0001752724-24-184361.txt : 20240820 0001752724-24-184361.hdr.sgml : 20240820 20240820163815 ACCESSION NUMBER: 0001752724-24-184361 CONFORMED SUBMISSION TYPE: NPORT-P/A PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20231231 FILED AS OF DATE: 20240820 DATE AS OF CHANGE: 20240820 PERIOD START: 20240331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: RYDEX SERIES FUNDS CENTRAL INDEX KEY: 0000899148 ORGANIZATION NAME: IRS NUMBER: 000000000 FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: NPORT-P/A SEC ACT: 1940 Act SEC FILE NUMBER: 811-07584 FILM NUMBER: 241225749 BUSINESS ADDRESS: STREET 1: 702 KING FARM BOULEVARD STREET 2: SUITE 200 CITY: ROCKVILLE STATE: MD ZIP: 20850 BUSINESS PHONE: 301-296-5100 MAIL ADDRESS: STREET 1: 702 KING FARM BOULEVARD STREET 2: SUITE 200 CITY: ROCKVILLE STATE: MD ZIP: 20850 FORMER COMPANY: FORMER CONFORMED NAME: RYDEX DYNAMIC FUNDS DATE OF NAME CHANGE: 20170712 FORMER COMPANY: FORMER CONFORMED NAME: RYDEX SERIES FUNDS DATE OF NAME CHANGE: 20000229 FORMER COMPANY: FORMER CONFORMED NAME: RYDEX SERIES TRUST DATE OF NAME CHANGE: 19930714 0000899148 S000012221 S&P 500 Fund C000033368 Class A RYSOX C000033369 Class C RYSYX C000033370 Class H RYSPX NPORT-P/A 1 primary_doc.xml NPORT-P/A false 0001752724-24-048597 0000899148 XXXXXXXX S000012221 C000033368 C000033369 C000033370 Rydex Series Funds 811-07584 0000899148 5493004D62WV1EDNTU07 702 King Farm Blvd., Suite 200 Rockville 20850 301-296-5100 S&P 500 Fund S000012221 549300B4HPBJ0JTHV043 2024-03-31 2023-12-31 N 182563564.91 489065.98 182074498.93 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 1279.36000000 N S&P 500 Index SNP500 Aflac Inc 549300N0B7DOGLXWPP39 Aflac, Inc. 001055102 2345.00000000 NS USD 193462.50000000 0.106254583226 Long EC CORP US N 1 N N N AES Corp/The 2NUNNB7D43COUIRE5295 AES Corp. 00130H105 2952.00000000 NS USD 56826.00000000 0.031210301461 Long EC CORP US N 1 N N N AT&T Inc 549300Z40J86GGSTL398 AT&T, Inc. 00206R102 31522.00000000 NS USD 528939.16000000 0.290506997469 Long EC CORP US N 1 N N N Abbott Laboratories HQD377W2YR662HK5JX27 Abbott Laboratories 002824100 7651.00000000 NS USD 842145.57000000 0.462528017349 Long EC CORP US N 1 N N N AbbVie Inc FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287Y109 7784.00000000 NS USD 1206286.48000000 0.662523575288 Long EC CORP US N 1 N N N Adobe Inc FU4LY2G4933NH2E1CP29 Adobe, Inc. 00724F101 2007.00000000 NS USD 1197376.20000000 0.657629820231 Long EC CORP US N 1 N N N Advanced Micro Devices Inc R2I72C950HOYXII45366 Advanced Micro Devices, Inc. 007903107 7123.00000000 NS USD 1050001.43000000 0.576687804261 Long EC CORP US N 1 N N N Agilent Technologies Inc QUIX8Y7A2WP0XRMW7G29 Agilent Technologies, Inc. 00846U101 1290.00000000 NS USD 179348.70000000 0.098502921086 Long EC CORP US N 1 N N N Airbnb Inc 549300HMUDNO0RY56D37 Airbnb, Inc. 009066101 1917.00000000 NS USD 260980.38000000 0.143337140309 Long EC CORP US N 1 N N N Air Products and Chemicals Inc 7QEON6Y1RL5XR3R1W237 Air Products and Chemicals, Inc. 009158106 979.00000000 NS USD 268050.20000000 0.147220067376 Long EC CORP US N 1 N N N Akamai Technologies Inc OC1LZNN2LF5WTJ5RIL89 Akamai Technologies, Inc. 00971T101 665.00000000 NS USD 78702.75000000 0.043225575499 Long EC CORP US N 1 N N N Albemarle Corp HDBLS2Q6GV1LSKQPBS54 Albemarle Corp. 012653101 517.00000000 NS USD 74696.16000000 0.041025053172 Long EC CORP US N 1 N N N Alexandria Real Estate Equitie MGCJBT4MKTQBVLNUIS88 Alexandria Real Estate Equities, Inc. 015271109 690.00000000 NS USD 87471.30000000 0.048041488793 Long EC CORP US N 1 N N N Align Technology Inc 549300N5YSE0U3LCP840 Align Technology, Inc. 016255101 314.00000000 NS USD 86036.00000000 0.047253185100 Long EC CORP US N 1 N N N Alliant Energy Corp 5493009ML300G373MZ12 Alliant Energy Corp. 018802108 1125.00000000 NS USD 57712.50000000 0.031697190072 Long EC CORP US N 1 N N N Allstate Corp/The OBT0W1ED8G0NWVOLOJ77 Allstate Corp. 020002101 1154.00000000 NS USD 161536.92000000 0.088720233173 Long EC CORP US N 1 N N N Alphabet Inc 5493006MHB84DD0ZWV18 Alphabet, Inc. 02079K107 21959.00000000 NS USD 3094681.87000000 1.699678916150 Long EC CORP US N 1 N N N Alphabet Inc 5493006MHB84DD0ZWV18 Alphabet, Inc. 02079K305 26091.00000000 NS USD 3644651.79000000 2.001736548181 Long EC CORP US N 1 N N N Altria Group Inc XSGZFLO9YTNO9VCQV219 Altria Group, Inc. 02209S103 7798.00000000 NS USD 314571.32000000 0.172770663573 Long EC CORP US N 1 N N N Amazon.com Inc ZXTILKJKG63JELOEG630 Amazon.com, Inc. 023135106 40092.00000000 NS USD 6091578.48000000 3.345651651273 Long EC CORP US N 1 N N N Ameren Corp XRZQ5S7HYJFPHJ78L959 Ameren Corp. 023608102 1159.00000000 NS USD 83842.06000000 0.046048216797 Long EC CORP US N 1 N N N American Airlines Group Inc N/A American Airlines Group, Inc. 02376R102 2881.00000000 NS USD 39584.94000000 0.021741067657 Long EC CORP US N 1 N N N American Electric Power Co Inc 1B4S6S7G0TW5EE83BO58 American Electric Power Company, Inc. 025537101 2318.00000000 NS USD 188267.96000000 0.103401608191 Long EC CORP US N 1 N N N American Express Co R4PP93JZOLY261QX3811 American Express Co. 025816109 2538.00000000 NS USD 475468.92000000 0.261139765752 Long EC CORP US N 1 N N N American International Group I ODVCVCQG2BP6VHV36M30 American International Group, Inc. 026874784 3095.00000000 NS USD 209686.25000000 0.115165084200 Long EC CORP US N 1 N N N American Tower Corp 5493006ORUSIL88JOE18 American Tower Corp. 03027X100 2055.00000000 NS USD 443633.40000000 0.243654878968 Long EC CORP US N 1 N N N American Water Works Co Inc 549300DXHIJQMD5WFW18 American Water Works Company, Inc. 030420103 858.00000000 NS USD 113247.42000000 0.062198397175 Long EC CORP US N 1 N N N Cencora Inc AI8GXW8LG5WK7E9UD086 Cencora, Inc. 03073E105 735.00000000 NS USD 150954.30000000 0.082907985954 Long EC CORP US N 1 N N N Ameriprise Financial Inc 6ZLKQF7QB6JAEKQS5388 Ameriprise Financial, Inc. 03076C106 446.00000000 NS USD 169404.18000000 0.093041134807 Long EC CORP US N 1 N N N AMETEK Inc 549300WZDEF9KKE40E98 AMETEK, Inc. 031100100 1018.00000000 NS USD 167858.02000000 0.092191943949 Long EC CORP US N 1 N N N Amgen Inc 62QBXGPJ34PQ72Z12S66 Amgen, Inc. 031162100 2359.00000000 NS USD 679439.18000000 0.373165481159 Long EC CORP US N 1 N N N Amphenol Corp 549300D3L3G0R4U4VT04 Amphenol Corp. 032095101 2638.00000000 NS USD 261504.94000000 0.143625242160 Long EC CORP US N 1 N N N Analog Devices Inc GYVOE5EZ4GDAVTU4CQ61 Analog Devices, Inc. 032654105 2197.00000000 NS USD 436236.32000000 0.239592212288 Long EC CORP US N 1 N N N ANSYS Inc 549300VJV8H15Z5FJ571 ANSYS, Inc. 03662Q105 383.00000000 NS USD 138983.04000000 0.076333061915 Long EC CORP US N 1 N N N Elevance Health Inc 8MYN82XMYQH89CTMTH67 Elevance Health, Inc. 036752103 1036.00000000 NS USD 488536.16000000 0.268316630209 Long EC CORP US N 1 N N N APA Corp 549300VCIWLRHYVSHC79 APA Corp. 03743Q108 1352.00000000 NS USD 48509.76000000 0.026642808457 Long EC CORP US N 1 N N N Apple Inc HWUPKR0MPOU8FGXBT394 Apple, Inc. 037833100 64452.00000000 NS USD 12408943.56000000 6.815311113266 Long EC CORP US N 1 N N N Applied Materials Inc 41BNNE1AFPNAZELZ6K07 Applied Materials, Inc. 038222105 3688.00000000 NS USD 597714.16000000 0.328279997205 Long EC CORP US N 1 N N N Archer-Daniels-Midland Co 549300LO13MQ9HYSTR83 Archer-Daniels-Midland Co. 039483102 2352.00000000 NS USD 169861.44000000 0.093292273766 Long EC CORP US N 1 N N N Arista Networks Inc 635400H1WKBLOQERUU95 Arista Networks, Inc. 040413106 1111.00000000 NS USD 261651.61000000 0.143705797098 Long EC CORP US N 1 N N N Assurant Inc H3F39CAXWQRVWURFXL38 Assurant, Inc. 04621X108 232.00000000 NS USD 39089.68000000 0.021469058121 Long EC CORP US N 1 N N N Atmos Energy Corp QVLWEGTD2S8GJMO8D383 Atmos Energy Corp. 049560105 655.00000000 NS USD 75914.50000000 0.041694196851 Long EC CORP US N 1 N N N Autodesk Inc FRKKVKAIQEF3FCSTPG55 Autodesk, Inc. 052769106 942.00000000 NS USD 229358.16000000 0.125969403374 Long EC CORP US N 1 N N N Automatic Data Processing Inc HGBOLILQXWER4SAL2I23 Automatic Data Processing, Inc. 053015103 1813.00000000 NS USD 422374.61000000 0.231979004463 Long EC CORP US N 1 N N N AutoZone Inc GA3JGKJ41LJKXDN23E90 AutoZone, Inc. 053332102 78.00000000 NS USD 201677.58000000 0.110766516555 Long EC CORP US N 1 N N N AvalonBay Communities Inc K9G90K85RBWD2LAGQX17 AvalonBay Communities, Inc. 053484101 626.00000000 NS USD 117199.72000000 0.064369102037 Long EC CORP US N 1 N N N Avery Dennison Corp 549300PW7VPFCYKLIV37 Avery Dennison Corp. 053611109 355.00000000 NS USD 71766.80000000 0.039416173281 Long EC CORP US N 1 N N N Axon Enterprise Inc 549300QP2IEEGFE16681 Axon Enterprise, Inc. 05464C101 311.00000000 NS USD 80340.63000000 0.044125141341 Long EC CORP US N 1 N N N Baker Hughes Co N/A Baker Hughes Co. 05722G100 4436.00000000 NS USD 151622.48000000 0.083274967604 Long EC CORP US N 1 N N N Ball Corp 0BGI85ALH27ZJP15DY16 Ball Corp. 058498106 1390.00000000 NS USD 79952.80000000 0.043912135125 Long EC CORP US N 1 N N N Bank of America Corp 9DJT3UXIJIZJI4WXO774 Bank of America Corp. 060505104 30354.00000000 NS USD 1022019.18000000 0.561319232515 Long EC CORP US N 1 N N N Bank of New York Mellon Corp/T WFLLPEPC7FZXENRZV188 Bank of New York Mellon Corp. 064058100 3391.00000000 NS USD 176501.55000000 0.096939193043 Long EC CORP US N 1 N N N Bath & Body Works Inc GR3KVMWVCR54YWQNXU90 Bath & Body Works, Inc. 070830104 1002.00000000 NS USD 43246.32000000 0.023751991769 Long EC CORP US N 1 N N N Baxter International Inc J5OIVXX3P24RJRW5CK77 Baxter International, Inc. 071813109 2237.00000000 NS USD 86482.42000000 0.047498370451 Long EC CORP US N 1 N N N Becton Dickinson & Co ICE2EP6D98PQUILVRZ91 Becton Dickinson & Co. 075887109 1279.00000000 NS USD 311858.57000000 0.171280751468 Long EC CORP US N 1 N N N W R Berkley Corp SQOAGCLKBDWNVYV1OV80 W R Berkley Corp. 084423102 898.00000000 NS USD 63506.56000000 0.034879436919 Long EC CORP US N 1 N N N Berkshire Hathaway Inc 5493000C01ZX7D35SD85 Berkshire Hathaway, Inc. 084670702 8021.00000000 NS USD 2860769.86000000 1.571208421174 Long EC CORP US N 1 N N N Best Buy Co Inc HL5XPTVRV0O8TUN5LL90 Best Buy Company, Inc. 086516101 854.00000000 NS USD 66851.12000000 0.036716355334 Long EC CORP US N 1 N N N Bio-Rad Laboratories Inc 549300ZC1GPV35XYDK53 Bio-Rad Laboratories, Inc. 090572207 92.00000000 NS USD 29705.88000000 0.016315233695 Long EC CORP US N 1 N N N Biogen Inc W8J5WZB5IY3K0NDQT671 Biogen, Inc. 09062X103 639.00000000 NS USD 165354.03000000 0.090816688208 Long EC CORP US N 1 N N N Bio-Techne Corp 54930073RLKQ51TILZ35 Bio-Techne Corp. 09073M104 697.00000000 NS USD 53780.52000000 0.029537645478 Long EC CORP US N 1 N N N BlackRock Inc 549300LRIF3NWCU26A80 BlackRock, Inc. 09247X101 617.00000000 NS USD 500880.60000000 0.275096514307 Long EC CORP US N 1 N N N Blackstone Inc 5299004LW4QWGZUB8Y96 Blackstone, Inc. 09260D107 3133.00000000 NS USD 410172.36000000 0.225277214772 Long EC CORP US N 1 N N N Boeing Co/The RVHJWBXLJ1RFUBSY1F30 Boeing Co. 097023105 2507.00000000 NS USD 653474.62000000 0.358905076680 Long EC CORP US N 1 N N N Booking Holdings Inc FXM8FAOHMYDIPD38UZ17 Booking Holdings, Inc. 09857L108 154.00000000 NS USD 546271.88000000 0.300026573303 Long EC CORP US N 1 N N N BorgWarner Inc 549300DSFX2IE88NSX47 BorgWarner, Inc. 099724106 1036.00000000 NS USD 37140.60000000 0.020398573231 Long EC CORP US N 1 N N N Boston Properties Inc 549300OF70FSEUQBT254 Boston Properties, Inc. 101121101 637.00000000 NS USD 44698.29000000 0.024549451055 Long EC CORP US N 1 N N N Boston Scientific Corp Y6ZDD9FP4P8JSSJMW954 Boston Scientific Corp. 101137107 6455.00000000 NS USD 373163.55000000 0.204951024000 Long EC CORP US N 1 N N N Bristol-Myers Squibb Co HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co. 110122108 8971.00000000 NS USD 460302.01000000 0.252809708501 Long EC CORP US N 1 N N N Broadridge Financial Solutions 549300KZDJZQ2YIHRC28 Broadridge Financial Solutions, Inc. 11133T103 519.00000000 NS USD 106784.25000000 0.058648657899 Long EC CORP US N 1 N N N Broadcom Inc 549300WV6GIDOZJTV909 Broadcom, Inc. 11135F101 1935.00000000 NS USD 2159943.75000000 1.186296687725 Long EC CORP US N 1 N N N Brown & Brown Inc 549300PC8KTJ71XKFY89 Brown & Brown, Inc. 115236101 1041.00000000 NS USD 74025.51000000 0.040656714935 Long EC CORP US N 1 N N N Brown-Forman Corp 549300873K3LXF7ARU34 Brown-Forman Corp. 115637209 807.00000000 NS USD 46079.70000000 0.025308156974 Long EC CORP US N 1 N N N Builders FirstSource Inc 549300W0SKP6L3H7DP63 Builders FirstSource, Inc. 12008R107 544.00000000 NS USD 90815.36000000 0.049878132596 Long EC CORP US N 1 N N N Cboe Global Markets Inc 529900RLNSGA90UPEH54 Cboe Global Markets, Inc. 12503M108 465.00000000 NS USD 83030.40000000 0.045602432239 Long EC CORP US N 1 N N N CBRE Group Inc 52990016II9MJ2OSWA10 CBRE Group, Inc. 12504L109 1344.00000000 NS USD 125112.96000000 0.068715257070 Long EC CORP US N 1 N N N CDW Corp/DE 9845001B052ABF0B6755 CDW Corp. 12514G108 591.00000000 NS USD 134346.12000000 0.073786346132 Long EC CORP US N 1 N N N CF Industries Holdings Inc 529900CG8YAQFZ2JMV97 CF Industries Holdings, Inc. 125269100 842.00000000 NS USD 66939.00000000 0.036764621291 Long EC CORP US N 1 N N N CH Robinson Worldwide Inc 529900WNWN5L0OVDHA79 CH Robinson Worldwide, Inc. 12541W209 514.00000000 NS USD 44404.46000000 0.024388072058 Long EC CORP US N 1 N N N Cigna Group/The 549300VIWYMSIGT1U456 Cigna Group 125523100 1290.00000000 NS USD 386290.50000000 0.212160682726 Long EC CORP US N 1 N N N CME Group Inc LCZ7XYGSLJUHFXXNXD88 CME Group, Inc. 12572Q105 1587.00000000 NS USD 334222.20000000 0.183563432531 Long EC CORP US N 1 N N N CMS Energy Corp 549300IA9XFBAGNIBW29 CMS Energy Corp. 125896100 1286.00000000 NS USD 74678.02000000 0.041015090217 Long EC CORP US N 1 N N N CSX Corp 549300JVQR4N1MMP3Q88 CSX Corp. 126408103 8712.00000000 NS USD 302045.04000000 0.165890908268 Long EC CORP US N 1 N N N CVS Health Corp 549300EJG376EN5NQE29 CVS Health Corp. 126650100 5663.00000000 NS USD 447150.48000000 0.245586549806 Long EC CORP US N 1 N N N Coterra Energy Inc FCNMH6O7VWU7LHXMK351 Coterra Energy, Inc. 127097103 3316.00000000 NS USD 84624.32000000 0.046477854118 Long EC CORP US N 1 N N N Cadence Design Systems Inc GCT7RXJOGLXPV0NXZY22 Cadence Design Systems, Inc. 127387108 1199.00000000 NS USD 326571.63000000 0.179361542620 Long EC CORP US N 1 N N N Caesars Entertainment Inc 549300FA4CTCW903Y781 Caesars Entertainment, Inc. 12769G100 951.00000000 NS USD 44582.88000000 0.024486064914 Long EC CORP US N 1 N N N Camden Property Trust 5493002MYX22OHYJBD89 Camden Property Trust 133131102 471.00000000 NS USD 46765.59000000 0.025684865412 Long EC CORP US N 1 N N N Campbell Soup Co 5493007JDSMX8Z5Z1902 Campbell Soup Co. 134429109 866.00000000 NS USD 37437.18000000 0.020561462599 Long EC CORP US N 1 N N N Capital One Financial Corp ZUE8T73ROZOF6FLBAR73 Capital One Financial Corp. 14040H105 1679.00000000 NS USD 220150.48000000 0.120912308584 Long EC CORP US N 1 N N N Cardinal Health Inc CCU46N3GJMF4OK4N7U60 Cardinal Health, Inc. 14149Y108 1087.00000000 NS USD 109569.60000000 0.060178443793 Long EC CORP US N 1 N N N CarMax Inc N/A CarMax, Inc. 143130102 700.00000000 NS USD 53718.00000000 0.029503307885 Long EC CORP US N 1 N N N Carnival Corp F1OF2ZSX47CR0BCWA982 Carnival Corp. 143658300 4442.00000000 NS USD 82354.68000000 0.045231309427 Long EC CORP US N 1 N N N Carrier Global Corp 549300JE3W6CWY2NAN77 Carrier Global Corp. 14448C104 3699.00000000 NS USD 212507.55000000 0.116714614758 Long EC CORP US N 1 N N N Catalent Inc N/A Catalent, Inc. 148806102 795.00000000 NS USD 35719.35000000 0.019617986159 Long EC CORP US N 1 N N N Caterpillar Inc WRJR7GS4GTRECRRTVX92 Caterpillar, Inc. 149123101 2249.00000000 NS USD 664961.83000000 0.365214148004 Long EC CORP US N 1 N N N Celanese Corp 549300FHJQTDPPN41627 Celanese Corp. 150870103 442.00000000 NS USD 68673.54000000 0.037717275293 Long EC CORP US N 1 N N N Centene Corp 549300Z7JJ4TQSQGT333 Centene Corp. 15135B101 2355.00000000 NS USD 174764.55000000 0.095985187946 Long EC CORP US N 1 N N N CenterPoint Energy Inc 21TPXMRRHFKOBHDC8J74 CenterPoint Energy, Inc. 15189T107 2783.00000000 NS USD 79510.31000000 0.043669108231 Long EC CORP US N 1 N N N Ceridian HCM Holding Inc 549300T64GVCHFJ8L449 Ceridian HCM Holding, Inc. 15677J108 688.00000000 NS USD 46178.56000000 0.025362453430 Long EC CORP US N 1 N N N Charles River Laboratories Int 549300BSQ0R4UZ5KX287 Charles River Laboratories International, Inc. 159864107 226.00000000 NS USD 53426.40000000 0.029343153661 Long EC CORP US N 1 N N N Charter Communications Inc 0J0XRGZE3PBRFEZ7MV65 Charter Communications, Inc. 16119P108 443.00000000 NS USD 172185.24000000 0.094568564522 Long EC CORP US N 1 N N N Chevron Corp N/A Chevron Corp. 166764100 7740.00000000 NS USD 1154498.40000000 0.634080229128 Long EC CORP US N 1 N N N Chipotle Mexican Grill Inc N/A Chipotle Mexican Grill, Inc. 169656105 121.00000000 NS USD 276722.16000000 0.151982930957 Long EC CORP US N 1 N N N Church & Dwight Co Inc POOXSI30AWAQGYJZC921 Church & Dwight Company, Inc. 171340102 1086.00000000 NS USD 102692.16000000 0.056401176772 Long EC CORP US N 1 N N N Cincinnati Financial Corp 254900Q4WEDMZBOZ0002 Cincinnati Financial Corp. 172062101 692.00000000 NS USD 71594.32000000 0.039321442827 Long EC CORP US N 1 N N N Cisco Systems Inc 549300LKFJ962MZ46593 Cisco Systems, Inc. 17275R102 17858.00000000 NS USD 902186.16000000 0.495503854357 Long EC CORP US N 1 N N N Cintas Corp N/A Cintas Corp. 172908105 382.00000000 NS USD 230216.12000000 0.126440617084 Long EC CORP US N 1 N N N Citigroup Inc 6SHGI4ZSSLCXXQSBB395 Citigroup, Inc. 172967424 8438.00000000 NS USD 434050.72000000 0.238391824528 Long EC CORP US N 1 N N N Citizens Financial Group Inc 2138004JDDA4ZQUPFW65 Citizens Financial Group, Inc. 174610105 2055.00000000 NS USD 68102.70000000 0.037403755276 Long EC CORP US N 1 N N N Clorox Co/The 54930044KVSC06Z79I06 Clorox Co. 189054109 547.00000000 NS USD 77996.73000000 0.042837811147 Long EC CORP US N 1 N N N Coca-Cola Co/The UWJKFUJFZ02DKWI3RY53 Coca-Cola Co. 191216100 17155.00000000 NS USD 1010944.15000000 0.555236541053 Long EC CORP US N 1 N N N Cognizant Technology Solutions 5493006IEVQEFQO40L83 Cognizant Technology Solutions Corp. 192446102 2211.00000000 NS USD 166996.83000000 0.091718956241 Long EC CORP US N 1 N N N Colgate-Palmolive Co YMEGZFW4SBUSS5BQXF88 Colgate-Palmolive Co. 194162103 3630.00000000 NS USD 289347.30000000 0.158916982718 Long EC CORP US N 1 N N N Comcast Corp 51M0QTTNCGUN7KFCFZ59 Comcast Corp. 20030N101 17704.00000000 NS USD 776320.40000000 0.426375140155 Long EC CORP US N 1 N N N Comerica Inc I9Q57JVPWHHZ3ZGBW498 Comerica, Inc. 200340107 581.00000000 NS USD 32425.61000000 0.017808979396 Long EC CORP US N 1 N N N Conagra Brands Inc 54930035UDEIH090K650 Conagra Brands, Inc. 205887102 2107.00000000 NS USD 60386.62000000 0.033165885587 Long EC CORP US N 1 N N N ConocoPhillips WPTL2Z3FIYTHSP5V2253 ConocoPhillips 20825C104 5235.00000000 NS USD 607626.45000000 0.333724081939 Long EC CORP US N 1 N N N Consolidated Edison Inc 54930033SBW53OO8T749 Consolidated Edison, Inc. 209115104 1522.00000000 NS USD 138456.34000000 0.076043784722 Long EC CORP US N 1 N N N Constellation Brands Inc 5493005GKEG8QCVY7037 Constellation Brands, Inc. 21036P108 713.00000000 NS USD 172367.75000000 0.094668803711 Long EC CORP US N 1 N N N Constellation Energy Corp 549300F8Y20RYGNGV346 Constellation Energy Corp. 21037T109 1408.00000000 NS USD 164581.12000000 0.090392186147 Long EC CORP US N 1 N N N Cooper Cos Inc/The QJKMVPIGLH7530PCUE20 Cooper Companies, Inc. 216648402 218.00000000 NS USD 82499.92000000 0.045311078973 Long EC CORP US N 1 N N N Copart Inc 549300KVYX3JWMYEHU61 Copart, Inc. 217204106 3852.00000000 NS USD 188748.00000000 0.103665258511 Long EC CORP US N 1 N N N Corning Inc 549300X2937PB0CJ7I56 Corning, Inc. 219350105 3385.00000000 NS USD 103073.25000000 0.056610481207 Long EC CORP US N 1 N N N Corteva Inc 549300WZN9I2QKLS0O94 Corteva, Inc. 22052L104 3107.00000000 NS USD 148887.44000000 0.081772813257 Long EC CORP US N 1 N N N Costco Wholesale Corp 29DX7H14B9S6O3FD6V18 Costco Wholesale Corp. 22160K105 1952.00000000 NS USD 1288476.16000000 0.707664262470 Long EC CORP US N 1 N N N CoStar Group Inc N/A CoStar Group, Inc. 22160N109 1800.00000000 NS USD 157302.00000000 0.086394306135 Long EC CORP US N 1 N N N Crown Castle Inc 54930012H97VSM0I2R19 Crown Castle, Inc. 22822V101 1913.00000000 NS USD 220358.47000000 0.121026542044 Long EC CORP US N 1 N N N Cummins Inc ZUNI8PYC725B6H8JU438 Cummins, Inc. 231021106 625.00000000 NS USD 149731.25000000 0.082236255422 Long EC CORP US N 1 N N N DR Horton Inc 529900ZIUEYVSB8QDD25 DR Horton, Inc. 23331A109 1329.00000000 NS USD 201981.42000000 0.110933393301 Long EC CORP US N 1 N N N DTE Energy Co 549300IX8SD6XXD71I78 DTE Energy Co. 233331107 909.00000000 NS USD 100226.34000000 0.055046884977 Long EC CORP US N 1 N N N Danaher Corp S4BKK9OTCEWQ3YHPFM11 Danaher Corp. 235851102 2899.00000000 NS USD 670654.66000000 0.368340796729 Long EC CORP US N 1 N N N Darden Restaurants Inc CY1NFSCCB5GUXC7WZC70 Darden Restaurants, Inc. 237194105 530.00000000 NS USD 87079.00000000 0.047826027539 Long EC CORP US N 1 N N N DaVita Inc M2XHYMU3TZNEZURC6H66 DaVita, Inc. 23918K108 237.00000000 NS USD 24828.12000000 0.013636242387 Long EC CORP US N 1 N N N Deere & Co PWFTNG3EI0Y73OXWDH08 Deere & Co. 244199105 1181.00000000 NS USD 472246.47000000 0.259369913291 Long EC CORP US N 1 N N N Delta Air Lines Inc Q2CCMS6R0AS67HJMBN42 Delta Air Lines, Inc. 247361702 2837.00000000 NS USD 114132.51000000 0.062684511378 Long EC CORP US N 1 N N N DENTSPLY SIRONA Inc 9NHEHR1SOZCYXDO8HO28 Dentsply Sirona, Inc. 24906P109 934.00000000 NS USD 33241.06000000 0.018256845519 Long EC CORP US N 1 N N N Devon Energy Corp 54930042348RKR3ZPN35 Devon Energy Corp. 25179M103 2825.00000000 NS USD 127972.50000000 0.070285790021 Long EC CORP US N 1 N N N Dexcom Inc 549300YSK3QDSFR5EU59 Dexcom, Inc. 252131107 1703.00000000 NS USD 211325.27000000 0.116065276159 Long EC CORP US N 1 N N N Diamondback Energy Inc 549300R22LSX6OHWEN64 Diamondback Energy, Inc. 25278X109 789.00000000 NS USD 122358.12000000 0.067202228054 Long EC CORP US N 1 N N N Digital Realty Trust Inc 549300HKCZ31D08NEI41 Digital Realty Trust, Inc. 253868103 1335.00000000 NS USD 179664.30000000 0.098676256727 Long EC CORP US N 1 N N N Walt Disney Co/The 549300GZKULIZ0WOW665 Walt Disney Co. 254687106 8067.00000000 NS USD 728369.43000000 0.400039233544 Long EC CORP US N 1 N N N Discover Financial Services Z1YLO2USPORE63VVUL20 Discover Financial Services 254709108 1102.00000000 NS USD 123864.80000000 0.068029735480 Long EC CORP US N 1 N N N Dollar General Corp OPX52SQVOZI8IVSWYU66 Dollar General Corp. 256677105 968.00000000 NS USD 131599.60000000 0.072277886674 Long EC CORP US N 1 N N N Dollar Tree Inc 549300PMSTQITB1WHR43 Dollar Tree, Inc. 256746108 921.00000000 NS USD 130828.05000000 0.071854131560 Long EC CORP US N 1 N N N Dominion Energy Inc ILUL7B6Z54MRYCF6H308 Dominion Energy, Inc. 25746U109 3689.00000000 NS USD 173383.00000000 0.095226405135 Long EC CORP US N 1 N N N Domino's Pizza Inc 25490005ZWM1IF9UXU57 Domino's Pizza, Inc. 25754A201 154.00000000 NS USD 63483.42000000 0.034866727835 Long EC CORP US N 1 N N N Dover Corp 549300FMC2ALGA7N9E80 Dover Corp. 260003108 617.00000000 NS USD 94900.77000000 0.052121944894 Long EC CORP US N 1 N N N Dow Inc 5493003S21INSLK2IP73 Dow, Inc. 260557103 3092.00000000 NS USD 169565.28000000 0.093129615073 Long EC CORP US N 1 N N N Duke Energy Corp I1BZKREC126H0VB1BL91 Duke Energy Corp. 26441C204 3398.00000000 NS USD 329741.92000000 0.181102747467 Long EC CORP US N 1 N N N DuPont de Nemours Inc 5493004JF0SDFLM8GD76 DuPont de Nemours, Inc. 26614N102 1896.00000000 NS USD 145859.28000000 0.080109669864 Long EC CORP US N 1 N N N EOG Resources Inc XWTZDRYZPBUHIQBKDB46 EOG Resources, Inc. 26875P101 2571.00000000 NS USD 310962.45000000 0.170788579305 Long EC CORP US N 1 N N N EQT Corp 4NT01YGM4X7ZX86ISY52 Equities Corp. 26884L109 1813.00000000 NS USD 70090.58000000 0.038495550124 Long EC CORP US N 1 N N N Eastman Chemical Co FDPVHDGJ1IQZFK9KH630 Eastman Chemical Co. 277432100 523.00000000 NS USD 46975.86000000 0.025800351106 Long EC CORP US N 1 N N N eBay Inc OML71K8X303XQONU6T67 eBay, Inc. 278642103 2288.00000000 NS USD 99802.56000000 0.054814134097 Long EC CORP US N 1 N N N Ecolab Inc 82DYEISM090VG8LTLS26 Ecolab, Inc. 278865100 1119.00000000 NS USD 221953.65000000 0.121902655948 Long EC CORP US N 1 N N N Edison International 549300I7ROF15MAEVP56 Edison International 281020107 1690.00000000 NS USD 120818.10000000 0.066356409442 Long EC CORP US N 1 N N N Edwards Lifesciences Corp YA13X31F3V31L8TMPR58 Edwards Lifesciences Corp. 28176E108 2674.00000000 NS USD 203892.50000000 0.111983007614 Long EC CORP US N 1 N N N Electronic Arts Inc 549300O7A67PUEYKDL45 Electronic Arts, Inc. 285512109 1079.00000000 NS USD 147617.99000000 0.081075598651 Long EC CORP US N 1 N N N Emerson Electric Co FGLT0EWZSUIRRITFOA30 Emerson Electric Co. 291011104 2513.00000000 NS USD 244590.29000000 0.134335281127 Long EC CORP US N 1 N N N Enphase Energy Inc 5493008U7KIGMI59Z314 Enphase Energy, Inc. 29355A107 602.00000000 NS USD 79548.28000000 0.043689962332 Long EC CORP US N 1 N N N Entergy Corp 4XM3TW50JULSLG8BNC79 Entergy Corp. 29364G103 932.00000000 NS USD 94309.08000000 0.051796973521 Long EC CORP US N 1 N N N EPAM Systems Inc 549300XCR4R530HJP604 EPAM Systems, Inc. 29414B104 254.00000000 NS USD 75524.36000000 0.041479921924 Long EC CORP US N 1 N N N Equifax Inc 5493004MCF8JDC86VS77 Equifax, Inc. 294429105 543.00000000 NS USD 134278.47000000 0.073749191011 Long EC CORP US N 1 N N N Equinix Inc 549300EVUN2BTLJ3GT74 Equinix, Inc. 29444U700 414.00000000 NS USD 333431.46000000 0.183129137775 Long EC CORP US N 1 N N N Equity Residential 5493008RACSH5EP3PI59 Equity Residential 29476L107 1523.00000000 NS USD 93146.68000000 0.051158553530 Long EC CORP US N 1 N N N Essex Property Trust Inc 549300TR2H2VEFX0NC60 Essex Property Trust, Inc. 297178105 283.00000000 NS USD 70167.02000000 0.038537532939 Long EC CORP US N 1 N N N Etsy Inc 54930089Q7XT501AEA40 Etsy, Inc. 29786A106 528.00000000 NS USD 42794.40000000 0.023503785676 Long EC CORP US N 1 N N N Evergy Inc 549300PGTHDQY6PSUI61 Evergy, Inc. 30034W106 1013.00000000 NS USD 52878.60000000 0.029042287805 Long EC CORP US N 1 N N N Eversource Energy SJ7XXD41SQU3ZNWUJ746 Eversource Energy 30040W108 1540.00000000 NS USD 95048.80000000 0.052203246780 Long EC CORP US N 1 N N N Exelon Corp 3SOUA6IRML7435B56G12 Exelon Corp. 30161N101 4389.00000000 NS USD 157565.10000000 0.086538807425 Long EC CORP US N 1 N N N Expedia Group Inc CI7MUJI4USF3V0NJ1H64 Expedia Group, Inc. 30212P303 588.00000000 NS USD 89252.52000000 0.049019780652 Long EC CORP US N 1 N N N Expeditors International of Wa 984500B055A804AB6E40 Expeditors International of Washington, Inc. 302130109 641.00000000 NS USD 81535.20000000 0.044781229924 Long EC CORP US N 1 N N N Extra Space Storage Inc N/A Extra Space Storage, Inc. 30225T102 931.00000000 NS USD 149267.23000000 0.081981403698 Long EC CORP US N 1 N N N Exxon Mobil Corp J3WHBG0MTS7O8ZVMDC91 Exxon Mobil Corp. 30231G102 17660.00000000 NS USD 1765646.80000000 0.969738656635 Long EC CORP US N 1 N N N FMC Corp CKDHZ2X64EEBQCSP7013 FMC Corp. 302491303 550.00000000 NS USD 34677.50000000 0.019045775330 Long EC CORP US N 1 N N N Meta Platforms Inc BQ4BKCS1HXDV9HN80Z93 Meta Platforms, Inc. 30303M102 9786.00000000 NS USD 3463852.56000000 1.902436958693 Long EC CORP US N 1 N N N FactSet Research Systems Inc 549300ZSJE7NBK6K9P30 FactSet Research Systems, Inc. 303075105 167.00000000 NS USD 79667.35000000 0.043755358640 Long EC CORP US N 1 N N N Fair Isaac Corp RI6HET5SJUEY30V1PS26 Fair Isaac Corp. 303250104 109.00000000 NS USD 126877.09000000 0.069684162661 Long EC CORP US N 1 N N N Fastenal Co 529900PP0C7H2HHPSJ32 Fastenal Co. 311900104 2519.00000000 NS USD 163155.63000000 0.089609270358 Long EC CORP US N 1 N N N Federal Realty Investment Trus 549300FHEI1SLVZ0RB48 Federal Realty Investment Trust 313745101 324.00000000 NS USD 33388.20000000 0.018337658593 Long EC CORP US N 1 N N N FedEx Corp 549300E707U7WNPZN687 FedEx Corp. 31428X106 1020.00000000 NS USD 258029.40000000 0.141716386158 Long EC CORP US N 1 N N N F5 Inc 54930015FPK9KT966303 F5, Inc. 315616102 263.00000000 NS USD 47071.74000000 0.025853010870 Long EC CORP US N 1 N N N Fidelity National Information 6WQI0GK1PRFVBA061U48 Fidelity National Information Services, Inc. 31620M106 2612.00000000 NS USD 156902.84000000 0.086175077192 Long EC CORP US N 1 N N N Fifth Third Bancorp THRNG6BD57P9QWTQLG42 Fifth Third Bancorp 316773100 3002.00000000 NS USD 103538.98000000 0.056866272107 Long EC CORP US N 1 N N N First Solar Inc 549300NPYMLM4NHTOF27 First Solar, Inc. 336433107 471.00000000 NS USD 81143.88000000 0.044566306911 Long EC CORP US N 1 N N N Fiserv Inc GI7UBEJLXYLGR2C7GV83 Fiserv, Inc. 337738108 2646.00000000 NS USD 351494.64000000 0.193049901038 Long EC CORP US N 1 N N N FirstEnergy Corp 549300SVYJS666PQJH88 FirstEnergy Corp. 337932107 2277.00000000 NS USD 83474.82000000 0.045846519139 Long EC CORP US N 1 N N N FleetCor Technologies Inc 549300DG6RR0NQSFLN74 FleetCor Technologies, Inc. 339041105 318.00000000 NS USD 89869.98000000 0.049358905573 Long EC CORP US N 1 N N N Ford Motor Co 20S05OYHG0MQM4VUIC57 Ford Motor Co. 345370860 17336.00000000 NS USD 211325.84000000 0.116065589218 Long EC CORP US N 1 N N N Fortinet Inc 549300O0QJWDBAS0QX03 Fortinet, Inc. 34959E109 2810.00000000 NS USD 164469.30000000 0.090330771726 Long EC CORP US N 1 N N N Fortive Corp 549300MU9YQJYHDQEF63 Fortive Corp. 34959J108 1549.00000000 NS USD 114052.87000000 0.062640771041 Long EC CORP US N 1 N N N Fox Corp 549300DDU6FDRBIELS05 Fox Corp. 35137L105 1090.00000000 NS USD 32340.30000000 0.017762124948 Long EC CORP US N 1 N N N Fox Corp 549300DDU6FDRBIELS05 Fox Corp. 35137L204 582.00000000 NS USD 16092.30000000 0.008838305251 Long EC CORP US N 1 N N N Franklin Resources Inc RIFQSET379FOGTEFKS80 Franklin Resources, Inc. 354613101 1243.00000000 NS USD 37028.97000000 0.020337263162 Long EC CORP US N 1 N N N Freeport-McMoRan Inc 549300IRDTHJQ1PVET45 Freeport-McMoRan, Inc. 35671D857 6322.00000000 NS USD 269127.54000000 0.147811770226 Long EC CORP US N 1 N N N GE HealthCare Technologies Inc 549300OI9J7XOWZMUN85 GE HealthCare Technologies, Inc. 36266G107 1726.00000000 NS USD 133454.32000000 0.073296546624 Long EC CORP US N 1 N N N Arthur J Gallagher & Co 54930049QLLMPART6V29 Arthur J Gallagher & Co. 363576109 952.00000000 NS USD 214085.76000000 0.117581408301 Long EC CORP US N 1 N N N Gartner Inc PP55B5R38BFB8O8HH686 Gartner, Inc. 366651107 344.00000000 NS USD 155181.84000000 0.085229859706 Long EC CORP US N 1 N N N Generac Holdings Inc 529900S2H2AHJHSFFI84 Generac Holdings, Inc. 368736104 271.00000000 NS USD 35024.04000000 0.019236104015 Long EC CORP US N 1 N N N General Dynamics Corp 9C1X8XOOTYY2FNYTVH06 General Dynamics Corp. 369550108 999.00000000 NS USD 259410.33000000 0.142474828449 Long EC CORP US N 1 N N N General Electric Co 3C7474T6CDKPR9K6YT90 General Electric Co. 369604301 4798.00000000 NS USD 612368.74000000 0.336328669637 Long EC CORP US N 1 N N N General Mills Inc 2TGYMUGI08PO8X8L6150 General Mills, Inc. 370334104 2563.00000000 NS USD 166953.82000000 0.091695334042 Long EC CORP US N 1 N N N General Motors Co 54930070NSV60J38I987 General Motors Co. 37045V100 6038.00000000 NS USD 216884.96000000 0.119118800971 Long EC CORP US N 1 N N N Genuine Parts Co 549300D46DQVEU651W04 Genuine Parts Co. 372460105 618.00000000 NS USD 85593.00000000 0.047009878101 Long EC CORP US N 1 N N N Gilead Sciences Inc 549300WTZWR07K8MNV44 Gilead Sciences, Inc. 375558103 5493.00000000 NS USD 444987.93000000 0.244398821699 Long EC CORP US N 1 N N N Global Payments Inc 549300NOMHGVQBX6S778 Global Payments, Inc. 37940X102 1148.00000000 NS USD 145796.00000000 0.080074914860 Long EC CORP US N 1 N N N Globe Life Inc 5493001JFHKQOPP6XA71 Globe Life, Inc. 37959E102 378.00000000 NS USD 46010.16000000 0.025269963817 Long EC CORP US N 1 N N N Goldman Sachs Group Inc/The 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. 38141G104 1438.00000000 NS USD 554737.26000000 0.304675977833 Long EC CORP US N 1 N N N WW Grainger Inc 549300TWZSP6O1IH2V34 WW Grainger, Inc. 384802104 195.00000000 NS USD 161594.55000000 0.088751885052 Long EC CORP US N 1 N N N HCA Healthcare Inc 529900PH4ZGUH2MNEU89 HCA Healthcare, Inc. 40412C101 873.00000000 NS USD 236303.64000000 0.129784039713 Long EC CORP US N 1 N N N HP Inc WHKXQACZ14C5XRO8LW03 HP, Inc. 40434L105 3834.00000000 NS USD 115365.06000000 0.063361459555 Long EC CORP US N 1 N N N Halliburton Co ENYF8GB5SMQZ25S06U51 Halliburton Co. 406216101 3946.00000000 NS USD 142647.90000000 0.078345897332 Long EC CORP US N 1 N N N Hartford Financial Services Gr IU7C3FTM7Y3BQM112U94 Hartford Financial Services Group, Inc. 416515104 1326.00000000 NS USD 106583.88000000 0.058538609539 Long EC CORP US N 1 N N N Hasbro Inc 549300NUB6D2R1ITYR45 Hasbro, Inc. 418056107 575.00000000 NS USD 29359.50000000 0.016124992886 Long EC CORP US N 1 N N N Healthpeak Properties Inc 254900M6MTMZM0I22L81 Healthpeak Properties, Inc. 42250P103 2412.00000000 NS USD 47757.60000000 0.026229702830 Long EC CORP US N 1 N N N Jack Henry & Associates Inc 529900X1QS8C54W0JB21 Jack Henry & Associates, Inc. 426281101 321.00000000 NS USD 52454.61000000 0.028809421587 Long EC CORP US N 1 N N N Hershey Co/The 21X2CX66SU2BR6QTAD08 Hershey Co. 427866108 661.00000000 NS USD 123236.84000000 0.067684843689 Long EC CORP US N 1 N N N Hess Corp UASVRYNXNK17ULIGK870 Hess Corp. 42809H107 1219.00000000 NS USD 175731.04000000 0.096516009124 Long EC CORP US N 1 N N N Hewlett Packard Enterprise Co 549300BX44RGX6ANDV88 Hewlett Packard Enterprise Co. 42824C109 5656.00000000 NS USD 96038.88000000 0.052747024193 Long EC CORP US N 1 N N N Hilton Worldwide Holdings Inc 549300HVGPK36ICB0B89 Hilton Worldwide Holdings, Inc. 43300A203 1131.00000000 NS USD 205943.79000000 0.113109628866 Long EC CORP US N 1 N N N Hologic Inc 549300DYP6F5ZJL0LB74 Hologic, Inc. 436440101 1080.00000000 NS USD 77166.00000000 0.042381552855 Long EC CORP US N 1 N N N Home Depot Inc/The QEKMOTMBBKA8I816DO57 Home Depot, Inc. 437076102 4409.00000000 NS USD 1527938.95000000 0.839183388656 Long EC CORP US N 1 N N N Honeywell International Inc ISRPG12PN4EIEOEMW547 Honeywell International, Inc. 438516106 2906.00000000 NS USD 609417.26000000 0.334707640873 Long EC CORP US N 1 N N N Hormel Foods Corp MSD54751OJP1FS2ND863 Hormel Foods Corp. 440452100 1277.00000000 NS USD 41004.47000000 0.022520710061 Long EC CORP US N 1 N N N Host Hotels & Resorts Inc N6EL63S0K3PB1YFTDI24 Host Hotels & Resorts, Inc. 44107P104 3110.00000000 NS USD 60551.70000000 0.033256551771 Long EC CORP US N 1 N N N Howmet Aerospace Inc 549300HO5WFZUT5N2T22 Howmet Aerospace, Inc. 443201108 1725.00000000 NS USD 93357.00000000 0.051274066686 Long EC CORP US N 1 N N N Hubbell Inc 54930088VDQ6840Y6597 Hubbell, Inc. 443510607 236.00000000 NS USD 77627.48000000 0.042635009546 Long EC CORP US N 1 N N N Humana Inc 529900YLDW34GJAO4J06 Humana, Inc. 444859102 543.00000000 NS USD 248590.83000000 0.136532480638 Long EC CORP US N 1 N N N JB Hunt Transport Services Inc 549300XCD1MPI1C5GK90 J.B. Hunt Transport Services, Inc. 445658107 359.00000000 NS USD 71706.66000000 0.039383142846 Long EC CORP US N 1 N N N Huntington Bancshares Inc/OH 549300XTVCVV9I7B5T19 Huntington Bancshares, Inc. 446150104 6384.00000000 NS USD 81204.48000000 0.044599589990 Long EC CORP US N 1 N N N Huntington Ingalls Industries 5TZLZ6WJTBVJ0QWBG121 Huntington Ingalls Industries, Inc. 446413106 175.00000000 NS USD 45437.00000000 0.024955169596 Long EC CORP US N 1 N N N IDEX Corp 549300U5Y5EL6PHYLF13 IDEX Corp. 45167R104 333.00000000 NS USD 72297.63000000 0.039707718777 Long EC CORP US N 1 N N N IDEXX Laboratories Inc OGMTXK0LUU1HKV2P0J84 IDEXX Laboratories, Inc. 45168D104 366.00000000 NS USD 203148.30000000 0.111574273824 Long EC CORP US N 1 N N N Illinois Tool Works Inc 76NA4I14SZCFAYMNSV04 Illinois Tool Works, Inc. 452308109 1207.00000000 NS USD 316161.58000000 0.173644075286 Long EC CORP US N 1 N N N Illumina Inc SQ95QG8SR5Q56LSNF682 Illumina, Inc. 452327109 700.00000000 NS USD 97468.00000000 0.053531933671 Long EC CORP US N 1 N N N Incyte Corp 549300Z4WN6JVZ3T4680 Incyte Corp. 45337C102 820.00000000 NS USD 51487.80000000 0.028278424657 Long EC CORP US N 1 N N N Ingersoll Rand Inc 5299004C02FMZCUOIR50 Ingersoll Rand, Inc. 45687V106 1785.00000000 NS USD 138051.90000000 0.075821655866 Long EC CORP US N 1 N N N Insulet Corp 549300TZTYD2PYN92D43 Insulet Corp. 45784P101 308.00000000 NS USD 66829.84000000 0.036704667810 Long EC CORP US N 1 N N N Intel Corp KNX4USFCNGPY45LOCE31 Intel Corp. 458140100 18587.00000000 NS USD 933996.75000000 0.512975048943 Long EC CORP US N 1 N N N Intercontinental Exchange Inc 5493000F4ZO33MV32P92 Intercontinental Exchange, Inc. 45866F104 2523.00000000 NS USD 324028.89000000 0.177965004382 Long EC CORP US N 1 N N N IBM VGRQXHF3J8VDLUA7XE92 International Business Machines Corp. 459200101 4026.00000000 NS USD 658452.30000000 0.361638946623 Long EC CORP US N 1 N N N IFF BZLRL03D3GPGMOGFO832 International Flavors & Fragrances, Inc. 459506101 1125.00000000 NS USD 91091.25000000 0.050029658483 Long EC CORP US N 1 N N N International Paper Co 824LMFJDH41EY779Q875 International Paper Co. 460146103 1526.00000000 NS USD 55164.90000000 0.030297982597 Long EC CORP US N 1 N N N Interpublic Group of Cos Inc/T 5493008IUOJ5VWTRC333 Interpublic Group of Companies, Inc. 460690100 1689.00000000 NS USD 55128.96000000 0.030278243424 Long EC CORP US N 1 N N N Intuit Inc VI90HBPH7XSFMB9E4M29 Intuit, Inc. 461202103 1236.00000000 NS USD 772537.08000000 0.424297243458 Long EC CORP US N 1 N N N Intuitive Surgical Inc 54930052SRG011710797 Intuitive Surgical, Inc. 46120E602 1552.00000000 NS USD 523582.72000000 0.287565102788 Long EC CORP US N 1 N N N Invitation Homes Inc N/A Invitation Homes, Inc. 46187W107 2536.00000000 NS USD 86502.96000000 0.047509651548 Long EC CORP US N 1 N N N IQVIA Holdings Inc 549300W3R20NM4KQPH86 IQVIA Holdings, Inc. 46266C105 807.00000000 NS USD 186723.66000000 0.102553438893 Long EC CORP US N 1 N N N Iron Mountain Inc SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284V101 1287.00000000 NS USD 90064.26000000 0.049465609148 Long EC CORP US N 1 N N N JPMorgan Chase & Co 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co. 46625H100 12746.00000000 NS USD 2168094.60000000 1.190773344285 Long EC CORP US N 1 N N N Jabil Inc 5493000CGCQY2OQU7669 Jabil, Inc. 466313103 564.00000000 NS USD 71853.60000000 0.039463846075 Long EC CORP US N 1 N N N Jacobs Solutions Inc N/A Jacobs Solutions, Inc. 46982L108 555.00000000 NS USD 72039.00000000 0.039565672526 Long EC CORP US N 1 N N N Johnson & Johnson 549300G0CFPGEF6X2043 Johnson & Johnson 478160104 10613.00000000 NS USD 1663481.62000000 0.913626910839 Long EC CORP US N 1 N N N Juniper Networks Inc AUHIXNGG7U2U7JEHM527 Juniper Networks, Inc. 48203R104 1406.00000000 NS USD 41448.88000000 0.022764791469 Long EC CORP US N 1 N N N KLA Corp 549300H0BF5JCG96TJ81 KLA Corp. 482480100 599.00000000 NS USD 348198.70000000 0.191239685978 Long EC CORP US N 1 N N N Kellanova LONOZNOJYIBXOHXWDB86 Kellanova 487836108 1163.00000000 NS USD 65023.33000000 0.035712486032 Long EC CORP US N 1 N N N Kenvue Inc 5493008HSF8L4M2LIJ82 Kenvue, Inc. 49177J102 7598.00000000 NS USD 163584.94000000 0.089845058457 Long EC CORP US N 1 N N N Keurig Dr Pepper Inc DYTQ8KRTKO7Y2BVU5K74 Keurig Dr Pepper, Inc. 49271V100 4439.00000000 NS USD 147907.48000000 0.081234594009 Long EC CORP US N 1 N N N KeyCorp RKPI3RZGV1V1FJTH5T61 KeyCorp 493267108 4128.00000000 NS USD 59443.20000000 0.032647735047 Long EC CORP US N 1 N N N Keysight Technologies Inc 549300GLKVIO8YRCYN02 Keysight Technologies, Inc. 49338L103 783.00000000 NS USD 124567.47000000 0.068415659926 Long EC CORP US N 1 N N N Kimberly-Clark Corp MP3J6QPYPGN75NVW2S34 Kimberly-Clark Corp. 494368103 1490.00000000 NS USD 181049.90000000 0.099437263902 Long EC CORP US N 1 N N N Kimco Realty Corp 254900ARY41P4V1JL861 Kimco Realty Corp. 49446R109 2932.00000000 NS USD 62480.92000000 0.034316129039 Long EC CORP US N 1 N N N Kinder Morgan Inc 549300WR7IX8XE0TBO16 Kinder Morgan, Inc. 49456B101 8526.00000000 NS USD 150398.64000000 0.082602803184 Long EC CORP US N 1 N N N Kraft Heinz Co/The 9845007488EC87F5AF14 Kraft Heinz Co. 500754106 3515.00000000 NS USD 129984.70000000 0.071390942039 Long EC CORP US N 1 N N N Kroger Co/The 6CPEOKI6OYJ13Q6O7870 Kroger Co. 501044101 2918.00000000 NS USD 133381.78000000 0.073256705790 Long EC CORP US N 1 N N N LKQ Corp DS830JTTZQN6GK0I2E41 LKQ Corp. 501889208 1180.00000000 NS USD 56392.20000000 0.030972047338 Long EC CORP US N 1 N N N L3Harris Technologies Inc 549300UTE50ZMDBG8A20 L3Harris Technologies, Inc. 502431109 836.00000000 NS USD 176078.32000000 0.096706744236 Long EC CORP US N 1 N N N Laboratory Corp of America Hol OZ7UA8IXAIFILY2VZH07 Laboratory Corporation of America Holdings 50540R409 374.00000000 NS USD 85006.46000000 0.046687735240 Long EC CORP US N 1 N N N Lam Research Corp 549300I4GMO6D34U1T02 Lam Research Corp. 512807108 581.00000000 NS USD 455074.06000000 0.249938383834 Long EC CORP US N 1 N N N Lamb Weston Holdings Inc 5493005SMYID1D2OY946 Lamb Weston Holdings, Inc. 513272104 639.00000000 NS USD 69069.51000000 0.037934752206 Long EC CORP US N 1 N N N Las Vegas Sands Corp 549300DUOO1KXOHPM605 Las Vegas Sands Corp. 517834107 1627.00000000 NS USD 80064.67000000 0.043973577008 Long EC CORP US N 1 N N N Estee Lauder Cos Inc/The 549300VFZ8XJ9NUPU221 Estee Lauder Companies, Inc. 518439104 1024.00000000 NS USD 149760.00000000 0.082252045662 Long EC CORP US N 1 N N N Leidos Holdings Inc 549300IUTGTP6EJP8124 Leidos Holdings, Inc. 525327102 606.00000000 NS USD 65593.44000000 0.036025605115 Long EC CORP US N 1 N N N Lennar Corp 529900G61XVRLX5TJX09 Lennar Corp. 526057104 1103.00000000 NS USD 164391.12000000 0.090287833258 Long EC CORP US N 1 N N N Eli Lilly & Co FRDRIPF3EKNDJ2CQJL29 Eli Lilly & Co. 532457108 3516.00000000 NS USD 2049546.72000000 1.125663798085 Long EC CORP US N 1 N N N Live Nation Entertainment Inc 5493007B9BM9ZXJINO78 Live Nation Entertainment, Inc. 538034109 626.00000000 NS USD 58593.60000000 0.032181112865 Long EC CORP US N 1 N N N Lockheed Martin Corp DPRBOZP0K5RM2YE8UU08 Lockheed Martin Corp. 539830109 973.00000000 NS USD 441002.52000000 0.242209931973 Long EC CORP US N 1 N N N Loews Corp R8V1FN4M5ITGZOG7BS19 Loews Corp. 540424108 807.00000000 NS USD 56159.13000000 0.030844039297 Long EC CORP US N 1 N N N Lowe's Cos Inc WAFCR4OKGSC504WU3E95 Lowe's Companies, Inc. 548661107 2544.00000000 NS USD 566167.20000000 0.310953594999 Long EC CORP US N 1 N N N Lululemon Athletica Inc 549300D9GZ4BMLDW5T40 Lululemon Athletica, Inc. 550021109 508.00000000 NS USD 259735.32000000 0.142653321319 Long EC CORP US N 1 N N N M&T Bank Corp 549300WYXDDBYRASEG81 M&T Bank Corp. 55261F104 732.00000000 NS USD 100342.56000000 0.055110715992 Long EC CORP US N 1 N N N MGM Resorts International 54930066VBP7DZEGGJ87 MGM Resorts International 552953101 1205.00000000 NS USD 53839.40000000 0.029569983889 Long EC CORP US N 1 N N N MSCI Inc 549300HTIN2PD78UB763 MSCI, Inc. 55354G100 349.00000000 NS USD 197411.85000000 0.108423667872 Long EC CORP US N 1 N N N Marathon Oil Corp 1FRVQX2CRLGC1XLP5727 Marathon Oil Corp. 565849106 2580.00000000 NS USD 62332.80000000 0.034234777723 Long EC CORP US N 1 N N N Marathon Petroleum Corp 3BNYRYQHD39K4LCKQF12 Marathon Petroleum Corp. 56585A102 1674.00000000 NS USD 248354.64000000 0.136402759013 Long EC CORP US N 1 N N N MarketAxess Holdings Inc 5493002U1CA1XJOVID83 MarketAxess Holdings, Inc. 57060D108 167.00000000 NS USD 48905.95000000 0.026860406200 Long EC CORP US N 1 N N N Marsh & McLennan Cos Inc 549300XMP3KDCKJXIU47 Marsh & McLennan Companies, Inc. 571748102 2174.00000000 NS USD 411907.78000000 0.226230352092 Long EC CORP US N 1 N N N Marriott International Inc/MD 225YDZ14ZO8E1TXUSU86 Marriott International, Inc. 571903202 1088.00000000 NS USD 245354.88000000 0.134755213630 Long EC CORP US N 1 N N N Martin Marietta Materials Inc 5299005MZ4WZECVATV08 Martin Marietta Materials, Inc. 573284106 272.00000000 NS USD 135703.52000000 0.074531865141 Long EC CORP US N 1 N N N Masco Corp 5GCSNMQXHEYA1JO8QN11 Masco Corp. 574599106 990.00000000 NS USD 66310.20000000 0.036419268151 Long EC CORP US N 1 N N N Mastercard Inc AR5L2ODV9HN37376R084 Mastercard, Inc. 57636Q104 3651.00000000 NS USD 1557188.01000000 0.855247725052 Long EC CORP US N 1 N N N Match Group Inc 15OMOPB0A8K0EFUVD031 Match Group, Inc. 57667L107 1198.00000000 NS USD 43727.00000000 0.024015993594 Long EC CORP US N 1 N N N McCormick & Co Inc/MD 549300JQQA6MQ4OJP259 McCormick & Company, Inc. 579780206 1108.00000000 NS USD 75809.36000000 0.041636451257 Long EC CORP US N 1 N N N McDonald's Corp UE2136O97NLB5BYP9H04 McDonald's Corp. 580135101 3198.00000000 NS USD 948238.98000000 0.520797248144 Long EC CORP US N 1 N N N McKesson Corp 549300WZWOM80UCFSF54 McKesson Corp. 58155Q103 587.00000000 NS USD 271769.26000000 0.149262670828 Long EC CORP US N 1 N N N Merck & Co Inc 4YV9Y5M8S0BRK1RP0397 Merck & Company, Inc. 58933Y105 11172.00000000 NS USD 1217971.44000000 0.668941256001 Long EC CORP US N 1 N N N MetLife Inc C4BXATY60WC6XEOZDX54 MetLife, Inc. 59156R108 2741.00000000 NS USD 181262.33000000 0.099553935924 Long EC CORP US N 1 N N N Mettler-Toledo International I 5493000BD5GJNUDIUG10 Mettler-Toledo International, Inc. 592688105 96.00000000 NS USD 116444.16000000 0.063954129042 Long EC CORP US N 1 N N N Microsoft Corp INR2EJN1ERAN0W5ZP974 Microsoft Corp. 594918104 32766.00000000 NS USD 12321326.64000000 6.767189646221 Long EC CORP US N 1 N N N Microchip Technology Inc 5493007PTFULNYZJ1R12 Microchip Technology, Inc. 595017104 2385.00000000 NS USD 215079.30000000 0.118127086035 Long EC CORP US N 1 N N N Micron Technology Inc B3DXGBC8GAIYWI2Z0172 Micron Technology, Inc. 595112103 4841.00000000 NS USD 413130.94000000 0.226902143039 Long EC CORP US N 1 N N N Mid-America Apartment Communit 549300FQZKFR5YNSHZ21 Mid-America Apartment Communities, Inc. 59522J103 514.00000000 NS USD 69112.44000000 0.037958330467 Long EC CORP US N 1 N N N Moderna Inc 549300EI6OKH5K5Q2G38 Moderna, Inc. 60770K107 1462.00000000 NS USD 145395.90000000 0.079855169644 Long EC CORP US N 1 N N N Mohawk Industries Inc 549300JI1115MG3Q6322 Mohawk Industries, Inc. 608190104 233.00000000 NS USD 24115.50000000 0.013244853146 Long EC CORP US N 1 N N N Molina Healthcare Inc 549300NQQCEQ46YHZ591 Molina Healthcare, Inc. 60855R100 257.00000000 NS USD 92856.67000000 0.050999272575 Long EC CORP US N 1 N N N Molson Coors Beverage Co 54930073LBBH6ZCBE225 Molson Coors Beverage Co. 60871R209 816.00000000 NS USD 49947.36000000 0.027432375370 Long EC CORP US N 1 N N N Mondelez International Inc 549300DV9GIB88LZ5P30 Mondelez International, Inc. 609207105 5998.00000000 NS USD 434435.14000000 0.238602957884 Long EC CORP US N 1 N N N Monolithic Power Systems Inc 529900TB7O85LSZ1XU31 Monolithic Power Systems, Inc. 609839105 211.00000000 NS USD 133094.58000000 0.073098968159 Long EC CORP US N 1 N N N Monster Beverage Corp 52990090AP0E7HCB6F33 Monster Beverage Corp. 61174X109 3257.00000000 NS USD 187635.77000000 0.103054393175 Long EC CORP US N 1 N N N Moody's Corp 549300GCEDD8YCF5WU84 Moody's Corp. 615369105 694.00000000 NS USD 271048.64000000 0.148866887781 Long EC CORP US N 1 N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 617446448 5572.00000000 NS USD 519589.00000000 0.285371648997 Long EC CORP US N 1 N N N Mosaic Co/The 2YD5STGSJNMUB7H76907 Mosaic Co. 61945C103 1441.00000000 NS USD 51486.93000000 0.028277946830 Long EC CORP US N 1 N N N Motorola Solutions Inc 6S552MUG6KGJVEBSEC55 Motorola Solutions, Inc. 620076307 732.00000000 NS USD 229181.88000000 0.125872585862 Long EC CORP US N 1 N N N NRG Energy Inc 5E2UPK5SW04M13XY7I38 NRG Energy, Inc. 629377508 995.00000000 NS USD 51441.50000000 0.028252995505 Long EC CORP US N 1 N N N NVR Inc 529900RWXR4JI3JYTV70 NVR, Inc. 62944T105 14.00000000 NS USD 98006.30000000 0.053827581883 Long EC CORP US N 1 N N N Nasdaq Inc 549300L8X1Q78ERXFD06 Nasdaq, Inc. 631103108 1501.00000000 NS USD 87268.14000000 0.047929908094 Long EC CORP US N 1 N N N NetApp Inc QTX3D84DZDD5JYOCYH15 NetApp, Inc. 64110D104 921.00000000 NS USD 81195.36000000 0.044594581051 Long EC CORP US N 1 N N N Netflix Inc 549300Y7VHGU0I7CE873 Netflix, Inc. 64110L106 1930.00000000 NS USD 939678.40000000 0.516095557325 Long EC CORP US N 1 N N N Newmont Corp 549300VSP3RIX7FGDZ51 Newmont Corp. 651639106 5081.00000000 NS USD 210302.59000000 0.115503593988 Long EC CORP US N 1 N N N News Corp 549300ITS31QK8VRBQ14 News Corp. 65249B109 1678.00000000 NS USD 41194.90000000 0.022625299117 Long EC CORP US N 1 N N N News Corp 549300ITS31QK8VRBQ14 News Corp. 65249B208 506.00000000 NS USD 13014.32000000 0.007147799431 Long EC CORP US N 1 N N N NextEra Energy Inc N/A NextEra Energy, Inc. 65339F101 9045.00000000 NS USD 549393.30000000 0.301740937489 Long EC CORP US N 1 N N N NIKE Inc 787RXPR0UX0O0XUXPZ81 NIKE, Inc. 654106103 5396.00000000 NS USD 585843.72000000 0.321760446104 Long EC CORP US N 1 N N N NiSource Inc 549300D8GOWWH0SJB189 NiSource, Inc. 65473P105 1822.00000000 NS USD 48374.10000000 0.026568300494 Long EC CORP US N 1 N N N Nordson Corp 14OS6Q5N55N95WM84M53 Nordson Corp. 655663102 239.00000000 NS USD 63134.24000000 0.034674949194 Long EC CORP US N 1 N N N Norfolk Southern Corp 54930036C8MWP850MI84 Norfolk Southern Corp. 655844108 997.00000000 NS USD 235670.86000000 0.129436500654 Long EC CORP US N 1 N N N Northern Trust Corp 549300GLF98S992BC502 Northern Trust Corp. 665859104 913.00000000 NS USD 77038.94000000 0.042311768233 Long EC CORP US N 1 N N N Northrop Grumman Corp RIMU48P07456QXSO0R61 Northrop Grumman Corp. 666807102 625.00000000 NS USD 292587.50000000 0.160696583936 Long EC CORP US N 1 N N N Gen Digital Inc YF6ZV0M6AU4FY94MK914 Gen Digital, Inc. 668771108 2486.00000000 NS USD 56730.52000000 0.031157861388 Long EC CORP US N 1 N N N Nucor Corp 549300GGJCRSI2TIEJ46 Nucor Corp. 670346105 1084.00000000 NS USD 188659.36000000 0.103616575142 Long EC CORP US N 1 N N N NVIDIA Corp 549300S4KLFTLO7GSQ80 NVIDIA Corp. 67066G104 10890.00000000 NS USD 5392945.80000000 2.961944606022 Long EC CORP US N 1 N N N O'Reilly Automotive Inc 549300K2RLMQL149Q332 O'Reilly Automotive, Inc. 67103H107 261.00000000 NS USD 247970.88000000 0.136191988146 Long EC CORP US N 1 N N N Occidental Petroleum Corp IM7X0T3ECJW4C1T7ON55 Occidental Petroleum Corp. 674599105 2911.00000000 NS USD 173815.81000000 0.095464115524 Long EC CORP US N 1 N N N Old Dominion Freight Line Inc 5299009TWK32WE417T96 Old Dominion Freight Line, Inc. 679580100 394.00000000 NS USD 159700.02000000 0.087711360425 Long EC CORP US N 1 N N N Omnicom Group Inc HKUPACFHSSASQK8HLS17 Omnicom Group, Inc. 681919106 873.00000000 NS USD 75523.23000000 0.041479301299 Long EC CORP US N 1 N N N ON Semiconductor Corp ZV20P4CNJVT8V1ZGJ064 ON Semiconductor Corp. 682189105 1899.00000000 NS USD 158623.47000000 0.087120091463 Long EC CORP US N 1 N N N ONEOK Inc 2T3D6M0JSY48PSZI1Q41 ONEOK, Inc. 682680103 2568.00000000 NS USD 180324.96000000 0.099039108200 Long EC CORP US N 1 N N N Oracle Corp 1Z4GXXU7ZHVWFCD8TV52 Oracle Corp. 68389X105 7005.00000000 NS USD 738537.15000000 0.405623607007 Long EC CORP US N 1 N N N Otis Worldwide Corp 549300ZLBKR8VSU25153 Otis Worldwide Corp. 68902V107 1804.00000000 NS USD 161403.88000000 0.088647164181 Long EC CORP US N 1 N N N PG&E Corp 8YQ2GSDWYZXO2EDN3511 PG&E Corp. 69331C108 9406.00000000 NS USD 169590.18000000 0.093143290793 Long EC CORP US N 1 N N N PNC Financial Services Group I CFGNEKW0P8842LEUIA51 PNC Financial Services Group, Inc. 693475105 1756.00000000 NS USD 271916.60000000 0.149343593747 Long EC CORP US N 1 N N N PPG Industries Inc 549300BKPEP01R3V6C59 PPG Industries, Inc. 693506107 1040.00000000 NS USD 155532.00000000 0.085422176589 Long EC CORP US N 1 N N N PPL Corp 9N3UAJSNOUXFKQLF3V18 PPL Corp. 69351T106 3250.00000000 NS USD 88075.00000000 0.048373056368 Long EC CORP US N 1 N N N PTC Inc 54930050SSMU8SKDJ030 PTC, Inc. 69370C100 524.00000000 NS USD 91679.04000000 0.050352487876 Long EC CORP US N 1 N N N PACCAR Inc KDTEY8BWE486IKZ3CC07 PACCAR, Inc. 693718108 2306.00000000 NS USD 225180.90000000 0.123675144692 Long EC CORP US N 1 N N N Packaging Corp of America 549300XZP8MFZFY8TJ84 Packaging Corporation of America 695156109 395.00000000 NS USD 64349.45000000 0.035342373796 Long EC CORP US N 1 N N N Palo Alto Networks Inc 549300QXR2YVZV231H43 Palo Alto Networks, Inc. 697435105 1370.00000000 NS USD 403985.60000000 0.221879286980 Long EC CORP US N 1 N N N Parker-Hannifin Corp 5493002CONDB4N2HKI23 Parker-Hannifin Corp. 701094104 566.00000000 NS USD 260756.20000000 0.143214014885 Long EC CORP US N 1 N N N Paychex Inc 529900K900DW6SUBM174 Paychex, Inc. 704326107 1417.00000000 NS USD 168778.87000000 0.092697698465 Long EC CORP US N 1 N N N Paycom Software Inc 254900LSB0HNJUDC6Q18 Paycom Software, Inc. 70432V102 216.00000000 NS USD 44651.52000000 0.024523763768 Long EC CORP US N 1 N N N PayPal Holdings Inc 5493005X2GO78EFZ3E94 PayPal Holdings, Inc. 70450Y103 4753.00000000 NS USD 291881.73000000 0.160308956891 Long EC CORP US N 1 N N N PepsiCo Inc FJSUNZKFNQ5YPJ5OT455 PepsiCo, Inc. 713448108 6061.00000000 NS USD 1029400.24000000 0.565373100598 Long EC CORP US N 1 N N N Revvity Inc 549300IKL1SDPFI7N655 Revvity, Inc. 714046109 544.00000000 NS USD 59464.64000000 0.032659510447 Long EC CORP US N 1 N N N Pfizer Inc 765LHXWGK1KXCLTFYQ30 Pfizer, Inc. 717081103 24894.00000000 NS USD 716698.26000000 0.393629126655 Long EC CORP US N 1 N N N Philip Morris International In HL3H1H2BGXWVG3BSWR90 Philip Morris International, Inc. 718172109 6844.00000000 NS USD 643883.52000000 0.353637397759 Long EC CORP US N 1 N N N Phillips 66 5493005JBO5YSIGK1814 Phillips 66 718546104 1939.00000000 NS USD 258158.46000000 0.141787269231 Long EC CORP US N 1 N N N Pinnacle West Capital Corp TWSEY0NEDUDCKS27AH81 Pinnacle West Capital Corp. 723484101 500.00000000 NS USD 35920.00000000 0.019728188302 Long EC CORP US N 1 N N N Pioneer Natural Resources Co FY8JBF7CCL2VE4F1B628 Pioneer Natural Resources Co. 723787107 1029.00000000 NS USD 231401.52000000 0.127091669267 Long EC CORP US N 1 N N N Pool Corp 5493005VZK1KMN6CO617 Pool Corp. 73278L105 171.00000000 NS USD 68179.41000000 0.037445886382 Long EC CORP US N 1 N N N T Rowe Price Group Inc 549300SIV6FPS9Y7IH33 T. Rowe Price Group, Inc. 74144T108 985.00000000 NS USD 106074.65000000 0.058258927320 Long EC CORP US N 1 N N N Principal Financial Group Inc CUMYEZJOAF02RYZ1JJ85 Principal Financial Group, Inc. 74251V102 967.00000000 NS USD 76073.89000000 0.041781737940 Long EC CORP US N 1 N N N Procter & Gamble Co/The 2572IBTT8CCZW6AU4141 Procter & Gamble Co. 742718109 10391.00000000 NS USD 1522697.14000000 0.836304451720 Long EC CORP US N 1 N N N Progressive Corp/The 529900TACNVLY9DCR586 Progressive Corp. 743315103 2579.00000000 NS USD 410783.12000000 0.225612659880 Long EC CORP US N 1 N N N Prologis Inc 529900DFH19P073LZ636 Prologis, Inc. 74340W103 4074.00000000 NS USD 543064.20000000 0.298264832907 Long EC CORP US N 1 N N N Prudential Financial Inc 5PRBRS5FEH7NREC8OR45 Prudential Financial, Inc. 744320102 1592.00000000 NS USD 165106.32000000 0.090680639502 Long EC CORP US N 1 N N N Public Service Enterprise Grou PUSS41EMO3E6XXNV3U28 Public Service Enterprise Group, Inc. 744573106 2197.00000000 NS USD 134346.55000000 0.073786582299 Long EC CORP US N 1 N N N Public Storage 549300LMZF40TKJ6DM64 Public Storage 74460D109 698.00000000 NS USD 212890.00000000 0.116924666140 Long EC CORP US N 1 N N N PulteGroup Inc N/A PulteGroup, Inc. 745867101 951.00000000 NS USD 98162.22000000 0.053913217159 Long EC CORP US N 1 N N N Qorvo Inc 254900YAUJV2EUEVBR11 Qorvo, Inc. 74736K101 429.00000000 NS USD 48309.69000000 0.026532924865 Long EC CORP US N 1 N N N QUALCOMM Inc H1J8DDZKZP6H7RWC0H53 QUALCOMM, Inc. 747525103 4907.00000000 NS USD 709699.41000000 0.389785178139 Long EC CORP US N 1 N N N Quanta Services Inc SHVRXXEACT60MMH07S24 Quanta Services, Inc. 74762E102 641.00000000 NS USD 138327.80000000 0.075973187246 Long EC CORP US N 1 N N N Quest Diagnostics Inc 8MCWUBXQ0WE04KMXBX50 Quest Diagnostics, Inc. 74834L100 496.00000000 NS USD 68388.48000000 0.037560713005 Long EC CORP US N 1 N N N Ralph Lauren Corp HO1QNWM0IXBZ0QSMMO20 Ralph Lauren Corp. 751212101 175.00000000 NS USD 25235.00000000 0.013859711353 Long EC CORP US N 1 N N N Raymond James Financial Inc RGUZHJ05YTITL6D76949 Raymond James Financial, Inc. 754730109 828.00000000 NS USD 92322.00000000 0.050705618053 Long EC CORP US N 1 N N N RTX Corp I07WOS4YJ0N7YRFE7309 RTX Corp. 75513E101 6339.00000000 NS USD 533363.46000000 0.292936936877 Long EC CORP US N 1 N N N Realty Income Corp 549300CUWDAUZSH43859 Realty Income Corp. 756109104 3192.00000000 NS USD 183284.64000000 0.100664640615 Long EC CORP US N 1 N N N Regency Centers Corp 529900053A7X7FJ97S58 Regency Centers Corp. 758849103 724.00000000 NS USD 48508.00000000 0.026641841820 Long EC CORP US N 1 N N N Regeneron Pharmaceuticals Inc 549300RCBFWIRX3HYQ56 Regeneron Pharmaceuticals, Inc. 75886F107 472.00000000 NS USD 414552.88000000 0.227683109076 Long EC CORP US N 1 N N N Regions Financial Corp CW05CS5KW59QTC0DG824 Regions Financial Corp. 7591EP100 4100.00000000 NS USD 79458.00000000 0.043640378233 Long EC CORP US N 1 N N N Republic Services Inc NKNQHM6BLECKVOQP7O46 Republic Services, Inc. 760759100 902.00000000 NS USD 148748.82000000 0.081696679586 Long EC CORP US N 1 N N N ResMed Inc 529900T3QE5253CCXF22 ResMed, Inc. 761152107 648.00000000 NS USD 111468.96000000 0.061221621179 Long EC CORP US N 1 N N N Robert Half Inc 529900VPCUY9H3HLIC08 Robert Half, Inc. 770323103 467.00000000 NS USD 41058.64000000 0.022550461619 Long EC CORP US N 1 N N N Rockwell Automation Inc VH3R4HHBHH12O0EXZJ88 Rockwell Automation, Inc. 773903109 506.00000000 NS USD 157102.88000000 0.086284944307 Long EC CORP US N 1 N N N Rollins Inc 549300F2A0BXT4SGWD84 Rollins, Inc. 775711104 1238.00000000 NS USD 54063.46000000 0.029693043406 Long EC CORP US N 1 N N N Roper Technologies Inc 54930003T4SXCIWVXY35 Roper Technologies, Inc. 776696106 471.00000000 NS USD 256775.07000000 0.141027475845 Long EC CORP US N 1 N N N Ross Stores Inc 549300ENZFLPGRDFZQ60 Ross Stores, Inc. 778296103 1493.00000000 NS USD 206616.27000000 0.113478972186 Long EC CORP US N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global, Inc. 78409V104 1428.00000000 NS USD 629062.56000000 0.345497345150 Long EC CORP US N 1 N N N SBA Communications Corp 5299001HX8ZN8Y8QIT49 SBA Communications Corp. 78410G104 476.00000000 NS USD 120756.44000000 0.066322544183 Long EC CORP US N 1 N N N Salesforce Inc RCGZFPDMRW58VJ54VR07 Salesforce, Inc. 79466L302 4290.00000000 NS USD 1128870.60000000 0.620004781907 Long EC CORP US N 1 N N N Henry Schein Inc VGO3WGL8H45T73F4RR92 Henry Schein, Inc. 806407102 576.00000000 NS USD 43608.96000000 0.023951162988 Long EC CORP US N 1 N N N Schlumberger NV 213800ZUA17OK3QLGM62 Schlumberger N.V. 806857108 6298.00000000 NS USD 327747.92000000 0.180007591357 Long EC CORP US N 1 N N N Charles Schwab Corp/The 549300VSGCJ7E698NM85 Charles Schwab Corp. 808513105 6561.00000000 NS USD 451396.80000000 0.247918738018 Long EC CORP US N 1 N N N Sempra PBBKGKLRK5S5C0Y4T545 Sempra 816851109 2775.00000000 NS USD 207375.75000000 0.113896098145 Long EC CORP US N 1 N N N ServiceNow Inc 549300HJTQM36M0E1G39 ServiceNow, Inc. 81762P102 904.00000000 NS USD 638666.96000000 0.350772328773 Long EC CORP US N 1 N N N Sherwin-Williams Co/The Z15BMIOX8DDH0X2OBP21 Sherwin-Williams Co. 824348106 1038.00000000 NS USD 323752.20000000 0.177813039114 Long EC CORP US N 1 N N N Simon Property Group Inc 529900GQL5X8H7AO3T64 Simon Property Group, Inc. 828806109 1438.00000000 NS USD 205116.32000000 0.112655161049 Long EC CORP US N 1 N N N Skyworks Solutions Inc 549300WZ3ORQ2BVKBD96 Skyworks Solutions, Inc. 83088M102 703.00000000 NS USD 79031.26000000 0.043406001644 Long EC CORP US N 1 N N N A O Smith Corp 549300XG4US7UJNECY36 A O Smith Corp. 831865209 542.00000000 NS USD 44682.48000000 0.024540767797 Long EC CORP US N 1 N N N J M Smucker Co/The 5493000WDH6A0LHDJD55 J M Smucker Co. 832696405 468.00000000 NS USD 59145.84000000 0.032484417283 Long EC CORP US N 1 N N N Snap-on Inc HHWAT5TDOYZMM26KKQ73 Snap-on, Inc. 833034101 233.00000000 NS USD 67299.72000000 0.036962737997 Long EC CORP US N 1 N N N Southern Co/The 549300FC3G3YU2FBZD92 Southern Co. 842587107 4808.00000000 NS USD 337136.96000000 0.185164293726 Long EC CORP US N 1 N N N Southwest Airlines Co UDTZ87G0STFETI6HGH41 Southwest Airlines Co. 844741108 2628.00000000 NS USD 75896.64000000 0.041684387679 Long EC CORP US N 1 N N N Stanley Black & Decker Inc 549300DJ09SMTO561131 Stanley Black & Decker, Inc. 854502101 676.00000000 NS USD 66315.60000000 0.036422233970 Long EC CORP US N 1 N N N Starbucks Corp OQSJ1DU9TAOC51A47K68 Starbucks Corp. 855244109 5037.00000000 NS USD 483602.37000000 0.265606865784 Long EC CORP US N 1 N N N State Street Corp 549300ZFEEJ2IP5VME73 State Street Corp. 857477103 1360.00000000 NS USD 105345.60000000 0.057858514299 Long EC CORP US N 1 N N N Steel Dynamics Inc 549300HGGKEL4FYTTQ83 Steel Dynamics, Inc. 858119100 671.00000000 NS USD 79245.10000000 0.043523448075 Long EC CORP US N 1 N N N Stryker Corp 5493002F0SC4JTBU5137 Stryker Corp. 863667101 1491.00000000 NS USD 446494.86000000 0.245226466432 Long EC CORP US N 1 N N N Synopsys Inc QG7T915N9S0NY5UKNE63 Synopsys, Inc. 871607107 671.00000000 NS USD 345504.61000000 0.189760022425 Long EC CORP US N 1 N N N Synchrony Financial 549300RS7EWPM9MA6C78 Synchrony Financial 87165B103 1824.00000000 NS USD 69658.56000000 0.038258273623 Long EC CORP US N 1 N N N Sysco Corp 5RGWIFLMGH3YS7KWI652 Sysco Corp. 871829107 2223.00000000 NS USD 162567.99000000 0.089286523349 Long EC CORP US N 1 N N N TJX Cos Inc/The V167QI9I69W364E2DY52 TJX Companies, Inc. 872540109 5044.00000000 NS USD 473177.64000000 0.259881335816 Long EC CORP US N 1 N N N T-Mobile US Inc 549300QHIJYOHPACPG31 T-Mobile US, Inc. 872590104 2243.00000000 NS USD 359620.19000000 0.197512662186 Long EC CORP US N 1 N N N Take-Two Interactive Software BOMSTHHJK882EWYX3334 Take-Two Interactive Software, Inc. 874054109 697.00000000 NS USD 112182.15000000 0.061613323479 Long EC CORP US N 1 N N N Tapestry Inc 549300LJNVY5SW3VTN33 Tapestry, Inc. 876030107 1010.00000000 NS USD 37178.10000000 0.020419169196 Long EC CORP US N 1 N N N Target Corp 8WDDFXB5T1Z6J0XC1L66 Target Corp. 87612E106 2035.00000000 NS USD 289824.70000000 0.159179183083 Long EC CORP US N 1 N N N Targa Resources Corp 5493003QENHHS261UR94 Targa Resources Corp. 87612G101 983.00000000 NS USD 85393.21000000 0.046900148291 Long EC CORP US N 1 N N N Teledyne Technologies Inc 549300VSMO9KYQWDND94 Teledyne Technologies, Inc. 879360105 208.00000000 NS USD 92828.32000000 0.050983702026 Long EC CORP US N 1 N N N Teleflex Inc UUL85LWXB4NGSWWXIQ25 Teleflex, Inc. 879369106 207.00000000 NS USD 51613.38000000 0.028347396424 Long EC CORP US N 1 N N N Teradyne Inc C3X4YJ278QNZHRJULN75 Teradyne, Inc. 880770102 674.00000000 NS USD 73142.48000000 0.040171732137 Long EC CORP US N 1 N N N Tesla Inc 54930043XZGB27CTOV49 Tesla, Inc. 88160R101 12193.00000000 NS USD 3029716.64000000 1.663998340132 Long EC CORP US N 1 N N N Texas Instruments Inc WDJNR2L6D8RWOEB8T652 Texas Instruments, Inc. 882508104 4004.00000000 NS USD 682521.84000000 0.374858557354 Long EC CORP US N 1 N N N Textron Inc 3PPKBHUG1HD6BO7RNR87 Textron, Inc. 883203101 864.00000000 NS USD 69482.88000000 0.038161785647 Long EC CORP US N 1 N N N Thermo Fisher Scientific Inc HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific, Inc. 883556102 1703.00000000 NS USD 903935.37000000 0.496464565500 Long EC CORP US N 1 N N N 3M Co LUZQVYP4VS22CLWDAR65 3M Co. 88579Y101 2435.00000000 NS USD 266194.20000000 0.146200704417 Long EC CORP US N 1 N N N Tractor Supply Co 549300OJ9VZHZRO6I137 Tractor Supply Co. 892356106 477.00000000 NS USD 102569.31000000 0.056333704391 Long EC CORP US N 1 N N N TransDigm Group Inc N/A TransDigm Group, Inc. 893641100 244.00000000 NS USD 246830.40000000 0.135565607183 Long EC CORP US N 1 N N N Travelers Cos Inc/The 549300Y650407RU8B149 Travelers Companies, Inc. 89417E109 1007.00000000 NS USD 191823.43000000 0.105354363805 Long EC CORP US N 1 N N N Trimble Inc 549300E2MI7NSZFQWS19 Trimble, Inc. 896239100 1097.00000000 NS USD 58360.40000000 0.032053033424 Long EC CORP US N 1 N N N Truist Financial Corp 549300DRQQI75D2JP341 Truist Financial Corp. 89832Q109 5880.00000000 NS USD 217089.60000000 0.119231194525 Long EC CORP US N 1 N N N Tyler Technologies Inc 25490040SMU4Z8LBCW70 Tyler Technologies, Inc. 902252105 186.00000000 NS USD 77770.32000000 0.042713460949 Long EC CORP US N 1 N N N Tyson Foods Inc WD6L6041MNRW1JE49D58 Tyson Foods, Inc. 902494103 1258.00000000 NS USD 67617.50000000 0.037137270950 Long EC CORP US N 1 N N N UDR Inc P3CH2EG5X6Z1XWU1OO74 UDR, Inc. 902653104 1334.00000000 NS USD 51078.86000000 0.028053824286 Long EC CORP US N 1 N N N US Bancorp N1GZ7BBF3NP8GI976H15 U.S. Bancorp 902973304 6864.00000000 NS USD 297073.92000000 0.163160641246 Long EC CORP US N 1 N N N Uber Technologies Inc 549300B2FTG34FILDR98 Uber Technologies, Inc. 90353T100 9073.00000000 NS USD 558624.61000000 0.306811010483 Long EC CORP US N 1 N N N Ulta Beauty Inc 529900CIV6HN8M28YM82 Ulta Beauty, Inc. 90384S303 217.00000000 NS USD 106327.83000000 0.058397980290 Long EC CORP US N 1 N N N Union Pacific Corp 549300LMMRSZZCZ8CL11 Union Pacific Corp. 907818108 2688.00000000 NS USD 660226.56000000 0.362613415870 Long EC CORP US N 1 N N N United Airlines Holdings Inc 98450079DA0B78DD6764 United Airlines Holdings, Inc. 910047109 1446.00000000 NS USD 59661.96000000 0.032767883668 Long EC CORP US N 1 N N N United Parcel Service Inc D01LMJZU09ULLNCY6Z23 United Parcel Service, Inc. 911312106 3189.00000000 NS USD 501406.47000000 0.275385335643 Long EC CORP US N 1 N N N United Rentals Inc 5323X5O7RN0NKFCDRY08 United Rentals, Inc. 911363109 299.00000000 NS USD 171452.58000000 0.094166168797 Long EC CORP US N 1 N N N TREASURY BILL 254900HROIFWPRGM1V77 U.S. Treasury Bills 912796Z28 1300000.00000000 PA USD 1290336.09000000 0.708685783886 Long DBT UST US N 2 2024-02-22 None 0.00000000 N N N N N N TREASURY BILL 254900HROIFWPRGM1V77 U.S. Treasury Bills 912797HY6 146000.00000000 PA USD 145851.12000000 0.080105188182 Long DBT UST US N 2 2024-01-09 None 0.00000000 N N N N N N UnitedHealth Group Inc 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91324P102 4078.00000000 NS USD 2146944.66000000 1.179157253001 Long EC CORP US N 1 N N N Universal Health Services Inc 549300YGMGQDO0NMJD09 Universal Health Services, Inc. 913903100 269.00000000 NS USD 41006.36000000 0.022521748098 Long EC CORP US N 1 N N N VF Corp CWAJJ9DJ5Z7P057HV541 VF Corp. 918204108 1457.00000000 NS USD 27391.60000000 0.015044171567 Long EC CORP US N 1 N N N Valero Energy Corp 549300XTO5VR8SKV1V74 Valero Energy Corp. 91913Y100 1501.00000000 NS USD 195130.00000000 0.107170417135 Long EC CORP US N 1 N N N Ventas Inc ORQTRC074CWLT3DKHT41 Ventas, Inc. 92276F100 1774.00000000 NS USD 88416.16000000 0.048560430219 Long EC CORP US N 1 N N N Veralto Corp 635400FJE6GSOJUSNY27 Veralto Corp. 92338C103 966.00000000 NS USD 79463.16000000 0.043643212238 Long EC CORP US N 1 N N N VeriSign Inc LMPL4N8ZOJRMF0KOF759 VeriSign, Inc. 92343E102 392.00000000 NS USD 80736.32000000 0.044342464471 Long EC CORP US N 1 N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Verizon Communications, Inc. 92343V104 18535.00000000 NS USD 698769.50000000 0.383782190315 Long EC CORP US N 1 N N N Verisk Analytics Inc 549300I1YSWNIRKBWP67 Verisk Analytics, Inc. 92345Y106 639.00000000 NS USD 152631.54000000 0.083829169321 Long EC CORP US N 1 N N N Vertex Pharmaceuticals Inc 54930015RAQRRZ5ZGJ91 Vertex Pharmaceuticals, Inc. 92532F100 1136.00000000 NS USD 462227.04000000 0.253866984512 Long EC CORP US N 1 N N N Paramount Global 5KYC8KF17ROCY24M3H09 Paramount Global 92556H206 2127.00000000 NS USD 31458.33000000 0.017277724329 Long EC CORP US N 1 N N N Viatris Inc 254900ZZTSW7NL773X71 Viatris, Inc. 92556V106 5289.00000000 NS USD 57279.87000000 0.031459578544 Long EC CORP US N 1 N N N VICI Properties Inc 254900RKH6RY9KCJQH63 VICI Properties, Inc. 925652109 4561.00000000 NS USD 145404.68000000 0.079859991846 Long EC CORP US N 1 N N N Visa Inc 549300JZ4OKEHW3DPJ59 Visa, Inc. 92826C839 7028.00000000 NS USD 1829739.80000000 1.004940181493 Long EC CORP US N 1 N N N Vulcan Materials Co 549300Q8LSNHAVWBNI21 Vulcan Materials Co. 929160109 586.00000000 NS USD 133027.86000000 0.073062323818 Long EC CORP US N 1 N N N WEC Energy Group Inc 549300IGLYTZUK3PVP70 WEC Energy Group, Inc. 92939U106 1391.00000000 NS USD 117080.47000000 0.064303606868 Long EC CORP US N 1 N N N Westinghouse Air Brake Technol 06BTX5UWZD0GQ5N5Y745 Westinghouse Air Brake Technologies Corp. 929740108 790.00000000 NS USD 100251.00000000 0.055060428884 Long EC CORP US N 1 N N N Walmart Inc Y87794H0US1R65VBXU25 Walmart, Inc. 931142103 6289.00000000 NS USD 991460.85000000 0.544535811344 Long EC CORP US N 1 N N N Walgreens Boots Alliance Inc 549300RPTUOIXG4LIH86 Walgreens Boots Alliance, Inc. 931427108 3161.00000000 NS USD 82533.71000000 0.045329637310 Long EC CORP US N 1 N N N Warner Bros Discovery Inc 5493006ZCRFWKF6B1K26 Warner Bros Discovery, Inc. 934423104 9783.00000000 NS USD 111330.54000000 0.061145597353 Long EC CORP US N 1 N N N Waste Management Inc 549300YX8JIID70NFS41 Waste Management, Inc. 94106L109 1616.00000000 NS USD 289425.60000000 0.158959987093 Long EC CORP US N 1 N N N Waters Corp 5T547R1474YC9HOD8Q74 Waters Corp. 941848103 261.00000000 NS USD 85929.03000000 0.047194434423 Long EC CORP US N 1 N N N Wells Fargo & Co PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co. 949746101 16011.00000000 NS USD 788061.42000000 0.432823610462 Long EC CORP US N 1 N N N Welltower Inc 254900F33BIAR82QTA19 Welltower, Inc. 95040Q104 2440.00000000 NS USD 220014.80000000 0.120837789637 Long EC CORP US N 1 N N N West Pharmaceutical Services I 5493007NKRGM1RJQ1P16 West Pharmaceutical Services, Inc. 955306105 325.00000000 NS USD 114439.00000000 0.062852843573 Long EC CORP US N 1 N N N Western Digital Corp 549300QQXOOYEF89IC56 Western Digital Corp. 958102105 1430.00000000 NS USD 74889.10000000 0.041131020785 Long EC CORP US N 1 N N N Westrock Co 5493004Z9TCQW68YVL89 Westrock Co. 96145D105 1130.00000000 NS USD 46917.60000000 0.025768353215 Long EC CORP US N 1 N N N Weyerhaeuser Co 08IRJODWFYBI7QWRGS31 Weyerhaeuser Co. 962166104 3218.00000000 NS USD 111889.86000000 0.061452790290 Long EC CORP US N 1 N N N Whirlpool Corp WHENKOULSSK7WUM60H03 Whirlpool Corp. 963320106 242.00000000 NS USD 29468.34000000 0.016184770614 Long EC CORP US N 1 N N N Williams Cos Inc/The D71FAKCBLFS2O0RBPG08 Williams Companies, Inc. 969457100 5363.00000000 NS USD 186793.29000000 0.102591681480 Long EC CORP US N 1 N N N Wynn Resorts Ltd 254900CEKKWIHTEAB172 Wynn Resorts Ltd. 983134107 423.00000000 NS USD 38539.53000000 0.021166901585 Long EC CORP US N 1 N N N Xcel Energy Inc LGJNMI9GH8XIDG5RCM61 Xcel Energy, Inc. 98389B100 2433.00000000 NS USD 150627.03000000 0.082728240849 Long EC CORP US N 1 N N N Xylem Inc/NY 549300DF5MV96DRYLQ48 Xylem, Inc. 98419M100 1063.00000000 NS USD 121564.68000000 0.066766450389 Long EC CORP US N 1 N N N Yum! Brands Inc 549300JE8XHZZ7OHN517 Yum! Brands, Inc. 988498101 1236.00000000 NS USD 161495.76000000 0.088697627042 Long EC CORP US N 1 N N N Zebra Technologies Corp PO0I32GKZ3HZMMDPZZ08 Zebra Technologies Corp. 989207105 226.00000000 NS USD 61772.58000000 0.033927090483 Long EC CORP US N 1 N N N Zimmer Biomet Holdings Inc 2P2YLDVPES3BXQ1FRB91 Zimmer Biomet Holdings, Inc. 98956P102 921.00000000 NS USD 112085.70000000 0.061560350657 Long EC CORP US N 1 N N N Zions Bancorp NA 8WH0EE09O9V05QJZ3V89 Zions Bancorp North America 989701107 653.00000000 NS USD 28647.11000000 0.015733729966 Long EC CORP US N 1 N N N Zoetis Inc 549300HD9Q1LOC9KLJ48 Zoetis, Inc. 98978V103 2024.00000000 NS USD 399476.88000000 0.219402981937 Long EC CORP US N 1 N N N BNP Paribas R0MUWSFPU8MPRO8K5P83 S&P 500 Index N/A 126.24800000 NC USD 9021.50000000 0.004954839943 N/A DE US N 2 BNP Paribas R0MUWSFPU8MPRO8K5P83 S&P 500 INDEX US78378X1072 Y S&P 500 Index-Tenor Quarterly 2024-03-21 0.00000000 USD 0.00000000 USD 602181.50000000 USD 9021.50000000 N N N Barclays Bank plc G5GSEF7VJP5I7OUK5573 S&P 500 Index N/A 495.23660000 NC USD 7292.15000000 0.004005036423 N/A DE US N 2 BARCLAYS BANK PLC G5GSEF7VJP5I7OUK5573 S&P 500 INDEX US78378X1072 Y S&P 500 Index-Tenor Quarterly 2024-03-20 0.00000000 USD 0.00000000 USD 2362194.39000000 USD 7292.15000000 N N N Chicago Mercantile Exchange N/A S&P 500 Index Mini Futures Contracts N/A 5.00000000 NC USD 3450.30000000 0.001894993544 N/A DE US N 1 Goldman Sachs & Co. LLC FOR8UP27PHTHYVLBNG30 Long S&P 500 INDEX US78378X1072 2024-03-15 1201299.70000000 USD 3450.30000000 N N N Allegion plc 984500560CAC2E6FB757 Allegion plc N/A 387.00000000 NS USD 49029.03000000 0.026928004903 Long EC CORP US N 1 N N N Amcor PLC 549300GSODGFCDQ3DI89 Amcor plc N/A 6372.00000000 NS USD 61426.08000000 0.033736783767 Long EC CORP US N 1 N N N Aon PLC 635400FALWQYX5E6QC64 Aon plc N/A 883.00000000 NS USD 256970.66000000 0.141134898906 Long EC CORP US N 1 N N N Arch Capital Group Ltd 549300AYR4P8AFKDCE43 Arch Capital Group Ltd. N/A 1645.00000000 NS USD 122174.15000000 0.067101186996 Long EC CORP US N 1 N N N Accenture PLC 5493000EWHDSR3MZWH98 Accenture plc N/A 2767.00000000 NS USD 970967.97000000 0.533280594320 Long EC CORP US N 1 N N N Eaton Corp PLC 549300VDIGTMXUNT7H71 Eaton Corporation plc N/A 1760.00000000 NS USD 423843.20000000 0.232785591881 Long EC CORP US N 1 N N N Everest Group Ltd 549300N24XF2VV0B3570 Everest Group Ltd. N/A 191.00000000 NS USD 67533.78000000 0.037091289772 Long EC CORP US N 1 N N N Invesco Ltd ECPGFXU8A2SHKVVGJI15 Invesco Ltd. N/A 1982.00000000 NS USD 35358.88000000 0.019420006759 Long EC CORP US N 1 N N N Johnson Controls International 549300XQ6S1GYKGBL205 Johnson Controls International plc N/A 2999.00000000 NS USD 172862.36000000 0.094940456250 Long EC CORP US N 1 N N N Linde PLC 5299003QR1WT0EF88V51 Linde plc N/A 2138.00000000 NS USD 878097.98000000 0.482274006058 Long EC CORP US N 1 N N N Medtronic PLC 549300GX3ZBSQWUXY261 Medtronic plc N/A 5866.00000000 NS USD 483241.08000000 0.265408436019 Long EC CORP US N 1 N N N Aptiv PLC N/A Aptiv plc N/A 1247.00000000 NS USD 111880.84000000 0.061447836274 Long EC CORP US N 1 N N N Norwegian Cruise Line Holdings N/A Norwegian Cruise Line Holdings Ltd. N/A 1876.00000000 NS USD 37595.04000000 0.020648163373 Long EC CORP US N 1 N N N Seagate Technology Holdings PL 635400RUXIFEZSRU8X70 Seagate Technology Holdings plc N/A 858.00000000 NS USD 73247.46000000 0.040229389854 Long EC CORP US N 1 N N N Pentair PLC 549300EVR9D56WPSRP15 Pentair plc N/A 729.00000000 NS USD 53005.59000000 0.029112033981 Long EC CORP US N 1 N N N STERIS PLC N/A STERIS plc N/A 436.00000000 NS USD 95854.60000000 0.052645812875 Long EC CORP US N 1 N N N Trane Technologies PLC 549300BURLR9SLYY2705 Trane Technologies plc N/A 1007.00000000 NS USD 245607.30000000 0.134893849189 Long EC CORP US N 1 N N N Willis Towers Watson PLC 549300WHC56FF48KL350 Willis Towers Watson plc N/A 455.00000000 NS USD 109746.00000000 0.060275327212 Long EC CORP US N 1 N N N Goldman Sachs International W22LROWP2IHZNBB6K528 S&P 500 Index N/A 302.58630000 NC USD 20122.45000000 0.011051767336 N/A DE US N 2 Goldman Sachs International W22LROWP2IHZNBB6K528 S&P 500 INDEX US78378X1072 Y S&P 500 Index-Tenor Quarterly 2024-03-21 0.00000000 USD 0.00000000 USD 1443285.21000000 USD 20122.45000000 N N N Bunge Global SA 254900IVXSV9K0B7PO26 Bunge Global S.A. N/A 641.00000000 NS USD 64708.95000000 0.035539820447 Long EC CORP US N 1 N N N Chubb Ltd E0JAN6VLUDI1HITHT809 Chubb Ltd. N/A 1799.00000000 NS USD 406574.00000000 0.223300902866 Long EC CORP US N 1 N N N Garmin Ltd 2549001E0HIPIJQ0W046 Garmin Ltd. N/A 675.00000000 NS USD 86764.50000000 0.047653296046 Long EC CORP US N 1 N N N TE Connectivity Ltd 894500ZRIX9K13RHXR17 TE Connectivity Ltd. N/A 1370.00000000 NS USD 192485.00000000 0.105717715073 Long EC CORP US N 1 N N N LyondellBasell Industries NV BN6WCCZ8OVP3ITUUVN49 LyondellBasell Industries N.V. N/A 1130.00000000 NS USD 107440.40000000 0.059009032363 Long EC CORP US N 1 N N N NXP Semiconductors NV 724500M9BY5293JDF951 NXP Semiconductor N.V. N/A 1136.00000000 NS USD 260916.48000000 0.143302044785 Long EC CORP US N 1 N N N BOFA SECURITIES, INC. 549300HN4UKV1E2R3U73 BofA Securities, Inc. N/A 1898903.56000000 PA USD 1898903.56000000 1.042926698224 Long RA CORP US N 2 Repurchase Y 5.35000000 2024-01-02 3853930.75000000 USD 1936881.63000000 USD UST N N N J.P. MORGAN SECURITIES LLC ZBUT11V806EZRVTWT807 J.P. Morgan Securities LLC N/A 2356292.23000000 PA USD 2356292.23000000 1.294136325431 Long RA CORP US N 2 Repurchase Y 5.33000000 2024-01-02 2421112.28000000 USD 2403419.76000000 USD UST N N N Royal Caribbean Cruises Ltd K2NEH8QNVW44JIWK7Z55 Royal Caribbean Cruises Ltd. N/A 1039.00000000 NS USD 134540.11000000 0.073892890432 Long EC CORP US N 1 N N N 2024-07-15 Rydex Series Funds James Howley James Howley CFO XXXX NPORT-EX 2 fp0086627-1_nportex.htm RYDEX SERIES FUNDS NQ
Banking Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 97.9%
Banks - 92.0%
Bank of America Corp.   8,909   $299,970 
Wells Fargo & Co.   6,088    299,651 
JPMorgan Chase & Co.   1,743    296,484 
Citigroup, Inc.   5,668    291,562 
U.S. Bancorp   5,818    251,803 
PNC Financial Services Group, Inc.   1,583    245,128 
Truist Financial Corp.   5,821    214,911 
Bank of New York Mellon Corp.   3,728    194,042 
Fifth Third Bancorp   4,414    152,239 
State Street Corp.   1,879    145,547 
M&T Bank Corp.   1,040    142,563 
Regions Financial Corp.   6,931    134,323 
Huntington Bancshares, Inc.   10,281    130,774 
Northern Trust Corp.   1,498    126,401 
Citizens Financial Group, Inc.   3,673    121,723 
NU Holdings Limited/Cayman Islands — Class A*   14,513    120,893 
KeyCorp   7,925    114,120 
Toronto-Dominion Bank   1,750    113,085 
HDFC Bank Ltd. ADR   1,530    102,678 
East West Bancorp, Inc.   1,352    97,276 
ICICI Bank Ltd. ADR   3,879    92,475 
Webster Financial Corp.   1,794    91,063 
Bank of Nova Scotia   1,851    90,125 
Royal Bank of Canada   887    89,702 
Comerica, Inc.   1,532    85,501 
First Horizon Corp.   6,015    85,172 
Western Alliance Bancorporation   1,284    84,474 
Zions Bancorp North America   1,825    80,063 
Pinnacle Financial Partners, Inc.   902    78,673 
Cullen/Frost Bankers, Inc.   716    77,679 
SouthState Corp.   908    76,681 
Prosperity Bancshares, Inc.   1,122    75,993 
Commerce Bancshares, Inc.   1,412    75,434 
Popular, Inc.   907    74,438 
Canadian Imperial Bank of Commerce   1,542    74,232 
Bank OZK   1,478    73,649 
HSBC Holdings plc ADR1   1,800    72,972 
Columbia Banking System, Inc.   2,728    72,783 
Bank of Montreal   725    71,732 
Wintrust Financial Corp.   772    71,603 
Cadence Bank   2,392    70,779 
Synovus Financial Corp.   1,861    70,067 
United Bankshares, Inc.   1,833    68,829 
FNB Corp.   4,952    68,189 
UBS Group AG*   2,180    67,362 
Old National Bancorp   3,988    67,357 
Valley National Bancorp   6,154    66,832 
Home BancShares, Inc.   2,635    66,745 
First Citizens BancShares, Inc. — Class A   45    63,854 
First Financial Bankshares, Inc.   2,062    62,479 
Hancock Whitney Corp.   1,281    62,244 
Ameris Bancorp   1,107    58,726 
United Community Banks, Inc.   1,939    56,735 
UMB Financial Corp.   679    56,731 
Barclays plc ADR   7,153    56,366 
Cathay General Bancorp   1,248    55,623 
Associated Banc-Corp.   2,600    55,614 
Texas Capital Bancshares, Inc.*   854    55,194 
Banco Bradesco S.A. ADR   15,624    54,684 
International Bancshares Corp.   1,001    54,374 
First Hawaiian, Inc.   2,311    52,830 
Bank of Hawaii Corp.1   720    52,171 
First Interstate BancSystem, Inc. — Class A   1,647    50,645 
Fulton Financial Corp.   3,049    50,187 
CVB Financial Corp.   2,430    49,062 
Simmons First National Corp. — Class A   2,463    48,866 
Seacoast Banking Corporation of Florida   1,684    47,927 
Eastern Bankshares, Inc.   3,258    46,264 
BOK Financial Corp.   507    43,425 
Bancorp, Inc.*   1,053    40,604 
Independent Bank Corp.   577    37,972 
Total Banks        6,948,354 
Savings & Loans - 3.0%          
New York Community Bancorp, Inc.   7,977    81,605 
Pacific Premier Bancorp, Inc.   1,778    51,757 
WSFS Financial Corp.   1,008    46,297 
WaFd, Inc.   1,356    44,694 
Total Savings & Loans        224,353 
Diversified Financial Services - 2.9%          
Capital One Financial Corp.   1,655    217,004 
Total Common Stocks          
(Cost $5,321,348)        7,389,711 
           
