503  

7.50%, 09/16/2035

     7,136        7,332  

(2.92) * 1-Month LIBOR + 17.50%,
11.30% (A), 02/20/2034

     22,700        24,641  

(3.50) * 1-Month LIBOR + 23.28%,
15.83% (A), 04/20/2037

     62,790        71,257  

Government National Mortgage Association REMIC, Interest Only STRIPS

     

1.23% (A), 06/20/2067

     2,829,441        160,146  

(1.00) * 1-Month LIBOR + 5.83%,
3.70% (A), 02/20/2038

     33,171        2,012  

(1.00) * 1-Month LIBOR + 5.90%,
3.77% (A), 09/20/2038

     207,349        14,153  

(1.00) * 1-Month LIBOR + 5.95%,
3.82% (A), 02/20/2039 - 06/20/2039

     78,492        5,507  

(1.00) * 1-Month LIBOR + 6.00%,
3.87% (A), 02/20/2038

     335,810        25,905  

(1.00) * 1-Month LIBOR + 6.05%,
3.89% (A), 08/16/2039

     122,768        10,329  
 

 

Transamerica Funds

    Page    18         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

     Principal      Value  
U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)  

Government National Mortgage Association REMIC, Interest Only STRIPS (continued)

     

(1.00) * 1-Month LIBOR + 6.04%,
3.91% (A), 02/20/2039

     $   25,929        $   681  

(1.00) * 1-Month LIBOR + 6.10%,
3.94% (A), 07/16/2039

     106,115        9,336  

(1.00) * 1-Month LIBOR + 6.09%,
3.96% (A), 09/20/2039

     209,159        22,794  

(1.00) * 1-Month LIBOR + 6.10%,
3.97% (A), 11/20/2034

     170,084        8,332  

(1.00) * 1-Month LIBOR + 6.15%,
4.02% (A), 07/20/2038

     221,996        8,080  

(1.00) * 1-Month LIBOR + 6.20%,
4.07% (A), 03/20/2037 - 06/20/2038

     96,777        6,877  

(1.00) * 1-Month LIBOR + 6.40%,
4.24% (A), 11/16/2039

     143,503        17,298  

(1.00) * 1-Month LIBOR + 6.55%,
4.39% (A), 11/16/2033

     32,348        1,745  

(1.00) * 1-Month LIBOR + 6.55%,
4.42% (A), 11/20/2037

     21,845        1,135  

(1.00) * 1-Month LIBOR + 6.60%,
4.47% (A), 05/20/2041

     139,109        11,768  

(1.00) * 1-Month LIBOR + 6.68%,
4.55% (A), 07/20/2037

     131,425        10,707  

(1.00) * 1-Month LIBOR + 6.70%,
4.57% (A), 06/20/2037

     243,493        26,338  

(1.00) * 1-Month LIBOR + 7.30%,
5.17% (A), 12/20/2038

     135,608        10,938  

(1.00) * 1-Month LIBOR + 7.60%,
5.47% (A), 09/20/2038

     15,885        1,293  

(1.00) * 1-Month LIBOR + 7.70%,
5.54% (A), 04/16/2038

     13,312        1,316  

6.50%, 03/20/2039

     18,806        2,823  

Government National Mortgage Association REMIC, Principal Only STRIPS

     

08/20/2035 - 12/20/2040

     433,706        387,539  

Resolution Funding Corp., Principal Only STRIPS

     

Zero Coupon, 01/15/2030

     2,000,000        1,593,048  

Tennessee Valley Authority

     

4.25%, 09/15/2065

     365,000        388,100  

4.63%, 09/15/2060

     451,000        516,167  

5.88%, 04/01/2036

     2,565,000        3,247,068  

Tennessee Valley Authority, Principal Only STRIPS

     

11/01/2025 - 05/01/2030

     3,300,000        2,833,119  

Uniform Mortgage-Backed Security

     

3.50%, TBA (I)

     605,000        597,651  

4.00%, TBA (I)

     510,000        512,909  

4.50%, TBA (I)

     140,000        142,516  

Vendee Mortgage Trust

     

6.75%, 06/15/2028

     98,930        105,226  

7.25%, 02/15/2023

     14,053        14,144  
     

 

 

 

Total U.S. Government Agency Obligations
(Cost $264,166,964)

 

     253,969,072  
     

 

 

 
U.S. GOVERNMENT OBLIGATIONS - 26.9%  
U.S. Treasury - 26.9%  

U.S. Treasury Bond

     