PREFERRED STOCKS - 1.0%          
Financial - 1.0%          
Itau Unibanco Holding S.A.          
 ADR   11,349    78,875 
Total Preferred Stocks          
(Cost $52,619)        78,875 

 

   Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $19,089    19,089 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   15,384    15,384 
Total Repurchase Agreements          
(Cost $34,473)        34,473 

 

 

Banking Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares    Value 
SECURITIES LENDING COLLATERAL†,3 - 0.7%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4  $53,216   $53,216 
Total Securities Lending Collateral          
(Cost $53,216)        53,216 
Total Investments - 100.1%          
(Cost $5,461,656)       $7,556,275 
Other Assets & Liabilities, net - (0.1)%        (5,598)
Total Net Assets - 100.0%       $7,550,677 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $7,389,711   $   $   $7,389,711 
Preferred Stocks   78,875            78,875 
Repurchase Agreements       34,473        34,473 
Securities Lending Collateral   53,216            53,216 
Total Assets  $7,521,802   $34,473   $   $7,556,275 

 

 

Basic Materials Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.7%
Chemicals - 37.0%
Linde plc   3,408   $1,399,700 
Sherwin-Williams Co.   2,771    864,275 
Air Products and Chemicals, Inc.   2,852    780,878 
Ecolab, Inc.   3,560    706,126 
Dow, Inc.   11,482    629,673 
PPG Industries, Inc.   3,932    588,031 
DuPont de Nemours, Inc.   7,223    555,665 
LyondellBasell Industries N.V. — Class A   5,193    493,750 
International Flavors & Fragrances, Inc.   5,595    453,027 
Albemarle Corp.   2,946    425,638 
Celanese Corp. — Class A   2,711    421,208 
Nutrien Ltd.   7,162    403,435 
CF Industries Holdings, Inc.   4,732    376,194 
RPM International, Inc.   3,365    375,635 
Eastman Chemical Co.   3,640    326,945 
Mosaic Co.   9,123    325,965 
FMC Corp.   4,583    288,958 
Axalta Coating Systems Ltd.*   8,005    271,930 
Olin Corp.   4,855    261,927 
Element Solutions, Inc.   10,152    234,917 
Westlake Corp.   1,588    222,257 
Chemours Co.   7,019    221,379 
Huntsman Corp.   8,039    202,020 
Ashland, Inc.   2,313    195,009 
Livent Corp.*   10,693    192,260 
Balchem Corp.   845    125,694 
Total Chemicals        11,342,496 
Mining - 22.8%          
Freeport-McMoRan, Inc.   19,507    830,413 
Newmont Corp.   16,815    695,973 
Barrick Gold Corp.   30,554    552,722 
Rio Tinto plc ADR   5,801    431,942 
BHP Group Ltd. ADR   6,073    414,847 
Agnico Eagle Mines Ltd.   6,477    355,263 
Wheaton Precious Metals Corp.   6,039    297,964 
Southern Copper Corp.   3,388    291,605 
Alcoa Corp.   8,509    289,306 
Royal Gold, Inc.   2,290    276,998 
Franco-Nevada Corp.   2,359    261,401 
Pan American Silver Corp.   15,841    258,684 
Kinross Gold Corp.   41,428    250,639 
Gold Fields Ltd. ADR   16,784    242,697 
Anglogold Ashanti plc   12,940    241,849 
Sibanye Stillwater Ltd. ADR   39,591    214,979 
Sigma Lithium Corp.*,1   6,538    206,143 
Alamos Gold, Inc. — Class A   14,600    196,662 
B2Gold Corp.   59,487    187,979 
MP Materials Corp.*   9,180    182,223 
Hecla Mining Co.   34,125    164,141 
SSR Mining, Inc.   12,998    139,859 
Total Mining        6,984,289 
Iron & Steel - 12.4%          
Nucor Corp.   3,818    664,485 
Vale S.A. ADR   41,228    653,876 
Steel Dynamics, Inc.   3,611    426,459 
Reliance Steel & Aluminum Co.   1,445    404,138 
United States Steel Corp.   7,283    354,318 
Cleveland-Cliffs, Inc.*   16,537    337,685 
ArcelorMittal S.A.   9,633    273,481 
ATI, Inc.*   5,537    251,767 
Commercial Metals Co.   4,904    245,396 
Gerdau S.A. ADR   42,939    208,254 
Total Iron & Steel        3,819,859 
Packaging & Containers - 11.0%          
Ball Corp.   7,283    418,918 
Packaging Corporation of America   2,284    372,087 
Crown Holdings, Inc.   3,577    329,406 
Westrock Co.   7,667    318,334 
Amcor plc   30,549    294,492 
AptarGroup, Inc.   2,236    276,414 
Graphic Packaging Holding Co.   11,186    275,735 
Berry Global Group, Inc.   4,053    273,132 
Sonoco Products Co.   4,136    231,078 
Sealed Air Corp.   6,262    228,688 
Silgan Holdings, Inc.   4,265    192,991 
O-I Glass, Inc.*   9,765    159,951 
Total Packaging & Containers        3,371,226 
Building Materials - 8.0%          
Martin Marietta Materials, Inc.   1,132    564,766 
Vulcan Materials Co.   2,433    552,316 
CRH plc*   5,357    370,490 
Eagle Materials, Inc.   1,330    269,777 
Cemex SAB de CV ADR*   33,160    256,990 
Louisiana-Pacific Corp.   3,110    220,281 
Summit Materials, Inc. — Class A*   5,692    218,914 
Total Building Materials        2,453,534 
Coal - 3.2%          
Teck Resources Ltd. — Class B   10,771    455,290 
Alpha Metallurgical Resources, Inc.   522    176,916 
Warrior Met Coal, Inc.   2,883    175,777 
Arch Resources, Inc.   992    164,612 
Total Coal        972,595 
Biotechnology - 1.9%          
Corteva, Inc.   12,275    588,218 
Household Products & Housewares - 1.3%          
Avery Dennison Corp.   2,001    404,522 
Forest Products & Paper - 1.1%          
International Paper Co.   9,504    343,570 
Housewares - 0.5%          
Scotts Miracle-Gro Co. — Class A   2,557    163,009 
Healthcare-Services - 0.3%          
Ginkgo Bioworks Holdings, Inc.*,1   45,845    77,478 
Environmental Control - 0.2%          
PureCycle Technologies, Inc.*,1   16,615    67,291 
Total Common Stocks          
(Cost $18,484,951)        30,588,087 

 

 

Basic Materials Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

    Face
Amount
    Value 
REPURCHASE AGREEMENTS††,2 - 1.0%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $176,863   $176,863 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   142,531    142,531 
Total Repurchase Agreements          
(Cost $319,394)        319,394 
           
    Shares      
SECURITIES LENDING COLLATERAL†,3 - 0.9%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   282,225   282,225 
Total Securities Lending Collateral          
(Cost $282,225)        282,225 
Total Investments - 101.6%          
(Cost $19,086,570)       $31,189,706 
Other Assets & Liabilities, net - (1.6)%        (502,383)
Total Net Assets - 100.0%       $30,687,323 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $30,588,087   $   $   $30,588,087 
Repurchase Agreements       319,394        319,394 
Securities Lending Collateral   282,225            282,225 
Total Assets  $30,870,312   $319,394   $   $31,189,706 

 

 

Biotechnology Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Biotechnology - 74.6%
Amgen, Inc.   22,947   $6,609,195 
Vertex Pharmaceuticals, Inc.*   11,916    4,848,501 
Regeneron Pharmaceuticals, Inc.*   5,420    4,760,332 
Gilead Sciences, Inc.   58,422    4,732,766 
Moderna, Inc.*   33,946    3,375,930 
Biogen, Inc.*   12,718    3,291,037 
Corteva, Inc.   64,623    3,096,734 
Illumina, Inc.*   18,813    2,619,522 
Alnylam Pharmaceuticals, Inc.*   13,656    2,613,895 
Cytokinetics, Inc.*   27,323    2,281,197 
BioMarin Pharmaceutical, Inc.*   23,095    2,226,820 
Royalty Pharma plc — Class A   68,419    1,921,890 
Incyte Corp.*   30,192    1,895,756 
Legend Biotech Corp. ADR*   28,526    1,716,409 
United Therapeutics Corp.*   7,160    1,574,412 
Sarepta Therapeutics, Inc.*   16,261    1,568,048 
ImmunoGen, Inc.*   49,427    1,465,511 
Exelixis, Inc.*   60,869    1,460,247 
Intra-Cellular Therapies, Inc.*   19,815    1,419,150 
Ionis Pharmaceuticals, Inc.*   27,460    1,389,201 
BioNTech SE ADR*   12,391    1,307,746 
Bridgebio Pharma, Inc.*   31,868    1,286,511 
Karuna Therapeutics, Inc.*   4,028    1,274,902 
Roivant Sciences Ltd.*   110,138    1,236,850 
ACADIA Pharmaceuticals, Inc.*   38,459    1,204,151 
Blueprint Medicines Corp.*   13,045    1,203,271 
Apellis Pharmaceuticals, Inc.*   20,005    1,197,499 
Argenx SE ADR*   3,121    1,187,322 
REVOLUTION Medicines, Inc.*   41,096    1,178,633 
CRISPR Therapeutics AG*   18,697    1,170,432 
Amicus Therapeutics, Inc.*   82,424    1,169,597 
Insmed, Inc.*   37,152    1,151,341 
Halozyme Therapeutics, Inc.*   29,464    1,088,990 
Ultragenyx Pharmaceutical, Inc.*   22,494    1,075,663 
Arrowhead Pharmaceuticals, Inc.*   33,819    1,034,861 
Mirati Therapeutics, Inc.*   17,168    1,008,620 
Guardant Health, Inc.*   34,283    927,355 
Immunovant, Inc.*   20,363    857,893 
Intellia Therapeutics, Inc.*   27,798    847,561 
Axsome Therapeutics, Inc.*   10,113    804,894 
TG Therapeutics, Inc.*   47,043    803,495 
Iovance Biotherapeutics, Inc.*   95,480    776,252 
PTC Therapeutics, Inc.*   27,608    760,877 
Prothena Corporation plc*   20,627    749,585 
Dynavax Technologies Corp.*   50,798    710,156 
Beam Therapeutics, Inc.*,1   24,560    668,523 
Akero Therapeutics, Inc.*   26,132    610,182 
Krystal Biotech, Inc.*   4,629    574,274 
Sage Therapeutics, Inc.*   26,068    564,894 
Novavax, Inc.*   74,642    358,282 
Total Biotechnology        83,657,165 
Pharmaceuticals - 18.6%          
AbbVie, Inc.   56,397    8,739,843 
AstraZeneca plc ADR   43,595    2,936,123 
Viatris, Inc.   180,371    1,953,418 
Neurocrine Biosciences, Inc.*   14,605    1,924,355 
Alkermes plc*   55,142    1,529,639 
Jazz Pharmaceuticals plc*   11,642    1,431,966 
Vaxcyte, Inc.*   18,581    1,166,887 
Ironwood Pharmaceuticals, Inc. — Class A*   59,223    677,511 
Madrigal Pharmaceuticals, Inc.*   2,447    566,187 
Total Pharmaceuticals        20,925,929 
Healthcare-Products - 5.2%          
Exact Sciences Corp.*   27,239    2,015,141 
Natera, Inc.*   22,863    1,432,138 
Novocure Ltd.*   95,849    1,431,026 
Pacific Biosciences of California, Inc.*   92,643    908,828 
Total Healthcare-Products        5,787,133 
Healthcare-Services - 1.1%          
Medpace Holdings, Inc.*   4,208    1,289,879 
Total Common Stocks          
(Cost $57,286,458)        111,660,106 
           
   Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.2%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $126,182    126,182 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   101,689    101,689 
Total Repurchase Agreements          
(Cost $227,871)        227,871 
           
    Shares      
SECURITIES LENDING COLLATERAL†,3 - 0.5%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   565,545    565,545 
Total Securities Lending Collateral          
(Cost $565,545)        565,545 
Total Investments - 100.2%          
(Cost $58,079,874)       $112,453,522 
Other Assets & Liabilities, net - (0.2)%        (255,578)
Total Net Assets - 100.0%       $112,197,944 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.

 

 

Biotechnology Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $111,660,106   $   $   $111,660,106 
Repurchase Agreements       227,871        227,871 
Securities Lending Collateral   565,545            565,545 
Total Assets  $112,225,651   $227,871   $   $112,453,522 

 

 

Consumer Products Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                                                                          December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.6%
Food - 33.5%
Mondelez International, Inc. — Class A   27,274   $1,975,456 
Hershey Co.   6,449    1,202,352 
General Mills, Inc.   18,421    1,199,944 
Sysco Corp.   16,149    1,180,976 
Kroger Co.   24,110    1,102,068 
Kraft Heinz Co.   29,029    1,073,492 
Tyson Foods, Inc. — Class A   16,154    868,278 
McCormick & Company, Inc.   12,358    845,534 
Lamb Weston Holdings, Inc.   7,439    804,082 
Kellanova   13,876    775,807 
J M Smucker Co.   5,711    721,756 
Conagra Brands, Inc.   24,969    715,612 
Performance Food Group Co.*   9,656    667,712 
US Foods Holding Corp.*   14,097    640,145 
Hormel Foods Corp.   18,790    603,347 
Campbell Soup Co.   13,288    574,440 
Albertsons Companies, Inc. — Class A   24,149    555,427 
Ingredion, Inc.   4,886    530,278 
Sprouts Farmers Market, Inc.*   9,255    445,258 
Post Holdings, Inc.*   4,655    409,919 
Flowers Foods, Inc.   17,612    396,446 
Simply Good Foods Co.*   9,343    369,983 
Cal-Maine Foods, Inc.   5,783    331,886 
Grocery Outlet Holding Corp.*   10,922    294,457 
Lancaster Colony Corp.   1,634    271,881 
Pilgrim’s Pride Corp.*   7,813    216,108 
Total Food        18,772,644 
Beverages - 26.3%          
PepsiCo, Inc.   17,932    3,045,571 
Coca-Cola Co.   50,950    3,002,484 
Monster Beverage Corp.*   23,362    1,345,885 
Constellation Brands, Inc. — Class A   5,211    1,259,759 
Keurig Dr Pepper, Inc.   34,807    1,159,769 
Brown-Forman Corp. — Class B   18,410    1,051,211 
Coca-Cola Europacific Partners plc   13,326    889,377 
Anheuser-Busch InBev S.A. ADR1   12,182    787,201 
Fomento Economico Mexicano SAB de CV ADR   5,634    734,392 
Molson Coors Beverage Co. — Class B   11,208    686,042 
Celsius Holdings, Inc.*   10,647    580,474 
Coca-Cola Consolidated, Inc.   171    158,756 
Total Beverages        14,700,921 
Cosmetics & Personal Care - 16.7%          
Procter & Gamble Co.   25,222    3,696,032 
Colgate-Palmolive Co.   20,347    1,621,859 
Estee Lauder Companies, Inc. — Class A   9,810    1,434,713 
Kenvue, Inc.   56,810    1,223,119 
Unilever plc ADR   15,786    765,305 
elf Beauty, Inc.*   4,055    585,299 
Total Cosmetics & Personal Care        9,326,327 
Agriculture - 13.2%          
Philip Morris International, Inc.   25,855    2,432,438 
Altria Group, Inc.   40,903    1,650,027 
Archer-Daniels-Midland Co.   16,600    1,198,852 
Bunge Global S.A.   7,703    777,618 
British American Tobacco plc ADR   25,855    757,293 
Darling Ingredients, Inc.*   11,208    558,607 
Total Agriculture        7,374,835 
Household Products & Housewares - 6.6%          
Kimberly-Clark Corp.   10,465    1,271,602 
Church & Dwight Company, Inc.   10,151    959,879 
Clorox Co.   5,838    832,440 
Spectrum Brands Holdings, Inc.   4,319    344,527 
WD-40 Co.   1,265    302,423 
Total Household Products & Housewares        3,710,871 
Retail - 1.9%          
Casey’s General Stores, Inc.   2,305    633,276 
Freshpet, Inc.*   5,012    434,841 
Total Retail        1,068,117 
Pharmaceuticals - 1.0%          
BellRing Brands, Inc.*   9,722    538,891 
Food Service - 0.4%          
Sovos Brands, Inc.*   9,409    207,280 
Total Common Stocks          
(Cost $29,333,939)        55,699,886 

 

   Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.3%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $106,264    106,264 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   85,637    85,637 
Total Repurchase Agreements          
(Cost $191,901)        191,901 
           
    Shares      
SECURITIES LENDING COLLATERAL†,3 - 1.1%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   607,012    607,012 
Total Securities Lending Collateral          
(Cost $607,012)        607,012 
Total Investments - 101.0%          
(Cost $30,132,852)       $56,498,799 
Other Assets & Liabilities, net - (1.0)%        (550,988)
Total Net Assets - 100.0%       $55,947,811 

 

 

Consumer Products Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                                                                          December 31, 2023
   

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $55,699,886   $   $   $55,699,886 
Repurchase Agreements       191,901        191,901 
Securities Lending Collateral   607,012            607,012 
Total Assets  $56,306,898   $191,901   $   $56,498,799 

 

 

Dow Jones Industrial Average® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 79.7%
Consumer, Non-cyclical - 17.9%          
UnitedHealth Group, Inc.   3,404   $1,792,104 
Amgen, Inc.   3,404    980,420 
Johnson & Johnson   3,404    533,543 
Procter & Gamble Co.   3,404    498,822 
Merck & Company, Inc.   3,404    371,104 
Coca-Cola Co.   3,404    200,598 
Total Consumer, Non-cyclical        4,376,591 
Financial - 16.6%          
Goldman Sachs Group, Inc.   3,404    1,313,161 
Visa, Inc. — Class A   3,404    886,232 
Travelers Companies, Inc.   3,404    648,428 
American Express Co.   3,404    637,705 
JPMorgan Chase & Co.   3,404    579,020 
Total Financial        4,064,546 
Technology - 14.6%          
Microsoft Corp.   3,404    1,280,040 
Salesforce, Inc.*   3,404    895,729 
Apple, Inc.   3,404    655,372 
International Business Machines Corp.   3,404    556,724 
Intel Corp.   3,404    171,051 
Total Technology        3,558,916 
Consumer, Cyclical - 13.0%          
Home Depot, Inc.   3,404    1,179,656 
McDonald’s Corp.   3,404    1,009,320 
Walmart, Inc.   3,404    536,641 
NIKE, Inc. — Class B   3,404    369,572 
Walgreens Boots Alliance, Inc.   3,404    88,879 
Total Consumer, Cyclical        3,184,068 
Industrial - 12.2%          
Caterpillar, Inc.   3,404    1,006,461 
Boeing Co.*   3,404    887,286 
Honeywell International, Inc.   3,404    713,853 
3M Co.   3,404    372,125 
Total Industrial        2,979,725 
Communications - 2.5%          
Walt Disney Co.   3,404    307,347 
Cisco Systems, Inc.   3,404    171,970 
Verizon Communications, Inc.   3,404    128,331 
Total Communications        607,648 
Energy - 2.1%          
Chevron Corp.   3,404    507,741 
Basic Materials - 0.8%          
Dow, Inc.   3,404    186,675 
Total Common Stocks          
(Cost $15,056,246)        19,465,910 
           
MUTUAL FUNDS - 5.2%          
Guggenheim Ultra Short Duration Fund — Institutional Class1   67,906    668,877 
Guggenheim Strategy Fund II1   24,698    605,110 
Total Mutual Funds          
(Cost $1,285,414)        1,273,987 
           
   Face
Amount
      
U.S. TREASURY BILLS†† - 2.4%          
U.S. Treasury Bills          
5.27% due 02/22/242,3  $300,000    297,770 
5.23% due 02/22/243   300,000    297,770 
Total U.S. Treasury Bills          
(Cost $595,452)        595,540 
           
REPURCHASE AGREEMENTS††,4 - 9.0%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/242
   1,217,496    1,217,496 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/242
   981,163    981,163 
Total Repurchase Agreements          
(Cost $2,198,659)        2,198,659 
Total Investments - 96.3%          
(Cost $19,135,771)       $23,534,096 
Other Assets & Liabilities, net - 3.7%        892,921 
Total Net Assets - 100.0%       $24,427,017 

 

Futures Contracts           
Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Depreciation**
 
Equity Futures Contracts Purchased                  
Dow Jones Industrial Average Index Mini Futures Contracts   8   Mar 2024  $1,520,120   $(344)

 

Total Return Swap Agreements                  
Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††               
Barclays Bank plc  Dow Jones Industrial Average Index  Pay  5.90% (SOFR + 0.50%)  At Maturity  03/20/24   79   $2,990,454   $7,342 
BNP Paribas  Dow Jones Industrial Average Index  Pay  5.88% (Federal Funds Rate + 0.55%)  At Maturity  03/21/24   12    448,890    7,238 
                       $3,439,344   $14,580 

 

 

Dow Jones Industrial Average® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
3 Rate indicated is the effective yield at the time of purchase.
4 Repurchase Agreements — See Note 4.

 

plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $19,465,910   $   $   $19,465,910 
Mutual Funds   1,273,987            1,273,987 
U.S. Treasury Bills       595,540        595,540 
Repurchase Agreements       2,198,659        2,198,659 
Equity Index Swap Agreements**       14,580        14,580 
Total Assets  $20,739,897   $2,808,779   $   $23,548,676 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Futures Contracts**  $344   $   $   $344 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles’ annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC’s website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request. 

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
Guggenheim Strategy Fund II  $897,823   $   $(300,000)  $(7,060)  $14,347   $605,110    24,698   $29,150 
Guggenheim Ultra Short Duration Fund — Institutional Class   958,754        (300,000)   (5,796)   15,919    668,877    67,906    31,514 
   $1,856,577   $   $(600,000)  $(12,856)  $30,266   $1,273,987        $60,664 

 

 

Electronics Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.4%
Semiconductors - 92.2%
NVIDIA Corp.   16,606   $8,223,623 
Broadcom, Inc.   5,254    5,864,778 
Advanced Micro Devices, Inc.*   25,593    3,772,664 
Intel Corp.   73,834    3,710,159 
QUALCOMM, Inc.   21,366    3,090,165 
Texas Instruments, Inc.   17,785    3,031,631 
Applied Materials, Inc.   17,639    2,858,753 
Lam Research Corp.   3,194    2,501,732 
Micron Technology, Inc.   28,445    2,427,496 
Analog Devices, Inc.   12,125    2,407,540 
KLA Corp.   3,695    2,147,904 
Marvell Technology, Inc.   29,656    1,788,553 
Microchip Technology, Inc.   18,336    1,653,540 
NXP Semiconductor N.V.   6,832    1,569,174 
ON Semiconductor Corp.*   17,512    1,462,777 
ASML Holding N.V. — Class G   1,768    1,338,235 
Monolithic Power Systems, Inc.   2,098    1,323,376 
Taiwan Semiconductor Manufacturing Company Ltd. ADR   10,845    1,127,880 
Entegris, Inc.   8,759    1,049,503 
Skyworks Solutions, Inc.   9,235    1,038,199 
Teradyne, Inc.   9,488    1,029,638 
STMicroelectronics N.V. — Class Y   17,151    859,780 
Qorvo, Inc.*   7,244    815,747 
United Microelectronics Corp. ADR1   95,174    805,172 
ASE Technology Holding Company Ltd. ADR   84,456    794,731 
Kulicke & Soffa Industries, Inc.   14,470    791,798 
Lattice Semiconductor Corp.*   11,117    766,962 
MKS Instruments, Inc.   6,611    680,074 
Rambus, Inc.*   9,615    656,224 
Wolfspeed, Inc.*   13,190    573,897 
GLOBALFOUNDRIES, Inc.*,1   9,254    560,792 
MACOM Technology Solutions Holdings, Inc.*   5,894    547,847 
Synaptics, Inc.*   4,570    521,346 
Amkor Technology, Inc.   15,490    515,352 
Power Integrations, Inc.   6,237    512,120 
Cirrus Logic, Inc.*   6,135    510,371 
Silicon Laboratories, Inc.*   3,778    499,716 
Axcelis Technologies, Inc.*   3,816    494,897 
Diodes, Inc.*   5,850    471,042 
Allegro MicroSystems, Inc.*   12,188    368,931 
Ambarella, Inc.*   5,964    365,534 
Impinj, Inc.*   3,080    277,292 
Semtech Corp.*   12,131    265,790 
Aehr Test Systems*   7,295    193,536 
Total Semiconductors        66,266,271 
Energy-Alternate Sources - 5.7%          
Enphase Energy, Inc.*   8,208    1,084,605 
First Solar, Inc.*   6,256    1,077,784 
SolarEdge Technologies, Inc.*   11,244    1,052,438 
Canadian Solar, Inc.*,1   32,768    859,505 
Total Energy-Alternate Sources        4,074,332 
Electrical Components & Equipment - 1.0%          
Universal Display Corp.   3,682    704,219 
Telecommunications - 0.5%          
Credo Technology Group Holding Ltd.*   19,845    386,382 
Total Common Stocks          
(Cost $35,139,992)        71,431,204 

 

   Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 1.1%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $429,411    429,411 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   346,057    346,057 
Total Repurchase Agreements          
(Cost $775,468)        775,468 

 

    Shares      
SECURITIES LENDING COLLATERAL†,3 - 2.4%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   1,711,563    1,711,563 
Total Securities Lending Collateral          
(Cost $1,711,563)        1,711,563 
Total Investments - 102.9%          
(Cost $37,627,023)       $73,918,235 
Other Assets & Liabilities, net - (2.9)%        (2,091,412)
Total Net Assets - 100.0%       $71,826,823 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt

 

See Sector Classification in Other Information section.

 

 

 

Electronics Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $71,431,204   $   $   $71,431,204 
Repurchase Agreements       775,468        775,468 
Securities Lending Collateral   1,711,563            1,711,563 
Total Assets  $73,142,767   $775,468   $   $73,918,235 

 

 

Emerging Markets 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 62.4%
Technology - 19.5%          
Taiwan Semiconductor Manufacturing Company Ltd. ADR   5,528   $574,912 
Infosys Ltd. ADR   6,880    126,454 
NetEase, Inc. ADR   689    64,187 
United Microelectronics Corp. ADR   4,602    38,933 
ASE Technology Holding Company Ltd. ADR   3,380    31,806 
Wipro Ltd. ADR   2,790    15,540 
Total Technology        851,832 
Communications - 17.8%          
Alibaba Group Holding Ltd. ADR   3,605    279,424 
PDD Holdings, Inc. ADR*   1,341    196,202 
JD.com, Inc. ADR   2,432    70,260 
Baidu, Inc. ADR*   561    66,810 
Trip.com Group Ltd. ADR*   1,100    39,611 
America Movil SAB de CV ADR   2,047    37,910 
Chunghwa Telecom Company Ltd. ADR   752    29,381 
Telkom Indonesia Persero Tbk PT ADR   941    24,240 
Tencent Music Entertainment Group ADR*   1,276    11,497 
Vipshop Holdings Ltd. ADR*   557    9,892 
Full Truck Alliance Company Ltd. ADR*   1,322    9,267 
Total Communications        774,494 
Financial - 11.6%          
HDFC Bank Ltd. ADR   3,634    243,878 
ICICI Bank Ltd. ADR   5,071    120,893 
Banco Bradesco S.A. ADR   10,511    36,788 
KB Financial Group, Inc. ADR   743    30,738 
Shinhan Financial Group Company Ltd. ADR   969    29,826 
KE Holdings, Inc. ADR   1,332    21,592 
Woori Financial Group, Inc. ADR1   441    13,327 
Banco de Chile ADR   430    9,924 
Total Financial        506,966 
Basic Materials - 5.8%          
Vale S.A. ADR   7,185    113,954 
POSCO Holdings, Inc. ADR   589    56,020 
Gold Fields Ltd. ADR   1,768    25,565 
Sociedad Quimica y Minera de Chile S.A. ADR   283    17,042 
Suzano S.A. ADR   1,467    16,665 
Sasol Ltd. ADR   1,142    11,352 
Gerdau S.A. ADR   2,288    11,097 
Total Basic Materials        251,695 
Consumer, Non-cyclical - 3.5%          
Fomento Economico Mexicano SAB de CV ADR   363    47,317 
Ambev S.A. ADR   8,728    24,438 
BeiGene Ltd. ADR*   121    21,823 
New Oriental Education & Technology Group, Inc. ADR*   296    21,691 
Dr Reddy’s Laboratories Ltd. ADR   241    16,769 
TAL Education Group ADR*   913    11,531 
Coca-Cola Femsa SAB de CV ADR   104    9,843 
Total Consumer, Non-cyclical        153,412 
Energy - 1.5%          
Petroleo Brasileiro S.A. ADR   3,682    58,802 
Cosan S.A. ADR   575    9,004 
Total Energy        67,806 
Industrial - 1.3%          
Cemex SAB de CV ADR*   2,995    23,211 
ZTO Express Cayman, Inc. ADR   844    17,961 
Grupo Aeroportuario del Pacifico SAB de CV ADR   78    13,667 
Total Industrial        54,839 
Consumer, Cyclical - 0.8%          
NIO, Inc. ADR*,1   2,766    25,088 
H World Group Ltd. ADR   278    9,296 
Total Consumer, Cyclical        34,384 
Utilities - 0.6%          
Centrais Eletricas Brasileiras S.A. ADR   2,046    17,637 
Cia de Saneamento Basico do Estado de Sao Paulo ADR   676    10,295 
Total Utilities        27,932 
Total Common Stocks          
(Cost $2,332,968)        2,723,360 
           
PREFERRED STOCKS - 3.1%          
Energy - 1.6%          
Petroleo Brasileiro S.A.          
 ADR   4,545    69,448 
Financial - 1.5%          
Itau Unibanco Holding S.A.          
 ADR   9,588    66,636 
Total Preferred Stocks          
(Cost $107,355)        136,084 
           
   Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 28.9%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
  $697,159    697,159 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
   561,831    561,831 
Total Repurchase Agreements          
(Cost $1,258,990)        1,258,990 

 

 

Emerging Markets 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

    Shares    Value 
SECURITIES LENDING COLLATERAL†,4 - 0.7%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%5  $29,267   $29,267 
Total Securities Lending Collateral          
(Cost $29,267)        29,267 
Total Investments - 95.1%          
(Cost $3,728,580)       $4,147,701 
Other Assets & Liabilities, net - 4.9%        213,785 
Total Net Assets - 100.0%       $4,361,486 

 

Total Return Swap Agreements                  
Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††                  
Goldman Sachs International  S&P Emerging 50 ADR Index  Pay  5.58% (Federal Funds Rate + 0.25%)  At Maturity  03/21/24   1,597   $4,384,430   $65,432 
BNP Paribas  S&P Emerging 50 ADR Index  Pay  5.93% (Federal Funds Rate + 0.60%)  At Maturity  03/21/24   570    1,565,784    44,063 
                       $5,950,214   $109,495 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
4 Securities lending collateral — See Note 5.
5 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $2,723,360   $   $   $2,723,360 
Preferred Stocks   136,084            136,084 
Repurchase Agreements       1,258,990        1,258,990 
Securities Lending Collateral   29,267            29,267 
Equity Index Swap Agreements**       109,495        109,495 
Total Assets  $2,888,711   $1,368,485   $   $4,257,196 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Emerging Markets Bond Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Face
Amount
   Value 
U.S. TREASURY BILLS†† - 1.0%
U.S. Treasury Bills          
5.17% due 01/09/241,2  $9,000   $8,991 
Total U.S. Treasury Bills          
(Cost $8,989)        8,991 
           
REPURCHASE AGREEMENTS††,3 - 91.0%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/244
   477,374    477,374 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/244
   384,710    384,710 
Total Repurchase Agreements          
(Cost $862,084)        862,084 
Total Investments - 92.0%          
(Cost $871,073)       $871,075 
Other Assets & Liabilities, net - 8.0%        75,826 
Total Net Assets - 100.0%       $946,901 

 

Futures Contracts           
Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Interest Rate Futures Contracts Purchased                  
U.S. Treasury 5 Year Note Futures Contracts   5   Mar 2024  $543,867   $8,312 
U.S. Treasury 10 Year Note Futures Contracts   1   Mar 2024   112,875    4,084 
           $656,742   $12,396 

 

Centrally Cleared Credit Default Swap Agreements Protection Sold††      

 

Counterparty  Exchange  Index  Protection Premium Rate   Payment Frequency  Maturity Date  Notional Amount   Value   Upfront Premiums Received   Unrealized Appreciation** 
Barclays Bank plc  ICE  CDX.EM.40.V1   1.00%  Quarterly  12/20/28  $720,000   $(20,800)  $(34,086)  $13,286 

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Credit Index Swap Agreements††               
Goldman Sachs International  Invesco Emerging Markets Sovereign Debt ETF  Pay  5.93% (Federal Funds Rate + 0.60%)  At Maturity  01/05/24   17,012   $352,148   $18,676 

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as futures collateral at December 31, 2023.
2 Rate indicated is the effective yield at the time of purchase.
3 Repurchase Agreements — See Note 4.
4 All or a portion of this security is pledged as credit index swap collateral at December 31, 2023.

 

CDX.EM.40.V1 — Credit Default Swap Emerging Markets Series 40 Index Version 1
ICE — Intercontinental Exchange
plc — Public Limited Company

 

See Sector Classification in Other Information section.

 

 

 

Emerging Markets Bond Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
U.S. Treasury Bills  $   $8,991   $   $8,991 
Repurchase Agreements       862,084        862,084 
Interest Rate Futures Contracts**   12,396            12,396 
Credit Default Swap Agreements**       13,286        13,286 
Credit Index Swap Agreements**       18,676        18,676 
Total Assets  $12,396   $903,037   $   $915,433 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Energy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Oil & Gas - 64.3%          
Exxon Mobil Corp.   30,304   $3,029,794 
Chevron Corp.   17,046    2,542,581 
ConocoPhillips   15,675    1,819,397 
EOG Resources, Inc.   10,706    1,294,891 
Phillips 66   9,014    1,200,124 
Marathon Petroleum Corp.   7,837    1,162,697 
Pioneer Natural Resources Co.   4,872    1,095,615 
Valero Energy Corp.   7,983    1,037,790 
Hess Corp.   7,020    1,012,003 
Occidental Petroleum Corp.   16,418    980,319 
Devon Energy Corp.   18,460    836,238 
Diamondback Energy, Inc.   5,280    818,822 
Shell plc ADR   11,946    786,047 
Petroleo Brasileiro S.A. ADR   47,669    761,274 
BP plc ADR   21,076    746,090 
Coterra Energy, Inc. — Class A   26,385    673,345 
Equities Corp.   16,268    628,921 
Suncor Energy, Inc.   19,000    608,760 
Canadian Natural Resources Ltd.   9,043    592,497 
Marathon Oil Corp.   23,881    576,965 
Ovintiv, Inc.   12,393    544,301 
Cenovus Energy, Inc.   31,568    525,607 
APA Corp.   14,547    521,946 
Chesapeake Energy Corp.   6,233    479,567 
Permian Resources Corp.   35,088    477,197 
HF Sinclair Corp.   7,750    430,668 
Equinor ASA ADR1   13,414    424,419 
Southwestern Energy Co.*   64,428    422,003 
Range Resources Corp.   13,642    415,263 
Antero Resources Corp.*   17,551    398,057 
Matador Resources Co.   6,899    392,277 
Murphy Oil Corp.   9,145    390,126 
Civitas Resources, Inc.   5,688    388,945 
Weatherford International plc*   3,948    386,233 
Noble Corporation plc   7,915    381,186 
Transocean Ltd.*   54,865    348,393 
PBF Energy, Inc. — Class A   7,803    343,020 
SM Energy Co.   8,693    336,593 
Chord Energy Corp.   2,023    336,283 
Valaris Ltd.*   4,765    326,736 
Patterson-UTI Energy, Inc.   29,370    317,196 
Magnolia Oil & Gas Corp. — Class A   14,863    316,433 
California Resources Corp.   5,625    307,575 
Northern Oil and Gas, Inc.   7,614    282,251 
Kosmos Energy Ltd.*   40,995    275,077 
Helmerich & Payne, Inc.   7,541    273,135 
CNX Resources Corp.*   13,317    266,340 
Callon Petroleum Co.*   6,811    220,676 
Delek US Holdings, Inc.   7,512    193,810 
Comstock Resources, Inc.   15,456    136,786 
Total Oil & Gas        33,062,269 
Pipelines - 14.1%          
Williams Companies, Inc.   28,758    1,001,641 
ONEOK, Inc.   14,163    994,526 
Cheniere Energy, Inc.   5,572    951,196 
Kinder Morgan, Inc.   50,722    894,736 
Targa Resources Corp.   7,823    679,584 
Enbridge, Inc.   16,973    611,368 
TC Energy Corp.1   12,271    479,674 
Golar LNG Ltd.   16,039    368,737 
DT Midstream, Inc.   6,340    347,432 
Pembina Pipeline Corp.   9,665    332,669 
Equitrans Midstream Corp.   31,568    321,362 
New Fortress Energy, Inc.   7,463    281,579 
Total Pipelines        7,264,504 
Oil & Gas Services - 9.8%          
Schlumberger N.V.   26,103    1,358,400 
Baker Hughes Co.   27,251    931,439 
Halliburton Co.   23,556    851,550 
TechnipFMC plc   25,845    520,518 
NOV, Inc.   22,116    448,513 
ChampionX Corp.   12,534    366,118 
Tidewater, Inc.*   4,473    322,548 
Liberty Energy, Inc. — Class A   14,245    258,404 
Total Oil & Gas Services        5,057,490 
Energy-Alternate Sources - 6.2%          
SolarEdge Technologies, Inc.*   10,934    1,023,423 
Enphase Energy, Inc.*   5,358    708,006 
First Solar, Inc.*   4,079    702,730 
Sunrun, Inc.*   18,499    363,135 
Plug Power, Inc.*,1   41,471    186,620 
Green Plains, Inc.*   6,923    174,598 
Total Energy-Alternate Sources        3,158,512 
Transportation - 1.5%          
Scorpio Tankers, Inc.   6,452    392,281 
Frontline plc   17,833    357,552 
Total Transportation        749,833 
Mining - 1.4%          
Cameco Corp.   11,450    493,495 
Uranium Energy Corp.*   36,658    234,611 
Total Mining        728,106 
Coal - 0.8%          
Peabody Energy Corp.   10,443    253,974 
CONSOL Energy, Inc.   1,522    153,006 
Total Coal        406,980 
Metal Fabricate & Hardware - 0.7%          
Tenaris S.A. ADR   10,808    375,686 
Retail - 0.7%          
Murphy USA, Inc.   1,026    365,831 
Total Common Stocks          
(Cost $34,951,558)        51,169,211 
           
   Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.7%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $194,688    194,688 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   156,896    156,896 
Total Repurchase Agreements          
(Cost $351,584)        351,584 

 

 

Energy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

    Shares    Value 
SECURITIES LENDING COLLATERAL†,3 - 1.6%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4  $843,448   $843,448 
Total Securities Lending Collateral          
(Cost $843,448)        843,448 
Total Investments - 101.8%          
(Cost $36,146,590)       $52,364,243 
Other Assets & Liabilities, net - (1.8)%        (915,331)
Total Net Assets - 100.0%       $51,448,912 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $51,169,211   $   $   $51,169,211 
Repurchase Agreements       351,584        351,584 
Securities Lending Collateral   843,448            843,448 
Total Assets  $52,012,659   $351,584   $   $52,364,243 

 

 

Energy Services Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Oil & Gas Services - 64.9%          
Schlumberger N.V.   85,792   $4,464,616 
Baker Hughes Co.   89,555    3,060,990 
Halliburton Co.   77,410    2,798,371 
NOV, Inc.   72,683    1,474,011 
TechnipFMC plc   67,788    1,365,250 
ChampionX Corp.   41,193    1,203,248 
Tidewater, Inc.*   14,696    1,059,729 
Liberty Energy, Inc. — Class A   46,815    849,224 
Archrock, Inc.   51,117    787,202 
Oceaneering International, Inc.*   36,301    772,485 
Helix Energy Solutions Group, Inc.*   61,858    635,900 
Expro Group Holdings N.V.*   39,567    629,907 
US Silica Holdings, Inc.*   41,034    464,095 
ProPetro Holding Corp.*   52,925    443,511 
RPC, Inc.   59,056    429,928 
Core Laboratories, Inc.   17,396    307,213 
ProFrac Holding Corp. — Class A*   21,887    185,602 
Total Oil & Gas Services        20,931,282 
Oil & Gas - 28.7%          
Weatherford International plc*   14,519    1,420,394 
Noble Corporation plc   26,021    1,253,171 
Transocean Ltd.*   180,308    1,144,956 
Valaris Ltd.*   15,666    1,074,218 
Patterson-UTI Energy, Inc.   96,524    1,042,459 
Helmerich & Payne, Inc.   24,778    897,459 
Seadrill Ltd.*   17,725    838,038 
Borr Drilling Ltd.*   103,934    764,954 
Diamond Offshore Drilling, Inc.*   46,973    610,649 
Nabors Industries Ltd.*   2,473    201,871 
Total Oil & Gas        9,248,169 
Machinery-Diversified - 3.1%          
Cactus, Inc. — Class A   21,902    994,351 
Metal Fabricate & Hardware - 2.8%          
Tenaris S.A. ADR   26,560    923,226 
Total Common Stocks          
(Cost $27,359,051)        32,097,028 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 0.6%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $111,028    111,028 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   89,476    89,476 
Total Repurchase Agreements          
(Cost $200,504)        200,504 
Total Investments - 100.1%          
(Cost $27,559,555)       $32,297,532 
Other Assets & Liabilities, net - (0.1)%        (42,412)
Total Net Assets - 100.0%       $32,255,120 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $32,097,028   $   $   $32,097,028 
Repurchase Agreements       200,504        200,504 
Total Assets  $32,097,028   $200,504   $   $32,297,532 

 

 

Europe 1.25x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 49.4%
Consumer, Non-cyclical - 19.3%          
Novo Nordisk A/S ADR   1,168   $120,830 
Nestle S.A. ADR   959    110,889 
AstraZeneca plc ADR   1,109    74,691 
Novartis AG ADR   735    74,213 
Roche Holding AG ADR   2,012    72,895 
Unilever plc ADR   905    43,874 
L’Oreal S.A. ADR   436    43,343 
Sanofi S.A. ADR   822    40,878 
Diageo plc ADR   200    29,132 
RELX plc ADR   695    27,564 
GSK plc ADR   735    27,239 
EssilorLuxottica S.A. ADR   219    22,008 
British American Tobacco plc ADR   725    21,235 
Anheuser-Busch InBev S.A. ADR1   321    20,743 
Reckitt Benckiser Group plc ADR   1,326    18,219 
Bayer AG ADR   1,417    13,079 
Total Consumer, Non-cyclical        760,832 
Financial - 6.8%          
HSBC Holdings plc ADR1   1,384    56,107 
Allianz SE ADR   1,448    38,647 
UBS Group AG*   1,094    33,805 
Zurich Insurance Group AG ADR   525    27,450 
BNP Paribas S.A. ADR   778    27,028 
Banco Santander S.A. ADR   5,860    24,260 
AXA S.A. ADR1   684    22,356 
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen ADR   488    20,525 
ING Groep N.V. ADR   1,230    18,475 
Total Financial        268,653 
Industrial - 5.5%          
Siemens AG ADR   537    50,231 
Schneider Electric SE ADR   1,028    41,357 
Airbus SE ADR   843    32,514 
Vinci S.A. ADR   855    26,967 
ABB Ltd. ADR   578    25,605 
Safran S.A. ADR   543    23,963 
Deutsche Post AG ADR   331    16,400 
Total Industrial        217,037 
Energy - 4.4%          
Shell plc ADR   1,177    77,446 
TotalEnergies SE ADR   868    58,486 
BP plc ADR   1,012    35,825 
Total Energy        171,757 
Technology - 4.2%          
ASML Holding N.V. — Class G   145    109,753 
SAP SE ADR   366    56,580 
Total Technology        166,333 
Consumer, Cyclical - 3.7%          
LVMH Moet Hennessy Louis Vuitton SE ADR   464    75,377 
Hermes International SCA ADR   126    26,787 
Cie Financiere Richemont S.A. ADR   1,880    25,897 
Mercedes-Benz Group AG ADR   1,144    19,723 
Total Consumer, Cyclical        147,784 
Basic Materials - 2.6%          
Air Liquide S.A. ADR   939    36,574 
Rio Tinto plc ADR   383    28,518 
Glencore plc ADR*   1,795    21,504 
BASF SE ADR   1,282    17,205 
Total Basic Materials        103,801 
Utilities - 1.7%          
Iberdrola S.A. ADR   519    27,247 
Enel SpA ADR1   2,809    20,773 
National Grid plc ADR1   260    17,677 
Total Utilities        65,697 
Communications - 1.2%          
Deutsche Telekom AG ADR   1,243    29,994 
Prosus N.V. ADR   2,820    16,779 
Total Communications        46,773 
Total Common Stocks          
(Cost $1,657,399)        1,948,667 
           
MUTUAL FUNDS - 3.5%          
Guggenheim Ultra Short Duration Fund — Institutional Class2   7,027    69,217 
Guggenheim Strategy Fund II2   2,760    67,631 
Total Mutual Funds          
(Cost $138,226)        136,848 
           
    Face
Amount
      
U.S. TREASURY BILLS†† - 5.8%          
U.S. Treasury Bills          
5.17% due 01/09/243,4  $231,000    230,764 
Total U.S. Treasury Bills          
(Cost $230,730)        230,764 
           
REPURCHASE AGREEMENTS††,5 - 37.6%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
   821,394    821,394 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   661,951    661,951 
Total Repurchase Agreements          
(Cost $1,483,345)        1,483,345 
           
    Shares      
SECURITIES LENDING COLLATERAL†,6 - 2.7%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%7   107,332    107,332 
Total Securities Lending Collateral          
(Cost $107,332)        107,332 
Total Investments - 99.0%          
(Cost $3,617,032)       $3,906,956 
Other Assets & Liabilities, net - 1.0%        39,419 
Total Net Assets - 100.0%       $3,946,375 

 

 

Europe 1.25x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Futures Contracts           
Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Currency Futures Contracts Purchased                  
Euro FX Futures Contracts   22   Mar 2024  $3,045,625   $62,596 
Equity Futures Contracts Purchased                  
STOXX 50 Index Futures Contracts   63   Mar 2024   2,855,383    1,084 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Affiliated issuer.
3 All or a portion of this security is pledged as futures collateral at December 31, 2023.
4 Rate indicated is the effective yield at the time of purchase.
5 Repurchase Agreements — See Note 4.
6 Securities lending collateral — See Note 5.
7 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):
 
Investments in Securities (Assets)   Level 1 Quoted
Prices
    Level 2
Significant
Observable
Inputs
    Level 3
Significant
Unobservable
Inputs
    Total  
Common Stocks  $1,948,667   $   $   $1,948,667 
Mutual Funds   136,848            136,848 
U.S. Treasury Bills       230,764        230,764 
Repurchase Agreements       1,483,345        1,483,345 
Securities Lending Collateral   107,332            107,332 
Currency Futures Contracts**   62,596            62,596 
Equity Futures Contracts**   1,084            1,084 
Total Assets  $2,256,527   $1,714,109   $   $3,970,636 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles’ annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC’s website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

 

Europe 1.25x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $66,830   $   $   $   $801   $67,631    2,760   $2,791 
  Guggenheim Ultra Short Duration Fund — Institutional Class   68,233                984    69,217    7,027    2,837 
   $135,063   $   $   $   $1,785   $136,848        $5,628 

 

 

Financial Services Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.2%
Banks - 24.2%
JPMorgan Chase & Co.   1,824   $310,262 
Bank of America Corp.   6,388    215,084 
Wells Fargo & Co.   3,833    188,660 
Goldman Sachs Group, Inc.   425    163,952 
Morgan Stanley   1,684    157,033 
Citigroup, Inc.   2,645    136,059 
U.S. Bancorp   2,653    114,822 
PNC Financial Services Group, Inc.   722    111,802 
Truist Financial Corp.   2,655    98,023 
Bank of New York Mellon Corp.   1,699    88,433 
Toronto-Dominion Bank   1,237    79,935 
NU Holdings Limited/Cayman Islands — Class A*   9,582    79,818 
HDFC Bank Ltd. ADR   1,122    75,297 
Royal Bank of Canada   720    72,814 
Bank of Nova Scotia   1,488    72,451 
Fifth Third Bancorp   2,014    69,463 
ICICI Bank Ltd. ADR   2,906    69,279 
State Street Corp.   857    66,383 
M&T Bank Corp.   474    64,976 
Regions Financial Corp.   3,160    61,241 
Huntington Bancshares, Inc.   4,688    59,631 
Northern Trust Corp.   684    57,716 
Citizens Financial Group, Inc.   1,674    55,476 
KeyCorp   3,613    52,027 
East West Bancorp, Inc.   617    44,393 
Comerica, Inc.   699    39,011 
First Horizon Corp.   2,743    38,841 
Western Alliance Bancorporation   586    38,553 
Zions Bancorp North America   833    36,544 
SouthState Corp.   415    35,047 
Bank OZK   674    33,585 
Columbia Banking System, Inc.   1,244    33,190 
Pinnacle Financial Partners, Inc.   362    31,574 
Old National Bancorp   1,819    30,723 
Valley National Bancorp   2,806    30,473 
Wintrust Financial Corp.   320    29,680 
First Citizens BancShares, Inc. — Class A   15    21,284 
Total Banks        2,963,535 
Diversified Financial Services - 21.3%          
Visa, Inc. — Class A   1,217    316,846 
Mastercard, Inc. — Class A   609    259,745 
BlackRock, Inc. — Class A   183    148,559 
Charles Schwab Corp.   2,086    143,517 
American Express Co.   758    142,004 
Intercontinental Exchange, Inc.   970    124,577 
CME Group, Inc. — Class A   563    118,568 
Capital One Financial Corp.   755    98,996 
Coinbase Global, Inc. — Class A*   512    89,047 
Ameriprise Financial, Inc.   230    87,361 
XP, Inc. — Class A   3,286    85,666 
Apollo Global Management, Inc.   891    83,032 
Ares Management Corp. — Class A   690    82,055 
Interactive Brokers Group, Inc. — Class A   970    80,413 
Discover Financial Services   666    74,858 
T. Rowe Price Group, Inc.   636    68,491 
Nasdaq, Inc.   1,174    68,256 
Raymond James Financial, Inc.   575    64,112 
Tradeweb Markets, Inc. — Class A   691    62,798 
Cboe Global Markets, Inc.   333    59,460 
LPL Financial Holdings, Inc.   254    57,815 
Synchrony Financial   1,463    55,872 
Ally Financial, Inc.   1,306    45,606 
SoFi Technologies, Inc.*   4,444    44,218 
Franklin Resources, Inc.   1,423    42,391 
Invesco Ltd.   2,350    41,924 
SEI Investments Co.   607    38,575 
Upstart Holdings, Inc.*   644    26,314 
Total Diversified Financial Services        2,611,076 
           
REITS - 21.2%          
Prologis, Inc.   1,188    158,360 
American Tower Corp. — Class A   635    137,084 
Equinix, Inc.   145    116,782 
Public Storage   324    98,820 
Welltower, Inc.   1,083    97,654 
Simon Property Group, Inc.   665    94,856 
Crown Castle, Inc.   814    93,765 
Realty Income Corp.   1,549    88,944 
Digital Realty Trust, Inc.   654    88,015 
Extra Space Storage, Inc.   525    84,173 
VICI Properties, Inc.   2,514    80,146 
Weyerhaeuser Co.   2,075    72,148 
AvalonBay Communities, Inc.   382    71,518 
SBA Communications Corp.   278    70,526 
Equity Residential   1,073    65,625 
Alexandria Real Estate Equities, Inc.   505    64,019 
Invitation Homes, Inc.   1,865    63,615 
Iron Mountain, Inc.   904    63,262 
Ventas, Inc.   1,266    63,097 
Essex Property Trust, Inc.   228    56,530 
Sun Communities, Inc.   417    55,732 
Mid-America Apartment Communities, Inc.   410    55,129 
Host Hotels & Resorts, Inc.   2,686    52,296 
UDR, Inc.   1,315    50,351 
Kimco Realty Corp.   2,359    50,270 
Gaming and Leisure Properties, Inc.   1,015    50,090 
Regency Centers Corp.   738    49,446 
Rexford Industrial Realty, Inc.   860    48,246 
American Homes 4 Rent — Class A   1,298    46,676 
Equity LifeStyle Properties, Inc.   656    46,274 
Healthpeak Properties, Inc.   2,325    46,035 
CubeSmart   990    45,887 
Camden Property Trust   456    45,276 
Lamar Advertising Co. — Class A   424    45,063 
Boston Properties, Inc.   634    44,488 
Annaly Capital Management, Inc.   2,257    43,718 
Omega Healthcare Investors, Inc.   1,212    37,160 
AGNC Investment Corp.   3,699    36,287 

 

 

Financial Services Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

    Shares    Value 
COMMON STOCKS - 99.2% (continued)          
REITS - 21.2% (continued)          
Sabra Health Care REIT, Inc.   1,700   $24,259 
Total REITS        2,601,622 
Insurance - 17.4%          
Berkshire Hathaway, Inc. — Class B*   1,054    375,922 
Progressive Corp.   812    129,335 
Marsh & McLennan Companies, Inc.   682    129,219 
Willis Towers Watson plc   465    112,158 
Arch Capital Group Ltd.*   1,419    105,389 
Chubb Ltd.   452    102,152 
Aon plc — Class A   332    96,619 
American International Group, Inc.   1,408    95,392 
Aflac, Inc.   1,137    93,802 
Travelers Companies, Inc.   481    91,626 
Arthur J Gallagher & Co.   406    91,301 
MetLife, Inc.   1,280    84,646 
Prudential Financial, Inc.   814    84,420 
Allstate Corp.   584    81,748 
Hartford Financial Services Group, Inc.   839    67,439 
RenaissanceRe Holdings Ltd.   316    61,936 
Principal Financial Group, Inc.   765    60,183 
Everest Group Ltd.   170    60,109 
Cincinnati Financial Corp.   526    54,420 
Brown & Brown, Inc.   764    54,328 
W R Berkley Corp.   706    49,928 
Unum Group   580    26,228 
Erie Indemnity Co. — Class A   58    19,425 
Total Insurance        2,127,725 
Commercial Services - 7.9%          
S&P Global, Inc.   372    163,873 
PayPal Holdings, Inc.*   1,861    114,284 
Moody's Corp.   277    108,185 
Block, Inc. — Class A*   1,289    99,704 
Global Payments, Inc.   639    81,153 
StoneCo Ltd. — Class A*   4,028    72,625 
FleetCor Technologies, Inc.*   220    62,174 
Affirm Holdings, Inc.*   1,137    55,872 
Toast, Inc. — Class A*   2,565    46,837 
MarketAxess Holdings, Inc.   140    40,999 
Shift4 Payments, Inc. — Class A*   482    35,832 
Euronet Worldwide, Inc.*   298    30,244 
Morningstar, Inc.   90    25,762 
Flywire Corp.*   1,046    24,215 
Total Commercial Services        961,759 
Private Equity - 3.3%          
Blackstone, Inc. — Class A   1,389    181,848 
KKR & Company, Inc. — Class A   1,277    105,800 
Brookfield Corp.   1,826    73,259 
Carlyle Group, Inc.   1,113    45,288 
Total Private Equity        406,195 
Software - 2.8%          
Fiserv, Inc.*   920    122,213 
MSCI, Inc. — Class A   165    93,332 
Fidelity National Information Services, Inc.   1,370    82,296 
Jack Henry & Associates, Inc.   286    46,735 
Total Software        344,576 
Media - 0.5%          
FactSet Research Systems, Inc.   126    60,108 
Internet - 0.3%          
Robinhood Markets, Inc. — Class A*   3,337    42,514 
Savings & Loans - 0.3%          
New York Community Bancorp, Inc.   3,637    37,207 
Total Common Stocks          
(Cost $10,162,927)        12,156,317 
           
PREFERRED STOCKS - 0.5%          
Financial - 0.5%          
Itau Unibanco Holding S.A.          
 ADR    9,836    68,360 
Total Preferred Stocks          
(Cost $48,648)        68,360 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 0.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $32,408    32,408 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   26,118    26,118 
Total Repurchase Agreements          
(Cost $58,526)        58,526 
Total Investments - 100.2%          
(Cost $10,270,101)       $12,283,203 
Other Assets & Liabilities, net - (0.2)%        (26,132)
Total Net Assets - 100.0%       $12,257,071 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

ADR — American Depositary Receipt

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

 

 

Financial Services Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $12,156,317   $   $   $12,156,317 
Preferred Stocks   68,360            68,360 
Repurchase Agreements       58,526        58,526 
Total Assets  $12,224,677   $58,526   $   $12,283,203 

 

 

Government Long Bond 1.2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
MUTUAL FUNDS - 13.6%          
Guggenheim Ultra Short Duration Fund — Institutional Class1   222,710   $2,193,695 
Guggenheim Strategy Fund II1   81,235    1,991,070 
Total Mutual Funds          
(Cost $4,227,653)        4,184,765 

 

   Face
Amount
     
U.S. GOVERNMENT SECURITIES†† - 79.5%
U.S. Treasury Bonds          
4.75% due 11/15/53  $21,800,000    24,559,063 
Total U.S. Government Securities          
(Cost $22,276,293)        24,559,063 

 
U.S. TREASURY BILLS†† - 2.3%
U.S. Treasury Bills          
5.17% due 01/09/242,3  713,000   712,273 
Total U.S. Treasury Bills          
(Cost $712,166)        712,273 
           
REPURCHASE AGREEMENTS††,4 - 5.4%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
   927,991    927,991 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   747,855    747,855 
Total Repurchase Agreements          
(Cost $1,675,846)        1,675,846 
Total Investments - 100.8%          
(Cost $28,891,958)       $31,131,947 
Other Assets & Liabilities, net - (0.8)%        (246,089)
Total Net Assets - 100.0%       $30,885,858 

 

Futures Contracts           
Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Interest Rate Futures Contracts Purchased                  
U.S. Treasury Ultra Long Bond Futures Contracts   92   Mar 2024  $12,284,875   $1,131,122 

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 All or a portion of this security is pledged as futures collateral at December 31, 2023.
3 Rate indicated is the effective yield at the time of purchase.
4 Repurchase Agreements — See Note 4.

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $4,184,765   $   $   $4,184,765 
U.S. Government Securities       24,559,063        24,559,063 
U.S. Treasury Bills       712,273        712,273 
Repurchase Agreements       1,675,846        1,675,846 
Interest Rate Futures Contracts**   1,131,122            1,131,122 
Total Assets  $5,315,887   $26,947,182   $   $32,263,069 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Government Long Bond 1.2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles’ annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC’s website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $1,966,699   $   $   $   $24,371   $1,991,070    81,235   $82,136 
  Guggenheim Ultra Short Duration Fund — Institutional Class   2,462,516        (300,000)   (7,724)   38,903    2,193,695    222,710    92,164 
   $4,429,215   $   $(300,000)  $(7,724)  $63,274   $4,184,765        $174,300 

 

 

Health Care Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 100.0%
Pharmaceuticals - 32.8%
Eli Lilly & Co.   1,159   $675,604 
Johnson & Johnson   3,765    590,126 
Merck & Company, Inc.   4,726    515,229 
AbbVie, Inc.   3,300    511,401 
Pfizer, Inc.   13,385    385,354 
CVS Health Corp.   3,935    310,708 
Bristol-Myers Squibb Co.   5,992    307,450 
Cigna Group   1,020    305,439 
Zoetis, Inc.   1,456    287,371 
Becton Dickinson & Co.   1,071    261,142 
AstraZeneca plc ADR   3,863    260,173 
McKesson Corp.   512    237,046 
Dexcom, Inc.*   1,719    213,311 
Novo Nordisk A/S ADR   1,824    188,693 
Cencora, Inc. — Class A   874    179,502 
Alkermes plc*   5,890    163,389 
GSK plc ADR   4,208    155,948 
Novartis AG ADR   1,524    153,878 
Teva Pharmaceutical Industries Ltd. ADR*   14,376    150,085 
Cardinal Health, Inc.   1,458    146,966 
Viatris, Inc.   10,548    114,235 
Neurocrine Biosciences, Inc.*   854    112,523 
Henry Schein, Inc.*   1,275    96,530 
Jazz Pharmaceuticals plc*   680    83,640 
Option Care Health, Inc.*   2,321    78,194 
Madrigal Pharmaceuticals, Inc.*   155    35,864 
Total Pharmaceuticals        6,519,801 
Healthcare-Products - 28.9%          
Thermo Fisher Scientific, Inc.   839    445,333 
Abbott Laboratories   3,891    428,282 
Danaher Corp.   1,685    389,808 
Intuitive Surgical, Inc.*   1,024    345,457 
Stryker Corp.   1,042    312,037 
Boston Scientific Corp.*   4,939    285,524 
Medtronic plc   2,858    235,442 
Edwards Lifesciences Corp.*   2,834    216,092 
IDEXX Laboratories, Inc.*   381    211,474 
Agilent Technologies, Inc.   1,430    198,813 
GE HealthCare Technologies, Inc.   2,331    180,233 
West Pharmaceutical Services, Inc.   448    157,750 
ResMed, Inc.   910    156,538 
Zimmer Biomet Holdings, Inc.   1,281    155,898 
Align Technology, Inc.*   552    151,248 
Waters Corp.*   429    141,240 
Baxter International, Inc.   3,569    137,978 
Cooper Companies, Inc.   362    136,995 
Hologic, Inc.*   1,770    126,466 
Insulet Corp.*   573    124,330 
Avantor, Inc.*   5,427    123,898 
Exact Sciences Corp.*   1,594    117,924 
Bio-Techne Corp.   1,447    111,651 
Dentsply Sirona, Inc.   3,116    110,898 
Penumbra, Inc.*   391    98,352 
Repligen Corp.*   467    83,967 
Natera, Inc.*   1,338    83,812 
Bruker Corp.   1,090    80,093 
Shockwave Medical, Inc.*   420    80,035 
Masimo Corp.*   640    75,014 
Inspire Medical Systems, Inc.*   347    70,590 
Azenta, Inc.*   927    60,385 
Lantheus Holdings, Inc.*   948    58,776 
Inari Medical, Inc.*   840    54,533 
Total Healthcare-Products        5,746,866 
Biotechnology - 21.1%          
Amgen, Inc.   1,341    386,235 
Vertex Pharmaceuticals, Inc.*   816    332,022 
Gilead Sciences, Inc.   3,827    310,025 
Regeneron Pharmaceuticals, Inc.*   338    296,862 
Moderna, Inc.*   1,986    197,508 
Biogen, Inc.*   744    192,525 
Illumina, Inc.*   1,101    153,303 
Alnylam Pharmaceuticals, Inc.*   799    152,937 
Cytokinetics, Inc.*   1,598    133,417 
BioMarin Pharmaceutical, Inc.*   1,351    130,263 
CRISPR Therapeutics AG*   2,072    129,707 
Argenx SE ADR*   336    127,824 
Royalty Pharma plc — Class A   4,002    112,416 
Incyte Corp.*   1,766    110,887 
United Therapeutics Corp.*   418    91,914 
Sarepta Therapeutics, Inc.*   952    91,801 
ImmunoGen, Inc.*   2,890    85,689 
Exelixis, Inc.*   3,559    85,380 
Intra-Cellular Therapies, Inc.*   1,159    83,008 
Ionis Pharmaceuticals, Inc.*   1,606    81,248 
Karuna Therapeutics, Inc.*   255    80,710 
Blueprint Medicines Corp.*   825    76,098 
Bridgebio Pharma, Inc.*   1,864    75,250 
Roivant Sciences Ltd.*   6,443    72,355 
ACADIA Pharmaceuticals, Inc.*   2,250    70,448 
Apellis Pharmaceuticals, Inc.*   1,171    70,096 
REVOLUTION Medicines, Inc.*   2,405    68,975 
Halozyme Therapeutics, Inc.*   1,723    63,682 
Ultragenyx Pharmaceutical, Inc.*   1,315    62,883 
Arrowhead Pharmaceuticals, Inc.*   1,978    60,527 
Mirati Therapeutics, Inc.*   1,005    59,044 
Guardant Health, Inc.*   2,005    54,235 
Axsome Therapeutics, Inc.*   639    50,858 
TG Therapeutics, Inc.*   2,751    46,987 
Total Biotechnology        4,197,119 
Healthcare-Services - 15.4%          
UnitedHealth Group, Inc.   1,245    655,455 
Elevance Health, Inc.   673    317,360 
HCA Healthcare, Inc.   840    227,371 
Humana, Inc.   490    224,327 
IQVIA Holdings, Inc.*   878    203,152 
Centene Corp.*   2,569    190,645 
ICON plc*   669    189,374 
Molina Healthcare, Inc.*   383    138,382 
Laboratory Corporation of America Holdings   595    135,238 
Quest Diagnostics, Inc.   871    120,093 
Universal Health Services, Inc. — Class B   667    101,677 
Catalent, Inc.*   2,048    92,017 
Tenet Healthcare Corp.*   1,163    87,888 

 

 

Health Care Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

    Shares    Value 
COMMON STOCKS - 100.0% (continued)          
Healthcare-Services - 15.4% (continued)          
Acadia Healthcare Company, Inc.*   1,071   $83,281 
Medpace Holdings, Inc.*   266    81,537 
HealthEquity, Inc.*   1,080    71,604 
DaVita, Inc.*   671    70,294 
Teladoc Health, Inc.*   2,815    60,663 
Total Healthcare-Services        3,050,358 
Software - 0.9%          
Veeva Systems, Inc. — Class A*   893    171,920 
Electronics - 0.7%          
Mettler-Toledo International, Inc.*   123    149,194 
Commercial Services - 0.2%          
R1 RCM, Inc.*   3,750    39,638 
Total Common Stocks          
(Cost $12,102,728)        19,874,896 
           
RIGHTS††† - 0.0%          
Pharmaceuticals - 0.0%          
Johnson & Johnson          
Expires 12/31/29   752    
Total Rights          
(Cost $–)         

 

    Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 1.2%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $130,152    130,152 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   104,888    104,888 
Total Repurchase Agreements          
(Cost $235,040)        235,040 
Total Investments - 101.2%          
(Cost $12,337,768)       $20,109,936 
Other Assets & Liabilities, net - (1.2)%        (240,703)
Total Net Assets - 100.0%       $19,869,233 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

 

Health Care Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $19,874,896   $   $   $19,874,896 
Rights           *    
Repurchase Agreements       235,040        235,040 
Total Assets  $19,874,896   $235,040   $   $20,109,936 

 

*Security has a market value of $0.

 

 

 

High Yield Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
MUTUAL FUNDS - 9.3%          
Guggenheim Strategy Fund III1   79,841   $1,960,897 
Guggenheim Ultra Short Duration Fund — Institutional Class1   133,249    1,312,502 
Guggenheim Strategy Fund II1   53,173    1,303,264 
Total Mutual Funds          
(Cost $4,578,426)        4,576,663 

 

    Face
Amount
      
FEDERAL AGENCY DISCOUNT NOTES†† - 45.6%          
Farmer Mac          
4.59% due 01/05/242  $8,650,000    8,644,964 
5.20% due 01/02/242   6,500,000    6,499,061 
Federal Home Loan Bank          
5.26% due 03/20/242   4,500,000    4,448,642 
5.24% due 01/05/242   1,650,000    1,649,039 
5.29% due 01/12/242   1,200,000    1,198,060 
Total Federal Agency Discount Notes          
(Cost $22,439,231)        22,439,766 
           
U.S. TREASURY BILLS†† - 11.2%          
U.S. Treasury Bills          
5.26% due 03/26/242   4,500,000    4,445,361 
5.17% due 01/09/242,3   1,054,000    1,052,925 
Total U.S. Treasury Bills          
(Cost $5,496,906)        5,498,286 
           
FEDERAL AGENCY NOTES†† - 9.1%          
Federal Home Loan Bank          
5.44% (SOFR + 0.04%, Rate Floor: 0.00%) due 02/27/24   2,500,000    2,500,060 
5.66% due 08/26/24   2,000,000    2,000,250 
Total Federal Agency Notes          
(Cost $4,500,053)        4,500,310 
           
REPURCHASE AGREEMENTS††,4 - 18.3%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/245
  4,987,228    4,987,228 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/245
   4,019,138    4,019,138 
Total Repurchase Agreements          
(Cost $9,006,366)        9,006,366 
Total Investments - 93.5%          
(Cost $46,020,982)       $46,021,391 
Other Assets & Liabilities, net - 6.5%        3,220,162 
Total Net Assets - 100.0%       $49,241,553 

 

Futures Contracts           
Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Interest Rate Futures Contracts Purchased                  
U.S. Treasury 5 Year Note Futures Contracts   424   Mar 2024  $46,119,938   $1,056,487 

 

Centrally Cleared Credit Default Swap Agreements Protection Sold††      

 

Counterparty  Exchange  Index  Protection Premium Rate   Payment Frequency  Maturity Date  Notional Amount   Value   Upfront Premiums Paid   Unrealized Appreciation** 
Barclays Bank plc  ICE  CDX.NA.HY.41.V2   5.00%  Quarterly  12/20/28  $38,560,500   $2,275,070   $506,606   $1,768,464 
Goldman Sachs International  ICE  CDX.NA.HY.41.V2   5.00%  Quarterly  12/20/28   6,633,000    391,347    31,065    360,282 
                         $2,666,417   $537,671   $2,128,746 

 

Total Return Swap Agreements                  
Counterparty  Reference Obligation  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Credit Index Swap Agreements††                 
Goldman Sachs International  iShares iBoxx $ High Yield Corporate Bond ETF  Pay  5.73% (Federal Funds Rate + 0.40%)  At Maturity  01/05/24   16,337   $1,267,751   $35,288 
BNP Paribas  SPDR Bloomberg High Yield Bond ETF  Pay  5.78% (Federal Funds Rate + 0.45%)  At Maturity  03/21/24   1,788    169,851    930 

 

 

High Yield Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Counterparty  Reference Obligation  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Credit Index Swap Agreements†† (continued)                  
BNP Paribas  iShares iBoxx $ High Yield Corporate Bond ETF  Pay  5.73% (Federal Funds Rate + 0.40%)  At Maturity  03/21/24   1,222   $94,843   $476 
                       $1,532,445   $36,694 

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
Variable rate security. Rate indicated is the rate effective at December 31, 2023. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
1 Affiliated issuer.
2 Rate indicated is the effective yield at the time of purchase.
3 All or a portion of this security is pledged as futures collateral at December 31, 2023.
4 Repurchase Agreements — See Note 4.
5 All or a portion of this security is pledged as credit index swap collateral at December 31, 2023.

 

CDX.NA.HY.41.V2 — Credit Default Swap North American High Yield Series 41 Index Version 2
ICE — Intercontinental Exchange
plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments): 

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $4,576,663   $   $   $4,576,663 
Federal Agency Discount Notes       22,439,766        22,439,766 
U.S. Treasury Bills       5,498,286        5,498,286 
Federal Agency Notes       4,500,310        4,500,310 
Repurchase Agreements       9,006,366        9,006,366 
Interest Rate Futures Contracts**   1,056,487            1,056,487 
Credit Default Swap Agreements**       2,128,746        2,128,746 
Credit Index Swap Agreements**       36,694        36,694 
Total Assets  $5,633,150   $43,610,168   $   $49,243,318 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles’ annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC’s website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

 

High Yield Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $1,287,312   $   $   $   $15,952   $1,303,264    53,173   $53,762 
  Guggenheim Strategy Fund III   1,936,146                24,751    1,960,897    79,841    79,761 
  Guggenheim Ultra Short Duration Fund — Institutional Class   1,293,848                18,654    1,312,502    133,249    53,718 
   $4,517,306   $   $   $   $59,357   $4,576,663        $187,241 

 

 

Internet Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.6%
Internet - 56.0%
Alphabet, Inc. — Class A*   7,925   $1,107,043 
Amazon.com, Inc.*   6,599    1,002,652 
Meta Platforms, Inc. — Class A*   2,353    832,868 
Netflix, Inc.*   1,030    501,486 
Uber Technologies, Inc.*   6,088    374,838 
Booking Holdings, Inc.*   92    326,344 
Airbnb, Inc. — Class A*   2,089    284,397 
Alibaba Group Holding Ltd. ADR   2,776    215,168 
DoorDash, Inc. — Class A*   1,932    191,056 
Shopify, Inc. — Class A*   2,447    190,621 
MercadoLibre, Inc.*   115    180,727 
JD.com, Inc. ADR   6,232    180,043 
Pinterest, Inc. — Class A*   4,683    173,458 
Snap, Inc. — Class A*   9,695    164,136 
eBay, Inc.   3,732    162,790 
Expedia Group, Inc.*   1,030    156,344 
Baidu, Inc. ADR*   1,278    152,197 
Trip.com Group Ltd. ADR*   4,196    151,098 
Sea Ltd. ADR*   3,691    149,486 
Okta, Inc.*   1,620    146,659 
Spotify Technology S.A.*   753    141,496 
VeriSign, Inc.*   676    139,229 
GoDaddy, Inc. — Class A*   1,224    129,940 
Zillow Group, Inc. — Class C*   2,198    127,176 
Bilibili, Inc. ADR*,1   10,267    124,949 
Wix.com Ltd.*   945    116,254 
Roku, Inc.*   1,250    114,575 
F5, Inc.*   630    112,757 
Match Group, Inc.*   3,088    112,712 
Chewy, Inc. — Class A*   4,695    110,943 
Etsy, Inc.*   1,298    105,203 
Wayfair, Inc. — Class A*   1,544    95,265 
Lyft, Inc. — Class A*   5,587    83,749 
IAC, Inc.*   1,343    70,346 
Cargurus, Inc.*   2,370    57,259 
TripAdvisor, Inc.*   2,641    56,861 
Bumble, Inc. — Class A*   3,415    50,337 
Ziff Davis, Inc.*   705    47,369 
Total Internet        8,439,831 
Software - 27.8%          
Adobe, Inc.*   913    544,696 
Salesforce, Inc.*   2,062    542,595 
Workday, Inc. — Class A*   1,025    282,962 
Snowflake, Inc. — Class A*   1,310    260,690 
Datadog, Inc. — Class A*   1,701    206,467 
Electronic Arts, Inc.   1,489    203,710 
Veeva Systems, Inc. — Class A*   989    190,402 
MongoDB, Inc.*   444    181,529 
Take-Two Interactive Software, Inc.*   1,115    179,459 
Cloudflare, Inc. — Class A*   2,137    177,927 
ROBLOX Corp. — Class A*   3,859    176,433 
Zoom Video Communications, Inc. — Class A*   2,093    150,508 
Akamai Technologies, Inc.*   1,201    142,138 
DocuSign, Inc.*   2,192    130,314 
Twilio, Inc. — Class A*   1,692    128,372 
Nutanix, Inc. — Class A*   2,462    117,413 
NetEase, Inc. ADR   1,237    115,239 
Dropbox, Inc. — Class A*   3,681    108,516 
ZoomInfo Technologies, Inc. — Class A*   5,147    95,168 
Smartsheet, Inc. — Class A*   1,828    87,415 
Box, Inc. — Class A*   2,544    65,152 
DigitalOcean Holdings, Inc.*   1,375    50,449 
Fastly, Inc. — Class A*   2,809    50,000 
Total Software        4,187,554 
Telecommunications - 10.2%          
Cisco Systems, Inc.   9,252    467,411 
Arista Networks, Inc.*   1,126    265,184 
Motorola Solutions, Inc.   756    236,696 
Telefonaktiebolaget LM Ericsson ADR   21,030    132,489 
Juniper Networks, Inc.   3,495    103,033 
Ciena Corp.*   1,850    83,269 
Nokia Oyj ADR   23,558    80,568 
Viasat, Inc.*   2,283    63,810 
Viavi Solutions, Inc.*   5,318    53,552 
Extreme Networks, Inc.*   2,941    51,879 
Total Telecommunications        1,537,891 
Commercial Services - 3.8%          
PayPal Holdings, Inc.*   4,588    281,749 
CoStar Group, Inc.*   2,359    206,153 
Paylocity Holding Corp.*   491    80,941 
Total Commercial Services        568,843 
Entertainment - 0.9%          
DraftKings, Inc. — Class A*   3,642    128,380 
Computers - 0.5%          
Lumentum Holdings, Inc.*   1,282    67,203 
Healthcare-Services - 0.4%          
Teladoc Health, Inc.*   3,113    67,085 
Total Common Stocks          
(Cost $8,818,467)        14,996,787 

 

    Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $45,649    45,649 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   36,788    36,788 
Total Repurchase Agreements          
(Cost $82,437)        82,437 

 

    Shares      
SECURITIES LENDING COLLATERAL†,3 - 0.6%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   91,550    91,550 
Total Securities Lending Collateral          
(Cost $91,550)        91,550 
Total Investments - 100.7%          
(Cost $8,992,454)       $15,170,774 
Other Assets & Liabilities, net - (0.7)%        (102,309)
Total Net Assets - 100.0%       $15,068,465 

 

 

Internet Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $14,996,787   $   $   $14,996,787 
Repurchase Agreements       82,437        82,437 
Securities Lending Collateral   91,550            91,550 
Total Assets  $15,088,337   $82,437   $   $15,170,774 

 

 

Inverse Emerging Markets 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Face
Amount
   Value 
REPURCHASE AGREEMENTS††,1 - 92.4%
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/242
  $180,012   $180,012 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/242
   145,069    145,069 
Total Repurchase Agreements          
(Cost $325,081)        325,081 
Total Investments - 92.4%          
(Cost $325,081)       $325,081 
Other Assets & Liabilities, net - 7.6%        26,877 
Total Net Assets - 100.0%       $351,958 

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Depreciation 
OTC Equity Index Swap Agreements Sold Short††                  
Goldman Sachs International  S&P Emerging 50 ADR Index  Receive  4.58% (Federal Funds Rate - 0.75%)  At Maturity  03/21/24   133   $365,854   $(1,048)
BNP Paribas  S&P Emerging 50 ADR Index  Receive  5.13% (Federal Funds Rate - 0.20%)  At Maturity  03/21/24   122    335,743    (9,448)
                       $701,597   $(10,496)

 

†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.
2

All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.

 

ADR – American Depositary Receipt

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Repurchase Agreements  $   $325,081   $   $325,081 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total  
Equity Index Swap Agreements**  $   $10,496   $   $10,496 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Inverse Government Long Bond Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
MUTUAL FUNDS - 41.7%          
Guggenheim Strategy Fund II1   210,588   $5,161,510 
Guggenheim Ultra Short Duration Fund — Institutional Class1   477,750    4,705,841 
Total Mutual Funds          
(Cost $9,964,837)        9,867,351 

 

    Face
Amount
      
U.S. TREASURY BILLS†† - 16.9%          
U.S. Treasury Bills          
5.26% due 03/26/242  $3,600,000    3,556,289 
5.17% due 01/09/242,3   441,000    440,550 
Total U.S. Treasury Bills          
(Cost $3,995,795)        3,996,839 
           
FEDERAL AGENCY DISCOUNT NOTES†† - 15.1%          
Federal Home Loan Bank          
5.26% due 03/20/242   3,600,000    3,558,913 
Total Federal Agency Discount Notes          
(Cost $3,558,486)        3,558,913 
           
FEDERAL AGENCY NOTES†† - 8.0%           
Federal Home Loan Bank          
5.47% (SOFR + 0.07%, Rate Floor: 0.00%) due 06/17/24   1,900,000    1,901,001 
Total Federal Agency Notes          
(Cost $1,900,000)        1,901,001 
           
REPURCHASE AGREEMENTS††,4 - 65.1%          

Individual Repurchase Agreements

Barclays Capital, Inc.
issued 12/29/23 at 5.00% due 01/02/24(secured by a U.S. Treasury Bond, at a rate of 5.00% and maturing 11/15/53 as collateral, with a value of $7,962,927) to be repurchased at $7,809,336

   7,805,000    7,805,000 
Mizuho Securities USA LLC
issued 12/29/23 at 5.25% due 01/02/24(secured by a U.S. Treasury Bond, at a rate of 5.25% and maturing 11/15/53 as collateral, with a value of $7,739,694) to be repurchased at $7,590,620
   7,586,195    7,586,195 
Total Repurchase Agreements          
(Cost $15,391,195)        15,391,195 
Total Investments - 146.8%          
(Cost $34,810,313)       $34,715,299 
           
U.S. Government Securities Sold Short†† - (80.0)%          
U.S. Treasury Bonds          
4.75% due 11/15/53   16,800,000    (18,926,250)
Total U.S. Government Securities Sold Short - (80.0)%          
(Proceeds $17,818,083)       $(18,926,250)
Other Assets & Liabilities, net - 33.2%        7,851,464 
Total Net Assets - 100.0%       $23,640,513 

 

Futures Contracts      

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Depreciation**
 
Interest Rate Futures Contracts Sold Short                  
U.S. Treasury Ultra Long Bond Futures Contracts   34   Mar 2024  $4,540,063   $(194,456)

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
Variable rate security. Rate indicated is the rate effective at December 31, 2023. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
1 Affiliated issuer.
2 Rate indicated is the effective yield at the time of purchase.
3 All or a portion of this security is pledged as futures collateral at December 31, 2023.
4 Repurchase Agreements — See Note 4.

 

 

Inverse Government Long Bond Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $9,867,351   $   $   $9,867,351 
U.S. Treasury Bills       3,996,839        3,996,839 
Federal Agency Discount Notes       3,558,913        3,558,913 
Federal Agency Notes       1,901,001        1,901,001 
Repurchase Agreements       15,391,195        15,391,195 
Total Assets  $9,867,351   $24,847,948   $   $34,715,299 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
U.S. Government Securities Sold Short  $   $18,926,250   $   $18,926,250 
Interest Rate Futures Contracts**   194,456            194,456 
Total Liabilities  $194,456   $18,926,250   $   $19,120,706 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles’ annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC’s website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $5,098,333   $   $   $   $63,177   $5,161,510    210,588   $212,922 
  Guggenheim Ultra Short Duration Fund — Institutional Class   5,131,850        (500,000)   (6,091)   80,082    4,705,841    477,750    212,749 
   $10,230,183   $   $(500,000)  $(6,091)  $143,259   $9,867,351        $425,671 

 

 

Inverse High Yield Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
MUTUAL FUNDS - 12.7%          
Guggenheim Strategy Fund II1   29,310   $718,377 
Guggenheim Ultra Short Duration Fund — Institutional Class1   37,683    371,178 
Total Mutual Funds          
(Cost $1,096,686)        1,089,555 

 

   Face
Amount
     
U.S. TREASURY BILLS†† - 12.9%
U.S. Treasury Bills          
5.26% due 03/26/242  $1,000,000   987,858 
5.17% due 01/09/242,3  122,000   121,876 
Total U.S. Treasury Bills          
(Cost $1,109,444)        1,109,734 
           
REPURCHASE AGREEMENTS††,4 - 69.9%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
   3,335,884    3,335,884 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   2,688,343    2,688,343 
Total Repurchase Agreements          
(Cost $6,024,227)        6,024,227 
Total Investments - 95.5%          
(Cost $8,230,357)       $8,223,516 
Other Assets & Liabilities, net - 4.5%        391,743 
Total Net Assets - 100.0%       $8,615,259 

 

Futures Contracts      

 

Description  Number of Contracts   Expiration Date 

Notional

Amount

   Value and Unrealized
Depreciation**
 
Interest Rate Futures Contracts Sold Short                  
U.S. Treasury 5 Year Note Futures Contracts   77   Mar 2024  $8,375,555   $(207,335)

 

Centrally Cleared Credit Default Swap Agreements Protection Purchased††      

 

Counterparty  Exchange  Index  Protection Premium Rate   Payment Frequency  Maturity Date  Notional Amount   Value   Upfront Premiums Received   Unrealized Depreciation** 
Barclays Bank plc  ICE  CDX.NA.HY.41.V2   5.00%  Quarterly  12/20/28  $8,167,500   $(481,883)  $(52,000)  $(429,882)

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the effective yield at the time of purchase.
3 All or a portion of this security is pledged as futures collateral at December 31, 2023.
4 Repurchase Agreements — See Note 4.

 

CDX.NA.HY.41.V2 — Credit Default Swap North American High Yield Series 41 Index Version 2
ICE — Intercontinental Exchange
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $1,089,555   $   $   $1,089,555 
U.S. Treasury Bills       1,109,734        1,109,734 
Repurchase Agreements       6,024,227        6,024,227 
Total Assets  $1,089,555   $7,133,961   $   $8,223,516 

 

 

Inverse High Yield Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Interest Rate Futures Contracts**  $207,335   $   $   $207,335 
Credit Default Swap Agreements**       429,882        429,882 
Total Liabilities  $207,335   $429,882   $   $637,217 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles’ annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC’s website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $709,584   $   $   $   $8,793   $718,377    29,310   $29,634 
  Guggenheim Ultra Short Duration Fund — Institutional Class   365,903                5,275    371,178    37,683    15,192 
   $1,075,487   $   $   $   $14,068   $1,089,555        $44,826 

 

 

Inverse Mid-Cap Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

 

   Shares   Value 
MUTUAL FUNDS - 25.8%          
Guggenheim Strategy Fund II1   2,020   $49,490 
Guggenheim Ultra Short Duration Fund — Institutional Class1   4,630    45,606 
Total Mutual Funds          
(Cost $95,671)        95,096 

 

   Face
Amount
    
REPURCHASE AGREEMENTS††,2 - 73.4%
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
  $149,472   149,472 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
   120,458    120,458 
Total Repurchase Agreements          
(Cost $269,930)        269,930 
Total Investments - 99.2%          
(Cost $365,601)       $365,026 
Other Assets & Liabilities, net - 0.8%        2,959 
Total Net Assets - 100.0%       $367,985 

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation (Depreciation) 
OTC Equity Index Swap Agreements Sold Short††                        
Barclays Bank plc  S&P MidCap 400 Index  Receive  5.60% (SOFR + 0.20%)  At Maturity  03/20/24   49   $134,944   $139 
Goldman Sachs International  S&P MidCap 400 Index  Receive  5.28% (Federal Funds Rate - 0.05%)  At Maturity  03/21/24   45    124,823    (1,077)
BNP Paribas  S&P MidCap 400 Index  Receive  5.38% (Federal Funds Rate + 0.05%)  At Maturity  03/21/24   38    105,851    (1,522)
                       $365,618   $(2,460)

 

Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 Repurchase Agreements — See Note 4.
3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.

 

plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $95,096   $   $   $95,096 
Repurchase Agreements       269,930        269,930 
Equity Index Swap Agreements**       139        139 
Total Assets  $95,096   $270,069   $   $365,165 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Index Swap Agreements**  $   $2,599   $   $2,599 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Inverse Mid-Cap Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles’ annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC’s website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $48,904   $   $   $   $586   $49,490    2,020   $2,042 
  Guggenheim Ultra Short Duration Fund — Institutional Class   44,958                648    45,606    4,630    1,870 
   $93,862   $   $   $   $1,234   $95,096        $3,912 

 

 

Inverse NASDAQ-100® Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                                                                              December 31, 2023
   

 

   Shares   Value 
MUTUAL FUNDS - 12.8%          
Guggenheim Strategy Fund II1   49,399   $1,210,284 
Guggenheim Ultra Short Duration Fund — Institutional Class1   87,169    858,611 
Total Mutual Funds          
(Cost $2,033,556)        2,068,895 

 

    Face
Amount
      
U.S. TREASURY BILLS†† - 13.8%          
U.S. Treasury Bills          
5.26% due 03/26/242  $1,700,000    1,679,358 
5.27% due 02/22/242,3   500,000    496,283 
5.17% due 01/09/242,4   50,000    49,949 
Total U.S. Treasury Bills          
(Cost $2,225,032)        2,225,590 
           
FEDERAL AGENCY DISCOUNT NOTES†† - 12.9%          
Federal Home Loan Bank          
5.26% due 03/20/242   1,600,000    1,581,739 
5.35% due 01/03/242   500,000    499,927 
Total Federal Agency Discount Notes          
(Cost $2,081,401)        2,081,666 
           
FEDERAL AGENCY NOTES†† - 11.2%          
Federal Home Loan Bank          
5.45% (SOFR + 0.05%, Rate Floor: 0.00%) due 03/25/24   1,000,000    1,000,083 
5.47% (SOFR + 0.07%, Rate Floor: 0.00%) due 06/17/24   800,000    800,422 
Total Federal Agency Notes          
(Cost $1,800,000)        1,800,505 
           
REPURCHASE AGREEMENTS††,5 - 54.8%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
   4,905,534    4,905,534 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
   3,953,303    3,953,303 
Total Repurchase Agreements          
(Cost $8,858,837)        8,858,837 
Total Investments - 105.5%          
(Cost $16,998,826)       $17,035,493 
Other Assets & Liabilities, net - (5.5)%        (882,003)
Total Net Assets - 100.0%       $16,153,490 

 

Futures Contracts

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Depreciation**
 
Equity Futures Contracts Sold Short                  
NASDAQ-100 Index Mini Futures Contracts   1   Mar 2024  $340,385   $(4,986)

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Depreciation 
OTC Equity Index Swap Agreements Sold Short††                  
Barclays Bank plc  NASDAQ-100 Index  Receive  5.75% (SOFR + 0.35%)  At Maturity  03/20/24   235   $3,952,386   $(3,303)
BNP Paribas  NASDAQ-100 Index  Receive  5.58% (Federal Funds Rate + 0.25%)  At Maturity  03/21/24   349    5,876,092    (94,922)
Goldman Sachs International  NASDAQ-100 Index  Receive  5.63% (Federal Funds Rate + 0.30%)  At Maturity  03/21/24   354    5,951,902    (95,107)
                               
                       $15,780,380   $(193,332)

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
Variable rate security. Rate indicated is the rate effective at December 31, 2023. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
1 Affiliated issuer.
2 Rate indicated is the effective yield at the time of purchase.