1.25%, 05/15/2050

     3,141,000        2,078,827  

1.63%, 11/15/2050

     4,275,000        3,122,253  

1.75%, 08/15/2041

     1,510,000        1,190,364  

1.88%, 02/15/2041 - 11/15/2051

     27,855,100        22,090,985  

2.00%, 11/15/2041 - 08/15/2051

     3,939,000        3,172,711  

2.25%, 05/15/2041 - 08/15/2046

     4,320,000        3,720,898  

2.25%, 02/15/2052 (G)

     7,550,000        6,448,172  

2.38%, 02/15/2042 - 05/15/2051

     8,365,000        7,331,041  
     Principal      Value  
U.S. GOVERNMENT OBLIGATIONS (continued)  
U.S. Treasury (continued)  

U.S. Treasury Bond (continued)

     

2.50%, 02/15/2045

     $   2,300,000        $   2,015,016  

2.88%, 08/15/2045

     2,260,000        2,118,927  

3.00%, 02/15/2047 - 02/15/2048

     594,000        575,947  

3.13%, 02/15/2043 - 05/15/2048

     1,651,000        1,625,912  

3.38%, 05/15/2044

     3,000,000        3,057,422  

3.50%, 02/15/2039

     5,154,800        5,610,476  

3.63%, 08/15/2043 - 02/15/2044

     8,790,000        9,313,440  

3.88%, 08/15/2040

     3,035,000        3,402,045  

4.25%, 05/15/2039 - 11/15/2040

     17,900,000        21,012,528  

U.S. Treasury Bond, Principal Only STRIPS

     

08/15/2022 - 11/15/2022 (G)

     3,455,000        3,435,719  

02/15/2023 - 11/15/2041 (G)

     19,905,000        18,353,750  

08/15/2024 - 02/15/2032

     8,660,000        7,292,292  

U.S. Treasury Note

     

0.38%, 01/31/2026 (G)

     290,000        266,664  

0.50%, 02/28/2026

     8,880,000        8,190,412  

0.63%, 08/15/2030 (G)

     690,000        590,004  

0.75%, 04/30/2026

     220,000        204,179  

0.88%, 06/30/2026 - 11/15/2030

     4,800,500        4,294,230  

1.13%, 08/31/2028 (G)

     24,000,000        21,856,875  

1.25%, 03/31/2028 (G)

     4,015,000        3,702,426  

1.25%, 06/30/2028 - 08/15/2031

     7,824,500        7,176,438  

1.38%, 11/15/2031

     14,241,800        12,770,889  

1.50%, 02/28/2023 - 02/15/2030

     5,917,000        5,816,430  

1.63%, 02/15/2026 - 05/15/2031

     40,183,400        38,544,563  

1.75%, 12/31/2024 - 12/31/2026

     950,200        919,187  

1.88%, 08/31/2022 (G)

     4,000,000        3,998,774  

1.88%, 08/31/2024 - 02/28/2029 (G)

     6,698,000        6,385,050  

2.00%, 02/15/2023 - 11/15/2026

     969,000        952,254  

2.00%, 08/15/2025 (G)

     46,800        45,656  

2.13%, 02/29/2024 (G)

     279,000        275,360  

2.13%, 03/31/2024

     1,000,000        986,445  

2.25%, 11/15/2024 - 02/15/2027 (G)

     4,435,000        4,367,157  

2.50%, 05/15/2024 - 02/28/2026

     363,000        359,765  

2.75%, 05/31/2023

     334,000        333,426  

2.88%, 04/30/2029

     7,650,000        7,731,879  
     

 

 

 

Total U.S. Government Obligations
(Cost $277,803,430)

 

     256,736,788  
     

 

 

 
     Shares      Value  
OTHER INVESTMENT COMPANY - 4.0%  
Securities Lending Collateral - 4.0%  

State Street Navigator Securities
Lending Trust - Government Money Market
Portfolio, 2.27% (J)

     38,047,484        38,047,484  
     

 

 

 

Total Other Investment Company
(Cost $38,047,484)

 

     38,047,484  
     

 

 

 
     Principal      Value  
REPURCHASE AGREEMENT - 2.7%  

Fixed Income Clearing Corp., 0.65% (J), dated 07/29/2022, to be repurchased at $25,607,478 on 08/01/2022. Collateralized by a U.S. Government Obligation, 3.00%, due 07/15/2025, and with a value of $26,118,258.