 

 

Inverse NASDAQ-100® Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                                                                              December 31, 2023
   

 

3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
4 All or a portion of this security is pledged as futures collateral at December 31, 2023.
5 Repurchase Agreements — See Note 4.

 

plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $2,068,895   $   $   $2,068,895 
U.S. Treasury Bills       2,225,590        2,225,590 
Federal Agency Discount Notes       2,081,666        2,081,666 
Federal Agency Notes       1,800,505        1,800,505 
Repurchase Agreements       8,858,837        8,858,837 
Total Assets  $2,068,895   $14,966,598   $   $17,035,493 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Futures Contracts**  $4,986   $   $   $4,986 
Equity Index Swap Agreements**       193,332        193,332 
Total Liabilities  $4,986   $193,332   $   $198,318 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments (“GI”), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $1,195,958   $   $   $   $14,326   $1,210,284    49,399   $49,939 
  Guggenheim Ultra Short Duration Fund — Institutional Class   846,408                12,203    858,611    87,169    35,196 
   $2,042,366   $   $   $   $26,529   $2,068,895        $85,135 

 

 

Inverse Russell 2000® Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
MUTUAL FUNDS - 47.6%          
Guggenheim Ultra Short Duration Fund — Institutional Class1   44,544   $438,754 
Guggenheim Strategy Fund II1   17,889    438,289 
Total Mutual Funds          
(Cost $868,958)        877,043 

 

   Face
Amount
    
U.S. TREASURY BILLS†† - 1.0%
U.S. Treasury Bills         
5.17% due 01/09/242,3  $18,000   17,982 
Total U.S. Treasury Bills          
(Cost $17,979)        17,982 
           
REPURCHASE AGREEMENTS††,4 - 48.6%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/245
  496,004    496,004 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/245
   399,723    399,723 
Total Repurchase Agreements          
(Cost $895,727)        895,727 
Total Investments - 97.2%          
(Cost $1,782,664)       $1,790,752 
Other Assets & Liabilities, net - 2.8%        52,167 
Total Net Assets - 100.0%       $1,842,919 

 

Futures Contracts

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Depreciation**
 
Equity Futures Contracts Sold Short                  
Russell 2000 Index Mini Futures Contracts   4   Mar 2024  $409,400   $(23,319)

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Depreciation 
OTC Equity Index Swap Agreements Sold Short††                  
Barclays Bank plc  Russell 2000 Index  Receive  4.90% (SOFR - 0.50%)  At Maturity  03/20/24   158   $319,757   $(966)
Goldman Sachs International  Russell 2000 Index  Receive  5.18% (Federal Funds Rate - 0.15%)  At Maturity  03/21/24   221    448,908    (8,751)
BNP Paribas  Russell 2000 Index  Receive  5.13% (Federal Funds Rate - 0.20%)  At Maturity  03/21/24   320    648,604    (14,155)
                       $1,417,269   $(23,872)

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 All or a portion of this security is pledged as futures collateral at December 31, 2023.
3 Rate indicated is the effective yield at the time of purchase.
4 Repurchase Agreements — See Note 4.
5 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.

 

plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

 

Inverse Russell 2000® Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $877,043   $   $   $877,043 
U.S. Treasury Bills       17,982        17,982 
Repurchase Agreements       895,727        895,727 
Total Assets  $877,043   $913,709   $   $1,790,752 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Futures Contracts**  $23,319   $   $   $23,319 
Equity Index Swap Agreements**       23,872        23,872 
Total Liabilities  $23,319   $23,872   $   $47,191 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $946,618   $   $(515,000)  $(7,780)  $14,451   $438,289    17,889   $31,842 
  Guggenheim Ultra Short Duration Fund — Institutional Class   944,879        (515,000)   (7,484)   16,359    438,754    44,544    31,114 
   $1,891,497   $   $(1,030,000)  $(15,264)  $30,810   $877,043        $62,956 

 

 

Inverse S&P 500® Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Value 
MUTUAL FUNDS - 29.8%          
Guggenheim Strategy Fund II1   262,625   $6,434,315 
Guggenheim Ultra Short Duration Fund — Institutional Class1   426,990    4,205,854 
Total Mutual Funds          
(Cost $10,738,043)        10,640,169 

 

   Face
Amount
     
FEDERAL AGENCY DISCOUNT NOTES†† - 18.6%
Federal Home Loan Bank          
5.26% due 03/20/242  $4,200,000    4,152,065 
5.35% due 01/03/242   2,500,000    2,499,633 
Total Federal Agency Discount Notes          
(Cost $6,650,823)        6,651,698 
           
U.S. TREASURY BILLS†† - 17.3%          
U.S. Treasury Bills          
5.26% due 03/26/242   4,200,000    4,149,003 
5.27% due 02/22/242,3   1,000,000    992,566 
5.17% due 01/09/242,4   733,000    732,253 
5.24% due 02/22/242   200,000    198,513 
5.25% due 02/22/242   100,000    99,257 
Total U.S. Treasury Bills          
(Cost $6,170,120)        6,171,592 
           
FEDERAL AGENCY NOTES†† - 12.9%          
Federal Home Loan Bank          
5.45% (SOFR + 0.05%, Rate Floor: 0.00%) due 03/25/24  2,400,000   2,400,199 
5.47% (SOFR + 0.07%, Rate Floor: 0.00%) due 06/17/24   2,200,000    2,201,160 
Total Federal Agency Notes          
(Cost $4,600,000)        4,601,359 
           
REPURCHASE AGREEMENTS††,5 - 25.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
   5,039,159    5,039,159 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
   4,060,989    4,060,989 
Total Repurchase Agreements          
(Cost $9,100,148)        9,100,148 
Total Investments - 104.1%          
(Cost $37,259,134)       $37,164,966 
Other Assets & Liabilities, net - (4.1)%        (1,462,050)
Total Net Assets - 100.0%       $35,702,916 

 

Futures Contracts      

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Depreciation**
 
Equity Futures Contracts Sold Short                  
S&P 500 Index Mini Futures Contracts   34   Mar 2024  $8,192,300   $(239,837)

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Depreciation 
OTC Equity Index Swap Agreements Sold Short††               
Barclays Bank plc  S&P 500 Index  Receive  5.70% (SOFR + 0.30%)  At Maturity  03/20/24   1,591   $7,591,109   $(2,323)
BNP Paribas  S&P 500 Index  Receive  5.53% (Federal Funds Rate + 0.20%)  At Maturity  03/21/24   730    3,483,192    (52,198)
Goldman Sachs International  S&P 500 Index  Receive  5.63% (Federal Funds Rate + 0.30%)  At Maturity  03/21/24   3,435    16,383,384    (190,355)
                               
                       $27,457,685   $(244,876)

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
Variable rate security. Rate indicated is the rate effective at December 31, 2023. In some instances, the effective rate is limited by a minimum rate floor or a maximum rate cap established by the issuer. The settlement status of a position may also impact the effective rate indicated. In some cases, a position may be unsettled at period end and may not have a stated effective rate. In instances where multiple underlying reference rates and spread amounts are shown, the effective rate is based on a weighted average.
1 Affiliated issuer.
2 Rate indicated is the effective yield at the time of purchase.

 

 

Inverse S&P 500® Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
4 All or a portion of this security is pledged as futures collateral at December 31, 2023.
5 Repurchase Agreements — See Note 4.

 

plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Mutual Funds  $10,640,169   $   $   $10,640,169 
Federal Agency Discount Notes       6,651,698        6,651,698 
U.S. Treasury Bills       6,171,592        6,171,592 
Federal Agency Notes       4,601,359        4,601,359 
Repurchase Agreements       9,100,148        9,100,148 
Total Assets  $10,640,169   $26,524,797   $   $37,164,966 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Futures Contracts**  $239,837   $   $   $239,837 
Equity Index Swap Agreements**       244,876        244,876 
Total Liabilities  $239,837   $244,876   $   $484,713 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $6,358,154   $   $   $   $76,161   $6,434,315    262,625   $265,492 
  Guggenheim Ultra Short Duration Fund — Institutional Class   4,146,075                59,779    4,205,854    426,990    172,408 
   $10,504,229   $   $   $   $135,940   $10,640,169        $437,900 

 

 

Japan 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited)  December 31, 2023
   

 

   Face
Amount
   Value 
U.S. TREASURY BILLS†† - 25.9%
U.S. Treasury Bills          
5.17% due 01/09/241,2  $344,000   $343,649 
Total U.S. Treasury Bills          
(Cost $343,598)        343,649 
           
REPURCHASE AGREEMENTS††,3 - 71.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
   525,054    525,054 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   423,134    423,134 
Total Repurchase Agreements          
(Cost $948,188)        948,188 
Total Investments - 97.4%          
(Cost $1,291,786)       $1,291,837 
Other Assets & Liabilities, net - 2.6%        34,712 
Total Net Assets - 100.0%       $1,326,549 

 

Futures Contracts      

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation (Depreciation)**
 
Currency Futures Contracts Purchased                  
Japanese Yen Futures Contracts   30   Mar 2024  $2,691,750   $78,876 
                   
Equity Futures Contracts Purchased                  
Nikkei 225 (CME) Index Futures Contracts   16   Mar 2024   2,664,400    (4,791)

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as futures collateral at December 31, 2023.
2 Rate indicated is the effective yield at the time of purchase.
3 Repurchase Agreements — See Note 4.

 

CME — Chicago Mercantile Exchange
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
U.S. Treasury Bills  $   $343,649   $   $343,649 
Repurchase Agreements       948,188        948,188 
Currency Futures Contracts**   78,876            78,876 
Total Assets  $78,876   $1,291,837   $   $1,370,713 

 

 

Japan 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited)  December 31, 2023
   

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Futures Contracts**  $4,791   $   $   $4,791 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Leisure Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Retail - 19.8%
McDonald’s Corp.   1,540   $456,625 
Starbucks Corp.   3,290    315,873 
Chipotle Mexican Grill, Inc. — Class A*   103    235,557 
Yum! Brands, Inc.   1,459    190,633 
Darden Restaurants, Inc.   836    137,355 
Restaurant Brands International, Inc.   1,513    118,211 
Yum China Holdings, Inc.   2,723    115,537 
Domino’s Pizza, Inc.   277    114,188 
Texas Roadhouse, Inc. — Class A   737    90,083 
Wingstop, Inc.   336    86,211 
Shake Shack, Inc. — Class A*   788    58,407 
Wendy’s Co.   2,899    56,472 
Bloomin’ Brands, Inc.   1,812    51,008 
Papa John’s International, Inc.   654    49,854 
Brinker International, Inc.*   1,015    43,828 
Dave & Buster’s Entertainment, Inc.*   812    43,726 
Cheesecake Factory, Inc.   1,142    39,981 
Cracker Barrel Old Country Store, Inc.   449    34,609 
Jack in the Box, Inc.   371    30,285 
Total Retail        2,268,443 
Internet - 17.0%          
Netflix, Inc.*   945    460,102 
Booking Holdings, Inc.*   88    312,155 
Airbnb, Inc. — Class A*   1,915    260,708 
DoorDash, Inc. — Class A*   1,771    175,134 
Expedia Group, Inc.*   944    143,290 
Trip.com Group Ltd. ADR*   3,690    132,877 
Sea Ltd. ADR*   3,269    132,394 
Spotify Technology S.A.*   673    126,463 
Bilibili, Inc. ADR*,1   8,763    106,646 
Roku, Inc.*   1,145    104,951 
Total Internet        1,954,720 
Media - 16.5%          
Comcast Corp. — Class A   9,317    408,551 
Walt Disney Co.   4,269    385,448 
Charter Communications, Inc. — Class A*   524    203,668 
Warner Bros Discovery, Inc.*   13,821    157,283 
News Corp. — Class A   4,971    122,038 
Fox Corp. — Class A   3,829    113,607 
Liberty Broadband Corp. — Class C*   1,290    103,961 
New York Times Co. — Class A   1,753    85,880 
Paramount Global — Class B   5,724    84,658 
Endeavor Group Holdings, Inc. — Class A   2,884    68,437 
Nexstar Media Group, Inc. — Class A   372    58,311 
Sirius XM Holdings, Inc.1   10,088    55,181 
DISH Network Corp. — Class A*   7,330    42,294 
Total Media        1,889,317 
Entertainment - 9.8%          
Warner Music Group Corp. — Class A   3,606    129,059 
Live Nation Entertainment, Inc.*   1,330    124,488 
DraftKings, Inc. — Class A*   3,338    117,664 
Caesars Entertainment, Inc.*   2,127    99,714 
Churchill Downs, Inc.   702    94,721 
Vail Resorts, Inc.   401    85,601 
Light & Wonder, Inc. — Class A*   999    82,028 
Red Rock Resorts, Inc. — Class A   1,346    71,782 
Penn Entertainment, Inc.*   2,463    64,087 
International Game Technology plc   2,016    55,259 
Marriott Vacations Worldwide Corp.   634    53,820 
SeaWorld Entertainment, Inc.*   815    43,056 
Six Flags Entertainment Corp.*   1,632    40,931 
Cinemark Holdings, Inc.*   2,618    36,888 
AMC Entertainment Holdings, Inc. — Class A*   5,217    31,927 
Total Entertainment        1,131,025 
Lodging - 9.7%          
Marriott International, Inc. — Class A   1,074    242,198 
Hilton Worldwide Holdings, Inc.   1,180    214,866 
Las Vegas Sands Corp.   2,815    138,526 
Hyatt Hotels Corp. — Class A   878    114,500 
MGM Resorts International*   2,477    110,672 
Wynn Resorts Ltd.   1,037    94,481 
Wyndham Hotels & Resorts, Inc.   984    79,124 
Boyd Gaming Corp.   1,039    65,052 
Choice Hotels International, Inc.   488    55,290 
Total Lodging        1,114,709 
Leisure Time - 7.6%          
Royal Caribbean Cruises Ltd.*   1,317    170,538 
Carnival Corp.*   7,597    140,849 
Norwegian Cruise Line Holdings Ltd.*   4,574    91,663 
Brunswick Corp.   872    84,366 
Planet Fitness, Inc. — Class A*   1,103    80,519 
Polaris, Inc.   741    70,225 
Harley-Davidson, Inc.   1,904    70,143 
YETI Holdings, Inc.*   1,326    68,660 
Topgolf Callaway Brands Corp.*   3,240    46,462 
Peloton Interactive, Inc. — Class A*   7,458    45,419 
Total Leisure Time        868,844 
Agriculture - 6.4%          
Philip Morris International, Inc.   3,995    375,850 
Altria Group, Inc.   6,319    254,908 
British American Tobacco plc ADR   3,596    105,327 
Total Agriculture        736,085 
Software - 5.3%          
Electronic Arts, Inc.   1,365    186,746 
Take-Two Interactive Software, Inc.*   1,022    164,491 
ROBLOX Corp. — Class A*   3,537    161,712 
NetEase, Inc. ADR   1,070    99,681 
Total Software        612,630 

 

 

Leisure Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5% (continued)          
Beverages - 5.0%          
Constellation Brands, Inc. — Class A   805   $194,609 
Brown-Forman Corp. — Class B   2,843    162,335 
Anheuser-Busch InBev S.A. ADR1   1,690    109,208 
Molson Coors Beverage Co. — Class B   1,731    105,954 
Total Beverages        572,106 
Toys, Games & Hobbies - 1.4%          
Hasbro, Inc.   1,592    81,288 
Mattel, Inc.*   4,146    78,276 
Total Toys, Games & Hobbies        159,564 
Food Service - 0.7%          
Aramark   3,013    84,665 
Commercial Services - 0.3%          
Sabre Corp.*   6,989    30,752 
Total Common Stocks          
(Cost $7,945,145)        11,422,860 

 

   Face
Amount
    
REPURCHASE AGREEMENTS††,2 - 0.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $31,225   31,225 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   25,163    25,163 
Total Repurchase Agreements          
(Cost $56,388)        56,388 

 

    Shares      
SECURITIES LENDING COLLATERAL†,3 - 1.8%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   208,851    208,851 
Total Securities Lending Collateral          
(Cost $208,851)        208,851 
Total Investments - 101.8%          
(Cost $8,210,384)       $11,688,099 
Other Assets & Liabilities, net - (1.8)%        (208,299)
Total Net Assets - 100.0%       $11,479,800 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund’s investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $11,422,860   $   $   $11,422,860 
Repurchase Agreements       56,388        56,388 
Securities Lending Collateral   208,851            208,851 
Total Assets  $11,631,711   $56,388   $   $11,688,099 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 95.1%
Industrial - 16.1%
Middleby Corp.*   859   $126,419 
Acuity Brands, Inc.1   613    125,561 
Donaldson Company, Inc.1   1,833    119,786 
Snap-on, Inc.   407    117,558 
Boise Cascade Co.1   888    114,872 
TD SYNNEX Corp.   1,031    110,946 
IDEX Corp.1   507    110,075 
Brady Corp. — Class A   1,762    103,412 
Carlisle Companies, Inc.   323    100,915 
Apogee Enterprises, Inc.1   1,805    96,405 
International Seaways, Inc.   2,079    94,553 
Garmin Ltd.   735    94,477 
Terex Corp.   1,624    93,315 
Mueller Industries, Inc.   1,609    75,865 
Teekay Corp.*   9,253    66,159 
Huntington Ingalls Industries, Inc.   252    65,429 
A O Smith Corp.   786    64,798 
AGCO Corp.   516    62,647 
Owens Corning   400    59,292 
EnerSys   578    58,355 
UFP Industries, Inc.   461    57,879 
Encore Wire Corp.   267    57,031 
Keysight Technologies, Inc.*   343    54,568 
Scorpio Tankers, Inc.   863    52,470 
Argan, Inc.1   1,054    49,317 
Vontier Corp.   1,321    45,640 
Atkore, Inc.*   276    44,160 
Ardmore Shipping Corp.   3,062    43,144 
Griffon Corp.   689    41,994 
Lindsay Corp.1   305    39,394 
Teekay Tankers Ltd. — Class A   771    38,527 
Builders FirstSource, Inc.*   209    34,890 
Enerpac Tool Group Corp.   792    24,623 
Insteel Industries, Inc.   634    24,276 
World Kinect Corp.   1,062    24,192 
Total Industrial        2,492,944 
Consumer, Cyclical - 15.5%          
Toll Brothers, Inc.   1,285    132,085 
NVR, Inc.*,1   18    126,008 
DR Horton, Inc.1   776    117,936 
Starbucks Corp.   1,228    117,900 
MSC Industrial Direct Company, Inc. — Class A1   1,151    116,550 
Brunswick Corp.1   1,162    112,424 
Meritage Homes Corp.   606    105,565 
Standard Motor Products, Inc.1   2,544    101,277 
PulteGroup, Inc.   979    101,052 
Monarch Casino & Resort, Inc.   1,429    98,815 
Gentex Corp.   2,941    96,053 
Allison Transmission Holdings, Inc.1   1,599    92,982 
Lowe's Companies, Inc.   411    91,468 
Cummins, Inc.   335    80,256 
M/I Homes, Inc.*,1   577    79,476 
KB Home1   1,012    63,210 
PACCAR, Inc.   620    60,543 
AutoNation, Inc.*   395    59,321 
Lennar Corp. — Class A1   365    54,400 
General Motors Co.1   1,473    52,910 
Polaris, Inc.   557    52,787 
Taylor Morrison Home Corp. — Class A*   936    49,936 
Target Corp.   350    49,847 
Home Depot, Inc.   128    44,359 
Columbia Sportswear Co.   531    42,236 
Patrick Industries, Inc.   384    38,535 
Dolby Laboratories, Inc. — Class A   404    34,817 
Golden Entertainment, Inc.   817    32,623 
MasterCraft Boat Holdings, Inc.*   1,377    31,175 
BorgWarner, Inc.   833    29,863 
Malibu Boats, Inc. — Class A*,1   489    26,807 
Macy's, Inc.   1,294    26,035 
ScanSource, Inc.*   650    25,746 
Ethan Allen Interiors, Inc.   805    25,695 
Caleres, Inc.   723    22,218 
Total Consumer, Cyclical        2,392,910 
Consumer, Non-cyclical - 15.5%          
Merck & Company, Inc.1   1,216    132,568 
Johnson & Johnson1   844    132,289 
Thermo Fisher Scientific, Inc.   248    131,636 
Incyte Corp.*,1   2,045    128,406 
Viatris, Inc.   11,844    128,271 
Gilead Sciences, Inc.1   1,521    123,216 
Bristol-Myers Squibb Co.1   2,342    120,168 
Hologic, Inc.*,1   1,606    114,749 
Ingredion, Inc.   1,057    114,716 
Pfizer, Inc.1   3,960    114,008 
Colgate-Palmolive Co.1   1,283    102,268 
Innoviva, Inc.*,1   4,580    73,463 
Biogen, Inc.*,1   282    72,973 
Premier, Inc. — Class A1   3,036    67,885 
Dynavax Technologies Corp.*,1   4,831    67,538 
Exelixis, Inc.*,1   2,786    66,836 
United Therapeutics Corp.*   263    57,831 
Cencora, Inc. — Class A   256    52,577 
Perdoceo Education Corp.1   2,588    45,445 
Royalty Pharma plc — Class A1   1,615    45,365 
Baxter International, Inc.   1,155    44,652 
PayPal Holdings, Inc.*   629    38,627 
Humana, Inc.   77    35,251 
Heidrick & Struggles International, Inc.1   1,152    34,018 
Molina Healthcare, Inc.*   93    33,602 
Centene Corp.*   414    30,723 
Alarm.com Holdings, Inc.*   464    29,984 
Cross Country Healthcare, Inc.*,1   1,250    28,300 
Neurocrine Biosciences, Inc.*   211    27,801 
Organon & Co.   1,917    27,643 
Ligand Pharmaceuticals, Inc. — Class B*   376    26,854 
Edwards Lifesciences Corp.*,1   322    24,553 
AbbVie, Inc.   157    24,330 
Agilent Technologies, Inc.   175    24,330 
Supernus Pharmaceuticals, Inc.*   805    23,297 
Eli Lilly & Co.   39    22,734 
Halozyme Therapeutics, Inc.*   558    20,624 
Total Consumer, Non-cyclical        2,389,531 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 95.1% (continued)
Financial - 11.9%
Visa, Inc. — Class A   507   $131,997 
Radian Group, Inc.   4,320    123,336 
MGIC Investment Corp.1   6,326    122,028 
Essent Group Ltd.   2,284    120,458 
Equity Commonwealth REIT   5,887    113,031 
Ambac Financial Group, Inc.*   6,211    102,357 
Hartford Financial Services Group, Inc.1   1,262    101,440 
Globe Life, Inc.1   778    94,698 
Brixmor Property Group, Inc. REIT   3,371    78,443 
AvalonBay Communities, Inc. REIT   388    72,641 
American Express Co.   387    72,501 
International Bancshares Corp.1   1,309    71,105 
Interactive Brokers Group, Inc. — Class A   830    68,807 
National Storage Affiliates Trust REIT   1,627    67,472 
MetLife, Inc.   899    59,451 
American Financial Group, Inc.   483    57,424 
Jackson Financial, Inc. — Class A   1,069    54,733 
Enact Holdings, Inc.1   1,815    52,435 
Mr Cooper Group, Inc.*   746    48,580 
Walker & Dunlop, Inc.   426    47,290 
Reinsurance Group of America, Inc. — Class A   282    45,622 
Berkshire Hathaway, Inc. — Class B*   106    37,806 
Virtus Investment Partners, Inc.   112    27,077 
Affiliated Managers Group, Inc.   166    25,136 
Preferred Bank/Los Angeles CA   343    25,056 
East West Bancorp, Inc.   343    24,679 
Total Financial        1,845,603 
Technology - 11.9%          
Microsoft Corp.1   744    279,774 
QUALCOMM, Inc.   940    135,952 
International Business Machines Corp.1   753    123,153 
Apple, Inc.1   624    120,139 
Amdocs Ltd.   1,323    116,278 
Genpact Ltd.   2,774    96,286 
Dropbox, Inc. — Class A*,1   2,813    82,927 
Cirrus Logic, Inc.*   933    77,616 
Electronic Arts, Inc.1   521    71,278 
Insight Enterprises, Inc.*   399    70,699 
Applied Materials, Inc.1   396    64,180 
Immersion Corp.1   8,525    60,187 
Hewlett Packard Enterprise Co.1   3,402    57,766 
Photronics, Inc.*   1,765    55,368 
NVIDIA Corp.   100    49,522 
NXP Semiconductor N.V.   178    40,883 
NetApp, Inc.   407    35,881 
Skyworks Solutions, Inc.   316    35,525 
Amkor Technology, Inc.   1,030    34,268 
ServiceNow, Inc.*   45    31,792 
Bandwidth, Inc. — Class A*   2,145    31,038 
Broadcom, Inc.   26    29,023 
Blackbaud, Inc.*   312    27,050 
Fortinet, Inc.*   433    25,343 
CEVA, Inc.*   1,054    23,936 
DXC Technology Co.*   952    21,772 
Veradigm, Inc.*,1   2,035    21,347 
Teradata Corp.*   476    20,711 
Total Technology        1,839,694 
Communications - 11.8%          
Cisco Systems, Inc.1   2,595    131,099 
InterDigital, Inc.   1,108    120,262 
Yelp, Inc. — Class A*   2,413    114,232 
Meta Platforms, Inc. — Class A*   321    113,621 
Fox Corp. — Class A1   3,750    111,262 
VeriSign, Inc.*   523    107,717 
T-Mobile US, Inc.1   668    107,100 
Verizon Communications, Inc.1   2,802    105,635 
AT&T, Inc.1   6,278    105,345 
Alphabet, Inc. — Class C*,1   694    97,806 
IDT Corp. — Class B*   2,343    79,873 
Juniper Networks, Inc.1   2,677    78,918 
TEGNA, Inc.1   4,639    70,977 
Ooma, Inc.*,1   6,494    69,681 
Amazon.com, Inc.*,1   417    63,359 
Booking Holdings, Inc.*,1   14    49,661 
Ciena Corp.*   997    44,875 
Shutterstock, Inc.   862    41,617 
Gogo, Inc.*   4,082    41,351 
Walt Disney Co.   424    38,283 
FactSet Research Systems, Inc.   74    35,302 
Spok Holdings, Inc.   2,111    32,678 
Cargurus, Inc.*   1,087    26,262 
A10 Networks, Inc.1   1,762    23,206 
Cars.com, Inc.*   1,200    22,764 
Total Communications        1,832,886 
Utilities - 5.4%          
PPL Corp.   4,285    116,124 
Evergy, Inc.1   2,205    115,101 
Xcel Energy, Inc.1   1,859    115,091 
Atmos Energy Corp.1   992    114,973 
National Fuel Gas Co.1   2,188    109,772 
Public Service Enterprise Group, Inc.1   1,794    109,703 
Northwestern Energy Group, Inc.   2,087    106,207 
ONE Gas, Inc.   675    43,011 
Total Utilities        829,982 
Energy - 5.3%          
EOG Resources, Inc.   951    115,023 
Marathon Petroleum Corp.   774    114,831 
Valero Energy Corp.1   861    111,930 
Cheniere Energy, Inc.   483    82,453 
Liberty Energy, Inc. — Class A1   3,542    64,252 
Occidental Petroleum Corp.   979    58,456 
PBF Energy, Inc. — Class A   1,097    48,224 
CVR Energy, Inc.   1,503    45,541 
Helmerich & Payne, Inc.   1,244    45,058 
SandRidge Energy, Inc.1   2,781    38,016 
Exxon Mobil Corp.   357    35,693 
NOW, Inc.*,1   2,732    30,926 
SolarEdge Technologies, Inc.*   266    24,898 
Total Energy        815,301 
Basic Materials - 1.4%          
NewMarket Corp.1   211    115,170 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 95.1% (continued)
Basic Materials - 1.4% (continued)          
Cabot Corp.   617   $51,519 
Sylvamo Corp.   889    43,659 
Total Basic Materials        210,348 
Government - 0.3%          
Banco Latinoamericano de Comercio Exterior S.A. — Class E   1,795    44,408 
Total Common Stocks          
(Cost $13,007,500)        14,693,607 
           
MONEY MARKET FUND - 1.6%          
Invesco Short-Term Investments Trust Treasury Obligations Portfolio — Institutional Class, 5.20%2   252,908   $252,908 
Total Money Market Fund          
(Cost $252,908)        252,908 
Total Investments - 96.7%          
(Cost $13,260,408)       $14,946,515 
Other Assets & Liabilities, net - 3.3%        510,122 
Total Net Assets - 100.0%       $15,456,637 

 

Custom Basket Swap Agreements        

 

Counterparty  Reference Obligation  Type  Financing Rate  Payment Frequency  Maturity Date  Notional Amount   Value and Unrealized Appreciation (Depreciation) 
OTC Custom Basket Swap Agreements††          
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  Pay  5.73% (Federal Funds Rate + 0.40%)  At Maturity  11/27/24  $7,744,252   $857,923 
Goldman Sachs International  GS Equity Custom Basket  Pay  5.78% (Federal Funds Rate + 0.45%)  At Maturity  05/06/24   7,541,022    852,047 
                  $15,285,274   $1,709,970 
OTC Custom Basket Swap Agreements Sold Short††          
Morgan Stanley Capital Services LLC  MS Equity Custom Basket  Receive  5.03% (Federal Funds Rate - 0.30%)  At Maturity  11/27/24  $8,951,822   $(507,320)
Goldman Sachs International  GS Equity Custom Basket  Receive  5.13% (Federal Funds Rate - 0.20%)  At Maturity  05/06/24   8,951,814    (510,949)
                  $17,903,636   $(1,018,269)

 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

GS EQUITY LONG CUSTOM BASKET            
   Shares   Percentage
Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
Industrial               
Boise Cascade Co.   462    0.80%  $23,616 
Mueller Industries, Inc.   838    0.52%   16,649 
Snap-on, Inc.   212    0.81%   13,571 
Acuity Brands, Inc.   319    0.87%   10,953 
Donaldson Company, Inc.   954    0.83%   10,509 
UFP Industries, Inc.   240    0.40%   9,926 
Terex Corp.   845    0.64%   7,429 
TD SYNNEX Corp.   536    0.76%   7,209 
Encore Wire Corp.   139    0.39%   6,343 
Owens Corning   208    0.41%   6,143 
Middleby Corp.   447    0.87%   6,071 
Apogee Enterprises, Inc.   939    0.67%   5,952 
Scorpio Tankers, Inc.   449    0.36%   5,604 
Builders FirstSource, Inc.   109    0.24%   4,901 
Atkore, Inc.   143    0.30%   4,206 
Griffon Corp.   359    0.29%   4,096 
Keysight Technologies, Inc.   178    0.38%   3,881 
Teekay Corp.   4,816    0.46%   3,834 
Carlisle Companies, Inc.   168    0.70%   3,725 
Argan, Inc.   548    0.34%   3,705 
IDEX Corp.   264    0.76%   3,564 
Teekay Tankers Ltd. — Class A   401    0.27%   3,339 
A O Smith Corp.   409    0.45%   3,302 
International Seaways, Inc.   1,082    0.65%   3,182 
Ardmore Shipping Corp.   1,593    0.30%   3,026 
EnerSys   301    0.40%   2,858 
Huntington Ingalls Industries, Inc.   131    0.45%   2,560 
Insteel Industries, Inc.   330    0.17%   1,719 
Garmin Ltd.   382    0.65%   1,710 
Brady Corp. — Class A   917    0.71%   1,522 
Enerpac Tool Group Corp.   412    0.17%   942 
Lindsay Corp.   159    0.27%   861 
AGCO Corp.   269    0.43%   851 
World Kinect Corp.   553    0.17%   843 
Vontier Corp.   688    0.32%   210 
Total Industrial             188,812 
Communications               
Alphabet, Inc. — Class C   361    0.68%   27,432 
InterDigital, Inc.   576    0.83%   15,372 
Meta Platforms, Inc. — Class A   167    0.78%   14,676 
IDT Corp. — Class B   1,219    0.55%   12,310 
Verizon Communications, Inc.   1,458    0.73%   7,571 
AT&T, Inc.   3,267    0.73%   6,933 
Booking Holdings, Inc.   7    0.33%   6,563 
Amazon.com, Inc.   217    0.44%   6,280 
Yelp, Inc. — Class A   1,256    0.79%   5,068 
T-Mobile US, Inc.   348    0.74%   4,878 
Juniper Networks, Inc.   1,393    0.54%   3,862 
Cisco Systems, Inc.   1,350    0.90%   3,377 
Shutterstock, Inc.   449    0.29%   3,280 
A10 Networks, Inc.   917    0.16%   1,896 
Cargurus, Inc.   566    0.18%   1,260 
FactSet Research Systems, Inc.   39    0.25%   848 
Ciena Corp.   519    0.31%   598 
Cars.com, Inc.   625    0.16%   27 
TEGNA, Inc.   2,414    0.49%   (10)
VeriSign, Inc.   272    0.74%   (89)
Walt Disney Co.   221    0.26%   (406)
Gogo, Inc.   2,124    0.29%   (828)
Spok Holdings, Inc.   1,098    0.23%   (1,454)
Fox Corp. — Class A   1,952    0.77%   (2,533)
Ooma, Inc.   3,379    0.48%   (4,300)
Total Communications             112,611 
Consumer, Non-cyclical               
Perdoceo Education Corp.   1,347    0.31%   9,455 
Exelixis, Inc.   1,450    0.46%   9,441 
Innoviva, Inc.   2,384    0.51%   8,504 
Viatris, Inc.   6,164    0.89%   7,403 
Thermo Fisher Scientific, Inc.   129    0.91%   5,703 
Incyte Corp.   1,064    0.89%   5,384 
Gilead Sciences, Inc.   791    0.85%   4,161 
Dynavax Technologies Corp.   2,514    0.47%   3,864 
Merck & Company, Inc.   633    0.92%   3,811 
Biogen, Inc.   147    0.50%   3,280 
Premier, Inc. — Class A   1,580    0.47%   3,022 
Heidrick & Struggles International, Inc.   599    0.23%   2,259 
Ligand Pharmaceuticals, Inc. — Class B   195    0.18%   2,250 
Alarm.com Holdings, Inc.   242    0.21%   1,846 
Neurocrine Biosciences, Inc.   110    0.19%   1,696 
Cross Country Healthcare, Inc.   651    0.20%   1,421 
Molina Healthcare, Inc.   49    0.23%   1,292 
Ingredion, Inc.   550    0.79%   1,247 
Centene Corp.   216    0.21%   1,194 
Hologic, Inc.   836    0.79%   1,110 
PayPal Holdings, Inc.   328    0.27%   1,097 
Baxter International, Inc.   601    0.31%   1,078 
Agilent Technologies, Inc.   91    0.17%   948 
AbbVie, Inc.   82    0.17%   836 
Royalty Pharma plc — Class A   840    0.31%   803 
Edwards Lifesciences Corp.   168    0.17%   705 
Johnson & Johnson   439    0.91%   525 
Colgate-Palmolive Co.   668    0.71%   512 
Supernus Pharmaceuticals, Inc.   419    0.16%   384 
Cencora, Inc. — Class A   133    0.36%   256 
Eli Lilly & Co.   20    0.15%   (45)
United Therapeutics Corp.   137    0.40%   (434)
Humana, Inc.   40    0.24%   (478)
Halozyme Therapeutics, Inc.   290    0.14%   (907)
Organon & Co.   997    0.19%   (1,196)
Pfizer, Inc.   2,061    0.79%   (3,319)
Bristol-Myers Squibb Co.   1,219    0.83%   (7,325)
Total Consumer, Non-cyclical             71,783 
Financial               
MGIC Investment Corp.   3,292    0.84%   16,204 
Essent Group Ltd.   1,189    0.83%   11,583 
American Express Co.   201    0.50%   7,463 

 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Percentage
Notional
Amount
   Value and Unrealized
Appreciation (Depreciation)
 
Ambac Financial Group, Inc.   3,232    0.71%  $7,387 
International Bancshares Corp.   681    0.49%   7,272 
Mr Cooper Group, Inc.   388    0.34%   6,879 
Radian Group, Inc.   2,248    0.85%   5,502 
National Storage Affiliates Trust   847    0.47%   5,190 
Preferred Bank/Los Angeles CA   178    0.17%   4,786 
Walker & Dunlop, Inc.   222    0.33%   4,336 
AvalonBay Communities, Inc.   202    0.50%   3,832 
MetLife, Inc.   468    0.41%   3,111 
Globe Life, Inc.   405    0.65%   2,799 
Virtus Investment Partners, Inc.   58    0.19%   2,205 
Interactive Brokers Group, Inc. — Class A   432    0.47%   1,684 
Jackson Financial, Inc. — Class A   557    0.38%   1,574 
Visa, Inc. — Class A   264    0.91%   1,319 
Brixmor Property Group, Inc.   1,754    0.54%   1,306 
Hartford Financial Services Group, Inc.   657    0.70%   1,306 
Affiliated Managers Group, Inc.   86    0.17%   1,208 
Enact Holdings, Inc.   945    0.36%   938 
East West Bancorp, Inc.   178    0.17%   928 
American Financial Group, Inc.   251    0.40%   426 
Berkshire Hathaway, Inc. — Class B   55    0.26%   86 
Equity Commonwealth   3,063    0.78%   44 
Reinsurance Group of America, Inc. — Class A   147    0.32%   (301)
Total Financial             99,067 
Consumer, Cyclical               
Toll Brothers, Inc.   669    0.91%   19,955 
Meritage Homes Corp.   315    0.73%   17,069 
M/I Homes, Inc.   300    0.55%   16,592 
DR Horton, Inc.   404    0.81%   14,070 
PulteGroup, Inc.   510    0.70%   14,038 
Brunswick Corp.   605    0.78%   13,340 
Allison Transmission Holdings, Inc.   832    0.64%   11,798 
NVR, Inc.   9    0.84%   8,421 
KB Home   526    0.44%   7,725 
MSC Industrial Direct Company, Inc. — Class A   599    0.80%   7,080 
Lennar Corp. — Class A   190    0.38%   6,514 
General Motors Co.   767    0.37%   5,682 
Standard Motor Products, Inc.   1,324    0.70%   5,434 
Taylor Morrison Home Corp. — Class A   487    0.34%   5,423 
PACCAR, Inc.   322    0.42%   4,296 
Monarch Casino & Resort, Inc.   744    0.68%   3,907 
Home Depot, Inc.   66    0.30%   3,424 
Lowe's Companies, Inc.   214    0.63%   3,138 
Patrick Industries, Inc.   200    0.27%   2,824 
Gentex Corp.   1,531    0.66%   2,546 
AutoNation, Inc.   205    0.41%   2,317 
Macy's, Inc.   673    0.18%   1,789 
Target Corp.   182    0.34%   1,504 
ScanSource, Inc.   338    0.18%   1,475 
Malibu Boats, Inc. — Class A   254    0.18%   1,415 
Golden Entertainment, Inc.   425    0.23%   1,115 
Ethan Allen Interiors, Inc.   419    0.18%   809 
BorgWarner, Inc.   434    0.21%   613 
MasterCraft Boat Holdings, Inc.   717    0.22%   178 
Polaris, Inc.   290    0.36%   82 
Caleres, Inc.   376    0.15%   (277)
Dolby Laboratories, Inc. — Class A   210    0.24%   (291)
Columbia Sportswear Co.   277    0.29%   (485)
Starbucks Corp.   639    0.81%   (1,110)
Total Consumer, Cyclical             182,410 
Technology               
Microsoft Corp.   387    1.93%   50,723 
Apple, Inc.   325    0.83%   40,920 
Photronics, Inc.   919    0.38%   10,185 
International Business Machines Corp.   392    0.85%   7,941 
QUALCOMM, Inc.   489    0.94%   7,422 
Applied Materials, Inc.   206    0.44%   4,954 
NXP Semiconductor N.V.   93    0.28%   4,882 
NVIDIA Corp.   52    0.34%   4,285 
Amdocs Ltd.   688    0.80%   4,038 
Skyworks Solutions, Inc.   164    0.24%   3,516 
Dropbox, Inc. — Class A   1,464    0.57%   3,285 
Cirrus Logic, Inc.   486    0.54%   3,166 
Bandwidth, Inc. — Class A   1,116    0.21%   3,015 
Amkor Technology, Inc.   536    0.24%   2,650 
Hewlett Packard Enterprise Co.   1,770    0.40%   2,501 
Broadcom, Inc.   13    0.19%   2,451 
Insight Enterprises, Inc.   208    0.49%   2,389 
Electronic Arts, Inc.   271    0.49%   2,154 
Fortinet, Inc.   225    0.17%   1,436 
Blackbaud, Inc.   162    0.19%   1,067 
Immersion Corp.   4,436    0.42%   813 
ServiceNow, Inc.   24    0.22%   450 
CEVA, Inc.   549    0.17%   434 
Genpact Ltd.   1,444    0.66%   (357)
NetApp, Inc.   212    0.25%   (422)
DXC Technology Co.   495    0.15%   (426)
Teradata Corp.   248    0.14%   (1,029)
Veradigm, Inc.   1,059    0.15%   (1,350)
Total Technology             161,093 
Utilities               
Atmos Energy Corp.   516    0.79%   1,898 
PPL Corp.   2,230    0.80%   1,328 
Public Service Enterprise Group, Inc.   933    0.76%   1,189 
Xcel Energy, Inc.   968    0.79%   613 
Northwestern Energy Group, Inc.   1,086    0.73%   (39)
ONE Gas, Inc.   351    0.30%   (1,698)
National Fuel Gas Co.   1,139    0.76%   (3,078)

  

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Percentage
Notional
Amount
   Value and Unrealized
Appreciation (Depreciation)
 
Total Utilities            $213 
Energy               
Marathon Petroleum Corp.   403    0.79%   8,542 
Valero Energy Corp.   448    0.77%   5,642 
Cheniere Energy, Inc.   251    0.57%   4,538 
PBF Energy, Inc. — Class A   571    0.33%   1,422 
SolarEdge Technologies, Inc.   138    0.17%   1,185 
NOW, Inc.   1,422    0.21%   1,155 
Helmerich & Payne, Inc.   647    0.31%   (348)
Exxon Mobil Corp.   186    0.25%   (523)
CVR Energy, Inc.   782    0.31%   (946)
EOG Resources, Inc.   495    0.79%   (1,057)
Occidental Petroleum Corp.   509    0.40%   (1,320)
SandRidge Energy, Inc.   1,447    0.26%   (2,778)
Liberty Energy, Inc. — Class A   1,843    0.44%   (3,624)
Total Energy             11,888 
Basic Materials               
NewMarket Corp.   110    0.80%   22,362 
Cabot Corp.   321    0.36%   1,814 
Sylvamo Corp.   463    0.30%   (1,382)
Total Basic Materials             22,794 
Government               
Banco Latinoamericano de Comercio Exterior S.A. — Class E   934    0.31%   1,376 
Total GS Equity Long Custom Basket            $852,047 

 

GS EQUITY SHORT CUSTOM BASKET            
   Shares   Percentage
Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
Utilities               
AES Corp.   6,341    (1.36)%   10,275 
Avista Corp.   1,324    (0.53)%   10,206 
Portland General Electric Co.   2,707    (1.31)%   9,062 
California Water Service Group   2,191    (1.27)%   4,350 
Exelon Corp.   592    (0.24)%   2,463 
Alliant Energy Corp.   1,125    (0.64)%   136 
Spire, Inc.   790    (0.55)%   (3,025)
PG&E Corp.   6,428    (1.29)%   (4,460)
Southwest Gas Holdings, Inc.   1,876    (1.33)%   (6,991)
Eversource Energy   1,861    (1.28)%   (9,077)
UGI Corp.   4,565    (1.25)%   (9,363)
Total Utilities             3,576 
Consumer, Non-cyclical               
TreeHouse Foods, Inc.   2,375    (1.10)%   11,312 
Avis Budget Group, Inc.   215    (0.43)%   3,943 
Grocery Outlet Holding Corp.   1,637    (0.49)%   3,807 
ManpowerGroup, Inc.   679    (0.60)%   2,191 
Clorox Co.   607    (0.97)%   700 
RB Global, Inc.   936    (0.70)%   336 
Church & Dwight Company, Inc.   528    (0.56)%   319 
Booz Allen Hamilton Holding Corp.   300    (0.43)%   (378)
ICF International, Inc.   229    (0.34)%   (1,069)
Utz Brands, Inc.   4,751    (0.86)%   (2,045)
Insmed, Inc.   862    (0.30)%   (3,669)
CBIZ, Inc.   633    (0.44)%   (5,368)
U-Haul Holding Co.   607    (0.49)%   (8,023)
TransUnion   928    (0.71)%   (8,061)
Cintas Corp.   202    (1.36)%   (9,893)
Neogen Corp.   4,543    (1.02)%   (11,418)
Affirm Holdings, Inc.   503    (0.28)%   (12,386)
Pilgrim's Pride Corp.   3,510    (1.08)%   (12,576)
Rollins, Inc.   2,275    (1.11)%   (13,417)
Equifax, Inc.   507    (1.40)%   (23,193)
Total Consumer, Non-cyclical             (88,888)
Financial               
Kennedy-Wilson Holdings, Inc.   9,494    (1.30)%   38,123 
Sun Communities, Inc.   756    (1.13)%   25,178 
Americold Realty Trust, Inc.   3,446    (1.17)%   13,041 
Rexford Industrial Realty, Inc.   1,807    (1.13)%   6,977 
American Tower Corp. — Class A   367    (0.89)%   6,564 
New York Mortgage Trust, Inc.   8,157    (0.78)%   4,515 
Raymond James Financial, Inc.   773    (0.96)%   2,877 
Ellington Financial, Inc.   5,696    (0.81)%   1,382 
Equinix, Inc.   123    (1.11)%   1,184 
UMH Properties, Inc.   5,813    (0.99)%   906 
COPT Defense Properties   1,172    (0.34)%   (105)
Alexander & Baldwin, Inc.   4,404    (0.94)%   (962)
Digital Realty Trust, Inc.   572    (0.86)%   (1,912)
Brighthouse Financial, Inc.   2,152    (1.27)%   (3,239)
Invitation Homes, Inc.   1,267    (0.48)%   (4,114)
Rayonier, Inc.   2,335    (0.87)%   (5,226)
PotlatchDeltic Corp.   1,824    (1.00)%   (5,647)
Macerich Co.   1,877    (0.32)%   (5,890)
Apartment Investment and Management Co. — Class A   9,402    (0.82)%   (5,907)
Capitol Federal Financial, Inc.   9,604    (0.69)%   (6,093)
Welltower, Inc.   1,080    (1.09)%   (6,690)
BOK Financial Corp.   1,507    (1.44)%   (7,550)
Veris Residential, Inc.   4,117    (0.72)%   (7,570)
Ventas, Inc.   1,272    (0.71)%   (8,756)
Citigroup, Inc.   2,255    (1.30)%   (9,333)
Carlyle Group, Inc.   1,938    (0.88)%   (10,494)
Air Lease Corp. — Class A   1,800    (0.84)%   (10,716)
TFS Financial Corp.   8,565    (1.41)%   (13,909)
Marcus & Millichap, Inc.   2,191    (1.07)%   (17,415)
Howard Hughes Holdings, Inc.   1,319    (1.26)%   (21,099)
Jones Lang LaSalle, Inc.   598    (1.26)%   (21,725)
PennyMac Financial Services, Inc.   1,069    (1.06)%   (22,068)
Popular, Inc.   1,491    (1.37)%   (22,587)
Merchants Bancorp   1,913    (0.91)%   (22,849)
CBRE Group, Inc. — Class A   1,386    (1.44)%   (29,783)

  

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

 

   Shares   Percentage
Notional
Amount
   Value and Unrealized
Appreciation (Depreciation)
 
KKR & Company, Inc. — Class A   1,525    (1.41)%  $(33,738)
Total Financial             (204,630)
Basic Materials               
Piedmont Lithium, Inc.   2,020    (0.64)%   23,165 
Hecla Mining Co.   9,804    (0.53)%   10,089 
Kaiser Aluminum Corp.   903    (0.72)%   5,815 
Novagold Resources, Inc.   11,570    (0.48)%   4,728 
Ashland, Inc.   574    (0.54)%   (1,319)
Compass Minerals International, Inc.   1,710    (0.48)%   (1,414)
Tronox Holdings plc — Class A   3,305    (0.52)%   (2,799)
ATI, Inc.   933    (0.47)%   (2,883)
Carpenter Technology Corp.   665    (0.53)%   (3,367)
Linde plc   252    (1.16)%   (5,149)
Schnitzer Steel Industries, Inc. — Class A   1,594    (0.54)%   (5,962)
Element Solutions, Inc.   3,744    (0.97)%   (8,217)
Celanese Corp. — Class A   639    (1.11)%   (8,783)
Chemours Co.   1,945    (0.69)%   (9,916)
Ecolab, Inc.   452    (1.00)%   (12,565)
Stepan Co.   1,331    (1.41)%   (26,899)
Century Aluminum Co.   6,420    (0.87)%   (31,754)
Total Basic Materials             (77,230)
Consumer, Cyclical               
Topgolf Callaway Brands Corp.   5,959    (0.95)%   3,099 
Walgreens Boots Alliance, Inc.   3,960    (1.16)%   201 
Allegiant Travel Co. — Class A   428    (0.39)%   (4,052)
Shake Shack, Inc. — Class A   756    (0.63)%   (6,456)
Floor & Decor Holdings, Inc. — Class A   583    (0.73)%   (7,277)
LGI Homes, Inc.   489    (0.73)%   (8,079)
Lithia Motors, Inc. — Class A   189    (0.70)%   (8,530)
CarMax, Inc.   1,198    (1.03)%   (12,818)
Total Consumer, Cyclical             (43,912)
Energy               
Oceaneering International, Inc.   2,284    (0.54)%   4,152 
Valaris Ltd.   1,102    (0.84)%   2,471 
Noble Corporation plc   600    (0.32)%   1,328 
TechnipFMC plc   2,869    (0.65)%   347 
Dril-Quip, Inc.   2,771    (0.72)%   63 
Callon Petroleum Co.   1,127    (0.41)%   (1,479)
Sitio Royalties Corp. — Class A   1,638    (0.43)%   (2,503)
Archrock, Inc.   4,758    (0.82)%   (10,908)
Total Energy             (6,529)
Industrial               
MSA Safety, Inc.   222    (0.42)%   2,073 
Tetra Tech, Inc.   274    (0.51)%   (433)
Knight-Swift Transportation Holdings, Inc.   851    (0.55)%   (618)
Norfolk Southern Corp.   117    (0.31)%   (1,003)
Union Pacific Corp.   99    (0.27)%   (1,144)
Werner Enterprises, Inc.   1,772    (0.84)%   (2,261)
RXO, Inc.   2,228    (0.58)%   (3,203)
Stericycle, Inc.   876    (0.48)%   (4,318)
GATX Corp.   834    (1.12)%   (6,123)
Vulcan Materials Co.   389    (0.99)%   (6,926)
Casella Waste Systems, Inc. — Class A   1,174    (1.12)%   (8,769)
Trinity Industries, Inc.   3,825    (1.14)%   (12,194)
Boeing Co.   338    (0.98)%   (22,977)
Total Industrial             (67,896)
Technology               
Paycor HCM, Inc.   3,348    (0.81)%   7,732 
KBR, Inc.   916    (0.57)%   6,063 
Ceridian HCM Holding, Inc.   885    (0.66)%   4,529 
Parsons Corp.   942    (0.66)%   (5,624)
Evolent Health, Inc. — Class A   2,070    (0.76)%   (9,750)
HashiCorp, Inc. — Class A   2,648    (0.70)%   (12,216)
Braze, Inc. — Class A   1,269    (0.75)%   (12,547)
Total Technology             (21,813)
Communications               
DoorDash, Inc. — Class A   157    (0.17)%   (1,615)
Roku, Inc.   146    (0.15)%   (2,012)
Total Communications             (3,627)
Total GS Equity Short Custom Basket            $(510,949)

 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

MS EQUITY LONG CUSTOM BASKET             
   Shares   Percentage
Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
Industrial               
Boise Cascade Co.   462    0.77%  $23,590 
Mueller Industries, Inc.   838    0.51%   16,596 
Snap-on, Inc.   212    0.79%   13,583 
Acuity Brands, Inc.   319    0.84%   10,877 
Donaldson Company, Inc.   954    0.81%   10,385 
UFP Industries, Inc.   240    0.39%   9,928 
Terex Corp.   845    0.63%   7,225 
TD SYNNEX Corp.   536    0.74%   7,077 
Encore Wire Corp.   139    0.38%   6,353 
Owens Corning   208    0.40%   6,063 
Middleby Corp.   447    0.85%   6,047 
Apogee Enterprises, Inc.   939    0.65%   5,948 
Scorpio Tankers, Inc.   449    0.35%   5,590 
Builders FirstSource, Inc.   109    0.23%   4,869 
Atkore, Inc.   143    0.30%   4,210 
Griffon Corp.   359    0.28%   4,117 
Keysight Technologies, Inc.   178    0.37%   3,867 
Teekay Corp.   4,816    0.44%   3,860 
Argan, Inc.   548    0.33%   3,720 
Carlisle Companies, Inc.   168    0.68%   3,659 
IDEX Corp.   264    0.74%   3,588 
Teekay Tankers Ltd. — Class A   401    0.26%   3,352 
A O Smith Corp.   409    0.44%   3,346 
International Seaways, Inc.   1,082    0.64%   3,274 
Ardmore Shipping Corp.   1,593    0.29%   3,092 
EnerSys   301    0.39%   2,852 
Huntington Ingalls Industries, Inc.   131    0.44%   2,478 
Insteel Industries, Inc.   330    0.16%   1,744 
Garmin Ltd.   382    0.63%   1,665 
Brady Corp. — Class A   917    0.69%   1,558 
Enerpac Tool Group Corp.   412    0.17%   896 
AGCO Corp.   269    0.42%   880 
Lindsay Corp.   159    0.27%   860 
World Kinect Corp.   553    0.16%   815 
Vontier Corp.   688    0.31%   201 
Total Industrial             188,165 
Communications               
Alphabet, Inc. — Class C   361    0.66%   26,325 
InterDigital, Inc.   576    0.81%   15,353 
Meta Platforms, Inc. — Class A   167    0.76%   14,633 
IDT Corp. — Class B   1,219    0.54%   12,353 
Verizon Communications, Inc.   1,458    0.71%   7,641 
AT&T, Inc.   3,267    0.71%   6,939 
Booking Holdings, Inc.   7    0.32%   6,519 
Amazon.com, Inc.   217    0.43%   6,256 
Yelp, Inc. — Class A   1,256    0.77%   5,083 
T-Mobile US, Inc.   348    0.72%   4,902 
Juniper Networks, Inc.   1,393    0.53%   3,853 
Cisco Systems, Inc.   1,350    0.88%   3,300 
Shutterstock, Inc.   449    0.28%   3,264 
A10 Networks, Inc.   917    0.16%   1,889 
Cargurus, Inc.   566    0.18%   1,270 
FactSet Research Systems, Inc.   39    0.24%   859 
Ciena Corp.   519    0.30%   588 
Cars.com, Inc.   625    0.15%   27 
VeriSign, Inc.   272    0.72%   (45)
TEGNA, Inc.   2,414    0.48%   (63)
Walt Disney Co.   221    0.26%   (402)
Gogo, Inc.   2,124    0.28%   (901)
Spok Holdings, Inc.   1,098    0.22%   (1,230)
Fox Corp. — Class A   1,952    0.75%   (2,422)
Ooma, Inc.   3,379    0.47%   (4,321)
Total Communications             111,670 
Consumer, Non-cyclical               
Perdoceo Education Corp.   1,347    0.31%   9,495 
Exelixis, Inc.   1,450    0.45%   9,410 
Innoviva, Inc.   2,384    0.49%   8,493 
Viatris, Inc.   6,164    0.86%   7,167 
Thermo Fisher Scientific, Inc.   129    0.88%   5,660 
Incyte Corp.   1,064    0.86%   5,412 
Gilead Sciences, Inc.   791    0.83%   3,995 
Dynavax Technologies Corp.   2,514    0.45%   3,845 
Merck & Company, Inc.   633    0.89%   3,783 
Biogen, Inc.   147    0.49%   3,199 
Premier, Inc. — Class A   1,580    0.46%   3,105 
Heidrick & Struggles International, Inc.   599    0.23%   2,251 
Ligand Pharmaceuticals, Inc. — Class B   195    0.18%   2,236 
Alarm.com Holdings, Inc.   242    0.20%   1,799 
Neurocrine Biosciences, Inc.   110    0.19%   1,700 
Cross Country Healthcare, Inc.   651    0.19%   1,439 
Ingredion, Inc.   550    0.77%   1,332 
Molina Healthcare, Inc.   49    0.23%   1,225 
Centene Corp.   216    0.21%   1,177 
PayPal Holdings, Inc.   328    0.26%   1,101 
Hologic, Inc.   836    0.77%   1,089 
Baxter International, Inc.   601    0.30%   1,063 
Agilent Technologies, Inc.   91    0.16%   936 
AbbVie, Inc.   82    0.16%   835 
Royalty Pharma plc — Class A   840    0.30%   797 
Edwards Lifesciences Corp.   168    0.17%   701 
Johnson & Johnson   439    0.89%   508 
Colgate-Palmolive Co.   668    0.69%   505 
Supernus Pharmaceuticals, Inc.   419    0.16%   371 
Cencora, Inc. — Class A   133    0.35%   318 
Eli Lilly & Co.   20    0.15%   (33)
Humana, Inc.   40    0.24%   (376)
United Therapeutics Corp.   137    0.39%   (487)
Halozyme Therapeutics, Inc.   290    0.14%   (874)
Organon & Co.   997    0.19%   (1,159)
Pfizer, Inc.   2,061    0.77%   (3,304)
Bristol-Myers Squibb Co.   1,219    0.81%   (7,325)
Total Consumer, Non-cyclical             71,389 
Financial               
MGIC Investment Corp.   3,292    0.82%   16,207 
Essent Group Ltd.   1,189    0.81%   11,553 
American Express Co.   201    0.49%   7,417 

 

 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Percentage
Notional
Amount
   Value and Unrealized
Appreciation (Depreciation)
 
Ambac Financial Group, Inc.   3,232    0.69%  $7,405 
International Bancshares Corp.   681    0.48%   7,274 
Mr Cooper Group, Inc.   388    0.33%   6,831 
Radian Group, Inc.   2,248    0.83%   5,414 
National Storage Affiliates Trust   847    0.45%   5,212 
Preferred Bank/Los Angeles CA   178    0.17%   4,797 
Walker & Dunlop, Inc.   222    0.32%   4,444 
AvalonBay Communities, Inc.   202    0.49%   3,882 
MetLife, Inc.   468    0.40%   3,007 
Globe Life, Inc.   405    0.64%   2,760 
Virtus Investment Partners, Inc.   58    0.18%   2,164 
Jackson Financial, Inc. — Class A   557    0.37%   1,645 
Interactive Brokers Group, Inc. — Class A   432    0.46%   1,637 
Brixmor Property Group, Inc.   1,754    0.53%   1,344 
Visa, Inc. — Class A   264    0.89%   1,320 
Hartford Financial Services Group, Inc.   657    0.68%   1,268 
Affiliated Managers Group, Inc.   86    0.17%   1,209 
Enact Holdings, Inc.   945    0.35%   911 
East West Bancorp, Inc.   178    0.17%   909 
American Financial Group, Inc.   251    0.39%   292 
Berkshire Hathaway, Inc. — Class B   55    0.25%   99 
Equity Commonwealth   3,063    0.76%   87 
Reinsurance Group of America, Inc. — Class A   147    0.31%   (331)
Total Financial             98,757 
Consumer, Cyclical               
Toll Brothers, Inc.   669    0.86%   19,833 
Meritage Homes Corp.   315    0.71%   17,110 
M/I Homes, Inc.   300    0.53%   16,590 
DR Horton, Inc.   404    0.79%   14,066 
PulteGroup, Inc.   510    0.68%   14,009 
Brunswick Corp.   605    0.76%   13,278 
Allison Transmission Holdings, Inc.   832    0.62%   11,821 
NVR, Inc.   9    0.81%   8,411 
KB Home   526    0.42%   7,734 
MSC Industrial Direct Company, Inc. — Class A   599    0.78%   7,032 
Lennar Corp. — Class A   190    0.37%   6,495 
General Motors Co.   767    0.36%   5,500 
Standard Motor Products, Inc.   1,324    0.68%   5,475 
Taylor Morrison Home Corp. — Class A   487    0.34%   5,420 
PACCAR, Inc.   322    0.41%   4,304 
Monarch Casino & Resort, Inc.   744    0.66%   3,939 
Home Depot, Inc.   66    0.30%   3,411 
Cummins, Inc.   348    1.08%   3,307 
Lowe's Companies, Inc.   214    0.61%   3,078 
Patrick Industries, Inc.   200    0.26%   2,807 
Gentex Corp.   1,531    0.65%   2,590 
AutoNation, Inc.   205    0.40%   2,302 
Macy's, Inc.   673    0.17%   1,739 
Target Corp.   182    0.33%   1,487 
ScanSource, Inc.   338    0.17%   1,471 
Malibu Boats, Inc. — Class A   254    0.18%   1,410 
Golden Entertainment, Inc.   425    0.22%   1,096 
Ethan Allen Interiors, Inc.   419    0.17%   809 
BorgWarner, Inc.   434    0.20%   621 
MasterCraft Boat Holdings, Inc.   717    0.21%   194 
Polaris, Inc.   290    0.35%   52 
Dolby Laboratories, Inc. — Class A   210    0.23%   (295)
Caleres, Inc.   376    0.15%   (327)
Columbia Sportswear Co.   277    0.28%   (526)
Starbucks Corp.   639    0.79%   (1,086)
Total Consumer, Cyclical             185,157 
Technology               
Microsoft Corp.   387    1.88%   52,317 
Apple, Inc.   325    0.81%   41,332 
Photronics, Inc.   919    0.37%   10,166 
International Business Machines Corp.   392    0.83%   7,942 
QUALCOMM, Inc.   489    0.91%   7,471 
Applied Materials, Inc.   206    0.43%   4,916 
NXP Semiconductor N.V.   93    0.28%   4,868 
NVIDIA Corp.   52    0.33%   4,268 
Amdocs Ltd.   688    0.78%   4,038 
Skyworks Solutions, Inc.   164    0.24%   3,498 
Dropbox, Inc. — Class A   1,464    0.56%   3,314 
Cirrus Logic, Inc.   486    0.52%   3,081 
Bandwidth, Inc. — Class A   1,116    0.21%   2,965 
Amkor Technology, Inc.   536    0.23%   2,622 
Hewlett Packard Enterprise Co.   1,770    0.39%   2,477 
Broadcom, Inc.   13    0.19%   2,467 
Insight Enterprises, Inc.   208    0.48%   2,410 
Electronic Arts, Inc.   271    0.48%   2,222 
Fortinet, Inc.   225    0.17%   1,439 
Blackbaud, Inc.   162    0.18%   1,083 
Immersion Corp.   4,436    0.40%   850 
ServiceNow, Inc.   24    0.22%   457 
CEVA, Inc.   549    0.16%   422 
Genpact Ltd.   1,444    0.65%   (154)
NetApp, Inc.   212    0.24%   (416)
DXC Technology Co.   495    0.15%   (423)
Teradata Corp.   248    0.14%   (1,035)
Veradigm, Inc.   1,059    0.14%   (1,324)
Total Technology             163,273 
Utilities               
Evergy, Inc.   2,296    1.54%   3,215 
Atmos Energy Corp.   516    0.77%   1,851 
PPL Corp.   2,230    0.78%   1,399 
Public Service Enterprise Group, Inc.   933    0.74%   1,140 
Xcel Energy, Inc.   968    0.77%   641 
Northwestern Energy Group, Inc.   1,086    0.71%   (87)

 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Percentage
Notional
Amount
   Value and Unrealized
Appreciation (Depreciation)
 
ONE Gas, Inc.   351    0.29%  $(1,712)
National Fuel Gas Co.   1,139    0.74%   (3,066)
Total Utilities             3,381 
Energy               
Marathon Petroleum Corp.   403    0.76%   8,525 
Valero Energy Corp.   448    0.75%   5,652 
Cheniere Energy, Inc.   251    0.55%   4,567 
PBF Energy, Inc. — Class A   571    0.32%   1,443 
SolarEdge Technologies, Inc.   138    0.17%   1,182 
NOW, Inc.   1,422    0.21%   1,099 
Helmerich & Payne, Inc.   647    0.30%   (344)
Exxon Mobil Corp.   186    0.24%   (526)
CVR Energy, Inc.   782    0.31%   (900)
EOG Resources, Inc.   495    0.77%   (1,010)
Occidental Petroleum Corp.   509    0.39%   (1,346)
SandRidge Energy, Inc.   1,447    0.26%   (2,788)
Liberty Energy, Inc. — Class A   1,843    0.43%   (3,618)
Total Energy             11,936 
Basic Materials               
NewMarket Corp.   110    0.78%   22,315 
Cabot Corp.   321    0.35%   1,820 
Sylvamo Corp.   463    0.29%   (1,547)
Total Basic Materials             22,588 
Government               
Banco Latinoamericano de Comercio Exterior S.A. — Class E   934    0.30%   1,607 
Total MS Equity Long Custom Basket            $857,923 

 

MS EQUITY SHORT CUSTOM BASKET            
   Shares   Percentage
Notional
Amount
   Value and
Unrealized
Appreciation
(Depreciation)
 
Utilities               
Avista Corp.   1,324    (0.53)%   10,261 
AES Corp.   6,341    (1.36)%   9,573 
Portland General Electric Co.   2,707    (1.31)%   9,046 
California Water Service Group   2,191    (1.27)%   4,428 
Exelon Corp.   592    (0.24)%   2,459 
Alliant Energy Corp.   1,125    (0.64)%   100 
Spire, Inc.   790    (0.55)%   (3,036)
PG&E Corp.   6,428    (1.29)%   (4,548)
Southwest Gas Holdings, Inc.   1,876    (1.33)%   (6,878)
Eversource Energy   1,861    (1.28)%   (8,783)
UGI Corp.   4,565    (1.25)%   (8,797)
Total Utilities             3,825 
Consumer, Non-cyclical               
TreeHouse Foods, Inc.   2,375    (1.10)%   11,707 
Avis Budget Group, Inc.   215    (0.43)%   3,810 
Grocery Outlet Holding Corp.   1,637    (0.49)%   3,713 
ManpowerGroup, Inc.   679    (0.60)%   2,151 
Clorox Co.   607    (0.97)%   777 
Church & Dwight Company, Inc.   528    (0.56)%   358 
RB Global, Inc.   936    (0.70)%   350 
Booz Allen Hamilton Holding Corp.   300    (0.43)%   (378)
ICF International, Inc.   229    (0.34)%   (1,062)
Utz Brands, Inc.   4,751    (0.86)%   (2,102)
Insmed, Inc.   862    (0.30)%   (3,649)
CBIZ, Inc.   633    (0.44)%   (5,354)
TransUnion   928    (0.71)%   (8,022)
U-Haul Holding Co.   607    (0.49)%   (8,037)
Cintas Corp.   202    (1.36)%   (9,971)
Neogen Corp.   4,543    (1.02)%   (11,100)
Affirm Holdings, Inc.   503    (0.28)%   (12,362)
Pilgrim's Pride Corp.   3,510    (1.08)%   (12,510)
Rollins, Inc.   2,275    (1.11)%   (13,578)
Equifax, Inc.   507    (1.40)%   (23,530)
Total Consumer, Non-cyclical             (88,789)
Financial               
Kennedy-Wilson Holdings, Inc.   9,494    (1.31)%   38,410 
Sun Communities, Inc.   756    (1.13)%   25,157 
Americold Realty Trust, Inc.   3,446    (1.17)%   13,248 
Rexford Industrial Realty, Inc.   1,807    (1.13)%   7,182 
American Tower Corp. — Class A   367    (0.89)%   6,397 
New York Mortgage Trust, Inc.   8,157    (0.78)%   4,562 
Raymond James Financial, Inc.   773    (0.96)%   3,007 
Ellington Financial, Inc.   5,696    (0.81)%   1,380 
Equinix, Inc.   123    (1.11)%   1,350 
UMH Properties, Inc.   5,813    (0.99)%   851 
COPT Defense Properties   1,172    (0.34)%   (125)
Alexander & Baldwin, Inc.   4,404    (0.94)%   (914)
Digital Realty Trust, Inc.   572    (0.86)%   (1,951)
Brighthouse Financial, Inc.   2,152    (1.27)%   (3,125)
Invitation Homes, Inc.   1,267    (0.48)%   (4,176)
Rayonier, Inc.   2,335    (0.87)%   (5,073)
PotlatchDeltic Corp.   1,824    (1.00)%   (5,621)
Macerich Co.   1,877    (0.32)%   (5,689)
Apartment Investment and Management Co. — Class A   9,402    (0.82)%   (5,811)
Capitol Federal Financial, Inc.   9,604    (0.69)%   (5,988)
Welltower, Inc.   1,080    (1.09)%   (6,737)
Veris Residential, Inc.   4,117    (0.72)%   (7,108)
BOK Financial Corp.   1,507    (1.44)%   (7,617)
Ventas, Inc.   1,272    (0.71)%   (8,730)
Citigroup, Inc.   2,255    (1.30)%   (9,392)
Carlyle Group, Inc.   1,938    (0.88)%   (10,239)
Air Lease Corp. — Class A   1,800    (0.84)%   (10,705)
TFS Financial Corp.   8,565    (1.41)%   (13,815)
Marcus & Millichap, Inc.   2,191    (1.07)%   (17,341)
Howard Hughes Holdings, Inc.   1,319    (1.26)%   (21,146)
Jones Lang LaSalle, Inc.   598    (1.26)%   (21,655)
PennyMac Financial Services, Inc.   1,069    (1.06)%   (22,092)
Popular, Inc.   1,491    (1.37)%   (22,367)

 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Percentage
Notional
Amount
   Value and Unrealized
Appreciation (Depreciation)
 
Merchants Bancorp   1,913    (0.91)%  $(22,946)
CBRE Group, Inc. — Class A   1,386    (1.44)%   (29,771)
KKR & Company, Inc. — Class A   1,525    (1.41)%   (33,703)
Total Financial             (202,293)
Basic Materials               
Piedmont Lithium, Inc.   2,020    (0.64)%   23,093 
Hecla Mining Co.   9,804    (0.53)%   10,048 
Kaiser Aluminum Corp.   903    (0.72)%   5,823 
Novagold Resources, Inc.   11,570    (0.48)%   4,776 
Compass Minerals International, Inc.   1,710    (0.48)%   (1,167)
Ashland, Inc.   574    (0.54)%   (1,254)
Tronox Holdings plc — Class A   3,305    (0.52)%   (2,652)
ATI, Inc.   933    (0.47)%   (2,975)
Carpenter Technology Corp.   665    (0.53)%   (3,354)
Linde plc   252    (1.16)%   (5,221)
Schnitzer Steel Industries, Inc. — Class A   1,594    (0.54)%   (5,958)
Element Solutions, Inc.   3,744    (0.97)%   (8,212)
Celanese Corp. — Class A   639    (1.11)%   (8,712)
Chemours Co.   1,945    (0.69)%   (9,973)
Ecolab, Inc.   452    (1.00)%   (12,504)
Stepan Co.   1,331    (1.41)%   (26,920)
Century Aluminum Co.   6,420    (0.87)%   (31,573)
Total Basic Materials             (76,735)
Consumer, Cyclical               
Topgolf Callaway Brands Corp.   5,959    (0.95)%   3,383 
Walgreens Boots Alliance, Inc.   3,960    (1.16)%   123 
Allegiant Travel Co. — Class A   428    (0.39)%   (3,890)
Shake Shack, Inc. — Class A   756    (0.63)%   (6,331)
Floor & Decor Holdings, Inc. — Class A   583    (0.73)%   (7,712)
LGI Homes, Inc.   489    (0.73)%   (7,959)
Lithia Motors, Inc. — Class A   189    (0.70)%   (8,546)
CarMax, Inc.   1,198    (1.03)%   (12,757)
Total Consumer, Cyclical             (43,689)
Energy               
Oceaneering International, Inc.   2,284    (0.54)%   4,019 
Valaris Ltd.   1,102    (0.84)%   2,409 
Noble Corporation plc   600    (0.32)%   1,295 
TechnipFMC plc   2,869    (0.65)%   415 
Dril-Quip, Inc.   2,771    (0.72)%   121 
Callon Petroleum Co.   1,127    (0.41)%   (1,446)
Sitio Royalties Corp. — Class A   1,638    (0.43)%   (2,379)
Archrock, Inc.   4,758    (0.82)%   (10,986)
Total Energy             (6,552)
Industrial               
MSA Safety, Inc.   222    (0.41)%   2,034 
Tetra Tech, Inc.   274    (0.51)%   (423)
Knight-Swift Transportation Holdings, Inc.   851    (0.55)%   (597)
Norfolk Southern Corp.   117    (0.31)%   (1,023)
Union Pacific Corp.   99    (0.27)%   (1,160)
Werner Enterprises, Inc.   1,772    (0.84)%   (2,318)
RXO, Inc.   2,228    (0.58)%   (2,984)
Stericycle, Inc.   876    (0.48)%   (4,213)
GATX Corp.   834    (1.12)%   (6,001)
Vulcan Materials Co.   389    (0.99)%   (7,071)
Casella Waste Systems, Inc. — Class A   1,174    (1.12)%   (8,778)
Trinity Industries, Inc.   3,825    (1.14)%   (12,288)
Boeing Co.   338    (0.98)%   (23,025)
Total Industrial             (67,847)
Technology               
Paycor HCM, Inc.   3,348    (0.81)%   7,769 
KBR, Inc.   916    (0.57)%   6,053 
Ceridian HCM Holding, Inc.   885    (0.66)%   4,495 
Parsons Corp.   942    (0.66)%   (5,632)
Evolent Health, Inc. — Class A   2,070    (0.76)%   (9,757)
HashiCorp, Inc. — Class A   2,648    (0.70)%   (11,971)
Braze, Inc. — Class A   1,269    (0.75)%   (12,587)
Total Technology             (21,630)
Communications               
DoorDash, Inc. — Class A   157    (0.17)%   (1,629)
Roku, Inc.   146    (0.15)%   (1,981)
Total Communications             (3,610)
Total MS Equity Short Custom Basket            $(507,320)

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as equity custom basket swap collateral at December 31, 2023.
2 Rate indicated is the 7-day yield as of December 31, 2023.

 

GS — Goldman Sachs International
MS — Morgan Stanley Capital Services LLC
plc — Public Limited Company
REIT — Real Estate Investment Trust
 
See Sector Classification in Other Information section.

 

 

 

 

Long Short Equity Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $14,693,607   $   $   $14,693,607 
Money Market Fund   252,908            252,908 
Equity Custom Basket Swap Agreements**       1,709,970        1,709,970 
Total Assets  $14,946,515   $1,709,970   $   $16,656,485 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Custom Basket Swap Agreements**  $   $1,018,269   $   $1,018,269 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Mid-Cap 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 59.4%
Financial - 13.8%
WP Carey, Inc. REIT   765   $49,580 
Fidelity National Financial, Inc.   904    46,122 
Gaming and Leisure Properties, Inc. REIT   934    46,093 
Equity LifeStyle Properties, Inc. REIT   652    45,992 
Rexford Industrial Realty, Inc. REIT   738    41,402 
Reinsurance Group of America, Inc. — Class A   230    37,209 
Equitable Holdings, Inc.   1,113    37,063 
CubeSmart REIT   786    36,431 
RenaissanceRe Holdings Ltd.   184    36,064 
East West Bancorp, Inc.   493    35,471 
Annaly Capital Management, Inc. REIT   1,749    33,878 
Ally Financial, Inc.   949    33,139 
Lamar Advertising Co. — Class A REIT   306    32,522 
Jones Lang LaSalle, Inc.*   166    31,353 
Interactive Brokers Group, Inc. — Class A   374    31,005 
Carlyle Group, Inc.   757    30,802 
Webster Financial Corp.   602    30,558 
EastGroup Properties, Inc. REIT   162    29,733 
Erie Indemnity Co. — Class A   87    29,138 
Unum Group   641    28,986 
First Horizon Corp.   1,954    27,669 
NNN REIT, Inc.   638    27,498 
American Financial Group, Inc.   229    27,226 
Old Republic International Corp.   912    26,813 
Voya Financial, Inc.   365    26,630 
Omega Healthcare Investors, Inc. REIT   857    26,276 
New York Community Bancorp, Inc.   2,527    25,851 
Kinsale Capital Group, Inc.   77    25,788 
Primerica, Inc.   123    25,308 
STAG Industrial, Inc. REIT   635    24,930 
Stifel Financial Corp.   357    24,687 
Brixmor Property Group, Inc. REIT   1,051    24,457 
First Industrial Realty Trust, Inc. REIT   463    24,386 
Cullen/Frost Bankers, Inc.   224    24,302 
Jefferies Financial Group, Inc.   589    23,801 
Pinnacle Financial Partners, Inc.   269    23,462 
First American Financial Corp.   361    23,263 
Healthcare Realty Trust, Inc. REIT   1,332    22,950 
SouthState Corp.   266    22,464 
SEI Investments Co.   350    22,242 
Prosperity Bancshares, Inc.   328    22,215 
Commerce Bancshares, Inc.   415    22,189 
Agree Realty Corp. REIT   352    22,158 
Starwood Property Trust, Inc. REIT   1,041    21,882 
Houlihan Lokey, Inc.   181    21,704 
Spirit Realty Capital, Inc. REIT   494    21,583 
Selective Insurance Group, Inc.   212    21,090 
Evercore, Inc. — Class A   121    20,697 
Wintrust Financial Corp.   214    19,849 
Essent Group Ltd.   373    19,672 
Columbia Banking System, Inc.   729    19,450 
Synovus Financial Corp.   511    19,239 
Cadence Bank   639    18,908 
MGIC Investment Corp.   970    18,711 
RLI Corp.   140    18,637 
Bank OZK   368    18,337 
Affiliated Managers Group, Inc.   118    17,868 
Apartment Income REIT Corp.   514    17,851 
United Bankshares, Inc.   472    17,724 
Kite Realty Group Trust REIT   767    17,534 
FNB Corp.   1,255    17,281 
Old National Bancorp   1,023    17,278 
Home BancShares, Inc.   656    16,616 
Valley National Bancorp   1,491    16,192 
Glacier Bancorp, Inc.   388    16,032 
Rayonier, Inc. REIT   477    15,937 
Vornado Realty Trust REIT   559    15,792 
Western Union Co.   1,274    15,186 
Hanover Insurance Group, Inc.   125    15,178 
SLM Corp.   791    15,124 
Kilroy Realty Corp. REIT   373    14,860 
Hancock Whitney Corp.   301    14,626 
Janus Henderson Group plc   463    13,959 
PotlatchDeltic Corp. REIT   278    13,650 
First Financial Bankshares, Inc.   449    13,605 
Cousins Properties, Inc. REIT   531    12,930 
UMB Financial Corp.   153    12,783 
EPR Properties REIT   263    12,742 
Independence Realty Trust, Inc. REIT   786    12,026 
Brighthouse Financial, Inc.*   225    11,907 
Sabra Health Care REIT, Inc.   809    11,544 
Park Hotels & Resorts, Inc. REIT   734    11,230 
National Storage Affiliates Trust REIT   270    11,197 
Associated Banc-Corp.   520    11,123 
Physicians Realty Trust REIT   834    11,101 
CNO Financial Group, Inc.   392    10,937 
Texas Capital Bancshares, Inc.*   168    10,858 
Medical Properties Trust, Inc. REIT1   2,095    10,286 
Kemper Corp.   211    10,269 
Federated Hermes, Inc. — Class B   302    10,226 
International Bancshares Corp.   187    10,158 
COPT Defense Properties REIT   394    10,098 
Total Financial        2,042,573 
Industrial - 12.9%          
Carlisle Companies, Inc.   170    53,113 
Graco, Inc.   590    51,188 
Lennox International, Inc.   112    50,122 
Owens Corning   311    46,099 
AECOM   485    44,828 
Lincoln Electric Holdings, Inc.   200    43,492 
TopBuild Corp.*   111    41,543 
Saia, Inc.*   93    40,754 

 

 

Mid-Cap 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 59.4% (continued)
Industrial - 12.9% (continued)          
Crown Holdings, Inc.   422   $38,862 
XPO, Inc.*   406    35,562 
EMCOR Group, Inc.   165    35,546 
Toro Co.   363    34,844 
Regal Rexnord Corp.   232    34,341 
nVent Electric plc   580    34,272 
ITT, Inc.   287    34,245 
Advanced Drainage Systems, Inc.   240    33,754 
Fortune Brands Innovations, Inc.   441    33,578 
Knight-Swift Transportation Holdings, Inc.   564    32,515 
Trex Company, Inc.*   380    31,460 
Tetra Tech, Inc.   186    31,049 
Clean Harbors, Inc.*   176    30,714 
Curtiss-Wright Corp.   134    29,854 
Simpson Manufacturing Company, Inc.   149    29,499 
Universal Display Corp.   152    29,072 
RBC Bearings, Inc.*   102    29,059 
Woodward, Inc.   211    28,724 
AptarGroup, Inc.   230    28,433 
Berry Global Group, Inc.   413    27,832 
Donaldson Company, Inc.   422    27,578 
Middleby Corp.*   187    27,521 
UFP Industries, Inc.   216    27,119 
Graphic Packaging Holding Co.   1,070    26,375 
AGCO Corp.   217    26,346 
Comfort Systems USA, Inc.   125    25,709 
Cognex Corp.   602    25,127 
Oshkosh Corp.   229    24,826 
Eagle Materials, Inc.   122    24,746 
BWX Technologies, Inc.   320    24,554 
Landstar System, Inc.   126    24,400 
Fluor Corp.*   596    23,345 
Littelfuse, Inc.   87    23,278 
Arrow Electronics, Inc.*   189    23,105 
Acuity Brands, Inc.   108    22,122 
MSA Safety, Inc.   129    21,779 
Hexcel Corp.   294    21,682 
Novanta, Inc.*   125    21,051 
Crane Co.   171    20,202 
Coherent Corp.*   461    20,067 
Chart Industries, Inc.*   147    20,041 
Watts Water Technologies, Inc. — Class A   96    20,001 
Sensata Technologies Holding plc   529    19,875 
TD SYNNEX Corp.   179    19,262 
Sonoco Products Co.   343    19,163 
Flowserve Corp.   459    18,920 
Vontier Corp.   540    18,657 
Timken Co.   227    18,194 
Ryder System, Inc.   155    17,834 
Esab Corp.   198    17,151 
Valmont Industries, Inc.   73    17,046 
Kirby Corp.*   207    16,245 
Stericycle, Inc.*   324    16,057 
MasTec, Inc.*   211    15,977 
Avnet, Inc.   316    15,926 
Louisiana-Pacific Corp.   224    15,866 
Exponent, Inc.   177    15,583 
GATX Corp.   124    14,907 
EnerSys   141    14,235 
MDU Resources Group, Inc.   712    14,098 
Terex Corp.   235    13,503 
Knife River Corp.*   198    13,104 
Silgan Holdings, Inc.   283    12,806 
Belden, Inc.   146    11,278 
Vishay Intertechnology, Inc.   442    10,595 
Werner Enterprises, Inc.   222    9,406 
Greif, Inc. — Class A   89    5,838 
Total Industrial        1,916,854 
Consumer, Cyclical - 9.9%          
Deckers Outdoor Corp.*   90    60,159 
Watsco, Inc.   118    50,559 
Williams-Sonoma, Inc.   224    45,199 
Burlington Stores, Inc.*   227    44,147 
Floor & Decor Holdings, Inc. — Class A*   373    41,612 
Five Below, Inc.*   195    41,566 
Toll Brothers, Inc.   376    38,649 
Casey's General Stores, Inc.   130    35,716 
Churchill Downs, Inc.   237    31,978 
Lithia Motors, Inc. — Class A   96    31,611 
Dick's Sporting Goods, Inc.   215    31,594 
BJ's Wholesale Club Holdings, Inc.*   468    31,197 
Tempur Sealy International, Inc.   603    30,735 
Skechers USA, Inc. — Class A*   467    29,113 
Autoliv, Inc.   262    28,870 
Lear Corp.   204    28,807 
Texas Roadhouse, Inc. — Class A   234    28,602 
Vail Resorts, Inc.   133    28,391 
WESCO International, Inc.   154    26,778 
Gentex Corp.   816    26,651 
Wingstop, Inc.   103    26,428 
Light & Wonder, Inc. — Class A*   315    25,865 
PVH Corp.   211    25,767 
Aramark   913    25,655 
Murphy USA, Inc.   68    24,246 
Wyndham Hotels & Resorts, Inc.   290    23,319 
Mattel, Inc.*   1,235    23,317 
Brunswick Corp.   241    23,317 
Thor Industries, Inc.   186    21,995 
Planet Fitness, Inc. — Class A*   299    21,827 
Capri Holdings Ltd.*   406    20,397 
Hyatt Hotels Corp. — Class A   155    20,213 
Taylor Morrison Home Corp. — Class A*   376    20,060 
Crocs, Inc.*   212    19,803 
Macy's, Inc.   957    19,255 
Dolby Laboratories, Inc. — Class A   208    17,926 
Polaris, Inc.   186    17,627 
TKO Group Holdings, Inc.   210    17,132 
KB Home   268    16,739 
GameStop Corp. — Class A*,1   939    16,461 
MSC Industrial Direct Company, Inc. — Class A   162    16,404 

 

 

Mid-Cap 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 59.4% (continued)
Consumer, Cyclical - 9.9% (continued)          
Ollie's Bargain Outlet Holdings, Inc.*   216   $16,392 
Harley-Davidson, Inc.   443    16,320 
YETI Holdings, Inc.*   304    15,741 
RH*   54    15,740 
Gap, Inc.   750    15,682 
Boyd Gaming Corp.   243    15,214 
Goodyear Tire & Rubber Co.*   992    14,205 
FirstCash Holdings, Inc.   129    13,982 
Penn Entertainment, Inc.*   531    13,817 
AutoNation, Inc.*   91    13,666 
Leggett & Platt, Inc.   466    12,195 
Visteon Corp.*   97    12,115 
Adient plc*   328    11,926 
Wendy's Co.   584    11,376 
Penske Automotive Group, Inc.   68    10,915 
Hilton Grand Vacations, Inc.*   249    10,005 
Fox Factory Holding Corp.*   148    9,987 
Travel + Leisure Co.   253    9,890 
Choice Hotels International, Inc.   87    9,857 
Marriott Vacations Worldwide Corp.   116    9,847 
Carter's, Inc.   129    9,661 
Columbia Sportswear Co.   121    9,624 
Scotts Miracle-Gro Co. — Class A   145    9,244 
Nordstrom, Inc.   339    6,255 
Under Armour, Inc. — Class A*   660    5,801 
Under Armour, Inc. — Class C*   676    5,645 
Total Consumer, Cyclical        1,460,789 
Consumer, Non-cyclical - 8.6%          
Neurocrine Biosciences, Inc.*   344    45,326 
Performance Food Group Co.*   544    37,617 
United Therapeutics Corp.*   164    36,062 
US Foods Holding Corp.*   791    35,919 
Service Corporation International   517    35,389 
Penumbra, Inc.*   135    33,958 
Repligen Corp.*   182    32,724 
Chemed Corp.   53    30,992 
WEX, Inc.*   149    28,988 
Celsius Holdings, Inc.*   519    28,296 
Darling Ingredients, Inc.*   558    27,811 
Jazz Pharmaceuticals plc*   220    27,060 
Tenet Healthcare Corp.*   355    26,827 
Exelixis, Inc.*   1,088    26,101 
Morningstar, Inc.   91    26,048 
BellRing Brands, Inc.*   460    25,498 
GXO Logistics, Inc.*   416    25,442 
Medpace Holdings, Inc.*   82    25,135 
Acadia Healthcare Company, Inc.*   323    25,116 
Paylocity Holding Corp.*   151    24,892 
Ingredion, Inc.   228    24,745 
FTI Consulting, Inc.*   124    24,695 
Shockwave Medical, Inc.*   129    24,582 
H&R Block, Inc.   503    24,330 
Bruker Corp.   324    23,807 
Encompass Health Corp.   351    23,419 
Globus Medical, Inc. — Class A*   403    21,476 
Option Care Health, Inc.*   619    20,854 
HealthEquity, Inc.*   299    19,824 
Masimo Corp.*   155    18,168 
Sprouts Farmers Market, Inc.*   355    17,079 
Halozyme Therapeutics, Inc.*   462    17,076 
Coty, Inc. — Class A*   1,310    16,270 
Post Holdings, Inc.*   178    15,675 
Euronet Worldwide, Inc.*   153    15,528 
Perrigo Company plc   474    15,253 
Haemonetics Corp.*   177    15,135 
Flowers Foods, Inc.   672    15,127 
Lantheus Holdings, Inc.*   240    14,880 
Coca-Cola Consolidated, Inc.   16    14,854 
Insperity, Inc.   124    14,535 
Envista Holdings Corp.*   599    14,412 
Brink's Co.   158    13,896 
Neogen Corp.*   688    13,836 
Azenta, Inc.*   210    13,679 
Grand Canyon Education, Inc.*   103    13,600 
ManpowerGroup, Inc.   171    13,589 
QuidelOrtho Corp.*   173    12,750 
Lancaster Colony Corp.   71    11,814 
Inari Medical, Inc.*   179    11,621 
Avis Budget Group, Inc.   65    11,522 
Arrowhead Pharmaceuticals, Inc.*   375    11,475 
Boston Beer Company, Inc. — Class A*   33    11,405 
Progyny, Inc.*   292    10,856 
Amedisys, Inc.*   114    10,837 
Integra LifeSciences Holdings Corp.*   238    10,365 
Helen of Troy Ltd.*   83    10,027 
Enovis Corp.*   174    9,747 
LivaNova plc*   188    9,727 
Grocery Outlet Holding Corp.*   347    9,355 
Graham Holdings Co. — Class B   13    9,055 
Patterson Companies, Inc.   298    8,478 
R1 RCM, Inc.*   689    7,283 
Sotera Health Co.*   346    5,830 
Hertz Global Holdings, Inc.*   463    4,811 
Pilgrim's Pride Corp.*   141    3,900 
Total Consumer, Non-cyclical        1,266,383 
Technology - 4.9%          
Manhattan Associates, Inc.*   215    46,294 
Super Micro Computer, Inc.*   162    46,050 
Dynatrace, Inc.*   834    45,611 
Lattice Semiconductor Corp.*   483    33,322 
Dropbox, Inc. — Class A*   896    26,414 
Onto Innovation, Inc.*   172    26,299 
KBR, Inc.   472    26,154 
Rambus, Inc.*   376    25,662 
Qualys, Inc.*   129    25,320 
CACI International, Inc. — Class A*   78    25,261 
Science Applications International Corp.   185    22,999 
MKS Instruments, Inc.   220    22,631 
Aspen Technology, Inc.*   98    21,575 
Genpact Ltd.   584    20,271 
ZoomInfo Technologies, Inc. — Class A*   1,036    19,156 
Wolfspeed, Inc.*   438    19,057 

 

 

Mid-Cap 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 59.4% (continued)
Technology - 4.9% (continued)          
Maximus, Inc.   213   $17,862 
ExlService Holdings, Inc.*   577    17,801 
MACOM Technology Solutions Holdings, Inc.*   189    17,568 
Kyndryl Holdings, Inc.*   803    16,686 
Power Integrations, Inc.   199    16,340 
Concentrix Corp.   165    16,205 
ASGN, Inc.*   165    15,868 
Cirrus Logic, Inc.*   188    15,640 
Synaptics, Inc.*   137    15,629 
Teradata Corp.*   342    14,880 
Silicon Laboratories, Inc.*   111    14,682 
Blackbaud, Inc.*   151    13,092 
Lumentum Holdings, Inc.*   234    12,266 
CommVault Systems, Inc.*   153    12,217 
Amkor Technology, Inc.   361    12,010 
Doximity, Inc. — Class A*   413    11,580 
IPG Photonics Corp.*   103    11,180 
Crane NXT Co.   169    9,611 
Allegro MicroSystems, Inc.*   249    7,537 
Total Technology        720,730 
Energy - 3.1%          
Ovintiv, Inc.   888    39,001 
HF Sinclair Corp.   548    30,452 
Chesapeake Energy Corp.   390    30,007 
NOV, Inc.   1,378    27,946 
Range Resources Corp.   844    25,691 
Southwestern Energy Co.*   3,852    25,231 
Weatherford International plc*   252    24,653 
Chord Energy Corp.   144    23,937 
Antero Resources Corp.*   988    22,408 
Matador Resources Co.   387    22,005 
Murphy Oil Corp.   513    21,884 
Civitas Resources, Inc.   298    20,377 
ChampionX Corp.   681    19,892 
Permian Resources Corp.   1,453    19,761 
DT Midstream, Inc.   339    18,577 
PBF Energy, Inc. — Class A   380    16,705 
Equitrans Midstream Corp.   1,515    15,423 
Valaris Ltd.*   219    15,017 
Antero Midstream Corp.   1,191    14,923 
Sunrun, Inc.*   760    14,919 
CNX Resources Corp.*   556    11,120 
Total Energy        459,929 
Basic Materials - 2.9%          
Reliance Steel & Aluminum Co.   201    56,216 
RPM International, Inc.   451    50,345 
United States Steel Corp.   780    37,947 
Cleveland-Cliffs, Inc.*   1,766    36,062 
Royal Gold, Inc.   230    27,821 
Axalta Coating Systems Ltd.*   770    26,157 
Olin Corp.   429    23,145 
Alcoa Corp.   624    21,216 
Commercial Metals Co.   409    20,466 
Valvoline, Inc.*   485    18,226 
Chemours Co.   519    16,369 
Cabot Corp.   193    16,116 
Westlake Corp.   112    15,676 
Ashland, Inc.   179    15,091 
Avient Corp.   319    13,261 
NewMarket Corp.   24    13,100 
Livent Corp.*   628    11,291 
MP Materials Corp.*   504    10,004 
Total Basic Materials        428,509 
Utilities - 1.9%          
Vistra Corp.   1,175    45,261 
Essential Utilities, Inc.   879    32,831 
OGE Energy Corp.   700    24,451 
UGI Corp.   733    18,032 
IDACORP, Inc.   177    17,403 
National Fuel Gas Co.   321    16,105 
Portland General Electric Co.   354    15,342 
New Jersey Resources Corp.   341    15,202 
Ormat Technologies, Inc.   188    14,249 
Southwest Gas Holdings, Inc.   210    13,303 
Black Hills Corp.   238    12,840 
PNM Resources, Inc.   300    12,480 
ONE Gas, Inc.   194    12,362 
ALLETE, Inc.   201    12,293 
Spire, Inc.   184    11,470 
Northwestern Energy Group, Inc.   214    10,890 
Total Utilities        284,514 
Communications - 1.3%          
GoDaddy, Inc. — Class A*   493    52,337 
New York Times Co. — Class A   572    28,022 
Ciena Corp.*   517    23,270 
Frontier Communications Parent, Inc.*   774    19,613 
Iridium Communications, Inc.   433    17,822 
Nexstar Media Group, Inc. — Class A   113    17,713 
Ziff Davis, Inc.*   161    10,818 
TEGNA, Inc.   689    10,542 
Calix, Inc.*   205    8,957 
Cable One, Inc.   16    8,905 
Total Communications        197,999 
Consumer Cyclical - 0.1%          
Core & Main, Inc. — Class A*   478    19,316 
Total Common Stocks          
(Cost $6,739,177)        8,797,596 
           
MUTUAL FUNDS - 7.5%          
Guggenheim Ultra Short Duration Fund — Institutional Class8   88,750    874,192 
Guggenheim Strategy Fund II8   9,844    241,168 
Total Mutual Funds          
(Cost $1,123,598)        1,115,360 

 

    Face
Amount
      
U.S. TREASURY BILLS†† - 2.6%          
U.S. Treasury Bills          
5.27% due 02/22/242,3  $300,000    297,770 

 

 

Mid-Cap 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Face
Amount
     
U.S. TREASURY BILLS†† - 2.6% (continued)          
5.17% due 01/09/243,4  $87,000   $86,911 
Total U.S. Treasury Bills          
(Cost $384,615)        384,681 
           
REPURCHASE AGREEMENTS††,5 - 30.8%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/242
   2,527,715    2,527,715 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/242
   2,037,050    2,037,050 
Total Repurchase Agreements          
(Cost $4,564,765)        4,564,765 

 

   Shares      
SECURITIES LENDING COLLATERAL†,6 - 0.1%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%7  20,435   $20,435 
Total Securities Lending Collateral          
(Cost $20,435)        20,435 
Total Investments - 100.4%          
(Cost $12,832,590)       $14,882,837 
Other Assets & Liabilities, net - (0.4)%        (58,211)
Total Net Assets - 100.0%       $14,824,626 

 

Futures Contracts      

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased                  
S&P MidCap 400 Index Mini Futures Contracts   6   Mar 2024  $1,684,860   $80,181 

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation (Depreciation) 
OTC Equity Index Swap Agreements††               
Goldman Sachs International  S&P MidCap 400 Index  Pay  5.58% (Federal Funds Rate + 0.25%)  At Maturity  03/21/24   3,097   $8,615,595   $123,989 
BNP Paribas  S&P MidCap 400 Index  Pay  5.78% (Federal Funds Rate + 0.45%)  At Maturity  03/21/24   263    730,538    10,513 
Barclays Bank plc  S&P MidCap 400 Index  Pay  5.75% (SOFR + 0.35%)  At Maturity  03/20/24   897    2,494,118    (2,871)
                       $11,840,251   $131,631 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
3 Rate indicated is the effective yield at the time of purchase.
4 All or a portion of this security is pledged as futures collateral at December 31, 2023.
5 Repurchase Agreements — See Note 4.
6 Securities lending collateral — See Note 5.
7 Rate indicated is the 7-day yield as of December 31, 2023.
8 Affiliated issuer.

 

plc — Public Limited Company
REIT — Real Estate Investment Trust
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

 

 

Mid-Cap 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $8,797,596   $   $   $8,797,596 
Mutual Funds   1,115,360            1,115,360 
U.S. Treasury Bills       384,681        384,681 
Repurchase Agreements       4,564,765        4,564,765 
Securities Lending Collateral   20,435            20,435 
Equity Futures Contracts**   80,181            80,181 
Equity Index Swap Agreements**       134,502        134,502 
Total Assets  $10,013,572   $5,083,948   $   $15,097,520 

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Equity Index Swap Agreements**  $   $2,871   $   $2,871 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $238,314   $   $   $   $2,854   $241,168    9,844   $9,951 
  Guggenheim Ultra Short Duration Fund — Institutional Class   861,767                12,425    874,192    88,750    35,835 
   $1,100,081   $   $   $   $15,279   $1,115,360        $45,786 

 

 

Monthly Rebalance NASDAQ-100® 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 82.4%
Technology - 39.4%
Apple, Inc.   245,242   $47,216,442 
Microsoft Corp.   117,195    44,070,008 
Broadcom, Inc.   19,024    21,235,540 
NVIDIA Corp.   38,948    19,287,828 
Adobe, Inc.*   18,543    11,062,754 
Advanced Micro Devices, Inc.*   65,795    9,698,841 
Intel Corp.   171,708    8,628,327 
Intuit, Inc.   11,401    7,125,967 
QUALCOMM, Inc.   45,330    6,556,078 
Texas Instruments, Inc.   36,989    6,305,145 
Applied Materials, Inc.   34,070    5,521,725 
Lam Research Corp.   5,368    4,204,540 
Analog Devices, Inc.   20,212    4,013,295 
Micron Technology, Inc.   44,952    3,836,204 
KLA Corp.   5,536    3,218,077 
Synopsys, Inc.*   6,194    3,189,352 
Cadence Design Systems, Inc.*   11,080    3,017,860 
ASML Holding N.V. — Class G   3,575    2,705,989 
NXP Semiconductor N.V.   10,498    2,411,181 
Roper Technologies, Inc.   4,351    2,372,035 
Crowdstrike Holdings, Inc. — Class A*   9,271    2,367,072 
Workday, Inc. — Class A*   8,512    2,349,823 
Autodesk, Inc.*   8,706    2,119,737 
Marvell Technology, Inc.   35,140    2,119,293 
Microchip Technology, Inc.   22,035    1,987,116 
Fortinet, Inc.*   31,275    1,830,526 
Paychex, Inc.   14,712    1,752,346 
Cognizant Technology Solutions Corp. — Class A   20,421    1,542,398 
Atlassian Corp. — Class A*   6,313    1,501,610 
Electronic Arts, Inc.   10,961    1,499,574 
Datadog, Inc. — Class A*   12,306    1,493,702 
ON Semiconductor Corp.*   17,541    1,465,200 
GLOBALFOUNDRIES, Inc.*,1   22,309    1,351,925 
Zscaler, Inc.*   6,041    1,338,444 
ANSYS, Inc.*   3,538    1,283,869 
MongoDB, Inc.*   2,906    1,188,118 
Take-Two Interactive Software, Inc.*   6,926    1,114,740 
Splunk, Inc.*   6,863    1,045,578 
Total Technology        245,028,259 
Communications - 20.7%          
Amazon.com, Inc.*   162,951    24,758,775 
Meta Platforms, Inc. — Class A*   55,680    19,708,493 
Alphabet, Inc. — Class A*   93,317    13,035,451 
Alphabet, Inc. — Class C*   90,274    12,722,315 
Netflix, Inc.*   17,826    8,679,123 
Cisco Systems, Inc.   165,496    8,360,858 
T-Mobile US, Inc.   47,100    7,551,543 
Comcast Corp. — Class A   163,547    7,171,536 
Booking Holdings, Inc.*   1,421    5,040,599 
PDD Holdings, Inc. ADR*   27,203    3,980,071 
Palo Alto Networks, Inc.*   12,841    3,786,554 
MercadoLibre, Inc.*   2,059    3,235,801 
Airbnb, Inc. — Class A*   17,706    2,410,495 
Charter Communications, Inc. — Class A*   6,024    2,341,408 
DoorDash, Inc. — Class A*   15,099    1,493,140 
Trade Desk, Inc. — Class A*   18,175    1,307,873 
CDW Corp.   5,456    1,240,258 
Warner Bros Discovery, Inc.*   99,317    1,130,228 
Sirius XM Holdings, Inc.1   156,351    855,240 
Total Communications        128,809,761 
Consumer, Non-cyclical - 10.8%          
PepsiCo, Inc.   55,995    9,510,191 
Amgen, Inc.   21,797    6,277,972 
Intuitive Surgical, Inc.*   14,339    4,837,405 
Vertex Pharmaceuticals, Inc.*   10,495    4,270,311 
Gilead Sciences, Inc.   50,748    4,111,095 
Mondelez International, Inc. — Class A   55,426    4,014,505 
Automatic Data Processing, Inc.   16,751    3,902,481 
Regeneron Pharmaceuticals, Inc.*   4,363    3,831,979 
PayPal Holdings, Inc.*   43,910    2,696,513 
Cintas Corp.   4,148    2,499,834 
Monster Beverage Corp.*   42,375    2,441,224 
Dexcom, Inc.*   15,736    1,952,680 
Keurig Dr Pepper, Inc.   56,951    1,897,607 
IDEXX Laboratories, Inc.*   3,382    1,877,179 
Kraft Heinz Co.   49,954    1,847,299 
AstraZeneca plc ADR   23,716    1,597,273 
Moderna, Inc.*   15,529    1,544,359 
Biogen, Inc.*   5,901    1,527,002 
CoStar Group, Inc.*   16,631    1,453,383 
GE HealthCare Technologies, Inc.   18,541    1,433,590 
Verisk Analytics, Inc. — Class A   5,905    1,410,468 
Coca-Cola Europacific Partners plc   18,604    1,241,631 
Illumina, Inc.*   6,468    900,604 
Total Consumer, Non-cyclical        67,076,585 
Consumer, Cyclical - 8.4%          
Tesla, Inc.*   75,873    18,852,923 
Costco Wholesale Corp.   18,032    11,902,562 
Starbucks Corp.   46,294    4,444,687 
Marriott International, Inc. — Class A   11,961    2,697,325 
Lululemon Athletica, Inc.*   4,945    2,528,329 
O'Reilly Automotive, Inc.*   2,410    2,289,693 
PACCAR, Inc.   21,304    2,080,336 
Copart, Inc.*   39,108    1,916,292 
Ross Stores, Inc.   13,792    1,908,675 
Fastenal Co.   23,272    1,507,328 
Dollar Tree, Inc.*   8,873    1,260,410 
Walgreens Boots Alliance, Inc.   35,185    918,680 
Total Consumer, Cyclical        52,307,240 
Industrial - 1.7%          
Honeywell International, Inc.   26,850    5,630,714 
CSX Corp.   80,482    2,790,311 
Old Dominion Freight Line, Inc.   4,444    1,801,286 
Total Industrial        10,222,311 
Utilities - 1.0%          
American Electric Power Company, Inc.   21,418    1,739,570 
Constellation Energy Corp.   13,008    1,520,505 
Exelon Corp.   40,542    1,455,458 
Xcel Energy, Inc.   22,474    1,391,365 
Total Utilities        6,106,898 

 

 

Monthly Rebalance NASDAQ-100® 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 82.4% (continued)
Energy - 0.4%
Baker Hughes Co.   40,981   $1,400,731 
Diamondback Energy, Inc.   7,290    1,130,533 
Total Energy        2,531,264 
Total Common Stocks          
(Cost $403,412,369)        512,082,318 
           
MUTUAL FUNDS - 1.0%          
Guggenheim Ultra Short Duration Fund — Institutional Class2   301,467    2,969,453 
Guggenheim Strategy Fund II2   115,431    2,828,071 
Total Mutual Funds          
(Cost $5,770,077)        5,797,524 

 

    Face
Amount
      
U.S. TREASURY BILLS†† - 7.4%          
U.S. Treasury Bills          
5.27% due 02/22/243,4  $22,400,000    22,233,483 
5.28% due 02/06/243,4   15,000,000    14,923,007 
5.17% due 01/09/244,5   8,940,000    8,930,884 
Total U.S. Treasury Bills          
(Cost $46,079,887)        46,087,374 
           
FEDERAL AGENCY DISCOUNT NOTES†† - 2.4%           
Federal Home Loan Bank          
5.20% due 01/02/244  15,000,000   14,997,795 
Total Federal Agency Discount Notes          
(Cost $14,997,833)        14,997,795 
           
REPURCHASE AGREEMENTS††,6 - 3.1%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
   10,632,376    10,632,376 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
   8,568,485    8,568,485 
Total Repurchase Agreements          
(Cost $19,200,861)        19,200,861 

 

   Shares      
SECURITIES LENDING COLLATERAL†,7 - 0.2%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%8   1,330,988    1,330,988 
Total Securities Lending Collateral          
(Cost $1,330,988)        1,330,988 
Total Investments - 96.5%          
(Cost $490,792,015)       $599,496,860 
Other Assets & Liabilities, net - 3.5%        21,723,673 
Total Net Assets - 100.0%       $621,220,533 

 

Futures Contracts      

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased                  
NASDAQ-100 Index Mini Futures Contracts   317   Mar 2024  $107,902,045   $3,330,853 

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††               
Goldman Sachs International  NASDAQ-100 Index  Pay  5.83% (Federal Funds Rate + 0.50%)  At Maturity  03/21/24   16,880   $284,016,802   $2,659,347 
BNP Paribas  NASDAQ-100 Index  Pay  5.98% (Federal Funds Rate + 0.65%)  At Maturity  03/21/24   1,643    27,651,750    446,631 
Barclays Bank plc  NASDAQ-100 Index  Pay  5.90% (SOFR + 0.50%)  At Maturity  03/20/24   18,484    311,016,087    176,519 
                       $622,684,639   $3,282,497 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Affiliated issuer.
3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
4 Rate indicated is the effective yield at the time of purchase.

 

 

Monthly Rebalance NASDAQ-100® 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

5 All or a portion of this security is pledged as futures collateral at December 31, 2023.
6 Repurchase Agreements — See Note 4.
7 Securities lending collateral — See Note 5.
8 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

 

Monthly Rebalance NASDAQ-100® 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $512,082,318   $   $   $512,082,318 
Mutual Funds   5,797,524            5,797,524 
U.S. Treasury Bills       46,087,374        46,087,374 
Federal Agency Discount Notes       14,997,795        14,997,795 
Repurchase Agreements       19,200,861        19,200,861 
Securities Lending Collateral   1,330,988            1,330,988 
Equity Futures Contracts**   3,330,853            3,330,853 
Equity Index Swap Agreements**       3,282,497        3,282,497 
Total Assets  $522,541,683   $83,568,527   $   $606,110,210 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $3,393,112   $   $(600,000)  $(1,978)  $36,937   $2,828,071    115,431   $126,840 
  Guggenheim Ultra Short Duration Fund — Institutional Class   3,524,787        (600,000)   (5,538)   50,204    2,969,453    301,467    131,632 
   $6,917,899   $   $(1,200,000)  $(7,516)  $87,141   $5,797,524        $258,472 

 

 

NASDAQ-100® Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 95.3%
Technology - 45.6%
Apple, Inc.   804,520   $154,894,236 
Microsoft Corp.   384,460    144,572,338 
Broadcom, Inc.   62,409    69,664,046 
NVIDIA Corp.   127,770    63,274,259 
Adobe, Inc.*   60,832    36,292,371 
Advanced Micro Devices, Inc.*   215,843    31,817,417 
Intel Corp.   563,291    28,305,373 
Intuit, Inc.   37,402    23,377,372 
QUALCOMM, Inc.   148,705    21,507,204 
Texas Instruments, Inc.   121,343    20,684,128 
Applied Materials, Inc.   111,767    18,114,078 
Lam Research Corp.   17,608    13,791,642 
Analog Devices, Inc.   66,304    13,165,322 
Micron Technology, Inc.   147,467    12,584,834 
KLA Corp.   18,162    10,557,571 
Synopsys, Inc.*   20,320    10,462,971 
Cadence Design Systems, Inc.*   36,350    9,900,650 
ASML Holding N.V. — Class G   11,729    8,877,915 
NXP Semiconductor N.V.   34,439    7,909,949 
Roper Technologies, Inc.   14,272    7,780,666 
Crowdstrike Holdings, Inc. — Class A*   30,413    7,765,047 
Workday, Inc. — Class A*   27,924    7,708,699 
Autodesk, Inc.*   28,560    6,953,789 
Marvell Technology, Inc.   115,277    6,952,356 
Microchip Technology, Inc.   72,288    6,518,932 
Fortinet, Inc.*   102,599    6,005,119 
Paychex, Inc.   48,263    5,748,606 
Cognizant Technology Solutions Corp. — Class A   66,993    5,059,981 
Atlassian Corp. — Class A*   20,711    4,926,319 
Electronic Arts, Inc.   35,958    4,919,414 
Datadog, Inc. — Class A*   40,371    4,900,232 
ON Semiconductor Corp.*   57,545    4,806,734 
GLOBALFOUNDRIES, Inc.*,1   73,184    4,434,950 
Zscaler, Inc.*   19,817    4,390,655 
ANSYS, Inc.*   11,607    4,211,948 
MongoDB, Inc.*   9,532    3,897,158 
Take-Two Interactive Software, Inc.*   22,722    3,657,106 
Splunk, Inc.*   22,513    3,429,856 
Total Technology        803,821,243 
Communications - 24.0%          
Amazon.com, Inc.*   534,564    81,221,654 
Meta Platforms, Inc. — Class A*   182,662    64,655,041 
Alphabet, Inc. — Class A*   306,130    42,763,300 
Alphabet, Inc. — Class C*   296,146    41,735,856 
Netflix, Inc.*   58,477    28,471,282 
Cisco Systems, Inc.   542,912    27,427,914 
T-Mobile US, Inc.   154,514    24,773,230 
Comcast Corp. — Class A   536,520    23,526,402 
Booking Holdings, Inc.*   4,662    16,537,140 
PDD Holdings, Inc. ADR*   89,240    13,056,704 
Palo Alto Networks, Inc.*   42,127    12,422,410 
MercadoLibre, Inc.*   6,755    10,615,753 
Airbnb, Inc. — Class A*   58,085    7,907,692 
Charter Communications, Inc. — Class A*   19,763    7,681,483 
DoorDash, Inc. — Class A*   49,534    4,898,417 
Trade Desk, Inc. — Class A*   59,624    4,290,543 
CDW Corp.   17,898    4,068,573 
Warner Bros Discovery, Inc.*   325,811    3,707,729 
Sirius XM Holdings, Inc.1   512,912    2,805,628 
Total Communications        422,566,751 
Consumer, Non-cyclical - 12.5%          
PepsiCo, Inc.   183,693    31,198,419 
Amgen, Inc.   71,504    20,594,582 
Intuitive Surgical, Inc.*   47,039    15,869,077 
Vertex Pharmaceuticals, Inc.*   34,428    14,008,409 
Gilead Sciences, Inc.   166,481    13,486,626 
Mondelez International, Inc. — Class A   181,826    13,169,657 
Automatic Data Processing, Inc.   54,953    12,802,400 
Regeneron Pharmaceuticals, Inc.*   14,313    12,570,965 
PayPal Holdings, Inc.*   144,048    8,845,988 
Cintas Corp.   13,609    8,201,600 
Monster Beverage Corp.*   139,011    8,008,424 
Dexcom, Inc.*   51,623    6,405,898 
Keurig Dr Pepper, Inc.   186,829    6,225,142 
IDEXX Laboratories, Inc.*   11,096    6,158,835 
Kraft Heinz Co.   163,875    6,060,098 
AstraZeneca plc ADR   77,800    5,239,830 
Moderna, Inc.*   50,942    5,066,182 
Biogen, Inc.*   19,359    5,009,528 
CoStar Group, Inc.*   54,561    4,768,086 
GE HealthCare Technologies, Inc.   60,824    4,702,911 
Verisk Analytics, Inc. — Class A   19,371    4,626,957 
Coca-Cola Europacific Partners plc   61,031    4,073,209 
Illumina, Inc.*   21,217    2,954,255 
Total Consumer, Non-cyclical        220,047,078 
Consumer, Cyclical - 9.7%          
Tesla, Inc.*   248,908    61,848,660 
Costco Wholesale Corp.   59,154    39,046,372 
Starbucks Corp.   151,872    14,581,231 
Marriott International, Inc. — Class A   39,239    8,848,787 
Lululemon Athletica, Inc.*   16,223    8,294,658 
O'Reilly Automotive, Inc.*   7,905    7,510,382 
PACCAR, Inc.   69,887    6,824,465 
Copart, Inc.*   128,294    6,286,406 
Ross Stores, Inc.   45,244    6,261,317 
Fastenal Co.   76,345    4,944,866 
Dollar Tree, Inc.*   29,109    4,134,934 
Walgreens Boots Alliance, Inc.   115,426    3,013,773 
Total Consumer, Cyclical        171,595,851 
Industrial - 1.9%          
Honeywell International, Inc.   88,081    18,471,466 
CSX Corp.   264,027    9,153,816 
Old Dominion Freight Line, Inc.   14,578    5,908,901 
Total Industrial        33,534,183 
Utilities - 1.1%          
American Electric Power Company, Inc.   70,261    5,706,598 
Constellation Energy Corp.   42,672    4,987,930 
Exelon Corp.   132,998    4,774,628 

 

 

NASDAQ-100® Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 95.3% (continued)
Utilities - 1.1% (continued)          
Xcel Energy, Inc.   73,727   $4,564,439 
Total Utilities        20,033,595 
Energy - 0.5%          
Baker Hughes Co.   134,441    4,595,194 
Diamondback Energy, Inc.   23,914    3,708,583 
Total Energy        8,303,777 
Total Common Stocks          
(Cost $609,727,107)        1,679,902,478 
MUTUAL FUNDS - 2.9%          
Guggenheim Ultra Short Duration Fund — Institutional Class2   2,756,359    27,150,139 
Guggenheim Strategy Fund II2   575,584    14,101,819 
Guggenheim Strategy Fund III2   370,504    9,095,868 
Total Mutual Funds          
(Cost $51,083,879)        50,347,826 

 

   Face
Amount
      
FEDERAL AGENCY DISCOUNT NOTES†† - 1.4%          
Federal Home Loan Bank          
5.20% due 01/02/243  $20,000,000    19,997,060 
Federal Farm Credit Bank          
5.25% due 01/08/243   5,000,000    4,994,896 
Total Federal Agency Discount Notes          
(Cost $24,992,007)        24,991,956 
           
U.S. TREASURY BILLS†† - 0.2%          
U.S. Treasury Bills          
5.27% due 02/22/243,4   2,700,000    2,679,929 
5.17% due 01/09/243,5   999,000    997,981 
5.23% due 02/22/243   500,000    496,283 
Total U.S. Treasury Bills          
(Cost $4,173,498)        4,174,193 
           
REPURCHASE AGREEMENTS††,6 - 0.6%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/244
   5,398,900    5,398,900 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/244
   4,350,899    4,350,899 
Total Repurchase Agreements          
(Cost $9,749,799)        9,749,799 

 

   Shares      
SECURITIES LENDING COLLATERAL†,7 - 0.3%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%8   5,549,633    5,549,633 
Total Securities Lending Collateral          
(Cost $5,549,633)        5,549,633 
Total Investments - 100.7%          
(Cost $705,275,923)       $1,774,715,885 
Other Assets & Liabilities, net - (0.7)%        (12,170,493)
Total Net Assets - 100.0%       $1,762,545,392 

 

Futures Contracts  

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased                  
NASDAQ-100 Index Mini Futures Contracts   106   Mar 2024  $36,080,810   $644,870 

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††               
Goldman Sachs International  NASDAQ-100 Index  Pay  5.83% (Federal Funds Rate + 0.50%)  At Maturity  03/21/24   1,278   $21,508,201   $327,777 
BNP Paribas  NASDAQ-100 Index  Pay  5.98% (Federal Funds Rate + 0.65%)  At Maturity  03/21/24   486    8,178,354    132,093 
Barclays Bank plc  NASDAQ-100 Index  Pay  5.90% (SOFR + 0.50%)  At Maturity  03/20/24   1,033    17,375,001    14,548 
                               
                       $47,061,556   $474,418 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.

 

 

NASDAQ-100® Fund  
SCHEDULE OF INVESTMENTS (Unaudited)                               December 31, 2023
   

 

1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Affiliated issuer.
3 Rate indicated is the effective yield at the time of purchase.
4 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
5 All or a portion of this security is pledged as futures collateral at December 31, 2023.
6 Repurchase Agreements — See Note 4.
7 Securities lending collateral — See Note 5.
8 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt
plc — Public Limited Company
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $1,679,902,478   $   $   $1,679,902,478 
Mutual Funds   50,347,826            50,347,826 
Federal Agency Discount Notes       24,991,956        24,991,956 
U.S. Treasury Bills       4,174,193        4,174,193 
Repurchase Agreements       9,749,799        9,749,799 
Securities Lending Collateral   5,549,633            5,549,633 
Equity Futures Contracts**   644,870            644,870 
Equity Index Swap Agreements**       474,418        474,418 
Total Assets  $1,736,444,807   $39,390,366   $   $1,775,835,173 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:  

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $13,934,899   $   $   $   $166,920   $14,101,819    575,584   $581,868 
  Guggenheim Strategy Fund III   8,984,717                111,151    9,095,868    370,504    369,831 
  Guggenheim Ultra Short Duration Fund — Institutional Class   29,758,082        (2,999,999)   (94,832)   486,888    27,150,139    2,756,359    1,132,207 
   $52,677,698   $   $(2,999,999)  $(94,832)  $764,959   $50,347,826        $2,083,906 

 

 

Nova Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 81.5%
Technology - 22.6%
Apple, Inc.   77,675   $14,954,768 
Microsoft Corp.   39,488    14,849,067 
NVIDIA Corp.   13,123    6,498,772 
Broadcom, Inc.   2,332    2,603,095 
Adobe, Inc.*   2,419    1,443,175 
Salesforce, Inc.*   5,169    1,360,171 
Advanced Micro Devices, Inc.*   8,584    1,265,367 
Accenture plc — Class A   3,335    1,170,285 
Intel Corp.   22,400    1,125,600 
Intuit, Inc.   1,489    930,670 
Oracle Corp.   8,442    890,040 
QUALCOMM, Inc.   5,914    855,342 
Texas Instruments, Inc.   4,825    822,469 
International Business Machines Corp.   4,851    793,381 
ServiceNow, Inc.*   1,089    769,368 
Applied Materials, Inc.   4,445    720,401 
Lam Research Corp.   700    548,282 
Analog Devices, Inc.   2,648    525,787 
Micron Technology, Inc.   5,834    497,874 
Fiserv, Inc.*   3,189    423,627 
KLA Corp.   722    419,699 
Synopsys, Inc.*   807    415,532 
Cadence Design Systems, Inc.*   1,445    393,575 
NXP Semiconductor N.V.   1,370    314,662 
Roper Technologies, Inc.   568    309,657 
Autodesk, Inc.*   1,136    276,593 
Microchip Technology, Inc.   2,875    259,267 
MSCI, Inc. — Class A   420    237,573 
Paychex, Inc.   1,708    203,440 
Cognizant Technology Solutions Corp. — Class A   2,664    201,212 
Fortinet, Inc.*   3,386    198,183 
ON Semiconductor Corp.*   2,288    191,117 
Fidelity National Information Services, Inc.   3,148    189,100 
Electronic Arts, Inc.   1,300    177,853 
ANSYS, Inc.*   460    166,925 
Monolithic Power Systems, Inc.   255    160,849 
Fair Isaac Corp.*   131    152,485 
HP, Inc.   4,620    139,016 
Take-Two Interactive Software, Inc.*   840    135,198 
Broadridge Financial Solutions, Inc.   624    128,388 
Hewlett Packard Enterprise Co.   6,816    115,736 
PTC, Inc.*   631    110,400 
NetApp, Inc.   1,109    97,769 
Skyworks Solutions, Inc.   846    95,107 
Akamai Technologies, Inc.*   801    94,798 
Tyler Technologies, Inc.*   223    93,241 
EPAM Systems, Inc.*   306    90,986 
Western Digital Corp.*   1,723    90,233 
Seagate Technology Holdings plc   1,034    88,273 
Teradyne, Inc.   812    88,118 
Leidos Holdings, Inc.   731    79,123 
Zebra Technologies Corp. — Class A*   273    74,619 
Jack Henry & Associates, Inc.   387    63,240 
Qorvo, Inc.*   517    58,219 
Ceridian HCM Holding, Inc.*   828    55,575 
Paycom Software, Inc.   261    53,954 
Total Technology        59,067,256 
Consumer, Non-cyclical - 15.5%          
UnitedHealth Group, Inc.   4,914    2,587,074 
Eli Lilly & Co.   4,237    2,469,832 
Johnson & Johnson   12,789    2,004,548 
Procter & Gamble Co.   12,522    1,834,974 
Merck & Company, Inc.   13,463    1,467,736 
AbbVie, Inc.   9,381    1,453,774 
PepsiCo, Inc.   7,305    1,240,681 
Coca-Cola Co.   20,674    1,218,319 
Thermo Fisher Scientific, Inc.   2,053    1,089,712 
Abbott Laboratories   9,220    1,014,845 
Pfizer, Inc.   30,000    863,700 
Amgen, Inc.   2,843    818,841 
Danaher Corp.   3,494    808,302 
Philip Morris International, Inc.   8,248    775,972 
S&P Global, Inc.   1,721    758,135 
Intuitive Surgical, Inc.*   1,871    631,201 
Elevance Health, Inc.   1,248    588,507 
Medtronic plc   7,068    582,262 
Vertex Pharmaceuticals, Inc.*   1,369    557,032 
Bristol-Myers Squibb Co.   10,811    554,712 
CVS Health Corp.   6,823    538,744 
Stryker Corp.   1,796    537,830 
Gilead Sciences, Inc.   6,620    536,286 
Mondelez International, Inc. — Class A   7,228    523,524 
Automatic Data Processing, Inc.   2,185    509,039 
Regeneron Pharmaceuticals, Inc.*   569    499,747 
Zoetis, Inc.   2,439    481,385 
Cigna Group   1,555    465,645 
Boston Scientific Corp.*   7,780    449,762 
Altria Group, Inc.   9,397    379,075 
Becton Dickinson & Co.   1,540    375,498 
PayPal Holdings, Inc.*   5,728    351,756 
Colgate-Palmolive Co.   4,375    348,731 
McKesson Corp.   707    327,327 
Moody's Corp.   836    326,508 
Humana, Inc.   653    298,950 
HCA Healthcare, Inc.   1,052    284,755 
Cintas Corp.   459    276,621 
Dexcom, Inc.*   2,053    254,757 
Edwards Lifesciences Corp.*   3,222    245,677 
IDEXX Laboratories, Inc.*   442    245,332 
Monster Beverage Corp.*   3,925    226,119 
IQVIA Holdings, Inc.*   973    225,133 
Kimberly-Clark Corp.   1,796    218,232 
Agilent Technologies, Inc.   1,555    216,192 
Centene Corp.*   2,838    210,608 
Constellation Brands, Inc. — Class A   858    207,421 
United Rentals, Inc.   360    206,431 
Archer-Daniels-Midland Co.   2,833    204,599 
General Mills, Inc.   3,088    201,153 
Biogen, Inc.*   769    198,994 
Kenvue, Inc.   9,157    197,150 
Sysco Corp.   2,678    195,842 

 

 

Nova Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 81.5% (continued)
Consumer, Non-cyclical - 15.5% (continued)          
CoStar Group, Inc.*   2,170   $189,636 
Gartner, Inc.*   414    186,760 
Verisk Analytics, Inc. — Class A   771    184,161 
Cencora, Inc. — Class A   886    181,967 
Estee Lauder Companies, Inc. — Class A   1,234    180,473 
Corteva, Inc.   3,744    179,412 
Keurig Dr Pepper, Inc.   5,349    178,229 
Global Payments, Inc.   1,383    175,641 
Moderna, Inc.*   1,762    175,231 
Quanta Services, Inc.   772    166,598 
Equifax, Inc.   655    161,975 
GE HealthCare Technologies, Inc.   2,080    160,826 
Kroger Co.   3,516    160,717 
Kraft Heinz Co.   4,235    156,610 
Hershey Co.   796    148,406 
West Pharmaceutical Services, Inc.   393    138,383 
Zimmer Biomet Holdings, Inc.   1,110    135,087 
ResMed, Inc.   781    134,348 
Cardinal Health, Inc.   1,310    132,048 
Church & Dwight Company, Inc.   1,308    123,684 
Illumina, Inc.*   844    117,519 
STERIS plc   525    115,421 
Molina Healthcare, Inc.*   309    111,645 
FleetCor Technologies, Inc.*   384    108,522 
Baxter International, Inc.   2,695    104,189 
Align Technology, Inc.*   378    103,572 
Waters Corp.*   314    103,378 
Laboratory Corporation of America Holdings   451    102,508 
Cooper Companies, Inc.   263    99,530 
Clorox Co.   659    93,967 
Hologic, Inc.*   1,301    92,956 
McCormick & Company, Inc.   1,335    91,341 
Avery Dennison Corp.   428    86,525 
Lamb Weston Holdings, Inc.   770    83,229 
Quest Diagnostics, Inc.   596    82,176 
Tyson Foods, Inc. — Class A   1,515    81,431 
Insulet Corp.*   371    80,500 
Kellanova   1,401    78,330 
Bunge Global S.A.   772    77,933 
Conagra Brands, Inc.   2,539    72,768 
Revvity, Inc.   656    71,707 
J M Smucker Co.   564    71,278 
Viatris, Inc.   6,373    69,020 
Rollins, Inc.   1,492    65,156 
Bio-Techne Corp.   840    64,814 
Charles River Laboratories International, Inc.*   273    64,537 
Teleflex, Inc.   249    62,086 
Incyte Corp.*   988    62,037 
Molson Coors Beverage Co. — Class B   984    60,231 
MarketAxess Holdings, Inc.   201    58,863 
Brown-Forman Corp. — Class B   971    55,444 
Henry Schein, Inc.*   693    52,467 
Robert Half, Inc.   563    49,499 
Universal Health Services, Inc. — Class B   324    49,390 
Hormel Foods Corp.   1,538    49,385 
Campbell Soup Co.   1,044    45,132 
Catalent, Inc.*   958    43,043 
Dentsply Sirona, Inc.   1,126    40,074 
Bio-Rad Laboratories, Inc. — Class A*   111    35,841 
DaVita, Inc.*   286    29,961 
Total Consumer, Non-cyclical        40,322,579 
Financial - 11.5%          
Berkshire Hathaway, Inc. — Class B*   9,667    3,447,832 
JPMorgan Chase & Co.   15,360    2,612,736 
Visa, Inc. — Class A   8,468    2,204,644 
Mastercard, Inc. — Class A   4,399    1,876,217 
Bank of America Corp.   36,580    1,231,649 
Wells Fargo & Co.   19,295    949,700 
Goldman Sachs Group, Inc.   1,733    668,539 
Prologis, Inc. REIT   4,909    654,370 
Morgan Stanley   6,714    626,080 
BlackRock, Inc. — Class A   743    603,167 
American Express Co.   3,058    572,886 
Charles Schwab Corp.   7,907    544,002 
American Tower Corp. — Class A REIT   2,477    534,735 
Citigroup, Inc.   10,168    523,042 
Marsh & McLennan Companies, Inc.   2,620    496,411 
Progressive Corp.   3,108    495,042 
Blackstone, Inc. — Class A   3,775    494,223 
Chubb Ltd.   2,168    489,968 
CME Group, Inc. — Class A   1,913    402,878 
Equinix, Inc. REIT   498    401,084 
Intercontinental Exchange, Inc.   3,041    390,556 
U.S. Bancorp   8,273    358,055 
PNC Financial Services Group, Inc.   2,116    327,663 
Aon plc — Class A   1,063    309,354 
Crown Castle, Inc. REIT   2,306    265,628 
Capital One Financial Corp.   2,023    265,256 
Welltower, Inc. REIT   2,941    265,190 
Truist Financial Corp.   7,086    261,615 
Arthur J Gallagher & Co.   1,147    257,937 
Public Storage REIT   841    256,505 
American International Group, Inc.   3,730    252,708 
Simon Property Group, Inc. REIT   1,733    247,195 
Aflac, Inc.   2,825    233,063 
Travelers Companies, Inc.   1,214    231,255 
Realty Income Corp. REIT   3,846    220,837 
MetLife, Inc.   3,303    218,427 
Digital Realty Trust, Inc. REIT   1,609    216,539 
Bank of New York Mellon Corp.   4,085    212,624 
Ameriprise Financial, Inc.   537    203,969 
Prudential Financial, Inc.   1,918    198,916 
Allstate Corp.   1,390    194,572 
Extra Space Storage, Inc. REIT   1,122    179,890 
VICI Properties, Inc. REIT   5,496    175,213 
CBRE Group, Inc. — Class A*   1,618    150,619 
Discover Financial Services   1,329    149,379 
Arch Capital Group Ltd.*   1,983    147,277 

 

 