     $  25,606,091        25,606,091  
     

 

 

 

Total Repurchase Agreement
(Cost $25,606,091)

 

     25,606,091  
     

 

 

 

Total Investments
(Cost $1,048,488,598)

 

     985,824,581  

Net Other Assets (Liabilities) - (3.5)%

        (33,214,239)  
     

 

 

 

Net Assets - 100.0%

        $  952,610,342  
     

 

 

 
 

 

Transamerica Funds

    Page    19         

Transamerica Core Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

INVESTMENT VALUATION:

 

Valuation Inputs (K)

 

     Level 1 -
Unadjusted
Quoted
Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs (L)
     Value  

ASSETS

 

Investments

 

Asset-Backed Securities

   $ —        $ 99,483,362      $ 3,599,585      $ 103,082,947  

Corporate Debt Securities

     —          247,280,750        —          247,280,750  

Foreign Government Obligations

     —          3,846,194        —          3,846,194  

Mortgage-Backed Securities

     —          51,831,623        —          51,831,623  

Municipal Government Obligations

     —          5,423,632        —          5,423,632  

U.S. Government Agency Obligations

     —          253,969,072        —          253,969,072  

U.S. Government Obligations

     —          256,736,788        —          256,736,788  

Other Investment Company

     38,047,484        —          —          38,047,484  

Repurchase Agreement

     —          25,606,091        —          25,606,091  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Investments

   $     38,047,484      $     944,177,512      $     3,599,585      $     985,824,581  
  

 

 

    

 

 

    

 

 

    

 

 

 

Transfers

 

Investments

   Transfers from
Level 1 to Level 3
     Transfers from
Level 3 to Level 1
     Transfers from
Level 2 to Level 3
     Transfers from
Level 3 to Level 2
 

Asset-Backed Securities (C)

   $     —        $     —        $     —        $     2,287,531  
  

 

 

    

 

 

    

 

 

    

 

 

 

FOOTNOTES TO SCHEDULE OF INVESTMENTS:

 

(A)      Floating or variable rate securities. The rates disclosed are as of July 31, 2022. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. 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 the description.
(B)      Securities are exempt from registration pursuant to Rule 144A of the Securities Act of 1933. Securities may be resold as transactions exempt from registration, normally to qualified institutional buyers. At July 31, 2022, the total value of 144A securities is $204,354,389, representing 21.5% of the Fund’s net assets.
(C)      Transferred from Level 3 to 2 due to utilizing significant observable inputs. As of prior reporting period the security utilized significant unobservable inputs.
(D)      Step bonds. Coupon rates change in increments to maturity. The rates disclosed are as of July 31, 2022; the maturity dates disclosed are the ultimate maturity dates.
(E)      Fair valued as determined in good faith in accordance with procedures established by the Board. At July 31, 2022, the total value of securities is $6,114,122, representing 0.6% of the Fund’s net assets.
(F)      Securities are Level 3 of the fair value hierarchy.
(G)      All or a portion of the securities are on loan. The total value of all securities on loan is $68,130,037, collateralized by cash collateral of $38,047,484 and non-cash collateral, such as U.S. government securities and irrevocable letters of credit, of $31,502,896. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(H)      Percentage rounds to less than 0.1% or (0.1)%.
(I)      When-issued, delayed-delivery and/or forward commitment (including TBAs) securities. Securities to be settled and delivered after July 31, 2022. Securities may display a coupon rate of 0.00%, as the rate is to be determined at time of settlement.
(J)      Rates disclosed reflect the yields at July 31, 2022.
(K)      The Fund recognized transfers in and out of Level 3 during the period ended July 31, 2022. Please reference the Investment Valuation section of the Notes to Schedule of Investments for more information regarding investment valuation and pricing inputs.
(L)      Level 3 securities were not considered significant to the Fund.

PORTFOLIO ABBREVIATIONS:

 

CMT

   Constant Maturity Treasury

LIBOR

   London Interbank Offered Rate

STRIPS

   Separate Trading of Registered Interest and Principal of Securities

TBA

   To Be Announced

 

Transamerica Funds

    Page    20         

Transamerica Core Bond

 

NOTES TO SCHEDULE OF INVESTMENTS

At July 31, 2022

(unaudited)

 

INVESTMENT VALUATION

Transamerica Core Bond (the “Fund”) is a series of the Transamerica Funds.

All investments in securities are recorded at their estimated fair value. The Fund values its investments at the official close of the New York Stock Exchange (“NYSE”) each day the NYSE is open for business.

The Fund utilizes various methods to measure the fair value of its investments on a recurring basis. Generally Accepted Accounting Principles in the United States of America establishes a hierarchy that prioritizes inputs to valuation methods. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The three levels (“Levels”) of inputs of the fair value hierarchy are defined as follows:

Level 1 — Unadjusted quoted prices in active markets for identical securities.

Level 2 — Inputs, other than quoted prices included in Level 1, which are observable, either directly or indirectly. These inputs may include quoted prices for the identical instrument on an inactive market, prices for similar instruments, interest rates, prepayment speeds, credit risk, yield curves, default rates, and similar data.