Nova Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 81.5% (continued)
Financial - 11.5% (continued)          
SBA Communications Corp. REIT   573   $145,364 
AvalonBay Communities, Inc. REIT   755    141,351 
Weyerhaeuser Co. REIT   3,878    134,838 
Willis Towers Watson plc   549    132,419 
Hartford Financial Services Group, Inc.   1,598    128,447 
T. Rowe Price Group, Inc.   1,187    127,828 
State Street Corp.   1,640    127,034 
Fifth Third Bancorp   3,618    124,785 
M&T Bank Corp.   881    120,767 
Equity Residential REIT   1,836    112,290 
Raymond James Financial, Inc.   998    111,277 
Iron Mountain, Inc. REIT   1,551    108,539 
Ventas, Inc. REIT   2,138    106,558 
Alexandria Real Estate Equities, Inc. REIT   831    105,346 
Nasdaq, Inc.   1,808    105,117 
Invitation Homes, Inc. REIT   3,056    104,240 
Cboe Global Markets, Inc.   561    100,172 
Huntington Bancshares, Inc.   7,694    97,868 
Regions Financial Corp.   4,942    95,776 
Northern Trust Corp.   1,100    92,818 
Principal Financial Group, Inc.   1,165    91,651 
Brown & Brown, Inc.   1,255    89,243 
Cincinnati Financial Corp.   834    86,286 
Essex Property Trust, Inc. REIT   341    84,548 
Synchrony Financial   2,199    83,980 
Mid-America Apartment Communities, Inc. REIT   619    83,231 
Citizens Financial Group, Inc.   2,477    82,088 
Everest Group Ltd.   231    81,677 
W R Berkley Corp.   1,082    76,519 
Kimco Realty Corp. REIT   3,533    75,288 
Host Hotels & Resorts, Inc. REIT   3,748    72,974 
KeyCorp   4,974    71,626 
Loews Corp.   973    67,711 
UDR, Inc. REIT   1,607    61,532 
Regency Centers Corp. REIT   873    58,491 
Healthpeak Properties, Inc. REIT   2,906    57,539 
Camden Property Trust REIT   567    56,297 
Globe Life, Inc.   455    55,383 
Boston Properties, Inc. REIT   767    53,820 
Assurant, Inc.   279    47,009 
Franklin Resources, Inc.   1,498    44,625 
Invesco Ltd.   2,389    42,620 
Federal Realty Investment Trust REIT   390    40,190 
Comerica, Inc.   701    39,123 
Zions Bancorp North America   787    34,526 
Total Financial        29,980,258 
Communications - 11.5%          
Amazon.com, Inc.*   48,317    7,341,285 
Alphabet, Inc. — Class A*   31,442    4,392,133 
Meta Platforms, Inc. — Class A*   11,792    4,173,896 
Alphabet, Inc. — Class C*   26,463    3,729,431 
Netflix, Inc.*   2,325    1,131,996 
Cisco Systems, Inc.   21,520    1,087,190 
Comcast Corp. — Class A   21,335    935,540 
Walt Disney Co.   9,722    877,800 
Verizon Communications, Inc.   22,337    842,105 
Uber Technologies, Inc.*   10,933    673,145 
Booking Holdings, Inc.*   185    656,236 
AT&T, Inc.   37,988    637,439 
Palo Alto Networks, Inc.*   1,651    486,847 
T-Mobile US, Inc.   2,703    433,372 
Arista Networks, Inc.*   1,339    315,348 
Airbnb, Inc. — Class A*   2,309    314,347 
Motorola Solutions, Inc.   881    275,832 
Charter Communications, Inc. — Class A*   534    207,555 
CDW Corp.   711    161,624 
Warner Bros Discovery, Inc.*   11,790    134,170 
Corning, Inc.   4,080    124,236 
eBay, Inc.   2,758    120,304 
Expedia Group, Inc.*   708    107,467 
VeriSign, Inc.*   472    97,213 
FactSet Research Systems, Inc.   202    96,364 
Omnicom Group, Inc.   1,051    90,922 
Gen Digital, Inc.   2,995    68,346 
Interpublic Group of Companies, Inc.   2,035    66,422 
F5, Inc.*   317    56,737 
Match Group, Inc.*   1,444    52,706 
Etsy, Inc.*   636    51,548 
Juniper Networks, Inc.   1,693    49,910 
News Corp. — Class A   2,022    49,640 
Fox Corp. — Class A   1,314    38,986 
Paramount Global — Class B   2,562    37,892 
Fox Corp. — Class B   701    19,383 
News Corp. — Class B   610    15,689 
Total Communications        29,951,056 
Consumer, Cyclical - 7.4%          
Tesla, Inc.*   14,694    3,651,165 
Home Depot, Inc.   5,313    1,841,220 
Costco Wholesale Corp.   2,352    1,552,508 
Walmart, Inc.   7,579    1,194,829 
McDonald's Corp.   3,854    1,142,750 
NIKE, Inc. — Class B   6,503    706,031 
Lowe's Companies, Inc.   3,066    682,338 
Starbucks Corp.   6,071    582,877 
TJX Companies, Inc.   6,078    570,177 
Target Corp.   2,453    349,356 
Chipotle Mexican Grill, Inc. — Class A*   146    333,896 
Lululemon Athletica, Inc.*   612    312,909 
O'Reilly Automotive, Inc.*   314    298,325 
Marriott International, Inc. — Class A   1,311    295,644 
PACCAR, Inc.   2,779    271,370 
General Motors Co.   7,275    261,318 
Ford Motor Co.   20,891    254,661 
Ross Stores, Inc.   1,799    248,964 
Hilton Worldwide Holdings, Inc.   1,362    248,006 
DR Horton, Inc.   1,601    243,320 
AutoZone, Inc.*   93    240,462 
Copart, Inc.*   4,642    227,458 
Lennar Corp. — Class A   1,329    198,074 
Fastenal Co.   3,036    196,642 
WW Grainger, Inc.   235    194,742 
Yum! Brands, Inc.   1,489    194,553 

 

 

Nova Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 81.5% (continued)
Consumer, Cyclical - 7.4% (continued)          
Cummins, Inc.   753   $180,396 
Royal Caribbean Cruises Ltd.*   1,252    162,121 
Dollar General Corp.   1,166    158,518 
Dollar Tree, Inc.*   1,110    157,675 
Delta Air Lines, Inc.   3,419    137,547 
Aptiv plc*   1,503    134,849 
Ulta Beauty, Inc.*   261    127,887 
Tractor Supply Co.   574    123,427 
NVR, Inc.*   17    119,008 
PulteGroup, Inc.   1,145    118,187 
Darden Restaurants, Inc.   639    104,988 
Genuine Parts Co.   745    103,183 
Walgreens Boots Alliance, Inc.   3,810    99,479 
Carnival Corp.*   5,353    99,245 
Las Vegas Sands Corp.   1,961    96,501 
Southwest Airlines Co.   3,167    91,463 
Pool Corp.   206    82,134 
Best Buy Company, Inc.   1,029    80,550 
Domino's Pizza, Inc.   185    76,263 
United Airlines Holdings, Inc.*   1,743    71,916 
Live Nation Entertainment, Inc.*   753    70,481 
LKQ Corp.   1,422    67,957 
MGM Resorts International*   1,451    64,831 
CarMax, Inc.*   843    64,692 
Caesars Entertainment, Inc.*   1,146    53,724 
Bath & Body Works, Inc.   1,208    52,137 
American Airlines Group, Inc.*   3,472    47,705 
Wynn Resorts Ltd.   510    46,466 
Norwegian Cruise Line Holdings Ltd.*   2,260    45,290 
Tapestry, Inc.   1,218    44,835 
BorgWarner, Inc.   1,249    44,777 
Whirlpool Corp.   291    35,435 
Hasbro, Inc.   693    35,385 
VF Corp.   1,756    33,013 
Ralph Lauren Corp. — Class A   211    30,426 
Total Consumer, Cyclical        19,356,086 
Industrial - 6.3%          
Caterpillar, Inc.   2,710    801,266 
Union Pacific Corp.   3,239    795,563 
Boeing Co.*   3,021    787,454 
General Electric Co.   5,783    738,084 
Honeywell International, Inc.   3,502    734,404 
RTX Corp.   7,639    642,746 
United Parcel Service, Inc. — Class B   3,843    604,235 
Deere & Co.   1,423    569,015 
Lockheed Martin Corp.   1,173    531,651 
Eaton Corporation plc   2,122    511,020 
Illinois Tool Works, Inc.   1,455    381,123 
CSX Corp.   10,499    364,000 
Northrop Grumman Corp.   753    352,509 
Waste Management, Inc.   1,947    348,708 
3M Co.   2,934    320,745 
Amphenol Corp. — Class A   3,179    315,134 
Parker-Hannifin Corp.   683    314,658 
General Dynamics Corp.   1,203    312,383 
FedEx Corp.   1,229    310,900 
TransDigm Group, Inc.   294    297,410 
Trane Technologies plc   1,214    296,095 
Emerson Electric Co.   3,029    294,813 
Norfolk Southern Corp.   1,201    283,892 
Carrier Global Corp.   4,458    256,112 
TE Connectivity Ltd.   1,651    231,966 
L3Harris Technologies, Inc.   1,006    211,884 
Johnson Controls International plc   3,615    208,369 
AMETEK, Inc.   1,226    202,155 
Otis Worldwide Corp.   2,174    194,508 
Old Dominion Freight Line, Inc.   475    192,532 
Rockwell Automation, Inc.   609    189,082 
Republic Services, Inc. — Class A   1,086    179,092 
Ingersoll Rand, Inc.   2,150    166,281 
Martin Marietta Materials, Inc.   328    163,642 
Vulcan Materials Co.   706    160,269 
Keysight Technologies, Inc.*   943    150,022 
Xylem, Inc.   1,281    146,495 
Mettler-Toledo International, Inc.*   115    139,490 
Fortive Corp.   1,867    137,467 
Westinghouse Air Brake Technologies Corp.   952    120,809 
Dover Corp.   743    114,281 
Howmet Aerospace, Inc.   2,078    112,461 
Teledyne Technologies, Inc.*   251    112,019 
Builders FirstSource, Inc.*   655    109,346 
Garmin Ltd.   812    104,375 
Expeditors International of Washington, Inc.   772    98,198 
Axon Enterprise, Inc.*   374    96,615 
Ball Corp.   1,674    96,289 
Veralto Corp.   1,166    95,908 
Hubbell, Inc.   285    93,745 
IDEX Corp.   402    87,278 
Jacobs Solutions, Inc.   669    86,836 
Jabil, Inc.   680    86,632 
J.B. Hunt Transport Services, Inc.   433    86,488 
Textron, Inc.   1,041    83,717 
Snap-on, Inc.   279    80,586 
Masco Corp.   1,193    79,907 
Stanley Black & Decker, Inc.   814    79,854 
Packaging Corporation of America   476    77,545 
Nordson Corp.   288    76,078 
Amcor plc   7,679    74,026 
Trimble, Inc.*   1,322    70,330 
Pentair plc   878    63,839 
Allegion plc   466    59,038 
Westrock Co.   1,362    56,550 
Huntington Ingalls Industries, Inc.   211    54,784 
A O Smith Corp.   652    53,751 
CH Robinson Worldwide, Inc.   620    53,562 
Generac Holdings, Inc.*   326    42,132 
Mohawk Industries, Inc.*   281    29,083 
Total Industrial        16,373,236 
Energy - 3.2%          
Exxon Mobil Corp.   21,282    2,127,774 
Chevron Corp.   9,328    1,391,365 
ConocoPhillips   6,309    732,286 

 

 

Nova Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 81.5% (continued)
Energy - 3.2% (continued)          
Schlumberger N.V.   7,589   $394,932 
EOG Resources, Inc.   3,098    374,703 
Phillips 66   2,337    311,148 
Marathon Petroleum Corp.   2,016    299,094 
Pioneer Natural Resources Co.   1,239    278,626 
Valero Energy Corp.   1,808    235,040 
Williams Companies, Inc.   6,463    225,106 
ONEOK, Inc.   3,095    217,331 
Hess Corp.   1,469    211,771 
Occidental Petroleum Corp.   3,508    209,463 
Baker Hughes Co.   5,346    182,726 
Kinder Morgan, Inc.   10,274    181,234 
Halliburton Co.   4,755    171,893 
Devon Energy Corp.   3,403    154,156 
Diamondback Energy, Inc.   951    147,481 
Targa Resources Corp.   1,185    102,941 
Coterra Energy, Inc. — Class A   3,996    101,978 
First Solar, Inc.*   568    97,855 
Enphase Energy, Inc.*   725    95,802 
Equities Corp.   2,185    84,472 
Marathon Oil Corp.   3,109    75,113 
APA Corp.   1,630    58,484 
Total Energy        8,462,774 
Utilities - 1.9%          
NextEra Energy, Inc.   10,901    662,127 
Southern Co.   5,795    406,345 
Duke Energy Corp.   4,095    397,379 
Sempra   3,343    249,822 
American Electric Power Company, Inc.   2,794    226,929 
Dominion Energy, Inc.   4,446    208,962 
PG&E Corp.   11,336    204,388 
Constellation Energy Corp.   1,697    198,362 
Exelon Corp.   5,288    189,839 
Xcel Energy, Inc.   2,932    181,520 
Consolidated Edison, Inc.   1,834    166,839 
Public Service Enterprise Group, Inc.   2,648    161,925 
Edison International   2,036    145,554 
WEC Energy Group, Inc.   1,676    141,069 
American Water Works Company, Inc.   1,034    136,478 
DTE Energy Co.   1,095    120,735 
Eversource Energy   1,856    114,552 
Entergy Corp.   1,124    113,738 
PPL Corp.   3,916    106,124 
Ameren Corp.   1,397    101,059 
FirstEnergy Corp.   2,743    100,558 
CenterPoint Energy, Inc.   3,353    95,795 
Atmos Energy Corp.   788    91,329 
CMS Energy Corp.   1,550    90,009 
Alliant Energy Corp.   1,356    69,563 
AES Corp.   3,558    68,491 
Evergy, Inc.   1,221    63,736 
NRG Energy, Inc.   1,200    62,040 
NiSource, Inc.   2,196    58,304 
Pinnacle West Capital Corp.   602    43,248 
Total Utilities        4,976,819 
Basic Materials - 1.6%          
Linde plc   2,575    1,057,578 
Sherwin-Williams Co.   1,251    390,187 
Freeport-McMoRan, Inc.   7,619    324,341 
Air Products and Chemicals, Inc.   1,180    323,084 
Ecolab, Inc.   1,348    267,376 
Newmont Corp.   6,123    253,431 
Nucor Corp.   1,306    227,296 
Dow, Inc.   3,727    204,389 
PPG Industries, Inc.   1,253    187,386 
DuPont de Nemours, Inc.   2,284    175,708 
LyondellBasell Industries N.V. — Class A   1,361    129,404 
International Flavors & Fragrances, Inc.   1,356    109,795 
Steel Dynamics, Inc.   808    95,425 
Albemarle Corp.   624    90,156 
Celanese Corp. — Class A   532    82,657 
CF Industries Holdings, Inc.   1,015    80,692 
International Paper Co.   1,838    66,443 
Mosaic Co.   1,736    62,027 
Eastman Chemical Co.   630    56,587 
FMC Corp.   662    41,739 
Total Basic Materials        4,225,701 
Total Common Stocks          
(Cost $193,842,606)        212,715,765 
           
MUTUAL FUNDS - 6.6%          
Guggenheim Ultra Short Duration Fund — Institutional Class1   733,906    7,228,976 
Guggenheim Strategy Fund II1   225,195    5,517,274 
Guggenheim Strategy Fund III1   184,563    4,531,013 
Total Mutual Funds          
(Cost $17,418,465)        17,277,263 

 

    Face
Amount
      
U.S. TREASURY BILLS†† - 5.4%          
U.S. Treasury Bills          
5.24% due 02/22/242  $4,300,000    4,268,035 
5.27% due 02/22/242,3   2,900,000    2,878,442 
5.23% due 02/22/242   2,900,000    2,878,442 
5.22% due 02/22/242   2,600,000    2,580,672 
5.17% due 01/09/242,4   1,354,000    1,352,619 
Total U.S. Treasury Bills          
(Cost $13,956,264)        13,958,210 

 

 

Nova Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Face
Amount
   Value 
FEDERAL AGENCY DISCOUNT NOTES†† - 1.9%
Federal Farm Credit Bank          
5.25% due 01/08/242  $5,000,000   $4,994,896 
Total Federal Agency Discount Notes          
(Cost $4,994,896)        4,994,896 
           
REPURCHASE AGREEMENTS††,5 - 5.4%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
   7,844,322    7,844,322 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
  6,321,631   $6,321,631 
Total Repurchase Agreements          
(Cost $14,165,953)        14,165,953 
Total Investments - 100.8%          
(Cost $244,378,184)       $263,112,087 
Other Assets & Liabilities, net - (0.8)%        (2,010,545)
Total Net Assets - 100.0%       $261,101,542 

 

Futures Contracts      

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased                  
S&P 500 Index Mini Futures Contracts   6   Mar 2024  $1,445,700   $10,504 

 

Total Return Swap Agreements          

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††               
Goldman Sachs International  S&P 500 Index  Pay  5.83% (Federal Funds Rate + 0.50%)  At Maturity  03/21/24   13,445   $64,132,396   $721,136 
Barclays Bank plc  S&P 500 Index  Pay  5.85% (SOFR + 0.45%)  At Maturity  03/20/24   23,291    111,095,829    75,847 
BNP Paribas  S&P 500 Index  Pay  5.93% (Federal Funds Rate + 0.60%)  At Maturity  03/21/24   493    2,351,342    35,240 
                               
                       $177,579,567   $832,223 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Affiliated issuer.
2 Rate indicated is the effective yield at the time of purchase.
3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
4 All or a portion of this security is pledged as futures collateral at December 31, 2023.
5 Repurchase Agreements — See Note 4.

 

plc — Public Limited Company
REIT — Real Estate Investment Trust
SOFR — Secured Overnight Financing Rate
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):
 
Investments in Securities (Assets)   Level 1 Quoted Prices     Level 2 Significant Observable Inputs     Level 3 Significant Unobservable Inputs     Total  
Common Stocks  $212,715,765   $   $   $212,715,765 
Mutual Funds   17,277,263            17,277,263 
U.S. Treasury Bills       13,958,210        13,958,210 
Federal Agency Discount Notes       4,994,896        4,994,896 
Repurchase Agreements       14,165,953        14,165,953 
Equity Futures Contracts**   10,504            10,504 
Equity Index Swap Agreements**       832,223        832,223 
Total Assets  $230,003,532   $33,951,282   $   $263,954,814 

 

**This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

Nova Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $5,950,321   $   $(500,000)  $(10,498)  $77,451   $5,517,274    225,195   $240,400 
  Guggenheim Strategy Fund III   4,475,644                55,369    4,531,013    184,563    184,227 
  Guggenheim Ultra Short Duration Fund — Institutional Class   7,623,159        (500,000)   (9,212)   115,029    7,228,976    733,906    308,424 
   $18,049,124   $   $(1,000,000)  $(19,710)  $247,849   $17,277,263        $733,051 

 

 

Precious Metals Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Mining - 99.5%
Freeport-McMoRan, Inc.   153,400   $6,530,238 
Newmont Corp.   132,230    5,473,000 
Barrick Gold Corp.   246,209    4,453,921 
Agnico Eagle Mines Ltd.   75,053    4,116,657 
Wheaton Precious Metals Corp.   75,113    3,706,075 
Franco-Nevada Corp.   21,525    2,385,185 
Royal Gold, Inc.   18,001    2,177,401 
Gold Fields Ltd. ADR   147,935    2,139,140 
Kinross Gold Corp.   353,080    2,136,134 
Anglogold Ashanti plc   111,158    2,077,543 
Pan American Silver Corp.   119,962    1,958,979 
Alamos Gold, Inc. — Class A   129,061    1,738,452 
Sibanye Stillwater Ltd. ADR   266,370    1,446,389 
B2Gold Corp.   457,610    1,446,048 
Hecla Mining Co.   268,366    1,290,840 
Osisko Gold Royalties Ltd.   89,312    1,275,375 
Eldorado Gold Corp.*   96,812    1,255,652 
SSR Mining, Inc.   102,218    1,099,866 
Harmony Gold Mining Company Ltd. ADR   166,317    1,022,850 
First Majestic Silver Corp.   165,979    1,020,771 
Sandstorm Gold Ltd.   189,026    950,801 
Equinox Gold Corp.*   178,951    875,070 
Fortuna Silver Mines, Inc.*   219,829    848,540 
Seabridge Gold, Inc.*   61,547    746,565 
SilverCrest Metals, Inc.*   112,577    737,379 
MAG Silver Corp.*   70,607    735,019 
Coeur Mining, Inc.*   224,215    730,941 
Novagold Resources, Inc.*   188,595    705,345 
IAMGOLD Corp.*   236,385    598,054 
Gatos Silver, Inc.*   69,396    453,850 
Silvercorp Metals, Inc.   151,960    399,655 
Endeavour Silver Corp.*   144,138    283,952 
Total Mining        56,815,687 
Total Common Stocks          
(Cost $42,549,603)        56,815,687 

 

    Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 1.6%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $490,563    490,563 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   395,338    395,338 
Total Repurchase Agreements          
(Cost $885,901)        885,901 
Total Investments - 101.1%          
(Cost $43,435,504)       $57,701,588 
Other Assets & Liabilities, net - (1.1)%        (600,999)
Total Net Assets - 100.0%       $57,100,589 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

ADR — American Depositary Receipt
plc — Public Limited Company
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $56,815,687   $   $   $56,815,687 
Repurchase Agreements       885,901        885,901 
Total Assets  $56,815,687   $885,901   $   $57,701,588 

 

 

Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.4%
REITS - 91.3%
REITs-Diversified - 23.5%
American Tower Corp. — Class A   427   $92,181 
Equinix, Inc.   98    78,928 
Crown Castle, Inc.   547    63,009 
Digital Realty Trust, Inc.   439    59,081 
VICI Properties, Inc.   1,688    53,813 
Weyerhaeuser Co.   1,393    48,435 
SBA Communications Corp.   187    47,440 
WP Carey, Inc.   525    34,025 
Gaming and Leisure Properties, Inc.   681    33,607 
Lamar Advertising Co. — Class A   284    30,184 
National Storage Affiliates Trust   492    20,403 
Vornado Realty Trust   718    20,283 
PotlatchDeltic Corp.   377    18,511 
EPR Properties   367    17,781 
Outfront Media, Inc.   985    13,751 
Uniti Group, Inc.   1,754    10,138 
Total REITs-Diversified        641,570 
REITs-Apartments - 12.5%          
AvalonBay Communities, Inc.   257    48,116 
Equity Residential   721    44,096 
Invitation Homes, Inc.   1,252    42,706 
Essex Property Trust, Inc.   152    37,687 
Mid-America Apartment Communities, Inc.   275    36,976 
UDR, Inc.   883    33,810 
American Homes 4 Rent — Class A   872    31,357 
Camden Property Trust   306    30,383 
Apartment Income REIT Corp.   611    21,220 
Independence Realty Trust, Inc.   1,142    17,473 
Total REITs-Apartments        343,824 
REITs-Warehouse/Industries - 9.7%          
Prologis, Inc.   797    106,240 
Rexford Industrial Realty, Inc.   578    32,426 
Americold Realty Trust, Inc.   911    27,576 
EastGroup Properties, Inc.   148    27,164 
STAG Industrial, Inc.   652    25,598 
First Industrial Realty Trust, Inc.   470    24,755 
Terreno Realty Corp.   341    21,370 
Total REITs-Warehouse/Industries        265,129 
REITs-Health Care - 9.0%          
Welltower, Inc.   727    65,554 
Ventas, Inc.   850    42,364 
Healthpeak Properties, Inc.   1,561    30,908 
Omega Healthcare Investors, Inc.   814    24,957 
Healthcare Realty Trust, Inc.   1,423    24,518 
Physicians Realty Trust   1,248    16,611 
Sabra Health Care REIT, Inc.   1,142    16,296 
CareTrust REIT, Inc.   650    14,547 
Medical Properties Trust, Inc.1   2,676    13,139 
Total REITs-Health Care        248,894 
REITs-Storage - 7.1%          
Public Storage   217    66,185 
Extra Space Storage, Inc.   352    56,436 
Iron Mountain, Inc.   607    42,478 
CubeSmart   665    30,823 
Total REITs-Storage        195,922 
REITs-Office Property - 7.1%          
Alexandria Real Estate Equities, Inc.   339    42,975 
Boston Properties, Inc.   426    29,892 
Kilroy Realty Corp.   494    19,681 
Cousins Properties, Inc.   750    18,262 
SL Green Realty Corp.   356    16,081 
LXP Industrial Trust   1,598    15,852 
Highwoods Properties, Inc.   637    14,626 
Douglas Emmett, Inc.   970    14,065 
JBG SMITH Properties   711    12,094 
Hudson Pacific Properties, Inc.   1,204    11,209 
Total REITs-Office Property        194,737 
REITs-Shopping Centers - 6.7%          
Kimco Realty Corp.   1,584    33,755 
Regency Centers Corp.   495    33,165 
Federal Realty Investment Trust   260    26,793 
Brixmor Property Group, Inc.   1,047    24,364 
Kite Realty Group Trust   908    20,757 
Phillips Edison & Company, Inc.   559    20,392 
SITE Centers Corp.   1,081    14,734 
Retail Opportunity Investments Corp.   866    12,150 
Total REITs-Shopping Centers        186,110 
REITs-Single Tenant - 5.4%          
Realty Income Corp.   1,040    59,717 
NNN REIT, Inc.   603    25,989 
Agree Realty Corp.   367    23,103 
Spirit Realty Capital, Inc.   524    22,894 
Essential Properties Realty Trust, Inc.   722    18,454 
Total REITs-Single Tenant        150,157 
REITs-Hotels - 4.4%          
Host Hotels & Resorts, Inc.   1,803    35,104 
Ryman Hospitality Properties, Inc.   215    23,663 
Apple Hospitality REIT, Inc.   1,001    16,627 
Park Hotels & Resorts, Inc.   1,038    15,881 
Sunstone Hotel Investors, Inc.   1,287    13,810 
Pebblebrook Hotel Trust   863    13,791 
Total REITs-Hotels        118,876 
REITs-Regional Malls - 2.9%          
Simon Property Group, Inc.   447    63,760 
Tanger, Inc.   567    15,717 
Total REITs-Regional Malls        79,477 
REITs-Manufactured Homes - 2.5%          
Sun Communities, Inc.   280    37,422 
Equity LifeStyle Properties, Inc.   441    31,108 
Total REITs-Manufactured Homes        68,530 
Specialized Reit's - 0.5%          
DiamondRock Hospitality Co.   1,416    13,296 
Total REITS        2,506,522 

 

 

Real Estate Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

    Shares    Value 
COMMON STOCKS - 99.4% (continued)          
Real Estate - 3.9%          
Real Estate Management/Services - 3.9%          
CBRE Group, Inc. — Class A*   549   $51,106 
Jones Lang LaSalle, Inc.*   110    20,776 
Cushman & Wakefield plc*   1,321    14,267 
Redfin Corp.*   1,098    11,331 
eXp World Holdings, Inc.   569    8,831 
Total Real Estate Management/Services        106,311 
Total Real Estate        106,311 
Commercial Services - 2.0%          
Research & Consulting Services - 2.0%          
CoStar Group, Inc.*   643    56,191 
Internet - 1.6%          
E-Commerce/Services - 1.6%          
Zillow Group, Inc. — Class C*   599    34,658 
Opendoor Technologies, Inc.*   2,114    9,471 
Total E-Commerce/Services        44,129 
Total Internet        44,129 
Telecommunications - 0.6%          
Telecom Services - 0.6%          
DigitalBridge Group, Inc.   898    15,751 
Total Common Stocks          
(Cost $2,039,399)        2,728,904 

 

    Face
Amount
     
REPURCHASE AGREEMENTS††,2 - 0.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $7,407   7,407 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   5,970    5,970 
Total Repurchase Agreements          
(Cost $13,377)        13,377 

 

    Shares      
SECURITIES LENDING COLLATERAL†,3 - 0.4%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   10,674    10,674 
Total Securities Lending Collateral          
(Cost $10,674)        10,674 
Total Investments - 100.3%          
(Cost $2,063,450)       $2,752,955 
Other Assets & Liabilities, net - (0.3)%        (8,536)
Total Net Assets - 100.0%       $2,744,419 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

plc — Public Limited Company
REIT — Real Estate Investment Trust
 
See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $2,728,904   $   $   $2,728,904 
Repurchase Agreements       13,377        13,377 
Securities Lending Collateral   10,674            10,674 
Total Assets  $2,739,578   $13,377   $   $2,752,955 

 

 

Retailing Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Retail - 68.0%
Home Depot, Inc.   913   $316,400 
Costco Wholesale Corp.   417    275,253 
Walmart, Inc.   1,657    261,226 
Lowe's Companies, Inc.   1,156    257,268 
TJX Companies, Inc.   2,486    233,212 
Target Corp.   1,273    181,301 
O'Reilly Automotive, Inc.*   172    163,414 
Ross Stores, Inc.   1,097    151,814 
Dollar Tree, Inc.*   899    127,703 
Dollar General Corp.   908    123,443 
AutoZone, Inc.*   47    121,524 
Tractor Supply Co.   502    107,945 
Ulta Beauty, Inc.*   220    107,798 
Walgreens Boots Alliance, Inc.   3,771    98,461 
Genuine Parts Co.   703    97,365 
Best Buy Company, Inc.   1,118    87,517 
CarMax, Inc.*   1,065    81,728 
Burlington Stores, Inc.*   420    81,682 
Williams-Sonoma, Inc.   393    79,299 
Five Below, Inc.*   368    78,443 
Dick's Sporting Goods, Inc.   531    78,030 
Floor & Decor Holdings, Inc. — Class A*   697    77,757 
Bath & Body Works, Inc.   1,729    74,624 
BJ's Wholesale Club Holdings, Inc.*   1,000    66,660 
Murphy USA, Inc.   162    57,763 
Macy's, Inc.   2,758    55,491 
AutoNation, Inc.*   353    53,013 
Academy Sports & Outdoors, Inc.   800    52,800 
GameStop Corp. — Class A*   2,909    50,995 
Ollie's Bargain Outlet Holdings, Inc.*   656    49,784 
Kohl's Corp.   1,715    49,186 
Signet Jewelers Ltd.   458    49,125 
Abercrombie & Fitch Co. — Class A*   552    48,697 
RH*   162    47,220 
Gap, Inc.   2,227    46,566 
Lithia Motors, Inc. — Class A   135    44,453 
American Eagle Outfitters, Inc.   2,080    44,013 
Advance Auto Parts, Inc.   709    43,270 
Carvana Co.*   770    40,764 
Foot Locker, Inc.   1,261    39,280 
Boot Barn Holdings, Inc.*   438    33,621 
Nordstrom, Inc.   1,709    31,531 
Victoria's Secret & Co.*   1,176    31,211 
National Vision Holdings, Inc.*   1,363    28,528 
Leslie's, Inc.*   3,900    26,949 
Petco Health & Wellness Company, Inc.*   2,597    8,206 
Total Retail        4,262,333 
Internet - 25.9%          
Amazon.com, Inc.*   4,352    661,243 
PDD Holdings, Inc. ADR*   1,014    148,358 
Alibaba Group Holding Ltd. ADR   1,758    136,262 
MercadoLibre, Inc.*   82    128,866 
JD.com, Inc. ADR   3,998    115,502 
eBay, Inc.   2,461    107,349 
Coupang, Inc.*   5,856    94,809 
Chewy, Inc. — Class A*   3,098    73,206 
Etsy, Inc.*   856    69,379 
Wayfair, Inc. — Class A*   1,018    62,811 
Beyond, Inc.*   956    26,472 
Total Internet        1,624,257 
Distribution & Wholesale - 2.7%          
Pool Corp.   226    90,108 
LKQ Corp.   1,690    80,765 
Total Distribution & Wholesale        170,873 
Software - 1.5%          
Global-e Online Ltd*   2,351    93,170 
Chemicals - 0.8%          
Valvoline, Inc.*   1,335    50,169 
Apparel - 0.6%          
Urban Outfitters, Inc.*   953    34,013 
Total Common Stocks          
(Cost $3,562,047)        6,234,815 

 

   Face
Amount
     
REPURCHASE AGREEMENTS††,1 - 0.4%
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $14,532    14,532 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   11,711    11,711 
Total Repurchase Agreements          
(Cost $26,243)        26,243 
Total Investments - 99.9%          
(Cost $3,588,290)       $6,261,058 
Other Assets & Liabilities, net - 0.1%        4,707 
Total Net Assets - 100.0%       $6,265,765 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

ADR — American Depositary Receipt
 
See Sector Classification in Other Information section.

 

 

Retailing Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):  

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $6,234,815   $   $   $6,234,815 
Repurchase Agreements       26,243        26,243 
Total Assets  $6,234,815   $26,243   $   $6,261,058 

 

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

 

   Shares   Value 
COMMON STOCKS - 56.0%
Consumer, Non-cyclical - 13.0%          
Cytokinetics, Inc.*   143   $11,939 
elf Beauty, Inc.*   82    11,836 
BellRing Brands, Inc.*   202    11,197 
API Group Corp.*   315    10,899 
ImmunoGen, Inc.*   360    10,674 
Intra-Cellular Therapies, Inc.*   141    10,098 
Ensign Group, Inc.   82    9,201 
Vaxcyte, Inc.*   141    8,855 
Option Care Health, Inc.*   256    8,625 
HealthEquity, Inc.*   127    8,420 
Blueprint Medicines Corp.*   91    8,394 
StoneCo Ltd. — Class A*   438    7,897 
Marathon Digital Holdings, Inc.*   323    7,587 
Sprouts Farmers Market, Inc.*   156    7,505 
Halozyme Therapeutics, Inc.*   195    7,207 
Bridgebio Pharma, Inc.*   176    7,105 
Alkermes plc*   249    6,907 
Neogen Corp.*   328    6,596 
Insmed, Inc.*   210    6,508 
Coca-Cola Consolidated, Inc.   7    6,499 
Merit Medical Systems, Inc.*   85    6,457 
Insperity, Inc.   55    6,447 
Haemonetics Corp.*   75    6,413 
Herc Holdings, Inc.   43    6,402 
Lantheus Holdings, Inc.*   103    6,386 
REVOLUTION Medicines, Inc.*   218    6,252 
Brink's Co.   71    6,244 
Amicus Therapeutics, Inc.*   421    5,974 
ACADIA Pharmaceuticals, Inc.*   187    5,855 
TriNet Group, Inc.*   49    5,828 
Glaukos Corp.*   70    5,564 
Simply Good Foods Co.*   140    5,544 
Alight, Inc. — Class A*   629    5,365 
Inari Medical, Inc.*   80    5,194 
Integer Holdings Corp.*   52    5,152 
Madrigal Pharmaceuticals, Inc.*   22    5,090 
Marqeta, Inc. — Class A*   729    5,088 
CONMED Corp.   46    5,037 
iRhythm Technologies, Inc.*   47    5,031 
WD-40 Co.   21    5,021 
Lancaster Colony Corp.   30    4,992 
Korn Ferry   80    4,748 
Axonics, Inc.*   76    4,729 
Alarm.com Holdings, Inc.*   73    4,717 
Prestige Consumer Healthcare, Inc.*   76    4,653 
Arrowhead Pharmaceuticals, Inc.*   152    4,651 
CBIZ, Inc.*   74    4,632 
Guardant Health, Inc.*   170    4,598 
ABM Industries, Inc.   102    4,573 
Progyny, Inc.*   121    4,499 
Cerevel Therapeutics Holdings, Inc.*   106    4,494 
Riot Platforms, Inc.*   289    4,471 
Helen of Troy Ltd.*   37    4,470 
Biohaven Ltd.*   104    4,451 
AMN Healthcare Services, Inc.*   58    4,343 
LivaNova plc*   83    4,294 
Axsome Therapeutics, Inc.*   53    4,218 
Inter Parfums, Inc.   29    4,176 
Intellia Therapeutics, Inc.*   136    4,147 
EVERTEC, Inc.   100    4,094 
Krystal Biotech, Inc.*   33    4,094 
Cymabay Therapeutics, Inc.*   172    4,063 
Corcept Therapeutics, Inc.*   123    3,995 
Coursera, Inc.*   200    3,874 
TransMedics Group, Inc.*   49    3,868 
Denali Therapeutics, Inc.*   180    3,863 
Stride, Inc.*   65    3,859 
J & J Snack Foods Corp.   23    3,844 
Remitly Global, Inc.*   197    3,826 
Pacific Biosciences of California, Inc.*   386    3,787 
Select Medical Holdings Corp.   160    3,760 
ICF International, Inc.   28    3,755 
LiveRamp Holdings, Inc.*   99    3,750 
Flywire Corp.*   161    3,727 
SpringWorks Therapeutics, Inc.*   102    3,723 
Surgery Partners, Inc.*   115    3,679 
Patterson Companies, Inc.   129    3,670 
Amphastar Pharmaceuticals, Inc.*   59    3,649 
Rhythm Pharmaceuticals, Inc.*   79    3,632 
Primo Water Corp.   241    3,627 
TG Therapeutics, Inc.*   209    3,570 
Cal-Maine Foods, Inc.   62    3,558 
Adtalem Global Education, Inc.*   60    3,537 
Immunovant, Inc.*   83    3,497 
Graham Holdings Co. — Class B   5    3,483 
Crinetics Pharmaceuticals, Inc.*   97    3,451 
TreeHouse Foods, Inc.*   79    3,275 
Arcellx, Inc.*   59    3,274 
Twist Bioscience Corp.*   88    3,244 
Ideaya Biosciences, Inc.*   91    3,238 
CorVel Corp.*   13    3,214 
Strategic Education, Inc.   34    3,141 
NeoGenomics, Inc.*   194    3,139 
Textainer Group Holdings Ltd.   63    3,100 
RadNet, Inc.*   89    3,095 
Arvinas, Inc.*   75    3,087 
Veracyte, Inc.*   112    3,081 
PTC Therapeutics, Inc.*   110    3,032 
Huron Consulting Group, Inc.*   29    2,981 
Nuvalent, Inc. — Class A*   40    2,944 
Edgewell Personal Care Co.   79    2,894 
Upbound Group, Inc.   85    2,887 
Andersons, Inc.   50    2,877 
Beam Therapeutics, Inc.*,1   105    2,858 
Rocket Pharmaceuticals, Inc.*   95    2,847 
Celldex Therapeutics, Inc.*   71    2,816 
Iovance Biotherapeutics, Inc.*   345    2,805 
Dynavax Technologies Corp.*   199    2,782 
Laureate Education, Inc. — Class A   201    2,756 
Viking Therapeutics, Inc.*   148    2,754 
Inmode Ltd.*   119    2,647 
Central Garden & Pet Co. — Class A*   60    2,642 
Vericel Corp.*   73    2,600 
Omnicell, Inc.*   69    2,596 
AtriCure, Inc.*   72    2,570 
PROCEPT BioRobotics Corp.*   61    2,556 
CoreCivic, Inc.*   175    2,543 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Catalyst Pharmaceuticals, Inc.*   151   $2,538 
Apollo Medical Holdings, Inc.*   66    2,528 
Cleanspark, Inc.*   227    2,504 
Vector Group Ltd.   221    2,493 
Universal Corp.   37    2,491 
Ironwood Pharmaceuticals, Inc. — Class A*   213    2,437 
Myriad Genetics, Inc.*   124    2,373 
MGP Ingredients, Inc.   24    2,364 
Pacira BioSciences, Inc.*   70    2,362 
Herbalife Ltd.*   152    2,320 
STAAR Surgical Co.*   74    2,310 
Prothena Corporation plc*   63    2,289 
Cimpress plc*   28    2,241 
Addus HomeCare Corp.*   24    2,228 
Owens & Minor, Inc.*   114    2,197 
PROG Holdings, Inc.*   71    2,195 
Sabre Corp.*   498    2,191 
Syndax Pharmaceuticals, Inc.*   101    2,183 
Supernus Pharmaceuticals, Inc.*   75    2,170 
Oscar Health, Inc. — Class A*   236    2,159 
Alphatec Holdings, Inc.*   140    2,115 
Payoneer Global, Inc.*   405    2,110 
Recursion Pharmaceuticals, Inc. — Class A*   210    2,071 
US Physical Therapy, Inc.   22    2,049 
Krispy Kreme, Inc.   135    2,037 
Legalzoom.com, Inc.*   180    2,034 
Kforce, Inc.   30    2,027 
Ardelyx, Inc.*   326    2,021 
Inhibrx, Inc.*   52    1,976 
Protagonist Therapeutics, Inc.*   86    1,972 
Chegg, Inc.*   173    1,965 
GEO Group, Inc.*   181    1,960 
Udemy, Inc.*   132    1,944 
Agios Pharmaceuticals, Inc.*   86    1,915 
UFP Technologies, Inc.*   11    1,892 
Xencor, Inc.*   89    1,889 
Aurinia Pharmaceuticals, Inc.*   208    1,870 
RayzeBio, Inc.*   30    1,865 
Ligand Pharmaceuticals, Inc. — Class B*   26    1,857 
Ingles Markets, Inc. — Class A   21    1,814 
Perdoceo Education Corp.   103    1,809 
Utz Brands, Inc.   111    1,803 
Akero Therapeutics, Inc.*   77    1,798 
National Beverage Corp.*   36    1,790 
Sage Therapeutics, Inc.*   82    1,777 
National Healthcare Corp.   19    1,756 
John Wiley & Sons, Inc. — Class A   55    1,746 
BioCryst Pharmaceuticals, Inc.*   289    1,731 
LeMaitre Vascular, Inc.   30    1,703 
Cytek Biosciences, Inc.*   186    1,696 
Embecta Corp.   89    1,685 
Weis Markets, Inc.   26    1,663 
RxSight, Inc.*   41    1,653 
Matthews International Corp. — Class A   45    1,649 
Harmony Biosciences Holdings, Inc.*   51    1,647 
Collegium Pharmaceutical, Inc.*   53    1,631 
Brookdale Senior Living, Inc. — Class A*   280    1,630 
Avanos Medical, Inc.*   71    1,592 
Chefs' Warehouse, Inc.*   54    1,589 
Geron Corp.*   749    1,580 
Scholar Rock Holding Corp.*   84    1,579 
Pliant Therapeutics, Inc.*   87    1,576 
Arcus Biosciences, Inc.*   81    1,547 
SP Plus Corp.*   30    1,537 
Quanex Building Products Corp.   50    1,529 
Kura Oncology, Inc.*   106    1,524 
Relay Therapeutics, Inc.*   138    1,519 
MiMedx Group, Inc.*   173    1,517 
Kymera Therapeutics, Inc.*   59    1,502 
Morphic Holding, Inc.*   52    1,502 
Hain Celestial Group, Inc.*   137    1,500 
Quanterix Corp.*   54    1,476 
ADMA Biologics, Inc.*   322    1,455 
Innoviva, Inc.*   90    1,444 
John B Sanfilippo & Son, Inc.   14    1,443 
Deluxe Corp.   67    1,437 
ZipRecruiter, Inc. — Class A*   103    1,432 
MannKind Corp.*   393    1,431 
United Natural Foods, Inc.*   88    1,428 
Viridian Therapeutics, Inc.*   65    1,416 
First Advantage Corp.   84    1,392 
Fresh Del Monte Produce, Inc.   53    1,391 
Monro, Inc.   47    1,379 
Cassava Sciences, Inc.*   61    1,373 
Day One Biopharmaceuticals, Inc.*   94    1,372 
Dole plc   110    1,352 
Keros Therapeutics, Inc.*   34    1,352 
Zentalis Pharmaceuticals, Inc.*   88    1,333 
Transcat, Inc.*   12    1,312 
Deciphera Pharmaceuticals, Inc.*   81    1,307 
Vir Biotechnology, Inc.*   129    1,298 
SpartanNash Co.   56    1,285 
LifeStance Health Group, Inc.*   164    1,284 
Arlo Technologies, Inc.*   131    1,247 
Varex Imaging Corp.*   60    1,230 
Editas Medicine, Inc.*   121    1,226 
Accolade, Inc.*   102    1,225 
Cross Country Healthcare, Inc.*   54    1,223 
ANI Pharmaceuticals, Inc.*   22    1,213 
Pediatrix Medical Group, Inc.*   129    1,200 
Healthcare Services Group, Inc.*   115    1,193 
Nevro Corp.*   55    1,184 
Barrett Business Services, Inc.   10    1,158 
Amylyx Pharmaceuticals, Inc.*   78    1,148 
B&G Foods, Inc.   109    1,144 
Medifast, Inc.   17    1,143 
Amneal Pharmaceuticals, Inc.*   187    1,135 
Revance Therapeutics, Inc.*   128    1,125 
Viad Corp.*   31    1,122 
RAPT Therapeutics, Inc.*   45    1,118 
4D Molecular Therapeutics, Inc.*   55    1,114 
REGENXBIO, Inc.*   62    1,113 
SI-BONE, Inc.*   53    1,112 
Arcturus Therapeutics Holdings, Inc.*   35    1,104 
Vita Coco Company, Inc.*   43    1,103 
Mirum Pharmaceuticals, Inc.*   37    1,092 
Verve Therapeutics, Inc.*   78    1,087 
Artivion, Inc.*   60    1,073 
Repay Holdings Corp.*   125    1,067 
89bio, Inc.*   95    1,061 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
AdaptHealth Corp.*   144   $1,050 
Kelly Services, Inc. — Class A   48    1,038 
Travere Therapeutics, Inc.*   112    1,007 
Cabaletta Bio, Inc.*   44    999 
Anavex Life Sciences Corp.*   107    996 
CRA International, Inc.   10    988 
Avidity Biosciences, Inc.*   109    986 
USANA Health Sciences, Inc.*   18    965 
CareDx, Inc.*   80    960 
Cass Information Systems, Inc.   21    946 
Alpine Immune Sciences, Inc.*   49    934 
EyePoint Pharmaceuticals, Inc.*   40    924 
OPKO Health, Inc.*   607    917 
Heidrick & Struggles International, Inc.   31    915 
Fulgent Genetics, Inc.*   31    896 
MacroGenics, Inc.*   93    895 
OraSure Technologies, Inc.*   109    894 
OmniAb, Inc.*   143    882 
Treace Medical Concepts, Inc.*   69    880 
Liquidia Corp.*   73    878 
Dyne Therapeutics, Inc.*   66    878 
Theravance Biopharma, Inc.*   78    877 
Ennis, Inc.   40    876 
National Research Corp. — Class A   22    870 
Hackett Group, Inc.   38    865 
ACCO Brands Corp.   142    863 
BioLife Solutions, Inc.*   53    861 
ImmunityBio, Inc.*,1   171    858 
Adaptive Biotechnologies Corp.*   175    857 
Altimmune, Inc.*,1   76    855 
Zymeworks, Inc.*   82    852 
Paragon 28, Inc.*   68    845 
Kiniksa Pharmaceuticals Ltd. — Class A*   48    842 
Castle Biosciences, Inc.*   39    842 
Multiplan Corp.*   584    841 
ModivCare, Inc.*   19    836 
PetIQ, Inc.*   42    829 
Franklin Covey Co.*   19    827 
Marinus Pharmaceuticals, Inc.*   76    826 
Apogee Therapeutics, Inc.*   29    810 
Beyond Meat, Inc.*   91    810 
Vera Therapeutics, Inc.*   52    800 
Surmodics, Inc.*   22    800 
Enhabit, Inc.*   77    797 
Calavo Growers, Inc.   27    794 
V2X, Inc.*   17    789 
OrthoPediatrics Corp.*   24    780 
Alector, Inc.*   97    774 
SunOpta, Inc.*   140    766 
Atrion Corp.   2    758 
Central Garden & Pet Co.*   15    752 
Disc Medicine, Inc.*   13    751 
Mission Produce, Inc.*   74    747 
Nurix Therapeutics, Inc.*   72    743 
I3 Verticals, Inc. — Class A*   35    741 
Vital Farms, Inc.*   47    737 
Tarsus Pharmaceuticals, Inc.*   36    729 
Orthofix Medical, Inc.*   54    728 
WW International, Inc.*   83    726 
Silk Road Medical, Inc.*   59    724 
TrueBlue, Inc.*   47    721 
Pulmonx Corp.*   56    714 
Edgewise Therapeutics, Inc.*   65    711 
Turning Point Brands, Inc.   27    711 
Zimvie, Inc.*   40    710 
Resources Connection, Inc.   50    708 
European Wax Center, Inc. — Class A*   52    707 
Green Dot Corp. — Class A*   71    703 
Cogent Biosciences, Inc.*   119    700 
AnaptysBio, Inc.*   32    685 
Icosavax, Inc.*   43    678 
Evolus, Inc.*   64    674 
Tango Therapeutics, Inc.*   68    673 
DocGo, Inc.*   120    671 
Duckhorn Portfolio, Inc.*   68    670 
Novavax, Inc.*   134    643 
Paysafe Ltd.*   50    640 
MaxCyte, Inc.*   134    630 
Universal Technical Institute, Inc.*   50    626 
Savara, Inc.*   132    620 
Avid Bioservices, Inc.*   95    617 
Community Health Systems, Inc.*   194    607 
Waldencast plc — Class A*   55    601 
Pennant Group, Inc.*   43    599 
Cerus Corp.*   273    590 
SomaLogic, Inc.*   230    582 
Sana Biotechnology, Inc.*   142    579 
Sterling Check Corp.*   41    571 
iRadimed Corp.   12    570 
Caribou Biosciences, Inc.*   98    562 
Olema Pharmaceuticals, Inc.*   40    561 
ORIC Pharmaceuticals, Inc.*   61    561 
American Well Corp. — Class A*   374    557 
Tejon Ranch Co.*   32    550 
BrightView Holdings, Inc.*   64    539 
Custom Truck One Source, Inc.*   87    538 
Limoneira Co.   26    536 
Ocular Therapeutix, Inc.*   120    535 
Avita Medical, Inc.*   39    535 
CVRx, Inc.*   17    534 
Prime Medicine, Inc.*   60    532 
HilleVax, Inc.*   33    530 
Replimune Group, Inc.*   62    523 
Lyell Immunopharma, Inc.*   266    516 
Taro Pharmaceutical Industries Ltd.*   12    501 
Tactile Systems Technology, Inc.*   35    500 
Aaron's Company, Inc.   46    500 
Carriage Services, Inc. — Class A   20    500 
Anika Therapeutics, Inc.*   22    498 
Enliven Therapeutics, Inc.*   36    498 
Entrada Therapeutics, Inc.*   33    498 
Harrow, Inc.*   44    493 
ALX Oncology Holdings, Inc.*   33    491 
Fate Therapeutics, Inc.*   131    490 
Terawulf, Inc.*   204    490 
Forrester Research, Inc.*   18    483 
Arbutus Biopharma Corp.*   192    480 
Xeris Biopharma Holdings, Inc.*   204    479 
Distribution Solutions Group, Inc.*   15    473 
Summit Therapeutics, Inc.*   179    467 
Target Hospitality Corp.*   48    467 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
KalVista Pharmaceuticals, Inc.*   38   $465 
UroGen Pharma Ltd.*   31    465 
Nano-X Imaging Ltd.*,1   72    459 
AngioDynamics, Inc.*   58    455 
WaVe Life Sciences Ltd.*   90    454 
Coherus Biosciences, Inc.*   133    443 
Organogenesis Holdings, Inc.*   108    442 
Westrock Coffee Co.*   43    439 
Biomea Fusion, Inc.*   30    436 
Agenus, Inc.*   526    435 
Terns Pharmaceuticals, Inc.*   66    428 
Axogen, Inc.*   62    423 
Utah Medical Products, Inc.   5    421 
Seneca Foods Corp. — Class A*   8    419 
iTeos Therapeutics, Inc.*   38    416 
Voyager Therapeutics, Inc.*   49    414 
Willdan Group, Inc.*   19    408 
Alta Equipment Group, Inc.   33    408 
Viemed Healthcare, Inc.*   52    408 
Allogene Therapeutics, Inc.*   127    408 
Accuray, Inc.*   143    405 
Sutro Biopharma, Inc.*   93    399 
SIGA Technologies, Inc.   71    398 
Phathom Pharmaceuticals, Inc.*   43    393 
Genelux Corp.*   28    392 
Neumora Therapeutics, Inc.*   23    392 
Beauty Health Co.*   126    392 
Nathan's Famous, Inc.   5    390 
Y-mAbs Therapeutics, Inc.*   57    389 
Aerovate Therapeutics, Inc.*   17    385 
Rigel Pharmaceuticals, Inc.*   263    381 
Aura Biosciences, Inc.*   43    381 
Zevra Therapeutics, Inc.*   58    380 
Celcuity, Inc.*   26    379 
ACELYRIN, Inc.*   50    373 
Vanda Pharmaceuticals, Inc.*   87    367 
Cullinan Oncology, Inc.*   36    367 
Mersana Therapeutics, Inc.*   158    367 
Nature's Sunshine Products, Inc.*   21    363 
23andMe Holding Co. — Class A*   396    362 
Lincoln Educational Services Corp.*   36    361 
Atea Pharmaceuticals, Inc.*   118    360 
Phibro Animal Health Corp. — Class A   31    359 
SoundThinking, Inc.*   14    358 
Agiliti, Inc.*   45    356 
Semler Scientific, Inc.*   8    354 
MeiraGTx Holdings plc*   50    351 
Poseida Therapeutics, Inc.*   104    349 
Village Super Market, Inc. — Class A   13    341 
Nuvation Bio, Inc.*   224    338 
HF Foods Group, Inc.*   62    331 
Third Harmonic Bio, Inc.*   30    329 
2seventy bio, Inc.*   77    329 
Ispire Technology, Inc.*   27    328 
Zynex, Inc.*   30    327 
Performant Financial Corp.*   103    322 
Harvard Bioscience, Inc.*   60    321 
Alico, Inc.   11    320 
Annexon, Inc.*   70    318 
Quipt Home Medical Corp.*   62    316 
Nkarta, Inc.*   47    310 
Quantum-Si, Inc.*   153    308 
Omeros Corp.*,1   93    304 
Fennec Pharmaceuticals, Inc.*   27    303 
Astria Therapeutics, Inc.*   39    299 
Ovid therapeutics, Inc.*   92    296 
Pulse Biosciences, Inc.*   24    294 
Enanta Pharmaceuticals, Inc.*   31    292 
Tyra Biosciences, Inc.*   21    291 
Janux Therapeutics, Inc.*   27    290 
CorMedix, Inc.*   77    290 
InfuSystem Holdings, Inc.*   27    285 
Precigen, Inc.*   208    279 
Allakos, Inc.*   102    278 
scPharmaceuticals, Inc.*   44    276 
Gritstone bio, Inc.*   135    275 
Heron Therapeutics, Inc.*   158    269 
Humacyte, Inc.*   94    267 
Erasca, Inc.*   125    266 
Monte Rosa Therapeutics, Inc.*   47    266 
Cipher Mining, Inc.*,1   64    264 
Information Services Group, Inc.   55    259 
Arcutis Biotherapeutics, Inc.*   79    255 
Quad/Graphics, Inc.*   47    255 
Aldeyra Therapeutics, Inc.*   72    253 
Invitae Corp.*   402    252 
Immuneering Corp. — Class A*   34    250 
Sanara Medtech, Inc.*   6    247 
Bakkt Holdings, Inc.*,1   107    239 
ClearPoint Neuro, Inc.*   35    238 
Verrica Pharmaceuticals, Inc.*   32    234 
Acacia Research Corp.*   59    231 
Scilex Holding Co.*   113    231 
Nautilus Biotechnology, Inc.*   77    230 
Butterfly Network, Inc.*   213    230 
Tenaya Therapeutics, Inc.*   70    227 
Bluebird Bio, Inc.*   164    226 
Stoke Therapeutics, Inc.*   43    226 
Natural Grocers by Vitamin Cottage, Inc.   14    224 
XOMA Corp.*   12    222 
Inozyme Pharma, Inc.*   52    222 
Compass Therapeutics, Inc.*   141    220 
Lexicon Pharmaceuticals, Inc.*   142    217 
Aveanna Healthcare Holdings, Inc.*   81    217 
Lineage Cell Therapeutics, Inc.*   198    216 
Merrimack Pharmaceuticals, Inc.*   16    215 
PDS Biotechnology Corp.*   43    214 
Joint Corp.*   22    211 
BRC, Inc. — Class A*   58    211 
Seres Therapeutics, Inc.*   149    209 
Actinium Pharmaceuticals, Inc.*   40    203 
ARS Pharmaceuticals, Inc.*   37    203 
Foghorn Therapeutics, Inc.*   31    200 
Inogen, Inc.*   35    192 
Emergent BioSolutions, Inc.*   78    187 
PMV Pharmaceuticals, Inc.*   59    183 
Mineralys Therapeutics, Inc.*   21    181 
Ventyx Biosciences, Inc.*   72    178 
Larimar Therapeutics, Inc.*   39    177 
Innovage Holding Corp.*   29    174 
Cadiz, Inc.*   62    174 
Protalix BioTherapeutics, Inc.*   97    173 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Seer, Inc.*   89   $173 
BioAtla, Inc.*   68    167 
Tela Bio, Inc.*   24    159 
X4 Pharmaceuticals, Inc.*   189    158 
Kodiak Sciences, Inc.*   50    152 
Akoya Biosciences, Inc.*   31    151 
Karyopharm Therapeutics, Inc.*   174    150 
2U, Inc.*   122    150 
IGM Biosciences, Inc.*   18    150 
Assertio Holdings, Inc.*   137    147 
Longboard Pharmaceuticals, Inc.*   24    145 
Optinose, Inc.*   112    144 
Citius Pharmaceuticals, Inc.*   190    144 
Emerald Holding, Inc.*   24    144 
Cue Biopharma, Inc.*   54    143 
AirSculpt Technologies, Inc.*   19    142 
Mural Oncology plc*   24    142 
CompoSecure, Inc.*   25    135 
KORU Medical Systems, Inc.*   54    133 
Design Therapeutics, Inc.*   50    132 
MarketWise, Inc.   48    131 
Vor BioPharma, Inc.*   58    130 
Theseus Pharmaceuticals, Inc.*   31    126 
Cartesian Therapeutics, Inc.*   179    123 
FibroGen, Inc.*   139    123 
HireQuest, Inc.   8    123 
ProKidney Corp.*   68    121 
Carisma Therapeutics, Inc.   41    120 
Sangamo Therapeutics, Inc.*   220    120 
Century Therapeutics, Inc.*   36    120 
CPI Card Group, Inc.*   6    115 
Generation Bio Co.*   69    114 
Graphite Bio, Inc.*   43    113 
Rallybio Corp.*   47    112 
Omega Therapeutics, Inc.*   37    111 
Aclaris Therapeutics, Inc.*   106    111 
Kezar Life Sciences, Inc.*   111    105 
Biote Corp. — Class A*   21    104 
FiscalNote Holdings, Inc.*   91    104 
PepGen, Inc.*   15    102 
Priority Technology Holdings, Inc.*   28    100 
Cutera, Inc.*   28    99 
Outlook Therapeutics, Inc.*   238    94 
Eyenovia, Inc.*   45    94 
Nuvectis Pharma, Inc.*   11    92 
Adicet Bio, Inc.*   47    89 
Bioxcel Therapeutics, Inc.*   30    88 
P3 Health Partners, Inc.*   61    86 
Trevi Therapeutics, Inc.*   64    86 
Forafric Global plc*   8    85 
Vigil Neuroscience, Inc.*   25    84 
Eagle Pharmaceuticals, Inc.*   16    84 
Beyond Air, Inc.*   41    80 
Zevia PBC — Class A*   38    76 
Atara Biotherapeutics, Inc.*   146    75 
Ikena Oncology, Inc.*   37    73 
Prelude Therapeutics, Inc.*   17    73 
Acrivon Therapeutics, Inc.*   13    64 
Orchestra BioMed Holdings, Inc.*   7    64 
Zura Bio Ltd.*   13    61 
CareMax, Inc.*   116    58 
NGM Biopharmaceuticals, Inc.*   66    57 
Vaxxinity, Inc. — Class A*   66    56 
NanoString Technologies, Inc.*   73    55 
Cara Therapeutics, Inc.*   72    53 
Aadi Bioscience, Inc.*   25    50 
Allovir, Inc.*   73    50 
Benson Hill, Inc.*   265    46 
Vicarious Surgical, Inc.*   107    39 
Rent the Runway, Inc. — Class A*   73    39 
Rain Oncology, Inc.*   26    31 
Bright Green Corp.*   92    30 
Reneo Pharmaceuticals, Inc.*   17    27 
Cano Health, Inc.*   4    23 
Ocean Biomedical, Inc.*   13    9 
BioVie, Inc.*   6    8 
ATI Physical Therapy, Inc.*   1    6 
Ligand Pharmaceuticals, Inc.*,††   12     
Ligand Pharmaceuticals, Inc.*,††   12     
Total Consumer, Non-cyclical        895,811 
Financial - 12.4%          
SouthState Corp.   115    9,712 
Ryman Hospitality Properties, Inc. REIT   87    9,575 
Selective Insurance Group, Inc.   91    9,053 
Essent Group Ltd.   159    8,386 
Cadence Bank   274    8,108 
Terreno Realty Corp. REIT   123    7,708 
United Bankshares, Inc.   201    7,548 
Kite Realty Group Trust REIT   327    7,475 
Old National Bancorp   441    7,448 
Home BancShares, Inc.   287    7,270 
Glacier Bancorp, Inc.   171    7,066 
Valley National Bancorp   650    7,059 
FTAI Aviation Ltd.   152    7,053 
Radian Group, Inc.   237    6,766 
American Equity Investment Life Holding Co.*   117    6,528 
Hancock Whitney Corp.   133    6,462 
Phillips Edison & Company, Inc. REIT   177    6,457 
Jackson Financial, Inc. — Class A   125    6,400 
Mr Cooper Group, Inc.*   98    6,382 
Hamilton Lane, Inc. — Class A   56    6,353 
First Financial Bankshares, Inc.   200    6,060 
Essential Properties Realty Trust, Inc. REIT   235    6,007 
PotlatchDeltic Corp. REIT   121    5,941 
Moelis & Co. — Class A   103    5,781 
UMB Financial Corp.   69    5,765 
Blackstone Mortgage Trust, Inc. — Class A REIT   259    5,509 
Apple Hospitality REIT, Inc.   330    5,481 
Ameris Bancorp   102    5,411 
Walker & Dunlop, Inc.   48    5,328 
Enstar Group Ltd.*   18    5,298 
Independence Realty Trust, Inc. REIT   345    5,279 
ServisFirst Bancshares, Inc.   78    5,197 
United Community Banks, Inc.   177    5,179 
Macerich Co. REIT   330    5,092 
Sabra Health Care REIT, Inc.   354    5,052 
Associated Banc-Corp.   233    4,984 
Broadstone Net Lease, Inc. REIT   288    4,959 
Physicians Realty Trust REIT   364    4,845 
Axos Financial, Inc.*   87    4,750 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
CNO Financial Group, Inc.   170   $4,743 
Cathay General Bancorp   106    4,724 
Texas Capital Bancshares, Inc.*   73    4,718 
Genworth Financial, Inc. — Class A*   703    4,696 
McGrath RentCorp   39    4,665 
Piper Sandler Cos.   26    4,547 
Upstart Holdings, Inc.*   111    4,536 
Independent Bank Corp.   68    4,475 
International Bancshares Corp.   82    4,454 
COPT Defense Properties REIT   173    4,434 
Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT   159    4,385 
SL Green Realty Corp. REIT   97    4,381 
Tanger, Inc. REIT   157    4,352 
Bank of Hawaii Corp.   60    4,348 
Innovative Industrial Properties, Inc. REIT   43    4,335 
LXP Industrial Trust REIT   436    4,325 
WSFS Financial Corp.   94    4,317 
First BanCorp   261    4,293 
Community Bank System, Inc.   82    4,273 
Pacific Premier Bancorp, Inc.   146    4,250 
Atlantic Union Bankshares Corp.   116    4,239 
Artisan Partners Asset Management, Inc. — Class A   95    4,197 
Arbor Realty Trust, Inc. REIT   274    4,159 
CVB Financial Corp.   203    4,099 
Fulton Financial Corp.   244    4,016 
SITE Centers Corp. REIT   291    3,966 
BGC Group, Inc. — Class A   543    3,921 
First Interstate BancSystem, Inc. — Class A   127    3,905 
Pagseguro Digital Ltd. — Class A*   304    3,791 
PJT Partners, Inc. — Class A   37    3,769 
NMI Holdings, Inc. — Class A*   126    3,740 
Simmons First National Corp. — Class A   188    3,730 
BankUnited, Inc.   114    3,697 
Seacoast Banking Corporation of Florida   129    3,671 
Douglas Emmett, Inc. REIT   247    3,582 
National Health Investors, Inc. REIT   64    3,574 
CareTrust REIT, Inc.   155    3,469 
PennyMac Financial Services, Inc.   39    3,446 
First Financial Bancorp   145    3,444 
Sunstone Hotel Investors, Inc. REIT   318    3,412 
Eastern Bankshares, Inc.   238    3,380 
Four Corners Property Trust, Inc. REIT   133    3,365 
First Merchants Corp.   90    3,337 
WaFd, Inc.   101    3,329 
BancFirst Corp.   34    3,309 
St. Joe Co.   54    3,250 
Urban Edge Properties REIT   177    3,239 
TowneBank   108    3,214 
Outfront Media, Inc. REIT   226    3,155 
Bancorp, Inc.*   79    3,046 
Cohen & Steers, Inc.   40    3,029 
DiamondRock Hospitality Co. REIT   321    3,014 
Equity Commonwealth REIT   155    2,976 
Global Net Lease, Inc. REIT   297    2,955 
StoneX Group, Inc.*   40    2,953 
Park National Corp.   22    2,923 
NBT Bancorp, Inc.   69    2,892 
Pebblebrook Hotel Trust REIT   180    2,876 
Renasant Corp.   85    2,863 
Independent Bank Group, Inc.   56    2,849 
WesBanco, Inc.   89    2,792 
Banner Corp.   52    2,785 
RLJ Lodging Trust REIT   235    2,754 
Cushman & Wakefield plc*   254    2,743 
Banc of California, Inc.   203    2,730 
OFG Bancorp   72    2,699 
Farmer Mac — Class C   14    2,677 
InvenTrust Properties Corp. REIT   105    2,661 
Retail Opportunity Investments Corp. REIT   189    2,652 
Triumph Financial, Inc.*   33    2,646 
JBG SMITH Properties REIT   154    2,620 
StepStone Group, Inc. — Class A   82    2,610 
Enova International, Inc.*   47    2,602 
Customers Bancorp, Inc.*   45    2,593 
Trustmark Corp.   93    2,593 
Apollo Commercial Real Estate Finance, Inc. REIT   218    2,559 
Bread Financial Holdings, Inc.   77    2,536 
Ready Capital Corp. REIT   246    2,522 
Hilltop Holdings, Inc.   71    2,500 
Bank of NT Butterfield & Son Ltd.   78    2,497 
Navient Corp.   134    2,495 
Lakeland Financial Corp.   38    2,476 
Northwest Bancshares, Inc.   197    2,459 
Enterprise Financial Services Corp.   55    2,456 
Heartland Financial USA, Inc.   65    2,445 
Acadia Realty Trust REIT   143    2,430 
City Holding Co.   22    2,426 
Goosehead Insurance, Inc. — Class A*   32    2,426 
First Commonwealth Financial Corp.   157    2,424 
Virtus Investment Partners, Inc.   10    2,418 
Stewart Information Services Corp.   41    2,409 
Live Oak Bancshares, Inc.   52    2,366 
Westamerica BanCorp   41    2,313 
Kennedy-Wilson Holdings, Inc.   183    2,265 
Newmark Group, Inc. — Class A   206    2,258 
First Bancorp   61    2,258 
Xenia Hotels & Resorts, Inc. REIT   165    2,247 
BRP Group, Inc. — Class A*   91    2,186 
Stock Yards Bancorp, Inc.   42    2,163 
Compass Diversified Holdings   96    2,155 
Service Properties Trust REIT   252    2,152 
FB Financial Corp.   54    2,152 
Hope Bancorp, Inc.   178    2,150 
Alexander & Baldwin, Inc. REIT   112    2,130 
Pathward Financial, Inc.   40    2,117 
Uniti Group, Inc. REIT   363    2,098 
National Bank Holdings Corp. — Class A   56    2,083 
Two Harbors Investment Corp. REIT   149    2,076 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
TriCo Bancshares   48   $2,063 
Stellar Bancorp, Inc.   74    2,060 
Horace Mann Educators Corp.   63    2,060 
Palomar Holdings, Inc.*   37    2,053 
Getty Realty Corp. REIT   70    2,045 
Provident Financial Services, Inc.   113    2,037 
PennyMac Mortgage Investment Trust REIT   136    2,033 
Cannae Holdings, Inc.*   104    2,029 
LTC Properties, Inc. REIT   63    2,024 
S&T Bancorp, Inc.   60    2,005 
Ladder Capital Corp. — Class A REIT   174    2,003 
First Busey Corp.   80    1,986 
Hudson Pacific Properties, Inc. REIT   212    1,974 
Elme Communities REIT   135    1,971 
Empire State Realty Trust, Inc. — Class A REIT   203    1,967 
Veris Residential, Inc. REIT   121    1,903 
Easterly Government Properties, Inc. REIT   141    1,895 
Claros Mortgage Trust, Inc.   139    1,895 
Trupanion, Inc.*   62    1,892 
Veritex Holdings, Inc.   81    1,885 
Encore Capital Group, Inc.*   36    1,827 
Sandy Spring Bancorp, Inc.   67    1,825 
NETSTREIT Corp. REIT   101    1,803 
MFA Financial, Inc. REIT   157    1,769 
Nelnet, Inc. — Class A   20    1,764 
Peoples Bancorp, Inc.   52    1,755 
Apartment Investment and Management Co. — Class A REIT*   222    1,738 
Franklin BSP Realty Trust, Inc. REIT   128    1,729 
Chimera Investment Corp. REIT   345    1,722 
American Assets Trust, Inc. REIT   75    1,688 
Redfin Corp.*   163    1,682 
Safety Insurance Group, Inc.   22    1,672 
Berkshire Hills Bancorp, Inc.   67    1,664 
eXp World Holdings, Inc.   107    1,661 
Compass, Inc. — Class A*   433    1,628 
Marcus & Millichap, Inc.   37    1,616 
Employers Holdings, Inc.   41    1,615 
Origin Bancorp, Inc.   45    1,601 
Plymouth Industrial REIT, Inc.   66    1,589 
PRA Group, Inc.*   60    1,572 
OceanFirst Financial Corp.   90    1,562 
Safehold, Inc. REIT   66    1,544 
Mercury General Corp.   41    1,530 
Nicolet Bankshares, Inc.   19    1,529 
QCR Holdings, Inc.   26    1,518 
Dime Community Bancshares, Inc.   55    1,481 
Paramount Group, Inc. REIT   285    1,473 
BrightSpire Capital, Inc. REIT   198    1,473 
WisdomTree, Inc.   212    1,469 
Brookline Bancorp, Inc.   134    1,462 
Ellington Financial, Inc. REIT   115    1,462 
Preferred Bank/Los Angeles CA   20    1,461 
National Western Life Group, Inc. — Class A   3    1,449 
Victory Capital Holdings, Inc. — Class A   42    1,447 
Southside Bancshares, Inc.   46    1,441 
LendingClub Corp.*   163    1,425 
Lakeland Bancorp, Inc.   96    1,420 
Brandywine Realty Trust REIT   260    1,404 
German American Bancorp, Inc.   43    1,394 
1st Source Corp.   25    1,374 
Diversified Healthcare Trust REIT   365    1,365 
AMERISAFE, Inc.   29    1,357 
Anywhere Real Estate, Inc.*   167    1,354 
Piedmont Office Realty Trust, Inc. — Class A REIT   190    1,351 
First Bancshares, Inc.   46    1,349 
Centerspace REIT   23    1,339 
F&G Annuities & Life, Inc.   29    1,334 
ARMOUR Residential REIT, Inc.1   69    1,333 
Enact Holdings, Inc.   46    1,329 
Eagle Bancorp, Inc.   44    1,326 
Premier Financial Corp.   55    1,325 
Tompkins Financial Corp.   22    1,325 
ConnectOne Bancorp, Inc.   57    1,306 
Redwood Trust, Inc. REIT   175    1,297 
Patria Investments Ltd. — Class A   83    1,287 
UMH Properties, Inc. REIT   84    1,287 
Armada Hoffler Properties, Inc. REIT   104    1,286 
Capitol Federal Financial, Inc.   196    1,264 
Lemonade, Inc.*,1   78    1,258 
SiriusPoint Ltd.*   106    1,230 
Skyward Specialty Insurance Group, Inc.*   36    1,220 
Bank First Corp.   14    1,213 
NexPoint Residential Trust, Inc. REIT   35    1,205 
KKR Real Estate Finance Trust, Inc. REIT   91    1,204 
New York Mortgage Trust, Inc. REIT   140    1,194 
Heritage Financial Corp.   54    1,155 
Ambac Financial Group, Inc.*   68    1,121 
International Money Express, Inc.*   50    1,105 
ProAssurance Corp.   79    1,089 
Summit Hotel Properties, Inc. REIT   161    1,082 
Peakstone Realty Trust REIT   54    1,076 
Community Trust Bancorp, Inc.   24    1,053 
Dynex Capital, Inc. REIT   84    1,052 
Global Medical REIT, Inc.   94    1,043 
First Mid Bancshares, Inc.   30    1,040 
Community Healthcare Trust, Inc. REIT   39    1,039 
Old Second Bancorp, Inc.   67    1,034 
CBL & Associates Properties, Inc. REIT   42    1,026 
Merchants Bancorp   24    1,022 
AssetMark Financial Holdings, Inc.*   34    1,018 
First Community Bankshares, Inc.   27    1,002 
Univest Financial Corp.   45    991 
Amerant Bancorp, Inc.   40    983 
Mercantile Bank Corp.   24    969 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Horizon Bancorp, Inc.   67   $959 
Brightsphere Investment Group, Inc.   50    958 
CrossFirst Bankshares, Inc.*   69    937 
Brookfield Business Corp. — Class A   40    931 
Whitestone REIT — Class B   75    922 
Business First Bancshares, Inc.   37    912 
Hanmi Financial Corp.   47    912 
Heritage Commerce Corp.   91    903 
TrustCo Bank Corporation NY   29    900 
Farmland Partners, Inc. REIT1   72    899 
Byline Bancorp, Inc.   38    895 
Columbia Financial, Inc.*   46    887 
Metropolitan Bank Holding Corp.*   16    886 
Midland States Bancorp, Inc.   32    882 
HCI Group, Inc.   10    874 
Camden National Corp.   23    865 
Alexander's, Inc. REIT   4    854 
Equity Bancshares, Inc. — Class A   25    847 
Washington Trust Bancorp, Inc.   26    842 
Gladstone Commercial Corp. REIT   63    834 
Perella Weinberg Partners   68    832 
Great Southern Bancorp, Inc.   14    831 
Diamond Hill Investment Group, Inc.   5    828 
Universal Health Realty Income Trust REIT   19    822 
Ares Commercial Real Estate Corp. REIT   79    818 
Independent Bank Corp.   31    807 
Peapack-Gladstone Financial Corp.   27    805 
Northfield Bancorp, Inc.   64    805 
Farmers National Banc Corp.   55    795 
Chatham Lodging Trust REIT   74    793 
Central Pacific Financial Corp.   40    787 
World Acceptance Corp.*   6    783 
American National Bankshares, Inc.   16    780 
HarborOne Bancorp, Inc.   65    779 
First Financial Corp.   18    774 
Republic Bancorp, Inc. — Class A   14    772 
NerdWallet, Inc. — Class A*   52    765 
First Foundation, Inc.   79    765 
Cambridge Bancorp   11    763 
Kearny Financial Corp.   85    762 
Coastal Financial Corp.*   17    755 
Amalgamated Financial Corp.   28    754 
Gladstone Land Corp. REIT   52    751 
Flushing Financial Corp.   44    725 
CNB Financial Corp.   32    723 
Saul Centers, Inc. REIT   18    707 
Tiptree, Inc. — Class A   37    701 
TPG RE Finance Trust, Inc. REIT   107    696 
Southern Missouri Bancorp, Inc.   13    694 
RMR Group, Inc. — Class A   24    677 
Bar Harbor Bankshares   23    675 
P10, Inc. — Class A   66    675 
Metrocity Bankshares, Inc.   28    673 
Alerus Financial Corp.   29    649 
HomeTrust Bancshares, Inc.   24    646 
United Fire Group, Inc.   32    644 
Shore Bancshares, Inc.   45    641 
Burke & Herbert Financial Services Corp.   10    629 
FRP Holdings, Inc.*   10    629 
Universal Insurance Holdings, Inc.   39    623 
Capital City Bank Group, Inc.   21    618 
Arrow Financial Corp.   22    615 
Capstar Financial Holdings, Inc.   32    600 
MidWestOne Financial Group, Inc.   22    592 
FTAI Infrastructure, Inc.   152    591 
CTO Realty Growth, Inc. REIT   34    589 
SmartFinancial, Inc.   24    588 
B Riley Financial, Inc.1   28    588 
Hingham Institution For Savings   3    583 
ACNB Corp.   13    582 
Forge Global Holdings, Inc.*   168    576 
Invesco Mortgage Capital, Inc. REIT   65    576 
GCM Grosvenor, Inc. — Class A   64    573 
Citizens & Northern Corp.   25    561 
Orchid Island Capital, Inc. REIT   66    556 
Carter Bankshares, Inc.*   37    554 
Northeast Bank   10    552 
South Plains Financial, Inc.   19    550 
Esquire Financial Holdings, Inc.   11    550 
One Liberty Properties, Inc. REIT   25    548 
Home Bancorp, Inc.   13    546 
Farmers & Merchants Bancorp Incorporated/Archbold OH   22    546 
Office Properties Income Trust REIT   74    542 
Peoples Financial Services Corp.   11    536 
Mid Penn Bancorp, Inc.   22    534 
West BanCorp, Inc.   25    530 
Bank of Marin Bancorp   24    528 
James River Group Holdings Ltd.   57    527 
Summit Financial Group, Inc.   17    522 
Northrim BanCorp, Inc.   9    515 
Orion Office REIT, Inc.   88    503 
Five Star Bancorp   19    497 
RBB Bancorp   26    495 
Financial Institutions, Inc.   23    490 
LendingTree, Inc.*   16    485 
Enterprise Bancorp, Inc.   15    484 
NewtekOne, Inc.   35    483 
Orange County Bancorp, Inc.   8    482 
First Business Financial Services, Inc.   12    481 
Sierra Bancorp   21    474 
Orrstown Financial Services, Inc.   16    472 
Guaranty Bancshares, Inc.   14    471 
Bit Digital, Inc.*   111    470 
Granite Point Mortgage Trust, Inc. REIT   78    463 
Macatawa Bank Corp.   41    462 
Greenlight Capital Re Ltd. — Class A*   40    457 
Citizens Financial Services, Inc.   7    453 
Southern First Bancshares, Inc.*   12    445 
Civista Bancshares, Inc.   24    443 
First of Long Island Corp.   33    437 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Codorus Valley Bancorp, Inc.   17   $437 
John Marshall Bancorp, Inc.   19    429 
BayCom Corp.   18    425 
First Bancorp, Inc.   15    423 
MBIA, Inc.*   69    422 
Postal Realty Trust, Inc. — Class A REIT   29    422 
HBT Financial, Inc.   20    422 
Bridgewater Bancshares, Inc.*   31    419 
First Bank/Hamilton NJ   28    412 
Fidelity D&D Bancorp, Inc.   7    406 
MVB Financial Corp.   18    406 
Chicago Atlantic Real Estate Finance, Inc. REIT   25    404 
Waterstone Financial, Inc.   28    398 
Norwood Financial Corp.   12    395 
Red River Bancshares, Inc.   7    393 
Primis Financial Corp.   31    392 
Middlefield Banc Corp.   12    388 
Legacy Housing Corp.*   15    378 
Third Coast Bancshares, Inc.*   19    377 
Timberland Bancorp, Inc.   12    378 
NexPoint Diversified Real Estate Trust REIT   47    374 
FS Bancorp, Inc.   10    370 
City Office REIT, Inc.   60    367 
Douglas Elliman, Inc.   124    366 
Capital Bancorp, Inc.   15    363 
eHealth, Inc.*   41    357 
Unity Bancorp, Inc.   12    355 
FVCBankcorp, Inc.*   25    355 
Northeast Community Bancorp, Inc.   20    355 
RE/MAX Holdings, Inc. — Class A   26    347 
Colony Bankcorp, Inc.   26    346 
C&F Financial Corp.   5    341 
Alpine Income Property Trust, Inc. REIT   20    338 
Donegal Group, Inc. — Class A   24    336 
Central Valley Community Bancorp   15    335 
BRT Apartments Corp. REIT   18    335 
Plumas Bancorp   8    331 
Oak Valley Bancorp   11    329 
Blue Foundry Bancorp*   34    329 
Investors Title Co.   2    324 
Parke Bancorp, Inc.   16    324 
ChoiceOne Financial Services, Inc.   11    322 
Southern States Bancshares, Inc.   11    322 
Maiden Holdings Ltd.*   139    318 
PCB Bancorp   17    313 
Greene County Bancorp, Inc.   11    310 
Ocwen Financial Corp.*   10    308 
Ponce Financial Group, Inc.*   31    303 
Regional Management Corp.   12    301 
AFC Gamma, Inc. REIT   25    301 
Star Holdings*   20    300 
Ames National Corp.   14    299 
BCB Bancorp, Inc.   23    295 
Fidelis Insurance Holdings Ltd.*   23    291 
National Bankshares, Inc.   9    291 
Crawford & Co. — Class A   22    290 
HomeStreet, Inc.   28    288 
Selectquote, Inc.*   210    288 
Princeton Bancorp, Inc.   8    287 
American Coastal Insurance Corp.*   30    284 
AlTi Global, Inc.*   32    280 
Silvercrest Asset Management Group, Inc. — Class A   16    272 
Bankwell Financial Group, Inc.   9    272 
Atlanticus Holdings Corp.*   7    271 
ESSA Bancorp, Inc.   13    260 
Stratus Properties, Inc.*   9    260 
Braemar Hotels & Resorts, Inc. REIT   101    253 
LCNB Corp.   16    252 
Evans Bancorp, Inc.   8    252 
Chemung Financial Corp.   5    249 
MainStreet Bancshares, Inc.   10    248 
Penns Woods Bancorp, Inc.   11    248 
Velocity Financial, Inc.*   14    241 
Virginia National Bankshares Corp.   7    241 
First Western Financial, Inc.*   12    238 
First Community Corp.   11    237 
Nexpoint Real Estate Finance, Inc. REIT   13    205 
USCB Financial Holdings, Inc.*   16    196 
Angel Oak Mortgage REIT, Inc.   18    191 
Maui Land & Pineapple Company, Inc.*   12    191 
Sterling Bancorp, Inc.*   33    190 
Pioneer Bancorp, Inc.*   18    180 
Security National Financial Corp. — Class A*   19    171 
Luther Burbank Corp.*   16    171 
Bank7 Corp.   6    164 
NI Holdings, Inc.*   12    156 
Hippo Holdings, Inc.*   16    146 
Paysign, Inc.*   50    140 
Kingsway Financial Services, Inc.*   16    134 
Consumer Portfolio Services, Inc.*   14    131 
SWK Holdings Corp.*   6    105 
Transcontinental Realty Investors, Inc.*   3    104 
Clipper Realty, Inc. REIT   17    92 
Finance of America Companies, Inc. — Class A*   82    90 
OppFi, Inc.*   17    87 
GoHealth, Inc. — Class A*   6    80 
Blue Ridge Bankshares, Inc.   26    79 
American Realty Investors, Inc.*   3    52 
Total Financial        851,809 
Industrial - 8.4%          
Simpson Manufacturing Company, Inc.   65    12,869 
UFP Industries, Inc.   90    11,299 
Comfort Systems USA, Inc.   53    10,900 
Fabrinet*   56    10,659 
Applied Industrial Technologies, Inc.   58    10,016 
Atkore, Inc.*   58    9,280 
Novanta, Inc.*   54    9,094 
Chart Industries, Inc.*   65    8,861 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

  

   Shares   Value 
Watts Water Technologies, Inc. — Class A   41   $8,542 
Fluor Corp.*   214    8,382 
Mueller Industries, Inc.   169    7,968 
Boise Cascade Co.   60    7,762 
AAON, Inc.   102    7,535 
Casella Waste Systems, Inc. — Class A*   85    7,264 
Federal Signal Corp.   92    7,060 
Badger Meter, Inc.   45    6,947 
Summit Materials, Inc. — Class A*   180    6,923 
Exponent, Inc.   76    6,691 
Franklin Electric Company, Inc.   69    6,669 
SPX Technologies, Inc.*   66    6,667 
Zurn Elkay Water Solutions Corp.   223    6,558 
GATX Corp.   53    6,372 
Moog, Inc. — Class A   44    6,370 
EnerSys   63    6,360 
Advanced Energy Industries, Inc.   57    6,208 
Arcosa, Inc.   73    6,033 
Matson, Inc.   54    5,918 
Terex Corp.   101    5,803 
Knife River Corp.*   85    5,625 
Itron, Inc.*   70    5,286 
Hillenbrand, Inc.   107    5,120 
Dycom Industries, Inc.*   44    5,064 
Kadant, Inc.   18    5,046 
Enpro, Inc.   32    5,016 
CSW Industrials, Inc.   24    4,978 
Belden, Inc.   64    4,944 
AeroVironment, Inc.*   39    4,916 
Encore Wire Corp.   23    4,913 
John Bean Technologies Corp.   48    4,774 
Vishay Intertechnology, Inc.   198    4,746 
Modine Manufacturing Co.*   79    4,716 
Plexus Corp.*   43    4,650 
Albany International Corp. — Class A   47    4,616 
ESCO Technologies, Inc.   39    4,564 
Scorpio Tankers, Inc.   74    4,499 
Cactus, Inc. — Class A   99    4,495 
Frontdoor, Inc.*   127    4,473 
Sanmina Corp.*   87    4,469 
ArcBest Corp.   37    4,448 
Bloom Energy Corp. — Class A*   295    4,366 
Hub Group, Inc. — Class A*   47    4,321 
Materion Corp.   32    4,164 
RXO, Inc.*   179    4,163 
Sterling Infrastructure, Inc.*   47    4,133 
Werner Enterprises, Inc.   97    4,110 
Kratos Defense & Security Solutions, Inc.*   193    3,916 
Griffon Corp.   64    3,901 
O-I Glass, Inc.*   238    3,899 
Gibraltar Industries, Inc.*   47    3,712 
MYR Group, Inc.*   25    3,616 
Golar LNG Ltd.   156    3,586 
NEXTracker, Inc. — Class A*   75    3,514 
Energizer Holdings, Inc.   110    3,485 
PGT Innovations, Inc.*   85    3,459 
Mueller Water Products, Inc. — Class A   237    3,413 
Granite Construction, Inc.   67    3,408 
Trinity Industries, Inc.   126    3,350 
AAR Corp.*   53    3,307 
Kennametal, Inc.   125    3,224 
Alamo Group, Inc.   15    3,153 
Mirion Technologies, Inc.*   306    3,137 
OSI Systems, Inc.*   24    3,097 
Masterbrand, Inc.*   198    2,940 
International Seaways, Inc.   63    2,865 
Standex International Corp.   18    2,851 
Masonite International Corp.*   33    2,794 
Joby Aviation, Inc.*   419    2,787 
Primoris Services Corp.   82    2,723 
Hillman Solutions Corp.*   294    2,708 
Worthington Enterprises, Inc.   47    2,705 
Construction Partners, Inc. — Class A*   62    2,698 
Enerpac Tool Group Corp.   85    2,643 
Enovix Corp.*   211    2,642 
Tennant Co.   28    2,595 
Knowles Corp.*   139    2,489 
TTM Technologies, Inc.*   157    2,482 
JELD-WEN Holding, Inc.*   131    2,473 
Forward Air Corp.   39    2,452 
Barnes Group, Inc.   75    2,447 
Greif, Inc. — Class A   37    2,427 
American Woodmark Corp.*   26    2,414 
NV5 Global, Inc.*   21    2,334 
Rocket Lab USA, Inc.*   419    2,317 
Helios Technologies, Inc.   50    2,267 
AZZ, Inc.   39    2,266 
Lindsay Corp.   17    2,196 
World Kinect Corp.   95    2,164 
Dorian LPG Ltd.   49    2,150 
Leonardo DRS, Inc.*   105    2,104 
CTS Corp.   48    2,100 
DHT Holdings, Inc.   210    2,060 
Greenbrier Companies, Inc.   46    2,032 
SFL Corporation Ltd.   177    1,996 
Marten Transport Ltd.   90    1,888 
Xometry, Inc. — Class A*   52    1,867 
Golden Ocean Group Ltd.   189    1,845 
Teekay Tankers Ltd. — Class A   36    1,799 
Apogee Enterprises, Inc.   33    1,763 
Columbus McKinnon Corp.   44    1,717 
Janus International Group, Inc.*   130    1,697 
Thermon Group Holdings, Inc.*   51    1,661 
Triumph Group, Inc.*   100    1,658 
Napco Security Technologies, Inc.   48    1,644 
TriMas Corp.   64    1,621 
Energy Recovery, Inc.*   85    1,601 
Proto Labs, Inc.*   41    1,597 
TimkenSteel Corp.*   67    1,571 
Air Transport Services Group, Inc.*   87    1,532 
Vicor Corp.*   34    1,528 
Benchmark Electronics, Inc.   55    1,520 
Ryerson Holding Corp.   43    1,491 
Ichor Holdings Ltd.*   44    1,480 
Archer Aviation, Inc. — Class A*   234    1,437 
Montrose Environmental Group, Inc.*   42    1,349 
FLEX LNG Ltd.   46    1,337 
Nordic American Tankers Ltd.   315    1,323 
Astec Industries, Inc.   34    1,265 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Gorman-Rupp Co.   35   $1,244 
Powell Industries, Inc.   14    1,238 
Aspen Aerogels, Inc.*   78    1,231 
Sturm Ruger & Company, Inc.   26    1,182 
Insteel Industries, Inc.   29    1,110 
Enviri Corp.*   122    1,098 
Myers Industries, Inc.   56    1,095 
Genco Shipping & Trading Ltd.   65    1,078 
Bel Fuse, Inc. — Class B   16    1,068 
Hyster-Yale Materials Handling, Inc.   17    1,057 
IES Holdings, Inc.*   13    1,030 
Kaman Corp.   43    1,030 
Heartland Express, Inc.   72    1,027 
Cadre Holdings, Inc.   31    1,019 
Olympic Steel, Inc.   15    1,001 
Ducommun, Inc.*   19    989 
Kimball Electronics, Inc.*   36    970 
Smith & Wesson Brands, Inc.   70    949 
CryoPort, Inc.*   61    945 
Clearwater Paper Corp.*   26    939 
Argan, Inc.   20    936 
CECO Environmental Corp.*   46    933 
nLight, Inc.*   67    905 
SmartRent, Inc.*   282    900 
Ardmore Shipping Corp.   63    888 
Manitowoc Company, Inc.*   53    885 
DXP Enterprises, Inc.*   25    843 
Mesa Laboratories, Inc.   8    838 
Pactiv Evergreen, Inc.   61    836 
Evolv Technologies Holdings, Inc.*   173    817 
Stoneridge, Inc.*   41    802 
LSB Industries, Inc.*   85    791 
Great Lakes Dredge & Dock Corp.*   101    776 
Eagle Bulk Shipping, Inc.   14    776 
Costamare, Inc.   74    770 
MicroVision, Inc.*   272    724 
PureCycle Technologies, Inc.*   178    721 
Astronics Corp.*   40    697 
Covenant Logistics Group, Inc. — Class A   15    691 
Teekay Corp.*   94    672 
GoPro, Inc. — Class A*   191    663 
FARO Technologies, Inc.*   29    653 
GrafTech International Ltd.   297    650 
National Presto Industries, Inc.   8    642 
Limbach Holdings, Inc.*   14    637 
Tutor Perini Corp.*   66    601 
Cadeler A/S ADR*   32    589 
Atmus Filtration Technologies, Inc.*,1   25    587 
Allient, Inc.   19    574 
Bowman Consulting Group Ltd.*   16    568 
LSI Industries, Inc.   39    549 
NVE Corp.   7    549 
Greif, Inc. — Class B   8    528 
Daseke, Inc.*   62    502 
Overseas Shipholding Group, Inc. — Class A   95    501 
AerSale Corp.*   39    495 
Park Aerospace Corp.   32    470 
Pangaea Logistics Solutions Ltd.   56    461 
Northwest Pipe Co.*   15    454 
Safe Bulkers, Inc.   102    401 
Ranpak Holdings Corp.*   67    390 
Luxfer Holdings plc   43    384 
908 Devices, Inc.*   34    381 
Radiant Logistics, Inc.*   55    365 
Comtech Telecommunications Corp.   42    354 
Omega Flex, Inc.   5    353 
Park-Ohio Holdings Corp.   13    350 
Eastman Kodak Co.*   88    343 
Iteris, Inc.*   66    343 
Concrete Pumping Holdings, Inc.*   40    328 
Pure Cycle Corp.*   31    325 
Universal Logistics Holdings, Inc.   11    308 
AMMO, Inc.*   139    292 
Blink Charging Co.*   80    271 
NuScale Power Corp.*   82    270 
Turtle Beach Corp.*   24    263 
Gencor Industries, Inc.*   16    258 
Mayville Engineering Company, Inc.*   17    245 
Willis Lease Finance Corp.*   5    244 
Mistras Group, Inc.*   32    234 
Karat Packaging, Inc.   9    224 
Core Molding Technologies, Inc.*   12    222 
Tredegar Corp.   41    222 
PAM Transportation Services, Inc.*   10    208 
Eve Holding, Inc.*   28    205 
Sight Sciences, Inc.*   33    170 
Intevac, Inc.*   39    168 
LanzaTech Global, Inc.*   32    161 
ESS Tech, Inc.*   141    161 
Latham Group, Inc.*   59    155 
Transphorm, Inc.*   42    153 
SKYX Platforms Corp.*   94    150 
Babcock & Wilcox Enterprises, Inc.*   91    133 
374Water, Inc.*   90    128 
Li-Cycle Holdings Corp.*   212    124 
INNOVATE Corp.*   79    97 
Akoustis Technologies, Inc.*   106    88 
Himalaya Shipping Ltd.*   13    88 
NL Industries, Inc.   13    73 
Amprius Technologies, Inc.*   8    42 
Redwire Corp.*   12    34 
Southland Holdings, Inc.*   6    31 
Charge Enterprises, Inc.*   207    24 
Total Industrial        579,051 
Consumer, Cyclical - 6.6%          
Light & Wonder, Inc. — Class A*   137    11,249 
Meritage Homes Corp.   55    9,581 
Taylor Morrison Home Corp. — Class A*   158    8,429 
Beacon Roofing Supply, Inc.*   88    7,658 
Carvana Co.*   144    7,623 
Academy Sports & Outdoors, Inc.   110    7,260 
Signet Jewelers Ltd.   67    7,186 
Asbury Automotive Group, Inc.*   31    6,974 
KB Home   109    6,808 
Abercrombie & Fitch Co. — Class A*   75    6,616 
Installed Building Products, Inc.   36    6,582 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Group 1 Automotive, Inc.   21   $6,400 
FirstCash Holdings, Inc.   57    6,178 
Skyline Champion Corp.*   82    6,089 
Goodyear Tire & Rubber Co.*   423    6,057 
American Eagle Outfitters, Inc.   280    5,925 
M/I Homes, Inc.*   41    5,647 
Kontoor Brands, Inc.   85    5,306 
Adient plc*   145    5,272 
Visteon Corp.*   42    5,246 
Tri Pointe Homes, Inc.*   146    5,168 
GMS, Inc.*   62    5,111 
Hilton Grand Vacations, Inc.*   125    5,023 
MDC Holdings, Inc.   90    4,972 
Steven Madden Ltd.   115    4,830 
Rush Enterprises, Inc. — Class A   95    4,778 
LCI Industries   38    4,777 
International Game Technology plc   167    4,578 
Cavco Industries, Inc.*   13    4,506 
Fox Factory Holding Corp.*   64    4,319 
LGI Homes, Inc.*   32    4,261 
Shake Shack, Inc. — Class A*   57    4,225 
Resideo Technologies, Inc.*   224    4,216 
UniFirst Corp.   23    4,207 
Foot Locker, Inc.   126    3,925 
Century Communities, Inc.   43    3,919 
Red Rock Resorts, Inc. — Class A   73    3,893 
Bloomin' Brands, Inc.   135    3,800 
Papa John's International, Inc.   49    3,735 
Boot Barn Holdings, Inc.*   46    3,531 
Urban Outfitters, Inc.*   98    3,498 
Dorman Products, Inc.*   41    3,420 
Sonos, Inc.*   196    3,360 
Patrick Industries, Inc.   33    3,312 
Winnebago Industries, Inc.   44    3,207 
SkyWest, Inc.*   61    3,184 
Topgolf Callaway Brands Corp.*   221    3,169 
Acushnet Holdings Corp.   48    3,032 
PriceSmart, Inc.   40    3,031 
MillerKnoll, Inc.   112    2,988 
HNI Corp.   71    2,970 
Dana, Inc.   201    2,937 
Dave & Buster's Entertainment, Inc.*   54    2,908 
SeaWorld Entertainment, Inc.*   55    2,906 
Brinker International, Inc.*   67    2,893 
ODP Corp.*   50    2,815 
Six Flags Entertainment Corp.*   111    2,784 
Spirit Airlines, Inc.   169    2,770 
JetBlue Airways Corp.*   497    2,758 
Atlanta Braves Holdings, Inc. — Class C*   68    2,691 
Gentherm, Inc.*   51    2,670 
Cheesecake Factory, Inc.   75    2,626 
Cracker Barrel Old Country Store, Inc.   34    2,621 
H&E Equipment Services, Inc.   50    2,616 
Vista Outdoor, Inc.*   87    2,573 
Jack in the Box, Inc.   31    2,531 
National Vision Holdings, Inc.*   120    2,512 
OPENLANE, Inc.*   167    2,473 
La-Z-Boy, Inc.   66    2,437 
Cinemark Holdings, Inc.*   169    2,381 
Hanesbrands, Inc.*   529    2,359 
Oxford Industries, Inc.   23    2,300 
Buckle, Inc.   47    2,233 
Sally Beauty Holdings, Inc.*   165    2,191 
Aurora Innovation, Inc.*   501    2,189 
G-III Apparel Group Ltd.*   62    2,107 
Green Brick Partners, Inc.*   40    2,078 
Dillard's, Inc. — Class A   5    2,018 
Allegiant Travel Co. — Class A   24    1,983 
Madison Square Garden Entertainment Corp.*   60    1,907 
Leslie's, Inc.*   272    1,880 
Steelcase, Inc. — Class A   139    1,879 
Wabash National Corp.   73    1,870 
Warby Parker, Inc. — Class A*   131    1,847 
XPEL, Inc.*   34    1,831 
Lions Gate Entertainment Corp. — Class B*   177    1,804 
OneSpaWorld Holdings Ltd.*   125    1,763 
indie Semiconductor, Inc. — Class A*   210    1,703 
Malibu Boats, Inc. — Class A*   31    1,699 
Sovos Brands, Inc.*   77    1,696 
Sweetgreen, Inc. — Class A*   149    1,684 
Camping World Holdings, Inc. — Class A   64    1,681 
Winmark Corp.   4    1,670 
ScanSource, Inc.*   42    1,664 
Caleres, Inc.   54    1,659 
iRobot Corp.*   42    1,625 
BlueLinx Holdings, Inc.*   14    1,586 
American Axle & Manufacturing Holdings, Inc.*   175    1,542 
Beazer Homes USA, Inc.*   45    1,521 
Nu Skin Enterprises, Inc. — Class A   77    1,495 
Everi Holdings, Inc.*   129    1,454 
Monarch Casino & Resort, Inc.   21    1,452 
Hibbett, Inc.   20    1,440 
MRC Global, Inc.*   129    1,420 
Luminar Technologies, Inc.*,1   416    1,402 
Chico's FAS, Inc.*   181    1,372 
Sonic Automotive, Inc. — Class A   24    1,349 
Dream Finders Homes, Inc. — Class A*   37    1,315 
Standard Motor Products, Inc.   33    1,314 
MarineMax, Inc.*   33    1,284 
Bluegreen Vacations Holding Corp.1   17    1,277 
Golden Entertainment, Inc.   31    1,238 
Methode Electronics, Inc.   54    1,227 
BJ's Restaurants, Inc.*   34    1,224 
Virgin Galactic Holdings, Inc.*   498    1,220 
PC Connection, Inc.   18    1,210 
Titan International, Inc.*   81    1,205 
Dine Brands Global, Inc.   24    1,192 
VSE Corp.   18    1,163 
Ethan Allen Interiors, Inc.   36    1,149 
Interface, Inc. — Class A   88    1,111 
Hawaiian Holdings, Inc.*   78    1,108 
Hovnanian Enterprises, Inc. — Class A*   7    1,089 
Portillo's, Inc. — Class A*   68    1,083 
Chuy's Holdings, Inc.*   28    1,070 
Wolverine World Wide, Inc.   120    1,067 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

  

   Shares   Value 
Arko Corp.   127   $1,048 
Douglas Dynamics, Inc.   35    1,039 
Guess?, Inc.   45    1,038 
IMAX Corp.*   69    1,036 
Life Time Group Holdings, Inc.*   68    1,025 
Blue Bird Corp.*   38    1,025 
Clean Energy Fuels Corp.*   260    996 
Lions Gate Entertainment Corp. — Class A*   90    981 
Forestar Group, Inc.*   29    959 
A-Mark Precious Metals, Inc.   31    938 
Titan Machinery, Inc.*   32    924 
Sun Country Airlines Holdings, Inc.*   58    912 
Hudson Technologies, Inc.*   67    904 
Vizio Holding Corp. — Class A*   116    893 
REV Group, Inc.   49    890 
RCI Hospitality Holdings, Inc.   13    861 
Accel Entertainment, Inc.*   83    852 
Denny's Corp.*   78    849 
Nikola Corp.*,1   936    819 
Shoe Carnival, Inc.   27    816 
Rush Enterprises, Inc. — Class B   15    795 
Haverty Furniture Companies, Inc.   22    781 
Global Industrial Co.   20    777 
Movado Group, Inc.   24    724 
Miller Industries, Inc.   17    719 
Xperi, Inc.*   64    705 
Kura Sushi USA, Inc. — Class A*   9    684 
America's Car-Mart, Inc.*   9    682 
Savers Value Village, Inc.*   39    678 
Super Group SGHC Ltd.*   210    666 
Shyft Group, Inc.   54    660 
MasterCraft Boat Holdings, Inc.*   29    657 
Atlanta Braves Holdings, Inc. — Class A*   15    642 
Genesco, Inc.*   18    634 
Bally's Corp.*   45    627 
Lindblad Expeditions Holdings, Inc.*   55    620 
Designer Brands, Inc. — Class A   66    584 
OneWater Marine, Inc. — Class A*   17    574 
Lovesac Co.*   22    562 
Marcus Corp.   37    539 
Fisker, Inc.*   300    525 
First Watch Restaurant Group, Inc.*   26    523 
Zumiez, Inc.*   25    508 
Cooper-Standard Holdings, Inc.*   26    508 
Xponential Fitness, Inc. — Class A*   38    490 
Sleep Number Corp.*   33    489 
Daktronics, Inc.*   57    483 
Build-A-Bear Workshop, Inc. — Class A   21    483 
Hooker Furnishings Corp.   18    470 
Microvast Holdings, Inc.*   326    456 
Carrols Restaurant Group, Inc.   57    449 
EVgo, Inc.*   124    444 
Rush Street Interactive, Inc.*   97    436 
Johnson Outdoors, Inc. — Class A   8    427 
Children's Place, Inc.*   18    418 
Potbelly Corp.*   40    417 
Funko, Inc. — Class A*   53    410 
JAKKS Pacific, Inc.*   11    391 
Holley, Inc.*   80    390 
Destination XL Group, Inc.*   85    374 
El Pollo Loco Holdings, Inc.*   42    370 
Bowlero Corp. — Class A*   26    368 
SES AI Corp.*   192    351 
Commercial Vehicle Group, Inc.*   50    351 
Solid Power, Inc.*   238    345 
Big Lots, Inc.   43    335 
Rocky Brands, Inc.   11    332 
Tile Shop Holdings, Inc.*   44    324 
Global Business Travel Group I*   50    323 
Frontier Group Holdings, Inc.*   59    322 
Clarus Corp.   45    310 
Vera Bradley, Inc.*   40    308 
Escalade, Inc.   15    301 
Red Robin Gourmet Burgers, Inc.*   24    299 
Weyco Group, Inc.   9    282 
Full House Resorts, Inc.*   51    274 
Tilly's, Inc. — Class A*   35    264 
Landsea Homes Corp.*   20    263 
Sportsman's Warehouse Holdings, Inc.*   59    251 
Snap One Holdings Corp.*   28    250 
ThredUp, Inc. — Class A*   110    247 
PetMed Express, Inc.   32    242 
GrowGeneration Corp.*   91    228 
TuSimple Holdings, Inc. — Class A*   251    220 
Reservoir Media, Inc.*   30    214 
Big 5 Sporting Goods Corp.   33    209 
Century Casinos, Inc.*   42    205 
ONE Group Hospitality, Inc.*   33    202 
Cato Corp. — Class A   27    193 
Livewire Group, Inc.*   17    192 
VOXX International Corp. — Class A*   18    192 
Noodles & Co.*   61    192 
Hyliion Holdings Corp.*   225    183 
J Jill, Inc.*   7    180 
EVI Industries, Inc.   7    166 
Biglari Holdings, Inc. — Class B*   1    165 
Marine Products Corp.   13    148 
Traeger, Inc.*   53    145 
Duluth Holdings, Inc. — Class B*   20    108 
Fossil Group, Inc.*   72    105 
Torrid Holdings, Inc.*   18    104 
Workhorse Group, Inc.*   264    95 
Aeva Technologies, Inc.*   123    93 
Lazydays Holdings, Inc.*   12    85 
Purple Innovation, Inc.   82    85 
United Homes Group, Inc.*   9    76 
Loop Media, Inc.*   57    57 
Envela Corp.*   11    53 
CompX International, Inc.   2    51 
Dragonfly Energy Holdings Corp.*   26    14 
Qurate Retail, Inc. — Class B*   2    13 
Total Consumer, Cyclical        451,723 
Technology - 6.4%          
Super Micro Computer, Inc.*   71    19,899 
MicroStrategy, Inc. — Class A*   19    12,001 
Onto Innovation, Inc.*   74    11,315 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

  

   Shares   Value 
Rambus, Inc.*   164   $11,193 
Qualys, Inc.*   56    10,992 
SPS Commerce, Inc.*   55    10,661 
Duolingo, Inc.*   44    9,981 
Tenable Holdings, Inc.*   172    7,922 
Insight Enterprises, Inc.*   44    7,796 
Maximus, Inc.   91    7,631 
MACOM Technology Solutions Holdings, Inc.*   82    7,622 
Varonis Systems, Inc.*   167    7,562 
Workiva, Inc.*   74    7,513 
ExlService Holdings, Inc.*   243    7,497 
ASGN, Inc.*   73    7,020 
Power Integrations, Inc.   85    6,979 
Altair Engineering, Inc. — Class A*   82    6,900 
Synaptics, Inc.*   60    6,845 
Axcelis Technologies, Inc.*   49    6,355 
Silicon Laboratories, Inc.*   48    6,349 
Freshworks, Inc. — Class A*   248    5,826 
Blackbaud, Inc.*   66    5,722 
Amkor Technology, Inc.   171    5,689 
Evolent Health, Inc. — Class A*   169    5,582 
Box, Inc. — Class A*   217    5,557 
Diodes, Inc.*   69    5,556 
BlackLine, Inc.*   87    5,432 
Rapid7, Inc.*   93    5,310 
CommVault Systems, Inc.*   66    5,270 
ACI Worldwide, Inc.*   166    5,080 
Appfolio, Inc. — Class A*   29    5,024 
FormFactor, Inc.*   119    4,964 
Verra Mobility Corp.*   215    4,951 
Kulicke & Soffa Industries, Inc.   86    4,706 
Sprout Social, Inc. — Class A*   73    4,485 
Braze, Inc. — Class A*   79    4,197 
Parsons Corp.*   63    3,951 
Envestnet, Inc.*   78    3,863 
Privia Health Group, Inc.*   166    3,823 
Progress Software Corp.   67    3,638 
DigitalOcean Holdings, Inc.*   98    3,596 
C3.ai, Inc. — Class A*,1   123    3,531 
Ambarella, Inc.*   57    3,494 
SiTime Corp.*   27    3,296 
Xerox Holdings Corp.   177    3,245 
Fastly, Inc. — Class A*   182    3,240 
Impinj, Inc.*   35    3,151 
PagerDuty, Inc.*   133    3,079 
IonQ, Inc.*   247    3,060 
Schrodinger Incorporated/United States*   84    3,007 
Photronics, Inc.*   95    2,980 
ACV Auctions, Inc. — Class A*   195    2,954 
AvidXchange Holdings, Inc.*   228    2,825 
MaxLinear, Inc. — Class A*   115    2,734 
PROS Holdings, Inc.*   69    2,677 
Clear Secure, Inc. — Class A   128    2,643 
Agilysys, Inc.*   31    2,629 
CSG Systems International, Inc.   48    2,554 
Cohu, Inc.*   72    2,548 
Verint Systems, Inc.*   94    2,541 
Veeco Instruments, Inc.*   78    2,420 
Appian Corp. — Class A*   64    2,410 
Donnelley Financial Solutions, Inc.*   38    2,370 
Asana, Inc. — Class A*   123    2,338 
Ultra Clean Holdings, Inc.*   68    2,322 
NetScout Systems, Inc.*   105    2,305 
Semtech Corp.*   99    2,169 
PowerSchool Holdings, Inc. — Class A*   87    2,050 
Adeia, Inc.   164    2,032 
Jamf Holding Corp.*   108    1,950 
AvePoint, Inc.*   225    1,847 
Zuora, Inc. — Class A*   195    1,833 
Zeta Global Holdings Corp. — Class A*   207    1,826 
Phreesia, Inc.*   78    1,806 
PAR Technology Corp.*   41    1,785 
Veradigm, Inc.*   166    1,741 
EngageSmart, Inc.*   74    1,695 
Intapp, Inc.*   42    1,597 
Model N, Inc.*   58    1,562 
PDF Solutions, Inc.*   48    1,543 
Everbridge, Inc.*   62    1,507 
Alkami Technology, Inc.*   60    1,455 
ACM Research, Inc. — Class A*   74    1,446 
N-able, Inc.*   107    1,418 
Digi International, Inc.*   54    1,404 
SMART Global Holdings, Inc.*   74    1,401 
Sapiens International Corporation N.V.   47    1,360 
Navitas Semiconductor Corp.*   164    1,323 
Amplitude, Inc. — Class A*   104    1,323 
3D Systems Corp.*   196    1,245 
Cerence, Inc.*   62    1,219 
Pitney Bowes, Inc.   268    1,179 
Grid Dynamics Holdings, Inc.*   85    1,133 
E2open Parent Holdings, Inc.*   255    1,119 
Alignment Healthcare, Inc.*   130    1,119 
Simulations Plus, Inc.   24    1,074 
Aehr Test Systems*   40    1,061 
PubMatic, Inc. — Class A*   65    1,060 
Matterport, Inc.*   383    1,030 
BigCommerce Holdings, Inc.*   103    1,002 
MeridianLink, Inc.*   40    991 
Digital Turbine, Inc.*   144    988 
SolarWinds Corp.*   78    974 
Yext, Inc.*   165    972 
Conduent, Inc.*   263    960 
Integral Ad Science Holding Corp.*   65    935 
Vimeo, Inc.*   233    913 
Alpha & Omega Semiconductor Ltd.*   35    912 
Olo, Inc. — Class A*   159    909 
Mitek Systems, Inc.*   66    861 
Consensus Cloud Solutions, Inc.*   32    839 
CEVA, Inc.*   36    818 
Instructure Holdings, Inc.*   30    810 
Corsair Gaming, Inc.*   57    804 
Health Catalyst, Inc.*   86    796 
Digimarc Corp.*   22    795 
Definitive Healthcare Corp.*   70    696 
Thoughtworks Holding, Inc.*   143    688 
Daily Journal Corp.*   2    682 
8x8, Inc.*   175    662 
SEMrush Holdings, Inc. — Class A*   48    656 
OneSpan, Inc.*   61    654 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Cantaloupe, Inc.*   88   $652 
TTEC Holdings, Inc.   30    650 
Vishay Precision Group, Inc.*   19    647 
Planet Labs PBC*   253    625 
Weave Communications, Inc.*   51    585 
Unisys Corp.*   103    579 
American Software, Inc. — Class A   49    554 
Bandwidth, Inc. — Class A*   36    521 
Sharecare, Inc.*   463    500 
Cricut, Inc. — Class A   74    488 
Domo, Inc. — Class B*   47    484 
PlayAGS, Inc.*   57    480 
Cardlytics, Inc.*   52    479 
SoundHound AI, Inc. — Class A*,1   208    441 
Enfusion, Inc. — Class A*   44    427 
Outset Medical, Inc.*   76    411 
LivePerson, Inc.*   108    409 
ON24, Inc.   51    402 
EverCommerce, Inc.*   36    397 
NextNav, Inc.*   82    365 
Playstudios, Inc.*   132    358 
Red Violet, Inc.*   17    340 
Immersion Corp.   47    332 
Climb Global Solutions, Inc.   6    329 
Inspired Entertainment, Inc.*   33    326 
IBEX Holdings Ltd.*   17    323 
Innodata, Inc.*   39    317 
Desktop Metal, Inc. — Class A*   422    317 
HireRight Holdings Corp.*   21    282 
Asure Software, Inc.*   29    276 
Outbrain, Inc.*   63    276 
eGain Corp.*   33    275 
CS Disco, Inc.*   35    266 
Rimini Street, Inc.*   79    258 
Computer Programs and Systems, Inc.*   23    258 
SkyWater Technology, Inc.*   26    250 
Kaltura, Inc.*   128    250 
Richardson Electronics Ltd.   18    240 
Atomera, Inc.*   33    231 
inTEST Corp.*   17    231 
Expensify, Inc. — Class A*   85    210 
Rackspace Technology, Inc.*   95    190 
Vuzix Corp.*   90    188 
Brightcove, Inc.*   66    171 
CoreCard Corp.*   12    166 
Viant Technology, Inc. — Class A*   22    152 
Tingo Group, Inc.*   187    129 
Skillsoft Corp.*   6    105 
System1, Inc.*   43    95 
BigBear.ai Holdings, Inc.*   43    92 
Veritone, Inc.*   40    72 
Velo3D, Inc.*   137    54 
CXApp, Inc.*   3    4 
Presto Automation, Inc.*   5    3 
Total Technology        438,699 
Energy - 3.8%          
Chord Energy Corp.   63    10,473 
Weatherford International plc*   107    10,468 
Matador Resources Co.   170    9,666 
Murphy Oil Corp.   224    9,556 
ChampionX Corp.   299    8,734 
Civitas Resources, Inc.   123    8,411 
Noble Corporation plc   171    8,235 
Permian Resources Corp.   594    8,078 
PBF Energy, Inc. — Class A   171    7,517 
SM Energy Co.   181    7,008 
Equitrans Midstream Corp.   658    6,698 
Valaris Ltd.*   92    6,308 
Alpha Metallurgical Resources, Inc.   18    6,101 
Magnolia Oil & Gas Corp. — Class A   276    5,876 
California Resources Corp.   106    5,796 
Patterson-UTI Energy, Inc.   532    5,746 
Helmerich & Payne, Inc.   146    5,288 
Tidewater, Inc.*   72    5,192 
Northern Oil and Gas, Inc.   134    4,967 
Warrior Met Coal, Inc.   80    4,878 
CNX Resources Corp.*   239    4,780 
Arch Resources, Inc.   28    4,646 
CONSOL Energy, Inc.   46    4,624 
Kosmos Energy Ltd.*   688    4,617 
Liberty Energy, Inc. — Class A   250    4,535 
Peabody Energy Corp.   174    4,232 
Shoals Technologies Group, Inc. — Class A*   258    4,009 
Array Technologies, Inc.*   228    3,831 
Seadrill Ltd.*   78    3,688 
Archrock, Inc.   214    3,296 
Oceaneering International, Inc.*   154    3,277 
Par Pacific Holdings, Inc.*   85    3,091 
Callon Petroleum Co.*   94    3,046 
Sitio Royalties Corp. — Class A   124    2,915 
Delek US Holdings, Inc.   98    2,528 
Borr Drilling Ltd.*   330    2,429 
Sunnova Energy International, Inc.*   156    2,379 
Talos Energy, Inc.*   166    2,362 
Helix Energy Solutions Group, Inc.*   221    2,272 
Green Plains, Inc.*   90    2,270 
Expro Group Holdings N.V.*   136    2,165 
Gulfport Energy Corp.*   16    2,131 
Fluence Energy, Inc.*   88    2,099 
Diamond Offshore Drilling, Inc.*   157    2,041 
NOW, Inc.*   160    1,811 
Vital Energy, Inc.*   35    1,592 
Crescent Energy Co. — Class A   117    1,546 
SunCoke Energy, Inc.   129    1,386 
CVR Energy, Inc.   45    1,364 
US Silica Holdings, Inc.*   117    1,323 
Core Laboratories, Inc.   72    1,272 
ProPetro Holding Corp.*   151    1,265 
Comstock Resources, Inc.   141    1,248 
Dril-Quip, Inc.*   53    1,233 
Nabors Industries Ltd.*   14    1,143 
REX American Resources Corp.*   24    1,135 
Bristow Group, Inc.*   37    1,046 
FuelCell Energy, Inc.*   617    987 
RPC, Inc.   130    946 
Select Water Solutions, Inc. — Class A   122    926 
Montauk Renewables, Inc.*   102    909 
Kinetik Holdings, Inc. — Class A   27    902 
TETRA Technologies, Inc.*   193    872 
Stem, Inc.*   217    842 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Vitesse Energy, Inc.   38   $832 
Berry Corp.   117    823 
SilverBow Resources, Inc.*   28    814 
Newpark Resources, Inc.*   113    750 
VAALCO Energy, Inc.   166    745 
SandRidge Energy, Inc.   49    670 
Oil States International, Inc.*   96    652 
SunPower Corp. — Class A*   134    647 
Tellurian, Inc.*   803    607 
Ramaco Resources, Inc. — Class A   35    601 
DMC Global, Inc.*   30    565 
NextDecade Corp.*   118    563 
W&T Offshore, Inc.   151    492 
SEACOR Marine Holdings, Inc.*   37    466 
Kodiak Gas Services, Inc.   23    462 
Excelerate Energy, Inc. — Class A   28    433 
Gevo, Inc.*   358    415 
Atlas Energy Solutions, Inc.   24    413 
Aris Water Solutions, Inc. — Class A   46    386 
Forum Energy Technologies, Inc.*   17    377 
Solaris Oilfield Infrastructure, Inc. — Class A   46    366 
Riley Exploration Permian, Inc.   13    354 
Energy Vault Holdings, Inc.*   151    352 
Vertex Energy, Inc.*   99    336 
Amplify Energy Corp.*   56    332 
ProFrac Holding Corp. — Class A*   39    331 
Hallador Energy Co.*   36    318 
Maxeon Solar Technologies Ltd.*   44    316 
Evolution Petroleum Corp.   51    296 
TPI Composites, Inc.*   67    277 
Ring Energy, Inc.*   185    270 
HighPeak Energy, Inc.   18    256 
FutureFuel Corp.   40    243 
Granite Ridge Resources, Inc.   40    241 
KLX Energy Services Holdings, Inc.*   20    225 
Ranger Energy Services, Inc.   22    225 
NACCO Industries, Inc. — Class A   6    219 
Empire Petroleum Corp.*   18    198 
Eos Energy Enterprises, Inc.*   165    180 
Mammoth Energy Services, Inc.*   35    156 
PrimeEnergy Resources Corp.*   1    106 
Ramaco Resources, Inc. — Class B   7    93 
Enviva, Inc.   47    47 
Verde Clean Fuels, Inc.*   1    2 
Total Energy        263,459 
Communications - 2.0%          
Cogent Communications Holdings, Inc.   66    5,020 
Yelp, Inc. — Class A*   104    4,923 
Ziff Davis, Inc.*   73    4,905 
TEGNA, Inc.   304    4,651 
InterDigital, Inc.   41    4,450 
DigitalBridge Group, Inc.   249    4,367 
Calix, Inc.*   90    3,932 
Q2 Holdings, Inc.*   88    3,820 
Opendoor Technologies, Inc.*   822    3,683 
Cargurus, Inc.*   150    3,624 
Perficient, Inc.*   52    3,423 
Credo Technology Group Holding Ltd.*   174    3,388 
Extreme Networks, Inc.*   192    3,387 
Viavi Solutions, Inc.*   333    3,353 
ePlus, Inc.*   41    3,273 
EchoStar Corp. — Class A*   185    3,065 
Upwork, Inc.*   190    2,825 
Telephone & Data Systems, Inc.   152    2,789 
Lumen Technologies, Inc.*   1,517    2,776 
Squarespace, Inc. — Class A*   77    2,542 
Bumble, Inc. — Class A*   156    2,300 
Harmonic, Inc.*   170    2,217 
Globalstar, Inc.*   1,039    2,016 
Beyond, Inc.*   70    1,938 
Cars.com, Inc.*   102    1,935 
Magnite, Inc.*   206    1,924 
Sprinklr, Inc. — Class A*   155    1,866 
Shutterstock, Inc.   38    1,835 
Hims & Hers Health, Inc.*   189    1,682 
Shenandoah Telecommunications Co.   74    1,600 
Rover Group, Inc.*   143    1,556 
Scholastic Corp.   41    1,546 
Liberty Latin America Ltd. — Class C*   210    1,541 
Infinera Corp.*   306    1,454 
A10 Networks, Inc.   108    1,422 
TechTarget, Inc.*   40    1,394 
Figs, Inc. — Class A*   196    1,362 
Sphere Entertainment Co.*   40    1,358 
fuboTV, Inc.*   426    1,355 
Open Lending Corp. — Class A*   153    1,302 
Couchbase, Inc.*   52    1,171 
Gray Television, Inc.   127    1,138 
Revolve Group, Inc.*   63    1,045 
Gogo, Inc.*   102    1,033 
HealthStream, Inc.   38    1,027 
Clear Channel Outdoor Holdings, Inc.*   564    1,026 
QuinStreet, Inc.*   80    1,026 
Eventbrite, Inc. — Class A*   119    995 
Thryv Holdings, Inc.*   48    977 
AMC Networks, Inc. — Class A*   49    921 
CommScope Holding Company, Inc.*   317    894 
ADTRAN Holdings, Inc.   120    881 
IDT Corp. — Class B*   24    818 
Stagwell, Inc.*   119    789 
EW Scripps Co. — Class A*   91    727 
Applied Digital Corp.*   104    701 
ATN International, Inc.   17    663 
Sinclair, Inc.   50    652 
AST SpaceMobile, Inc.*   105    633 
Anterix, Inc.*   19    633 
NETGEAR, Inc.*   43    627 
Clearfield, Inc.*   21    611 
Liquidity Services, Inc.*   35    602 
Aviat Networks, Inc.*   17    555 
Grindr, Inc.*   63    553 
Boston Omaha Corp. — Class A*   35    551 
Preformed Line Products Co.   4    535 
Gannett Company, Inc.*   220    506 
Consolidated Communications Holdings, Inc.*   113    492 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Advantage Solutions, Inc.*   133   $481 
Stitch Fix, Inc. — Class A*   129    461 
1-800-Flowers.com, Inc. — Class A*   40    431 
Nextdoor Holdings, Inc.*   224    423 
iHeartMedia, Inc. — Class A*   158    422 
Spok Holdings, Inc.   27    418 
Tucows, Inc. — Class A*   15    405 
EverQuote, Inc. — Class A*   33    404 
Liberty Latin America Ltd. — Class A*   53    387 
Ooma, Inc.*   36    386 
Ribbon Communications, Inc.*   133    386 
Entravision Communications Corp. — Class A   92    384 
OptimizeRx Corp.*   26    372 
MediaAlpha, Inc. — Class A*   33    368 
Luna Innovations, Inc.*   50    333 
Blade Air Mobility, Inc.*   89    314 
Nerdy, Inc.*   91    312 
WideOpenWest, Inc.*   76    308 
CarParts.com, Inc.*   82    259 
BlackSky Technology, Inc.*   180    252 
Lands' End, Inc.*   25    239 
Vivid Seats, Inc. — Class A*   37    234 
Solo Brands, Inc. — Class A*   33    203 
ContextLogic, Inc. — Class A*   34    202 
Mondee Holdings, Inc.*   71    196 
Townsquare Media, Inc. — Class A   18    190 
Allbirds, Inc. — Class A*   147    180 
DHI Group, Inc.*   65    168 
Gambling.com Group Ltd.*   16    156 
BARK, Inc.*   190    153 
KVH Industries, Inc.*   29    153 
Terran Orbital Corp.*   131    149 
Cambium Networks Corp.*   19    114 
Urban One, Inc.*   20    71 
DZS, Inc.*   34    67 
Urban One, Inc.*   14    56 
Value Line, Inc.   1    49 
Total Communications        140,667 
Basic Materials - 1.9%          
ATI, Inc.*   194    8,821 
Commercial Metals Co.   176    8,807 
Balchem Corp.   48    7,140 
Cabot Corp.   83    6,930 
HB Fuller Co.   83    6,757 
Avient Corp.   139    5,778 
Carpenter Technology Corp.   73    5,169 
Livent Corp.*   275    4,944 
Quaker Chemical Corp.   22    4,695 
Innospec, Inc.   38    4,683 
Hecla Mining Co.   920    4,425 
Sensient Technologies Corp.   64    4,224 
Constellium SE*   195    3,892 
Rogers Corp.*   27    3,566 
Minerals Technologies, Inc.   50    3,565 
Uranium Energy Corp.*   553    3,539 
Stepan Co.   33    3,120 
Sylvamo Corp.   56    2,750 
Ingevity Corp.*   55    2,597 
Tronox Holdings plc — Class A   180    2,549 
Orion S.A.   86    2,385 
Hawkins, Inc.   30    2,113 
Kaiser Aluminum Corp.   25    1,780 
Energy Fuels, Inc.*   242    1,740 
Coeur Mining, Inc.*   498    1,623 
Koppers Holdings, Inc.   31    1,588 
Novagold Resources, Inc.*   371    1,388 
Ecovyst, Inc.*   140    1,368 
Worthington Steel, Inc.   47    1,321 
Compass Minerals International, Inc.   52    1,317 
Mativ Holdings, Inc.   83    1,271 
AdvanSix, Inc.   41    1,228 
Schnitzer Steel Industries, Inc. — Class A   40    1,206 
Haynes International, Inc.   19    1,084 
Perimeter Solutions S.A.*   233    1,072 
Centrus Energy Corp. — Class A*   19    1,034 
Century Aluminum Co.*   81    983 
Lightwave Logic, Inc.*   177    881 
Ivanhoe Electric Incorporated / US*   87    877 
Encore Energy Corp.*   218    857 
Piedmont Lithium, Inc.*   28    790 
United States Lime & Minerals, Inc.   3    691 
i-80 Gold Corp.*   296    521 
Oil-Dri Corporation of America   7    470 
American Vanguard Corp.   42    461 
Trinseo plc   54    452 
Rayonier Advanced Materials, Inc.*   98    397 
Intrepid Potash, Inc.*   16    382 
Kronos Worldwide, Inc.   33    328 
Codexis, Inc.*   102    311 
Caledonia Mining Corporation plc   25    305 
Dakota Gold Corp.*   83    217 
Perpetua Resources Corp.*   57    181 
Origin Materials, Inc.*   176    147 
Danimer Scientific, Inc.*   135    138 
Glatfelter Corp.*   68    132 
Contango ORE, Inc.*   6    109 
5E Advanced Materials, Inc.*   61    86 
Valhi, Inc.   4    61 
NioCorp Developments Ltd.*   3    10 
Total Basic Materials        131,256 
Utilities - 1.5%          
Portland General Electric Co.   154    6,674 
New Jersey Resources Corp.   146    6,509 
Brookfield Infrastructure Corp. — Class A   181    6,386 
Ormat Technologies, Inc.   81    6,139 
Southwest Gas Holdings, Inc.   93    5,891 
Black Hills Corp.   102    5,503 
PNM Resources, Inc.   132    5,491 
Otter Tail Corp.   64    5,438 
ONE Gas, Inc.   85    5,416 
ALLETE, Inc.   87    5,321 
Spire, Inc.   79    4,925 
Northwestern Energy Group, Inc.   92    4,682 
American States Water Co.   57    4,584 
California Water Service Group   87    4,513 
Avista Corp.   116    4,146 
MGE Energy, Inc.   56    4,050 
Chesapeake Utilities Corp.   32    3,380 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

  

   Shares   Value 
SJW Group   48   $3,137 
Northwest Natural Holding Co.   55    2,142 
Middlesex Water Co.   27    1,772 
Ameresco, Inc. — Class A*   50    1,584 
Unitil Corp.   25    1,314 
York Water Co.   22    849 
Genie Energy Ltd. — Class B   30    844 
Consolidated Water Company Ltd.   23    819 
Altus Power, Inc.*   98    669 
Artesian Resources Corp. — Class A   14    580 
RGC Resources, Inc.   12    244 
Global Water Resources, Inc.   18    235 
FTC Solar, Inc.*   97    67 
Total Utilities        103,304 
Government - 0.0%          
Banco Latinoamericano de Comercio Exterior S.A. — Class E   42    1,039 
Total Common Stocks          
(Cost $3,794,553)        3,856,818 
           
WARRANTS - 0.0%          
Cassava Sciences Inc          
Expiring 11/15/24   24     
Total Warrants          
(Cost $0)         
           
RIGHTS - 0.0%          
Consumer, Non-cyclical - 0.0%          
Cartesian Therapeutics Inc.*   179     
Tobira Therapeutics, Inc.*,†††   14     
Novartis AG*,†††   100     
Total Consumer, Non-cyclical         
Total Rights          
(Cost $39)         
           
MUTUAL FUNDS - 17.1%          
Guggenheim Strategy Fund II2   25,618    627,634 
Guggenheim Ultra Short Duration Fund — Institutional Class2   56,061    552,205 
Total Mutual Funds          
(Cost $1,183,372)        1,179,839 
           
   Face
Amount
    
U.S. TREASURY BILLS†† - 3.5%          
U.S. Treasury Bills          
5.27% due 02/22/243,4  $200,000    198,513 
5.17% due 01/09/244,5   43,000    42,956 
Total U.S. Treasury Bills          
(Cost $241,427)        241,469 
           
REPURCHASE AGREEMENTS††,6 - 23.0%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
   878,635    878,635 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
   708,080    708,080 
Total Repurchase Agreements          
(Cost $1,586,715)        1,586,715 
           
   Shares      
SECURITIES LENDING COLLATERAL†,7 - 0.2%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%8   14,039    14,039 
Total Securities Lending Collateral          
(Cost $14,039)        14,039 
Total Investments - 99.8%          
(Cost $6,820,145)       $6,878,880 
Other Assets & Liabilities, net - 0.2%        14,706 
Total Net Assets - 100.0%       $6,893,586 

  

 

Futures Contracts           
Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased                  
Russell 2000 Index Mini Futures Contracts   3   Mar 2024  $307,050   $14,499 

 

Total Return Swap Agreements

 

Counterparty  Index    Type    Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††                          
Goldman Sachs International  Russell 2000 Index    Pay    5.43% (Federal Funds Rate + 0.10%)  At Maturity  03/21/24   821   $1,663,533   $36,304 
BNP Paribas  Russell 2000 Index    Pay    5.53% (Federal Funds Rate + 0.20%)  At Maturity  03/21/24   711    1,441,257    31,453 
Barclays Bank plc  Russell 2000 Index    Pay    5.40% (SOFR)  At Maturity  03/20/24   1,517    3,074,375    9,284 
                           $6,179,165   $77,041 

   

 

Russell 2000® 1.5x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Affiliated issuer.
3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
4 Rate indicated is the effective yield at the time of purchase.
5 All or a portion of this security is pledged as futures collateral at December 31, 2023.
6 Repurchase Agreements — See Note 4.
7 Securities lending collateral — See Note 5.
8 Rate indicated is the 7-day yield as of December 31, 2023.

 

 

ADR — American Depositary Receipt
plc — Public Limited Company
REIT — Real Estate Investment Trust
SOFR — Secured Overnight Financing Rate

 

See Sector Classification in Other Information section.

 

 

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $3,856,818   $*  $   $3,856,818 
Warrants   *            
Rights   *       *    
Mutual Funds   1,179,839            1,179,839 
U.S. Treasury Bills       241,469        241,469 
Repurchase Agreements       1,586,715        1,586,715 
Securities Lending Collateral   14,039            14,039 
Equity Futures Contracts**   14,499            14,499 
Equity Index Swap Agreements**       77,041        77,041 
Total Assets  $5,065,195   $1,905,225   $   $6,970,420 

 

* Security has a market value of $0.
** This derivative is reported as unrealized appreciation/depreciation at period end.

 

Affiliated Transactions

 

Investments representing 5% or more of the outstanding voting shares of a company, or control of or by, or common control under Guggenheim Investments ("GI"), result in that company being considered an affiliated issuer, as defined in the 1940 Act.

 

The Fund may invest in certain of the underlying series of Guggenheim Strategy Funds Trust, including Guggenheim Strategy Fund II and Guggenheim Strategy Fund III (collectively, the “Short Term Investment Vehicles”), each of which are open-end management investment companies managed by GI. The Short Term Investment Vehicles, which launched on March 11, 2014, are offered as short term investment options only to mutual funds, trusts, and other accounts managed by GI and/or its affiliates, and are not available to the public. The Short Term Investment Vehicles pay no investment management fees. The Short Term Investment Vehicles' annual report on Form N-CSR dated September 30, 2023 is available publicly or upon request. This information is available from the EDGAR database on the SEC's website at https://www.sec.gov/Archives/edgar/data/1601445/000182126823000217/gug86449-ncsr.htm. The Fund may invest in certain of the underlying series of Guggenheim Funds Trust, which are open-end management investment companies managed by GI, are available to the public and whose most recent annual report on Form N-CSR is available publicly or upon request.