Level 3 — Unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available, which may include the Fund’s own assumptions used in determining the fair value of investments.

The inputs used to measure fair value may fall into different Levels of the fair value hierarchy. In such cases, for disclosure purposes, the Level in the fair value hierarchy that is assigned to the fair value measurement of a security is determined based on the lowest Level input that is significant to the fair value measurement in its entirety. Certain investments that are measured at fair value using Net Asset Value (“NAV”) per share, or its equivalent, using the “practical expedient” have not been classified in the fair value Levels. The hierarchy classification of inputs used to value the Fund’s investments at July 31, 2022, is disclosed within the Investment Valuation section of the Schedule of Investments.

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, but not limited to, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is generally greatest for instruments categorized in Level 3. Due to the inherent uncertainty of valuation, the determination of values may differ significantly from values that would have been realized had a ready market for investments existed, and the differences could be material.

Fair value measurements: Descriptions of the valuation techniques applied to the Fund’s significant categories of assets and liabilities measured at fair value on a recurring basis are as follows:

Asset-backed securities: The fair value of asset-backed securities is estimated based on models that consider the estimated cash flows of each tranche of the entity, establish a benchmark yield, and develop an estimated tranche specific spread to the benchmark yield based on the unique attributes of the tranche. To the extent the inputs are observable and timely, the values would generally be categorized in Level 2 of the fair value hierarchy; otherwise they would be categorized in Level 3.

Corporate debt securities: The fair value of corporate debt securities is estimated using various techniques, which consider recently executed transactions in securities of the issuer or comparable issuers, market price quotations (where observable), bond spreads, fundamental data relating to the issuer, and credit default swap spreads adjusted for any basis difference between cash and derivative instruments. While most corporate debt securities are categorized in Level 2 of the fair value hierarchy, in instances where lower relative weight is placed on transaction prices, quotations, or similar observable inputs, they are categorized in Level 3.

Foreign government obligations: Foreign government obligations are normally valued using a model that incorporates market observable data such as reported sales of similar securities, broker quotes, yields, bids, offers, and reference data. Certain securities are valued by principally using dealer quotations. Foreign government obligations generally are categorized in Level 2 of the fair value hierarchy, or Level 3 if inputs are unobservable.

Mortgage-backed securities: The fair value of mortgage-backed securities is estimated based on models that consider issuer type, coupon, cash flows, mortgage prepayment projection tables and adjustable rate mortgage evaluations that incorporate index data, periodic life caps and the next coupon reset date. To the extent the inputs are observable and timely, the values would generally be categorized in Level 2 of the fair value hierarchy; otherwise they are categorized in Level 3.

 

Transamerica Funds

    Page    21         

Transamerica Core Bond

 

NOTES TO SCHEDULE OF INVESTMENTS (continued)

At July 31, 2022

(unaudited)

 

Municipal government obligations: The fair value of municipal government obligations and variable rate notes is estimated based on models that consider, among other factors, information received from market makers and broker-dealers, current trades, bid-want lists, offerings, market movements, the liquidity of the bond, state of issuance, benchmark yield curves, and bond or note insurance. To the extent the inputs are observable and timely, the values would generally be categorized in Level 2 of the fair value hierarchy; otherwise they are categorized in Level 3.

U.S. government agency obligations: U.S. government agency obligations are comprised of two main categories consisting of agency issued debt and mortgage pass-throughs. Generally, agency issued debt securities are valued in a manner similar to U.S. government obligations. Mortgage pass-throughs include to be announced (“TBA”) securities and mortgage pass-through certificates. Generally, TBA securities and mortgage pass-throughs are valued using dealer quotations. Depending on market activity levels and whether quotations or other observable data are used, these securities are typically categorized in Level 2 of the fair value hierarchy; otherwise they would be categorized in Level 3.

U.S. government obligations: U.S. government obligations are normally valued using a model that incorporates market observable data such as reported sales of similar securities, broker quotes, yields, bids, offers, and reference data. Certain securities are valued by principally using dealer quotations. U.S. government obligations generally are categorized in Level 2 of the fair value hierarchy, or Level 3 if inputs are unobservable.

Securities lending collateral: Securities lending collateral is invested in a money market fund which is valued at the actively traded NAV and no valuation adjustments are applied. Securities lending collateral is categorized in Level 1 of the fair value hierarchy.

Repurchase agreements: Repurchase agreements are valued at cost, which approximates fair value. To the extent the inputs are observable and timely, the values are generally categorized in Level 2 of the fair value hierarchy.

 

Transamerica Funds

    Page    22