 

Transactions during the period ended December 31, 2023, in which the company is an affiliated issuer, were as follows:

 

Security Name  Value
03/31/23
   Additions   Reductions   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Value
12/31/23
   Shares
12/31/23
   Investment Income 
Mutual Funds                                        
  Guggenheim Strategy Fund II  $620,207   $   $   $   $7,427   $627,634    25,618   $25,897 
  Guggenheim Ultra Short Duration Fund — Institutional Class   743,330        (200,000)   (4,303)   13,178    552,205    56,061    27,707 
   $1,363,537   $   $(200,000)  $(4,303)  $20,605   $1,179,839        $53,604 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 58.8%
Consumer, Non-cyclical - 13.7%          
Cytokinetics, Inc.*   707   $59,027 
elf Beauty, Inc.*   405    58,458 
BellRing Brands, Inc.*   995    55,153 
API Group Corp.*   1,585    54,841 
ImmunoGen, Inc.*   1,817    53,874 
Intra-Cellular Therapies, Inc.*   710    50,850 
Ensign Group, Inc.   413    46,343 
Vaxcyte, Inc.*   698    43,834 
Option Care Health, Inc.*   1,263    42,550 
Blueprint Medicines Corp.*   461    42,523 
HealthEquity, Inc.*   638    42,299 
StoneCo Ltd. — Class A*   2,207    39,792 
Marathon Digital Holdings, Inc.*   1,605    37,701 
Sprouts Farmers Market, Inc.*   768    36,948 
Halozyme Therapeutics, Inc.*   984    36,369 
Bridgebio Pharma, Inc.*   869    35,081 
Alkermes plc*   1,259    34,925 
Coca-Cola Consolidated, Inc.   36    33,423 
Neogen Corp.*   1,651    33,202 
Merit Medical Systems, Inc.*   432    32,815 
Haemonetics Corp.*   381    32,579 
Insmed, Inc.*   1,041    32,261 
Herc Holdings, Inc.   215    32,011 
Lantheus Holdings, Inc.*   516    31,992 
Insperity, Inc.   268    31,415 
REVOLUTION Medicines, Inc.*   1,084    31,089 
Brink's Co.   350    30,782 
Amicus Therapeutics, Inc.*   2,125    30,154 
ACADIA Pharmaceuticals, Inc.*   919    28,774 
TriNet Group, Inc.*   241    28,662 
Glaukos Corp.*   356    28,298 
Simply Good Foods Co.*   689    27,284 
Alight, Inc. — Class A*   3,017    25,735 
Madrigal Pharmaceuticals, Inc.*   111    25,683 
CONMED Corp.   233    25,516 
Inari Medical, Inc.*   393    25,514 
Marqeta, Inc. — Class A*   3,620    25,268 
Integer Holdings Corp.*   252    24,968 
iRhythm Technologies, Inc.*   233    24,940 
Lancaster Colony Corp.   148    24,626 
WD-40 Co.   103    24,625 
Alarm.com Holdings, Inc.*   364    23,522 
Korn Ferry   396    23,503 
Arrowhead Pharmaceuticals, Inc.*   766    23,440 
Axonics, Inc.*   372    23,150 
Prestige Consumer Healthcare, Inc.*   378    23,141 
Guardant Health, Inc.*   845    22,857 
CBIZ, Inc.*   364    22,783 
ABM Industries, Inc.   503    22,549 
Cerevel Therapeutics Holdings, Inc.*   527    22,345 
Riot Platforms, Inc.*   1,434    22,184 
Progyny, Inc.*   596    22,159 
Biohaven Ltd.*   515    22,042 
Helen of Troy Ltd.*   179    21,625 
AMN Healthcare Services, Inc.*   287    21,491 
LivaNova plc*   412    21,317 
Axsome Therapeutics, Inc.*   267    21,250 
Intellia Therapeutics, Inc.*   670    20,398 
Krystal Biotech, Inc.*   164    20,346 
EVERTEC, Inc.   496    20,306 
Cymabay Therapeutics, Inc.*   853    20,148 
Inter Parfums, Inc.   139    20,017 
Corcept Therapeutics, Inc.*   609    19,780 
Denali Therapeutics, Inc.*   896    19,228 
Remitly Global, Inc.*   990    19,226 
Coursera, Inc.*   988    19,138 
Stride, Inc.*   322    19,117 
J & J Snack Foods Corp.   114    19,054 
ICF International, Inc.   142    19,041 
TransMedics Group, Inc.*   241    19,022 
Graham Holdings Co. — Class B   27    18,806 
Pacific Biosciences of California, Inc.*   1,912    18,757 
Flywire Corp.*   801    18,543 
SpringWorks Therapeutics, Inc.*   508    18,542 
Select Medical Holdings Corp.   789    18,541 
Patterson Companies, Inc.   651    18,521 
LiveRamp Holdings, Inc.*   483    18,296 
Surgery Partners, Inc.*   570    18,234 
Rhythm Pharmaceuticals, Inc.*   390    17,928 
Primo Water Corp.   1,188    17,879 
Amphastar Pharmaceuticals, Inc.*   288    17,813 
TG Therapeutics, Inc.*   1,041    17,780 
Cal-Maine Foods, Inc.   309    17,733 
Adtalem Global Education, Inc.*   300    17,685 
Crinetics Pharmaceuticals, Inc.*   489    17,399 
Immunovant, Inc.*   409    17,231 
CorVel Corp.*   66    16,316 
TreeHouse Foods, Inc.*   391    16,207 
Ideaya Biosciences, Inc.*   453    16,118 
Arcellx, Inc.*   288    15,984 
Twist Bioscience Corp.*   432    15,923 
Strategic Education, Inc.   172    15,888 
RadNet, Inc.*   452    15,716 
NeoGenomics, Inc.*   967    15,646 
Arvinas, Inc.*   373    15,353 
Veracyte, Inc.*   552    15,185 
Textainer Group Holdings Ltd.   305    15,006 
Huron Consulting Group, Inc.*   145    14,906 
PTC Therapeutics, Inc.*   537    14,800 
Nuvalent, Inc. — Class A*   200    14,718 
Edgewell Personal Care Co.   389    14,249 
Upbound Group, Inc.   418    14,199 
Rocket Pharmaceuticals, Inc.*   473    14,176 
Beam Therapeutics, Inc.*,1   518    14,100 
Iovance Biotherapeutics, Inc.*   1,728    14,049 
Andersons, Inc.   244    14,040 
Celldex Therapeutics, Inc.*   352    13,960 
Dynavax Technologies Corp.*   983    13,742 
Laureate Education, Inc. — Class A   995    13,641 
Viking Therapeutics, Inc.*   729    13,567 
Central Garden & Pet Co. — Class A*   299    13,168 
Inmode Ltd.*   588    13,077 
Vericel Corp.*   361    12,855 
Omnicell, Inc.*   341    12,832 
PROCEPT BioRobotics Corp.*   304    12,741 
AtriCure, Inc.*   353    12,599 
CoreCivic, Inc.*   863    12,539 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Vector Group Ltd.   1,104   $12,453 
Apollo Medical Holdings, Inc.*   325    12,447 
Cleanspark, Inc.*   1,128    12,442 
Universal Corp.   183    12,320 
Catalyst Pharmaceuticals, Inc.*   729    12,255 
Ironwood Pharmaceuticals, Inc. — Class A*   1,052    12,035 
MGP Ingredients, Inc.   120    11,822 
Myriad Genetics, Inc.*   613    11,733 
Pacira BioSciences, Inc.*   346    11,674 
STAAR Surgical Co.*   369    11,516 
Prothena Corporation plc*   315    11,447 
Herbalife Ltd.*   750    11,445 
Addus HomeCare Corp.*   119    11,049 
Sabre Corp.*   2,494    10,974 
Owens & Minor, Inc.*   564    10,868 
Cimpress plc*   135    10,807 
Syndax Pharmaceuticals, Inc.*   500    10,805 
Supernus Pharmaceuticals, Inc.*   373    10,795 
Oscar Health, Inc. — Class A*   1,174    10,742 
Alphatec Holdings, Inc.*   695    10,501 
Payoneer Global, Inc.*   2,012    10,483 
US Physical Therapy, Inc.   111    10,339 
PROG Holdings, Inc.*   334    10,324 
Recursion Pharmaceuticals, Inc. — Class A*   1,035    10,205 
Legalzoom.com, Inc.*   893    10,091 
Krispy Kreme, Inc.   665    10,035 
Ardelyx, Inc.*   1,616    10,019 
Kforce, Inc.   147    9,931 
Inhibrx, Inc.*   261    9,918 
GEO Group, Inc.*   906    9,812 
Chegg, Inc.*   858    9,747 
Udemy, Inc.*   651    9,589 
RayzeBio, Inc.*   151    9,388 
Protagonist Therapeutics, Inc.*   409    9,378 
Agios Pharmaceuticals, Inc.*   421    9,376 
Xencor, Inc.*   440    9,341 
Ingles Markets, Inc. — Class A   107    9,242 
Aurinia Pharmaceuticals, Inc.*   1,027    9,233 
UFP Technologies, Inc.*   53    9,118 
Akero Therapeutics, Inc.*   389    9,083 
Ligand Pharmaceuticals, Inc. — Class B*   126    8,999 
Perdoceo Education Corp.   510    8,956 
National Beverage Corp.*   180    8,950 
Utz Brands, Inc.   547    8,883 
National Healthcare Corp.   95    8,780 
John Wiley & Sons, Inc. — Class A   275    8,729 
Sage Therapeutics, Inc.*   401    8,690 
BioCryst Pharmaceuticals, Inc.*   1,438    8,614 
LeMaitre Vascular, Inc.   150    8,514 
Cytek Biosciences, Inc.*   920    8,390 
RxSight, Inc.*   206    8,306 
Embecta Corp.   438    8,291 
Matthews International Corp. — Class A   226    8,283 
Collegium Pharmaceutical, Inc.*   263    8,095 
Harmony Biosciences Holdings, Inc.*   250    8,075 
Weis Markets, Inc.   125    7,995 
Geron Corp.*   3,774    7,963 
Avanos Medical, Inc.*   351    7,873 
Scholar Rock Holding Corp.*   418    7,858 
Chefs' Warehouse, Inc.*   267    7,858 
Pliant Therapeutics, Inc.*   429    7,769 
Quanex Building Products Corp.   251    7,673 
Arcus Biosciences, Inc.*   400    7,640 
SP Plus Corp.*   149    7,636 
MiMedx Group, Inc.*   866    7,595 
Relay Therapeutics, Inc.*   685    7,542 
Morphic Holding, Inc.*   261    7,538 
Hain Celestial Group, Inc.*   679    7,435 
Brookdale Senior Living, Inc. — Class A*   1,276    7,426 
Kymera Therapeutics, Inc.*   288    7,332 
Quanterix Corp.*   267    7,300 
Innoviva, Inc.*   452    7,250 
ZipRecruiter, Inc. — Class A*   520    7,228 
ADMA Biologics, Inc.*   1,598    7,223 
United Natural Foods, Inc.*   443    7,190 
MannKind Corp.*   1,948    7,091 
Deluxe Corp.   330    7,078 
Kura Oncology, Inc.*   489    7,032 
John B Sanfilippo & Son, Inc.   68    7,007 
Viridian Therapeutics, Inc.*   320    6,970 
Monro, Inc.   237    6,954 
Day One Biopharmaceuticals, Inc.*   475    6,935 
First Advantage Corp.   415    6,877 
Keros Therapeutics, Inc.*   171    6,799 
Cassava Sciences, Inc.*,1   302    6,798 
Fresh Del Monte Produce, Inc.   258    6,773 
Dole plc   543    6,673 
Zentalis Pharmaceuticals, Inc.*   440    6,666 
Deciphera Pharmaceuticals, Inc.*   397    6,404 
Vir Biotechnology, Inc.*   635    6,388 
LifeStance Health Group, Inc.*   805    6,303 
Editas Medicine, Inc.*   620    6,281 
Arlo Technologies, Inc.*   658    6,264 
Transcat, Inc.*   56    6,122 
Varex Imaging Corp.*   294    6,027 
SpartanNash Co.   262    6,013 
Accolade, Inc.*   500    6,005 
Pediatrix Medical Group, Inc.*   639    5,943 
Cross Country Healthcare, Inc.*   261    5,909 
Barrett Business Services, Inc.   51    5,906 
Healthcare Services Group, Inc.*   565    5,859 
4D Molecular Therapeutics, Inc.*   288    5,835 
Nevro Corp.*   269    5,789 
Cabaletta Bio, Inc.*   253    5,743 
B&G Foods, Inc.1   540    5,670 
Amylyx Pharmaceuticals, Inc.*   385    5,667 
Amneal Pharmaceuticals, Inc.*   925    5,615 
Viad Corp.*   155    5,611 
Arcturus Therapeutics Holdings, Inc.*   177    5,581 
RAPT Therapeutics, Inc.*   224    5,566 
Vita Coco Company, Inc.*   217    5,566 
Revance Therapeutics, Inc.*   633    5,564 
Mirum Pharmaceuticals, Inc.*   188    5,550 
SI-BONE, Inc.*   264    5,541 
REGENXBIO, Inc.*   308    5,529 
Medifast, Inc.   81    5,445 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Verve Therapeutics, Inc.*   385   $5,367 
Artivion, Inc.*   299    5,346 
AdaptHealth Corp.*   725    5,285 
Repay Holdings Corp.*   617    5,269 
89bio, Inc.*   469    5,239 
ANI Pharmaceuticals, Inc.*   95    5,238 
Kelly Services, Inc. — Class A   242    5,232 
CRA International, Inc.   52    5,140 
Anavex Life Sciences Corp.*   534    4,971 
Travere Therapeutics, Inc.*   553    4,971 
Avidity Biosciences, Inc.*   536    4,851 
CareDx, Inc.*   395    4,740 
Cass Information Systems, Inc.   104    4,685 
OPKO Health, Inc.*   3,056    4,615 
USANA Health Sciences, Inc.*   86    4,610 
EyePoint Pharmaceuticals, Inc.*   199    4,599 
Alpine Immune Sciences, Inc.*   241    4,593 
Fulgent Genetics, Inc.*   155    4,481 
OraSure Technologies, Inc.*   546    4,477 
MacroGenics, Inc.*   462    4,444 
Heidrick & Struggles International, Inc.   150    4,429 
Treace Medical Concepts, Inc.*   343    4,373 
OmniAb, Inc.*   707    4,362 
Theravance Biopharma, Inc.*   388    4,361 
Liquidia Corp.*   360    4,331 
Hackett Group, Inc.   190    4,326 
National Research Corp. — Class A   109    4,312 
BioLife Solutions, Inc.*   264    4,290 
Dyne Therapeutics, Inc.*   322    4,283 
ModivCare, Inc.*   97    4,267 
ACCO Brands Corp.   701    4,262 
Ennis, Inc.   193    4,229 
Adaptive Biotechnologies Corp.*   862    4,224 
Altimmune, Inc.*,1   375    4,219 
Zymeworks, Inc.*   405    4,208 
ImmunityBio, Inc.*,1   835    4,192 
Kiniksa Pharmaceuticals Ltd. — Class A*   238    4,174 
Paragon 28, Inc.*   333    4,139 
Apogee Therapeutics, Inc.*   148    4,135 
Multiplan Corp.*   2,867    4,128 
Marinus Pharmaceuticals, Inc.*   378    4,109 
PetIQ, Inc.*   207    4,088 
V2X, Inc.*   88    4,087 
Castle Biosciences, Inc.*   188    4,057 
Beyond Meat, Inc.*,1   450    4,005 
Enhabit, Inc.*   382    3,954 
Vera Therapeutics, Inc.*   257    3,953 
OrthoPediatrics Corp.*   120    3,901 
Calavo Growers, Inc.   131    3,853 
Alector, Inc.*   482    3,846 
Franklin Covey Co.*   88    3,831 
Atrion Corp.   10    3,788 
Surmodics, Inc.*   104    3,780 
SunOpta, Inc.*   689    3,769 
Mission Produce, Inc.*   368    3,713 
Central Garden & Pet Co.*   74    3,708 
Nurix Therapeutics, Inc.*   355    3,664 
Vital Farms, Inc.*   232    3,640 
Tarsus Pharmaceuticals, Inc.*   179    3,625 
WW International, Inc.*   414    3,623 
I3 Verticals, Inc. — Class A*   171    3,620 
Orthofix Medical, Inc.*   267    3,599 
Silk Road Medical, Inc.*   292    3,583 
Edgewise Therapeutics, Inc.*   325    3,555 
Pulmonx Corp.*   278    3,544 
TrueBlue, Inc.*   231    3,544 
Caribou Biosciences, Inc.*   617    3,535 
European Wax Center, Inc. — Class A*   259    3,520 
Cogent Biosciences, Inc.*   597    3,510 
Green Dot Corp. — Class A*   353    3,495 
Resources Connection, Inc.   246    3,486 
Zimvie, Inc.*   196    3,479 
Turning Point Brands, Inc.   130    3,422 
Tango Therapeutics, Inc.*   339    3,356 
Evolus, Inc.*   314    3,306 
DocGo, Inc.*   590    3,298 
Icosavax, Inc.*   209    3,294 
Disc Medicine, Inc.*   57    3,292 
Duckhorn Portfolio, Inc.*   333    3,280 
Novavax, Inc.*   661    3,173 
Paysafe Ltd.*   246    3,146 
Universal Technical Institute, Inc.*   249    3,117 
MaxCyte, Inc.*   663    3,116 
Avid Bioservices, Inc.*   471    3,061 
AnaptysBio, Inc.*   142    3,042 
Pennant Group, Inc.*   216    3,007 
Community Health Systems, Inc.*   954    2,986 
Waldencast plc — Class A*   272    2,976 
Cerus Corp.*   1,346    2,907 
SomaLogic, Inc.*   1,147    2,902 
Sana Biotechnology, Inc.*   708    2,889 
Olema Pharmaceuticals, Inc.*   204    2,862 
American Well Corp. — Class A*   1,861    2,773 
Limoneira Co.   133    2,744 
Tejon Ranch Co.*   159    2,735 
ORIC Pharmaceuticals, Inc.*   296    2,723 
Prime Medicine, Inc.*   300    2,658 
Custom Truck One Source, Inc.*   430    2,657 
Savara, Inc.*   564    2,651 
BrightView Holdings, Inc.*   314    2,644 
CVRx, Inc.*   84    2,641 
Ocular Therapeutix, Inc.*   592    2,640 
Avita Medical, Inc.*   191    2,621 
Replimune Group, Inc.*   310    2,613 
iRadimed Corp.   55    2,611 
Taro Pharmaceutical Industries Ltd.*   62    2,590 
HilleVax, Inc.*   161    2,584 
Lyell Immunopharma, Inc.*   1,317    2,555 
Carriage Services, Inc. — Class A   102    2,551 
Aaron's Company, Inc.   234    2,546 
Tactile Systems Technology, Inc.*   177    2,531 
Anika Therapeutics, Inc.*   111    2,515 
Terawulf, Inc.*   1,026    2,462 
Enliven Therapeutics, Inc.*   177    2,450 
Entrada Therapeutics, Inc.*   162    2,445 
ALX Oncology Holdings, Inc.*   164    2,442 
Sterling Check Corp.*   175    2,436 
Fate Therapeutics, Inc.*   643    2,405 
Forrester Research, Inc.*   89    2,386 
Xeris Biopharma Holdings, Inc.*   1,010    2,374 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Arbutus Biopharma Corp.*   947   $2,367 
Target Hospitality Corp.*   237    2,306 
Summit Therapeutics, Inc.*   879    2,294 
KalVista Pharmaceuticals, Inc.*   187    2,291 
WaVe Life Sciences Ltd.*   449    2,267 
AngioDynamics, Inc.*   286    2,242 
UroGen Pharma Ltd.*   148    2,220 
Westrock Coffee Co.*   216    2,205 
Nano-X Imaging Ltd.*,1   346    2,204 
Biomea Fusion, Inc.*   151    2,192 
Utah Medical Products, Inc.   26    2,190 
Organogenesis Holdings, Inc.*,1   533    2,180 
Distribution Solutions Group, Inc.*   69    2,178 
Harrow, Inc.*   193    2,162 
Agenus, Inc.*   2,604    2,156 
Axogen, Inc.*   309    2,110 
Terns Pharmaceuticals, Inc.*   325    2,109 
Seneca Foods Corp. — Class A*   40    2,098 
iTeos Therapeutics, Inc.*   188    2,059 
Voyager Therapeutics, Inc.*   241    2,034 
Viemed Healthcare, Inc.*   259    2,033 
Accuray, Inc.*   708    2,004 
Allogene Therapeutics, Inc.*   623    2,000 
Willdan Group, Inc.*   92    1,978 
Genelux Corp.*   141    1,975 
SIGA Technologies, Inc.   350    1,960 
Sutro Biopharma, Inc.*   456    1,956 
Beauty Health Co.*   621    1,931 
Neumora Therapeutics, Inc.*   112    1,910 
Celcuity, Inc.*   131    1,909 
Y-mAbs Therapeutics, Inc.*   279    1,903 
Coherus Biosciences, Inc.*   569    1,895 
Rigel Pharmaceuticals, Inc.*   1,298    1,882 
ACELYRIN, Inc.*   251    1,872 
Cullinan Oncology, Inc.*   181    1,844 
Aura Biosciences, Inc.*   208    1,843 
Vanda Pharmaceuticals, Inc.*   429    1,810 
Lincoln Educational Services Corp.*   180    1,807 
23andMe Holding Co. — Class A*   1,975    1,804 
Phibro Animal Health Corp. — Class A   155    1,795 
Agiliti, Inc.*   225    1,782 
Atea Pharmaceuticals, Inc.*   582    1,775 
Mersana Therapeutics, Inc.*   758    1,759 
Alta Equipment Group, Inc.   141    1,744 
SoundThinking, Inc.*   68    1,737 
MeiraGTx Holdings plc*   247    1,734 
Poseida Therapeutics, Inc.*   516    1,734 
Nature's Sunshine Products, Inc.*   100    1,729 
Village Super Market, Inc. — Class A   65    1,705 
Zevra Therapeutics, Inc.*   258    1,690 
Semler Scientific, Inc.*   38    1,683 
Aerovate Therapeutics, Inc.*   74    1,675 
Nuvation Bio, Inc.*   1,105    1,669 
Phathom Pharmaceuticals, Inc.*   182    1,662 
Nathan's Famous, Inc.   21    1,638 
HF Foods Group, Inc.*   306    1,634 
Zynex, Inc.*   150    1,633 
2seventy bio, Inc.*   381    1,627 
Ispire Technology, Inc.*   134    1,625 
Third Harmonic Bio, Inc.*   148    1,624 
Performant Financial Corp.*   511    1,597 
Harvard Bioscience, Inc.*   297    1,589 
Annexon, Inc.*   346    1,571 
Alico, Inc.   54    1,570 
Quipt Home Medical Corp.*   306    1,558 
Fennec Pharmaceuticals, Inc.*   138    1,548 
Quantum-Si, Inc.*   764    1,536 
Nkarta, Inc.*   229    1,511 
Omeros Corp.*,1   462    1,511 
Pulse Biosciences, Inc.*   123    1,506 
Astria Therapeutics, Inc.*   194    1,490 
Tyra Biosciences, Inc.*   106    1,468 
Ovid therapeutics, Inc.*   452    1,455 
InfuSystem Holdings, Inc.*   138    1,455 
Enanta Pharmaceuticals, Inc.*   152    1,430 
Janux Therapeutics, Inc.*   131    1,406 
Allakos, Inc.*   504    1,376 
Precigen, Inc.*   1,025    1,373 
scPharmaceuticals, Inc.*   219    1,373 
Gritstone bio, Inc.*   666    1,359 
Heron Therapeutics, Inc.*   786    1,336 
Humacyte, Inc.*   465    1,321 
Monte Rosa Therapeutics, Inc.*   231    1,305 
Cipher Mining, Inc.*,1   316    1,305 
Erasca, Inc.*   612    1,304 
Quad/Graphics, Inc.*   237    1,285 
Arcutis Biotherapeutics, Inc.*   390    1,260 
Information Services Group, Inc.   266    1,253 
Invitae Corp.*,1   1,994    1,250 
CorMedix, Inc.*   330    1,241 
Aldeyra Therapeutics, Inc.*   353    1,239 
Sanara Medtech, Inc.*   29    1,192 
ClearPoint Neuro, Inc.*   174    1,181 
Bakkt Holdings, Inc.*   529    1,180 
Verrica Pharmaceuticals, Inc.*   158    1,157 
Nautilus Biotechnology, Inc.*   383    1,145 
Butterfly Network, Inc.*   1,059    1,144 
Natural Grocers by Vitamin Cottage, Inc.   71    1,136 
Acacia Research Corp.*   288    1,129 
Tenaya Therapeutics, Inc.*   347    1,124 
Bluebird Bio, Inc.*   812    1,121 
Immuneering Corp. — Class A*   151    1,110 
Stoke Therapeutics, Inc.*   209    1,099 
Inozyme Pharma, Inc.*   257    1,095 
Compass Therapeutics, Inc.*   692    1,079 
Lexicon Pharmaceuticals, Inc.*   703    1,076 
Lineage Cell Therapeutics, Inc.*   979    1,067 
Merrimack Pharmaceuticals, Inc.*   79    1,059 
PDS Biotechnology Corp.*   212    1,054 
Joint Corp.*   108    1,038 
Seres Therapeutics, Inc.*   738    1,033 
BRC, Inc. — Class A*   283    1,027 
XOMA Corp.*   55    1,017 
ARS Pharmaceuticals, Inc.*   184    1,008 
Aveanna Healthcare Holdings, Inc.*   375    1,005 
Actinium Pharmaceuticals, Inc.*   197    1,001 
Foghorn Therapeutics, Inc.*   154    993 
Inogen, Inc.*   177    972 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Emergent BioSolutions, Inc.*   384   $922 
Mineralys Therapeutics, Inc.*   106    912 
PMV Pharmaceuticals, Inc.*   293    908 
Larimar Therapeutics, Inc.*   195    887 
Ventyx Biosciences, Inc.*   355    877 
Innovage Holding Corp.*   144    864 
Seer, Inc.*   445    863 
Cadiz, Inc.*   308    862 
BioAtla, Inc.*   336    827 
Scilex Holding Co.*   402    819 
Tela Bio, Inc.*   120    794 
X4 Pharmaceuticals, Inc.*   934    783 
IGM Biosciences, Inc.*   91    756 
Kodiak Sciences, Inc.*   246    748 
Karyopharm Therapeutics, Inc.*   859    743 
Mural Oncology plc*   125    740 
2U, Inc.*   601    739 
Protalix BioTherapeutics, Inc.*   415    739 
Assertio Holdings, Inc.*   673    720 
Optinose, Inc.*   553    713 
Longboard Pharmaceuticals, Inc.*   118    712 
Emerald Holding, Inc.*   118    706 
Citius Pharmaceuticals, Inc.*   932    705 
Cue Biopharma, Inc.*   262    692 
AirSculpt Technologies, Inc.*   92    689 
CompoSecure, Inc.*   125    675 
Design Therapeutics, Inc.*   249    660 
MarketWise, Inc.   241    658 
Akoya Biosciences, Inc.*   134    654 
KORU Medical Systems, Inc.*   265    651 
Vor BioPharma, Inc.*   286    643 
HireQuest, Inc.   41    629 
Theseus Pharmaceuticals, Inc.*   154    624 
CPI Card Group, Inc.*   32    614 
FibroGen, Inc.*   690    612 
Cartesian Therapeutics, Inc.*   881    607 
ProKidney Corp.*   340    605 
Sangamo Therapeutics, Inc.*   1,094    594 
Carisma Therapeutics, Inc.   202    592 
Century Therapeutics, Inc.*   178    591 
Generation Bio Co.*   344    568 
Graphite Bio, Inc.*   213    558 
Omega Therapeutics, Inc.*   185    557 
Rallybio Corp.*   232    554 
Aclaris Therapeutics, Inc.*   527    553 
FiscalNote Holdings, Inc.*   472    538 
Biote Corp. — Class A*   106    524 
PepGen, Inc.*   76    517 
Kezar Life Sciences, Inc.*   541    512 
Priority Technology Holdings, Inc.*   134    477 
Outlook Therapeutics, Inc.*   1,177    464 
Cutera, Inc.*   124    437 
Adicet Bio, Inc.*   231    437 
Eyenovia, Inc.*   209    435 
Nuvectis Pharma, Inc.*   52    434 
Bioxcel Therapeutics, Inc.*   145    428 
P3 Health Partners, Inc.*   303    427 
Forafric Global plc*   40    424 
Trevi Therapeutics, Inc.*   316    423 
Vigil Neuroscience, Inc.*   122    412 
Eagle Pharmaceuticals, Inc.*   78    408 
Zevia PBC — Class A*   189    380 
Beyond Air, Inc.*   193    378 
Atara Biotherapeutics, Inc.*   725    372 
Acrivon Therapeutics, Inc.*   66    325 
Prelude Therapeutics, Inc.*   73    312 
Ikena Oncology, Inc.*   157    309 
NGM Biopharmaceuticals, Inc.*   331    284 
CareMax, Inc.*   570    284 
Orchestra BioMed Holdings, Inc.*   31    283 
Vaxxinity, Inc. — Class A*   323    275 
NanoString Technologies, Inc.*   359    269 
Cara Therapeutics, Inc.*   355    264 
Zura Bio Ltd.*   56    261 
Aadi Bioscience, Inc.*   123    248 
Benson Hill, Inc.*   1,314    228 
Allovir, Inc.*   310    211 
Vicarious Surgical, Inc.*   532    195 
Rent the Runway, Inc. — Class A*   366    193 
Rain Oncology, Inc.*   129    155 
Bright Green Corp.*   458    151 
Reneo Pharmaceuticals, Inc.*   72    115 
Cano Health, Inc.*   17    100 
Ocean Biomedical, Inc.*   66    44 
BioVie, Inc.*   25    31 
ATI Physical Therapy, Inc.*   1    6 
Ligand Pharmaceuticals, Inc.*,††   42     
Ligand Pharmaceuticals, Inc.*,††   42     
Total Consumer, Non-cyclical        4,442,383 
Financial - 13.0%          
SouthState Corp.   578    48,812 
Ryman Hospitality Properties, Inc. REIT   438    48,206 
Selective Insurance Group, Inc.   456    45,363 
Essent Group Ltd.   790    41,665 
Cadence Bank   1,382    40,893 
Terreno Realty Corp. REIT   621    38,918 
Kite Realty Group Trust REIT   1,651    37,742 
Old National Bancorp   2,221    37,513 
United Bankshares, Inc.   994    37,325 
Home BancShares, Inc.   1,448    36,678 
Valley National Bancorp   3,273    35,545 
FTAI Aviation Ltd.   756    35,078 
Glacier Bancorp, Inc.   847    34,998 
Radian Group, Inc.   1,193    34,060 
American Equity Investment Life Holding Co.*   590    32,922 
Phillips Edison & Company, Inc. REIT   896    32,686 
Hancock Whitney Corp.   659    32,021 
Mr Cooper Group, Inc.*   486    31,648 
Jackson Financial, Inc. — Class A   618    31,642 
Hamilton Lane, Inc. — Class A   277    31,423 
Essential Properties Realty Trust, Inc. REIT   1,182    30,212 
First Financial Bankshares, Inc.   990    29,997 
PotlatchDeltic Corp. REIT   601    29,509 
Moelis & Co. — Class A   507    28,458 
UMB Financial Corp.   336    28,073 
Blackstone Mortgage Trust, Inc. — Class A REIT   1,307    27,800 
Apple Hospitality REIT, Inc.   1,637    27,191 
Walker & Dunlop, Inc.   242    26,864 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Enstar Group Ltd.*   91   $26,786 
Ameris Bancorp   503    26,684 
Independence Realty Trust, Inc. REIT   1,713    26,209 
ServisFirst Bancshares, Inc.   387    25,786 
United Community Banks, Inc.   878    25,690 
Macerich Co. REIT   1,641    25,321 
Sabra Health Care REIT, Inc.   1,758    25,087 
Associated Banc-Corp.   1,149    24,577 
Broadstone Net Lease, Inc. REIT   1,427    24,573 
Physicians Realty Trust REIT   1,807    24,051 
CNO Financial Group, Inc.   844    23,548 
Cathay General Bancorp   528    23,533 
Texas Capital Bancshares, Inc.*   364    23,525 
Genworth Financial, Inc. — Class A*   3,485    23,280 
Piper Sandler Cos.   132    23,083 
Axos Financial, Inc.*   419    22,877 
McGrath RentCorp   187    22,369 
Upstart Holdings, Inc.*   547    22,350 
SL Green Realty Corp. REIT1   492    22,224 
International Bancshares Corp.   408    22,163 
Independent Bank Corp.   336    22,112 
COPT Defense Properties REIT   856    21,939 
LXP Industrial Trust REIT   2,196    21,784 
Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT   785    21,650 
Bank of Hawaii Corp.1   298    21,593 
Tanger, Inc. REIT   776    21,511 
Innovative Industrial Properties, Inc. REIT   212    21,374 
WSFS Financial Corp.   465    21,357 
First BanCorp   1,298    21,352 
Community Bank System, Inc.   404    21,052 
Pacific Premier Bancorp, Inc.   720    20,959 
Atlantic Union Bankshares Corp.   570    20,828 
Arbor Realty Trust, Inc. REIT1   1,365    20,721 
Artisan Partners Asset Management, Inc. — Class A   466    20,588 
CVB Financial Corp.   1,010    20,392 
Fulton Financial Corp.   1,212    19,950 
SITE Centers Corp. REIT   1,447    19,723 
BGC Group, Inc. — Class A   2,699    19,487 
First Interstate BancSystem, Inc. — Class A   627    19,280 
Pagseguro Digital Ltd. — Class A*   1,507    18,792 
Simmons First National Corp. — Class A   936    18,570 
PJT Partners, Inc. — Class A   180    18,337 
BankUnited, Inc.   565    18,323 
Seacoast Banking Corporation of Florida   640    18,214 
NMI Holdings, Inc. — Class A*   610    18,105 
National Health Investors, Inc. REIT   317    17,704 
Douglas Emmett, Inc. REIT   1,216    17,632 
PennyMac Financial Services, Inc.   194    17,144 
CareTrust REIT, Inc.   760    17,009 
First Financial Bancorp   715    16,981 
Sunstone Hotel Investors, Inc. REIT   1,582    16,975 
Eastern Bankshares, Inc.   1,177    16,713 
First Merchants Corp.   449    16,649 
Four Corners Property Trust, Inc. REIT   658    16,647 
BancFirst Corp.   167    16,254 
WaFd, Inc.   486    16,019 
Urban Edge Properties REIT   872    15,958 
TowneBank   533    15,862 
St. Joe Co.   261    15,707 
Outfront Media, Inc. REIT   1,120    15,635 
Bancorp, Inc.*   392    15,116 
StoneX Group, Inc.*   204    15,061 
DiamondRock Hospitality Co. REIT   1,597    14,996 
Cohen & Steers, Inc.   197    14,919 
Equity Commonwealth REIT   770    14,784 
Global Net Lease, Inc. REIT   1,478    14,706 
Park National Corp.   109    14,482 
Pebblebrook Hotel Trust REIT   896    14,318 
NBT Bancorp, Inc.   340    14,249 
Renasant Corp.   419    14,112 
Independent Bank Group, Inc.   275    13,992 
Banner Corp.   260    13,926 
RLJ Lodging Trust REIT   1,188    13,923 
WesBanco, Inc.   438    13,740 
Cushman & Wakefield plc*   1,261    13,619 
Triumph Financial, Inc.*   169    13,550 
Banc of California, Inc.   997    13,385 
OFG Bancorp   354    13,268 
Farmer Mac — Class C   69    13,194 
Retail Opportunity Investments Corp. REIT   935    13,118 
InvenTrust Properties Corp. REIT   516    13,075 
StepStone Group, Inc. — Class A   410    13,050 
JBG SMITH Properties REIT   765    13,013 
Trustmark Corp.   462    12,881 
Virtus Investment Partners, Inc.   53    12,813 
Apollo Commercial Real Estate Finance, Inc. REIT   1,078    12,656 
Bread Financial Holdings, Inc.   383    12,616 
Customers Bancorp, Inc.*   217    12,504 
Hilltop Holdings, Inc.   355    12,500 
Ready Capital Corp. REIT   1,216    12,464 
City Holding Co.   113    12,459 
Goosehead Insurance, Inc. — Class A*   164    12,431 
Enterprise Financial Services Corp.   276    12,323 
Lakeland Financial Corp.   189    12,315 
Enova International, Inc.*   219    12,124 
Navient Corp.   649    12,084 
Heartland Financial USA, Inc.   321    12,073 
Northwest Bancshares, Inc.   967    12,068 
Acadia Realty Trust REIT   710    12,063 
First Commonwealth Financial Corp.   777    11,997 
Stewart Information Services Corp.   203    11,926 
Bank of NT Butterfield & Son Ltd.   366    11,716 
Live Oak Bancshares, Inc.   255    11,602 
Xenia Hotels & Resorts, Inc. REIT   833    11,345 
Kennedy-Wilson Holdings, Inc.   909    11,253 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Newmark Group, Inc. — Class A   1,022   $11,201 
First Bancorp   302    11,177 
Westamerica BanCorp   197    11,113 
Compass Diversified Holdings   480    10,776 
BRP Group, Inc. — Class A*   448    10,761 
Pathward Financial, Inc.   203    10,745 
FB Financial Corp.   269    10,720 
Service Properties Trust REIT   1,252    10,692 
Stock Yards Bancorp, Inc.   206    10,607 
Hope Bancorp, Inc.   876    10,582 
Alexander & Baldwin, Inc. REIT   551    10,480 
Uniti Group, Inc. REIT   1,809    10,456 
National Bank Holdings Corp. — Class A   280    10,413 
Stellar Bancorp, Inc.   370    10,301 
Two Harbors Investment Corp. REIT   738    10,280 
Palomar Holdings, Inc.*   185    10,268 
Horace Mann Educators Corp.   312    10,202 
TriCo Bancshares   236    10,141 
Cannae Holdings, Inc.*   517    10,087 
Provident Financial Services, Inc.   557    10,043 
PennyMac Mortgage Investment Trust REIT   671    10,031 
LTC Properties, Inc. REIT   311    9,989 
Getty Realty Corp. REIT   340    9,935 
Ladder Capital Corp. — Class A REIT   860    9,899 
S&T Bancorp, Inc.   295    9,859 
First Busey Corp.   394    9,779 
Hudson Pacific Properties, Inc. REIT   1,049    9,766 
Elme Communities REIT   667    9,738 
Empire State Realty Trust, Inc. — Class A REIT   1,003    9,719 
Easterly Government Properties, Inc. REIT   704    9,462 
Veris Residential, Inc. REIT   601    9,454 
Claros Mortgage Trust, Inc.   689    9,391 
NETSTREIT Corp. REIT   521    9,300 
Veritex Holdings, Inc.   398    9,261 
Trupanion, Inc.*   300    9,153 
Sandy Spring Bancorp, Inc.   333    9,071 
Encore Capital Group, Inc.*   176    8,932 
Apartment Investment and Management Co. — Class A REIT*   1,126    8,817 
MFA Financial, Inc. REIT   777    8,757 
Peoples Bancorp, Inc.   257    8,676 
Chimera Investment Corp. REIT   1,716    8,563 
Nelnet, Inc. — Class A   97    8,557 
Franklin BSP Realty Trust, Inc. REIT   631    8,525 
American Assets Trust, Inc. REIT   371    8,351 
Redfin Corp.*   807    8,328 
Berkshire Hills Bancorp, Inc.   335    8,318 
Safety Insurance Group, Inc.   109    8,283 
National Western Life Group, Inc. — Class A   17    8,211 
eXp World Holdings, Inc.1   525    8,148 
Compass, Inc. — Class A*   2,147    8,073 
Origin Bancorp, Inc.   222    7,897 
Nicolet Bankshares, Inc.   98    7,887 
Marcus & Millichap, Inc.   180    7,862 
Plymouth Industrial REIT, Inc.   326    7,847 
Safehold, Inc. REIT   331    7,745 
PRA Group, Inc.*   293    7,677 
OceanFirst Financial Corp.   442    7,673 
Employers Holdings, Inc.   193    7,604 
Mercury General Corp.   203    7,574 
Preferred Bank/Los Angeles CA   102    7,451 
QCR Holdings, Inc.   125    7,299 
BrightSpire Capital, Inc. REIT   978    7,276 
WisdomTree, Inc.   1,048    7,263 
Paramount Group, Inc. REIT   1,404    7,259 
Brookline Bancorp, Inc.   663    7,233 
Ellington Financial, Inc. REIT   569    7,232 
Dime Community Bancshares, Inc.   265    7,136 
Victory Capital Holdings, Inc. — Class A   207    7,129 
LendingClub Corp.*   808    7,062 
Lakeland Bancorp, Inc.   473    6,996 
Southside Bancshares, Inc.   223    6,984 
1st Source Corp.   127    6,979 
Brandywine Realty Trust REIT   1,292    6,977 
German American Bancorp, Inc.   213    6,903 
Diversified Healthcare Trust REIT   1,814    6,784 
AMERISAFE, Inc.   145    6,783 
First Bancshares, Inc.   231    6,775 
Eagle Bancorp, Inc.   224    6,751 
ARMOUR Residential REIT, Inc. 1   347    6,704 
Centerspace REIT   115    6,693 
Piedmont Office Realty Trust, Inc. — Class A REIT   938    6,669 
Anywhere Real Estate, Inc.*   818    6,634 
Enact Holdings, Inc.   228    6,587 
F&G Annuities & Life, Inc.   142    6,532 
Premier Financial Corp.   268    6,459 
ConnectOne Bancorp, Inc.   281    6,438 
Redwood Trust, Inc. REIT   865    6,410 
Patria Investments Ltd. — Class A   413    6,405 
UMH Properties, Inc. REIT   418    6,404 
Tompkins Financial Corp.   105    6,324 
Armada Hoffler Properties, Inc. REIT   511    6,321 
Capitol Federal Financial, Inc.   969    6,250 
Lemonade, Inc.*,1   385    6,210 
Bank First Corp.   71    6,153 
Skyward Specialty Insurance Group, Inc.*   181    6,132 
SiriusPoint Ltd.*   527    6,113 
KKR Real Estate Finance Trust, Inc. REIT   447    5,914 
New York Mortgage Trust, Inc. REIT   691    5,894 
NexPoint Residential Trust, Inc. REIT   171    5,888 
ProAssurance Corp.   410    5,654 
Heritage Financial Corp.   263    5,626 
Ambac Financial Group, Inc.*   336    5,537 
Peakstone Realty Trust REIT   274    5,461 
Summit Hotel Properties, Inc. REIT   796    5,349 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Community Trust Bancorp, Inc.   118   $5,175 
Community Healthcare Trust, Inc. REIT   194    5,168 
Global Medical REIT, Inc.   463    5,139 
Dynex Capital, Inc. REIT   410    5,133 
Merchants Bancorp   120    5,110 
International Money Express, Inc.*   231    5,103 
Old Second Bancorp, Inc.   329    5,080 
First Mid Bancshares, Inc.   145    5,026 
AssetMark Financial Holdings, Inc.*   167    5,002 
CBL & Associates Properties, Inc. REIT   204    4,982 
First Community Bankshares, Inc.   134    4,971 
Univest Financial Corp.   220    4,847 
Amerant Bancorp, Inc.   196    4,816 
Mercantile Bank Corp.   119    4,805 
Brightsphere Investment Group, Inc.   247    4,733 
Horizon Bancorp, Inc.   327    4,679 
CrossFirst Bankshares, Inc.*   338    4,590 
Brookfield Business Corp. — Class A   197    4,586 
Whitestone REIT — Class B   369    4,535 
Business First Bancshares, Inc.   182    4,486 
Hanmi Financial Corp.   231    4,481 
Midland States Bancorp, Inc.   162    4,465 
Heritage Commerce Corp.   450    4,464 
Metropolitan Bank Holding Corp.*   80    4,430 
Byline Bancorp, Inc.   188    4,429 
TrustCo Bank Corporation NY   141    4,378 
Columbia Financial, Inc.*   225    4,338 
HCI Group, Inc.   49    4,283 
Universal Health Realty Income Trust REIT   98    4,238 
Farmland Partners, Inc. REIT   337    4,206 
Washington Trust Bancorp, Inc.   128    4,145 
Great Southern Bancorp, Inc.   69    4,095 
Ares Commercial Real Estate Corp. REIT   395    4,092 
Camden National Corp.   108    4,064 
Gladstone Commercial Corp. REIT   305    4,038 
Cambridge Bancorp   58    4,025 
Farmers National Banc Corp.   276    3,988 
Independent Bank Corp.   153    3,981 
Central Pacific Financial Corp.   202    3,975 
Northfield Bancorp, Inc.   315    3,963 
Chatham Lodging Trust REIT   366    3,923 
Perella Weinberg Partners   319    3,901 
Kearny Financial Corp.   430    3,857 
Peapack-Gladstone Financial Corp.   129    3,847 
First Financial Corp.   89    3,830 
NerdWallet, Inc. — Class A*   260    3,827 
HarborOne Bancorp, Inc.   318    3,810 
American National Bankshares, Inc.   78    3,802 
First Foundation, Inc.   389    3,766 
Equity Bancshares, Inc. — Class A   111    3,763 
Gladstone Land Corp. REIT   254    3,670 
World Acceptance Corp.*   28    3,655 
Coastal Financial Corp.*   82    3,642 
Amalgamated Financial Corp.   134    3,610 
Republic Bancorp, Inc. — Class A   65    3,585 
CNB Financial Corp.   157    3,547 
Flushing Financial Corp.   214    3,527 
Diamond Hill Investment Group, Inc.   21    3,477 
Southern Missouri Bancorp, Inc.   65    3,470 
Saul Centers, Inc. REIT   88    3,456 
Tiptree, Inc. — Class A   182    3,451 
Alexander's, Inc. REIT   16    3,417 
TPG RE Finance Trust, Inc. REIT   524    3,406 
Metrocity Bankshares, Inc.   139    3,339 
P10, Inc. — Class A   326    3,332 
Bar Harbor Bankshares   113    3,318 
RMR Group, Inc. — Class A   117    3,303 
Shore Bancshares, Inc.   226    3,220 
United Fire Group, Inc.   160    3,219 
HomeTrust Bancshares, Inc.   118    3,177 
FRP Holdings, Inc.*   50    3,144 
Arrow Financial Corp.   112    3,129 
Alerus Financial Corp.   138    3,090 
Burke & Herbert Financial Services Corp.   49    3,082 
Universal Insurance Holdings, Inc.   192    3,068 
B Riley Financial, Inc.1   142    2,981 
Capital City Bank Group, Inc.   100    2,943 
SmartFinancial, Inc.   120    2,939 
FTAI Infrastructure, Inc.   751    2,921 
MidWestOne Financial Group, Inc.   108    2,906 
CTO Realty Growth, Inc. REIT   167    2,894 
Forge Global Holdings, Inc.*   834    2,861 
GCM Grosvenor, Inc. — Class A   315    2,822 
ACNB Corp.   63    2,820 
Invesco Mortgage Capital, Inc. REIT   318    2,817 
Northeast Bank   50    2,759 
Capstar Financial Holdings, Inc.   147    2,755 
One Liberty Properties, Inc. REIT   123    2,695 
Carter Bankshares, Inc.*   179    2,680 
Office Properties Income Trust REIT   365    2,672 
South Plains Financial, Inc.   91    2,635 
Mid Penn Bancorp, Inc.   108    2,622 
Bank of Marin Bancorp   119    2,620 
Summit Financial Group, Inc.   85    2,609 
West BanCorp, Inc.   123    2,608 
Esquire Financial Holdings, Inc.   52    2,598 
James River Group Holdings Ltd.   281    2,596 
Peoples Financial Services Corp.   53    2,581 
Five Star Bancorp   97    2,539 
Citizens & Northern Corp.   113    2,535 
Orion Office REIT, Inc.   434    2,482 
Farmers & Merchants Bancorp Incorporated/Archbold OH   100    2,480 
Orchid Island Capital, Inc. REIT   293    2,470 
Financial Institutions, Inc.   115    2,449 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
NewtekOne, Inc.   177   $2,443 
LendingTree, Inc.*   80    2,426 
RBB Bancorp   127    2,418 
First Business Financial Services, Inc.   60    2,406 
Northrim BanCorp, Inc.   42    2,403 
Sierra Bancorp   105    2,368 
Enterprise Bancorp, Inc.   73    2,355 
Orange County Bancorp, Inc.   39    2,349 
Bit Digital, Inc.*   549    2,322 
Granite Point Mortgage Trust, Inc. REIT   388    2,305 
Orrstown Financial Services, Inc.   78    2,301 
Home Bancorp, Inc.   54    2,269 
Macatawa Bank Corp.   200    2,256 
MBIA, Inc.*   367    2,246 
Greenlight Capital Re Ltd. — Class A*   196    2,238 
Civista Bancshares, Inc.   117    2,157 
HBT Financial, Inc.   102    2,153 
Southern First Bancshares, Inc.*   58    2,152 
First of Long Island Corp.   162    2,145 
John Marshall Bancorp, Inc.   95    2,143 
Hingham Institution For Savings   11    2,138 
Guaranty Bancshares, Inc.   63    2,118 
BayCom Corp.   89    2,100 
Bridgewater Bancshares, Inc.*   155    2,096 
First Bancorp, Inc.   74    2,088 
Red River Bancshares, Inc.   37    2,076 
Postal Realty Trust, Inc. — Class A REIT   142    2,067 
Fidelity D&D Bancorp, Inc.   35    2,031 
Chicago Atlantic Real Estate Finance, Inc. REIT   124    2,006 
Waterstone Financial, Inc.   140    1,988 
Primis Financial Corp.   154    1,950 
Third Coast Bancshares, Inc.*   98    1,947 
Middlefield Banc Corp.   60    1,942 
MVB Financial Corp.   86    1,940 
Legacy Housing Corp.*   75    1,892 
Citizens Financial Services, Inc.   29    1,877 
NexPoint Diversified Real Estate Trust REIT   233    1,852 
FS Bancorp, Inc.   50    1,848 
Norwood Financial Corp.   56    1,843 
Codorus Valley Bancorp, Inc.   71    1,825 
Douglas Elliman, Inc.   615    1,814 
Northeast Community Bancorp, Inc.   102    1,809 
City Office REIT, Inc.   296    1,809 
Timberland Bancorp, Inc.   57    1,793 
RE/MAX Holdings, Inc. — Class A   133    1,773 
Blue Foundry Bancorp*   183    1,770 
Capital Bancorp, Inc.   73    1,767 
First Bank/Hamilton NJ   118    1,735 
FVCBankcorp, Inc.*   122    1,732 
C&F Financial Corp.   25    1,705 
Central Valley Community Bancorp   76    1,699 
Plumas Bancorp   41    1,695 
BRT Apartments Corp. REIT   91    1,692 
Alpine Income Property Trust, Inc. REIT   99    1,674 
Southern States Bancshares, Inc.   57    1,669 
Colony Bankcorp, Inc.   125    1,662 
Donegal Group, Inc. — Class A   117    1,637 
Unity Bancorp, Inc.   55    1,627 
Parke Bancorp, Inc.   79    1,600 
eHealth, Inc.*   182    1,587 
Maiden Holdings Ltd.*   689    1,578 
ChoiceOne Financial Services, Inc.   53    1,553 
PCB Bancorp   83    1,530 
Oak Valley Bancorp   51    1,527 
Ponce Financial Group, Inc.*   155    1,513 
Ocwen Financial Corp.*   49    1,507 
Regional Management Corp.   60    1,505 
Greene County Bancorp, Inc.   53    1,495 
AFC Gamma, Inc. REIT   124    1,492 
Star Holdings*   98    1,468 
BCB Bancorp, Inc.   114    1,465 
Investors Title Co.   9    1,459 
Fidelis Insurance Holdings Ltd.*   115    1,457 
Crawford & Co. — Class A   110    1,450 
National Bankshares, Inc.   44    1,423 
Selectquote, Inc.*   1,035    1,418 
HomeStreet, Inc.   137    1,411 
American Coastal Insurance Corp.*   149    1,410 
AlTi Global, Inc.*   160    1,402 
Princeton Bancorp, Inc.   39    1,400 
Ames National Corp.   65    1,387 
Bankwell Financial Group, Inc.   45    1,358 
Atlanticus Holdings Corp.*   35    1,353 
Chemung Financial Corp.   27    1,345 
ESSA Bancorp, Inc.   66    1,321 
MainStreet Bancshares, Inc.   53    1,315 
LCNB Corp.   80    1,262 
Evans Bancorp, Inc.   40    1,261 
Braemar Hotels & Resorts, Inc. REIT   498    1,245 
Stratus Properties, Inc.*   43    1,241 
Virginia National Bankshares Corp.   36    1,238 
Silvercrest Asset Management Group, Inc. — Class A   72    1,224 
First Western Financial, Inc.*   61    1,210 
First Community Corp.   56    1,206 
Penns Woods Bancorp, Inc.   52    1,171 
Velocity Financial, Inc.*   66    1,137 
USCB Financial Holdings, Inc.*   80    980 
Nexpoint Real Estate Finance, Inc. REIT   61    961 
Angel Oak Mortgage REIT, Inc.   89    943 
Sterling Bancorp, Inc.*   159    917 
Maui Land & Pineapple Company, Inc.*   57    906 
Pioneer Bancorp, Inc.*   88    881 
Security National Financial Corp. — Class A*   95    859 
Luther Burbank Corp.*   78    835 
NI Holdings, Inc.*   63    818 
Bank7 Corp.   28    766 
Hippo Holdings, Inc.*   80    730 
Paysign, Inc.*   248    694 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Kingsway Financial Services, Inc.*   81   $680 
Consumer Portfolio Services, Inc.*   69    647 
SWK Holdings Corp.*   29    508 
Transcontinental Realty Investors, Inc.*   14    484 
Clipper Realty, Inc. REIT   87    470 
Finance of America Companies, Inc. — Class A*   405    445 
OppFi, Inc.*   82    420 
Blue Ridge Bankshares, Inc.   134    406 
GoHealth, Inc. — Class A*   30    400 
American Realty Investors, Inc.*   11    192 
Total Financial        4,219,239 
Industrial - 8.8%          
Simpson Manufacturing Company, Inc.   325    64,344 
UFP Industries, Inc.   456    57,251 
Comfort Systems USA, Inc.   267    54,914 
Fabrinet*   279    53,102 
Applied Industrial Technologies, Inc.   293    50,598 
Novanta, Inc.*   272    45,808 
Atkore, Inc.*   286    45,760 
Chart Industries, Inc.*   320    43,626 
Watts Water Technologies, Inc. — Class A   208    43,335 
Fluor Corp.*   1,083    42,421 
Mueller Industries, Inc.   851    40,125 
Boise Cascade Co.   301    38,937 
AAON, Inc.   514    37,969 
Casella Waste Systems, Inc. — Class A*   423    36,150 
Federal Signal Corp.   455    34,917 
Summit Materials, Inc. — Class A*   907    34,883 
Badger Meter, Inc.   223    34,424 
Franklin Electric Company, Inc.   351    33,924 
Exponent, Inc.   385    33,895 
SPX Technologies, Inc.*   335    33,838 
Zurn Elkay Water Solutions Corp.   1,123    33,027 
GATX Corp.   270    32,459 
EnerSys   313    31,600 
Advanced Energy Industries, Inc.   286    31,151 
Moog, Inc. — Class A   215    31,128 
Arcosa, Inc.   368    30,411 
Terex Corp.   501    28,787 
Matson, Inc.   260    28,496 
Knife River Corp.*   430    28,457 
Itron, Inc.*   346    26,126 
Dycom Industries, Inc.*   218    25,090 
Hillenbrand, Inc.   524    25,073 
Belden, Inc.   323    24,952 
Enpro, Inc.   159    24,922 
Kadant, Inc.   88    24,667 
CSW Industrials, Inc.   117    24,267 
Encore Wire Corp.   113    24,137 
John Bean Technologies Corp.   241    23,968 
AeroVironment, Inc.*   189    23,821 
Vishay Intertechnology, Inc.   979    23,467 
Albany International Corp. — Class A   238    23,376 
Modine Manufacturing Co.*   391    23,343 
ESCO Technologies, Inc.   194    22,704 
Plexus Corp.*   208    22,491 
Cactus, Inc. — Class A   491    22,291 
Scorpio Tankers, Inc.   360    21,888 
Sanmina Corp.*   426    21,884 
Hub Group, Inc. — Class A*   238    21,882 
Bloom Energy Corp. — Class A*   1,462    21,638 
Frontdoor, Inc.*   611    21,519 
ArcBest Corp.   179    21,518 
RXO, Inc.*   882    20,515 
Werner Enterprises, Inc.   481    20,380 
Materion Corp.   156    20,300 
Sterling Infrastructure, Inc.*   227    19,960 
O-I Glass, Inc.*   1,180    19,328 
Kratos Defense & Security Solutions, Inc.*   951    19,296 
Griffon Corp.   316    19,260 
Gibraltar Industries, Inc.*   232    18,323 
MYR Group, Inc.*   124    17,934 
Golar LNG Ltd.   769    17,679 
NEXTracker, Inc. — Class A*   375    17,569 
PGT Innovations, Inc.*   431    17,542 
Energizer Holdings, Inc.   544    17,234 
Granite Construction, Inc.   335    17,038 
Mueller Water Products, Inc. — Class A   1,178    16,963 
Trinity Industries, Inc.   616    16,380 
Alamo Group, Inc.   77    16,185 
AAR Corp.*   255    15,912 
Kennametal, Inc.   612    15,783 
Mirion Technologies, Inc.*   1,521    15,590 
OSI Systems, Inc.*   120    15,486 
Masterbrand, Inc.*   985    14,627 
Masonite International Corp.*   169    14,308 
Standex International Corp.   89    14,096 
Joby Aviation, Inc.*   2,113    14,051 
International Seaways, Inc.   308    14,008 
Hillman Solutions Corp.*   1,479    13,622 
Worthington Enterprises, Inc.   234    13,467 
Primoris Services Corp.   403    13,384 
Construction Partners, Inc. — Class A*   305    13,274 
Tennant Co.   141    13,069 
Enovix Corp.*   1,039    13,008 
Enerpac Tool Group Corp.   412    12,809 
Forward Air Corp.   199    12,511 
TTM Technologies, Inc.*   777    12,284 
Knowles Corp.*   682    12,215 
JELD-WEN Holding, Inc.*   646    12,196 
Barnes Group, Inc.   372    12,138 
Greif, Inc. — Class A   185    12,134 
Rocket Lab USA, Inc.*   2,113    11,685 
NV5 Global, Inc.*   104    11,556 
American Woodmark Corp.*   124    11,513 
Helios Technologies, Inc.   249    11,292 
AZZ, Inc.   188    10,921 
Lindsay Corp.   84    10,850 
Dorian LPG Ltd.   243    10,660 
Leonardo DRS, Inc.*   520    10,421 
CTS Corp.   238    10,410 
World Kinect Corp.   451    10,274 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Greenbrier Companies, Inc.   232   $10,250 
DHT Holdings, Inc.   1,041    10,212 
SFL Corporation Ltd.   874    9,859 
Xometry, Inc. — Class A*   258    9,265 
Marten Transport Ltd.   441    9,252 
Golden Ocean Group Ltd.   934    9,116 
Teekay Tankers Ltd. — Class A   182    9,094 
Apogee Enterprises, Inc.   168    8,973 
Janus International Group, Inc.*   645    8,417 
Columbus McKinnon Corp.   214    8,350 
Thermon Group Holdings, Inc.*   254    8,273 
Napco Security Technologies, Inc.   240    8,220 
Triumph Group, Inc.*   489    8,108 
TriMas Corp.   315    7,979 
Energy Recovery, Inc.*   423    7,969 
Proto Labs, Inc.*   200    7,792 
TimkenSteel Corp.*   330    7,739 
Vicor Corp.*   168    7,550 
Air Transport Services Group, Inc.*   428    7,537 
Benchmark Electronics, Inc.   268    7,407 
Ryerson Holding Corp.   212    7,352 
Ichor Holdings Ltd.*   216    7,264 
Archer Aviation, Inc. — Class A*   1,158    7,110 
Montrose Environmental Group, Inc.*   212    6,812 
FLEX LNG Ltd.   226    6,568 
Nordic American Tankers Ltd.   1,558    6,544 
Astec Industries, Inc.   173    6,436 
Powell Industries, Inc.   70    6,188 
Gorman-Rupp Co.   174    6,182 
Aspen Aerogels, Inc.*   388    6,123 
Sturm Ruger & Company, Inc.   133    6,045 
Insteel Industries, Inc.   142    5,437 
Myers Industries, Inc.   277    5,415 
Enviri Corp.*   599    5,391 
Genco Shipping & Trading Ltd.   319    5,292 
Bel Fuse, Inc. — Class B   79    5,275 
Kaman Corp.   214    5,125 
Hyster-Yale Materials Handling, Inc.   82    5,099 
Heartland Express, Inc.   356    5,077 
Olympic Steel, Inc.   75    5,002 
IES Holdings, Inc.*   62    4,912 
Kimball Electronics, Inc.*   182    4,905 
Cadre Holdings, Inc.   147    4,835 
CryoPort, Inc.*   305    4,724 
Smith & Wesson Brands, Inc.   347    4,705 
Clearwater Paper Corp.*   127    4,587 
CECO Environmental Corp.*   225    4,563 
nLight, Inc.*   335    4,522 
Argan, Inc.   96    4,492 
SmartRent, Inc.*   1,398    4,460 
Manitowoc Company, Inc.*   265    4,423 
Ardmore Shipping Corp.   312    4,396 
Ducommun, Inc.*   83    4,321 
Pactiv Evergreen, Inc.   304    4,168 
Mesa Laboratories, Inc.   39    4,086 
Evolv Technologies Holdings, Inc.*   855    4,036 
Stoneridge, Inc.*   201    3,934 
LSB Industries, Inc.*   417    3,882 
Eagle Bulk Shipping, Inc.   70    3,878 
Costamare, Inc.   368    3,831 
Great Lakes Dredge & Dock Corp.*   498    3,825 
DXP Enterprises, Inc.*   107    3,606 
PureCycle Technologies, Inc.*   882    3,572 
MicroVision, Inc.*   1,342    3,570 
Astronics Corp.*   197    3,432 
Teekay Corp.*   467    3,339 
GoPro, Inc. — Class A*   951    3,300 
FARO Technologies, Inc.*   144    3,244 
GrafTech International Ltd.   1,471    3,222 
Limbach Holdings, Inc.*   70    3,183 
National Presto Industries, Inc.   39    3,131 
Allient, Inc.   98    2,961 
Tutor Perini Corp.*   322    2,930 
Cadeler A/S ADR*   159    2,926 
Atmus Filtration Technologies, Inc.*,1   124    2,913 
Covenant Logistics Group, Inc. — Class A   63    2,900 
NVE Corp.   36    2,823 
LSI Industries, Inc.   199    2,802 
Bowman Consulting Group Ltd.*   75    2,664 
Greif, Inc. — Class B   39    2,574 
Daseke, Inc.*   307    2,487 
AerSale Corp.*   194    2,463 
Overseas Shipholding Group, Inc. — Class A   432    2,277 
Pangaea Logistics Solutions Ltd.   276    2,274 
Northwest Pipe Co.*   75    2,269 
Park Aerospace Corp.   145    2,132 
Safe Bulkers, Inc.   511    2,008 
Ranpak Holdings Corp.*   329    1,915 
908 Devices, Inc.*   166    1,862 
Luxfer Holdings plc   208    1,860 
Radiant Logistics, Inc.*   277    1,839 
Omega Flex, Inc.   25    1,763 
Comtech Telecommunications Corp.   207    1,745 
Park-Ohio Holdings Corp.   64    1,725 
Eastman Kodak Co.*   433    1,689 
Iteris, Inc.*   324    1,685 
Concrete Pumping Holdings, Inc.*   197    1,615 
Pure Cycle Corp.*   148    1,550 
AMMO, Inc.*   684    1,436 
Universal Logistics Holdings, Inc.   51    1,429 
NuScale Power Corp.*   407    1,339 
Turtle Beach Corp.*   119    1,303 
Gencor Industries, Inc.*   80    1,291 
Mayville Engineering Company, Inc.*   84    1,211 
Mistras Group, Inc.*   158    1,157 
Blink Charging Co.*   341    1,156 
Tredegar Corp.   200    1,082 
Core Molding Technologies, Inc.*   58    1,075 
Karat Packaging, Inc.   43    1,069 
Willis Lease Finance Corp.*   21    1,027 
Eve Holding, Inc.*   137    1,003 
PAM Transportation Services, Inc.*   47    977 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Sight Sciences, Inc.*   164   $846 
Intevac, Inc.*   194    838 
LanzaTech Global, Inc.*   157    790 
ESS Tech, Inc.*   692    789 
Latham Group, Inc.*   295    776 
Transphorm, Inc.*   205    748 
SKYX Platforms Corp.*   424    678 
Babcock & Wilcox Enterprises, Inc.*   446    651 
374Water, Inc.*   451    640 
Li-Cycle Holdings Corp.*,1   1,047    612 
Himalaya Shipping Ltd.*   66    446 
Akoustis Technologies, Inc.*   525    438 
INNOVATE Corp.*   339    417 
NL Industries, Inc.   64    359 
Amprius Technologies, Inc.*   41    217 
Redwire Corp.*   60    171 
Southland Holdings, Inc.*   29    150 
Charge Enterprises, Inc.*   1,022    117 
Total Industrial        2,875,273 
Consumer, Cyclical - 6.9%          
Light & Wonder, Inc. — Class A*   693    56,902 
Meritage Homes Corp.   275    47,905 
Taylor Morrison Home Corp. — Class A*   781    41,666 
Carvana Co.*   728    38,540 
Beacon Roofing Supply, Inc.*   437    38,028 
Signet Jewelers Ltd.   338    36,254 
Academy Sports & Outdoors, Inc.   545    35,970 
Asbury Automotive Group, Inc.*   157    35,320 
KB Home   537    33,541 
Installed Building Products, Inc.   180    32,908 
Abercrombie & Fitch Co. — Class A*   371    32,730 
Group 1 Automotive, Inc.   103    31,388 
FirstCash Holdings, Inc.   285    30,891 
Goodyear Tire & Rubber Co.*   2,135    30,573 
Skyline Champion Corp.*   407    30,224 
American Eagle Outfitters, Inc.   1,387    29,349 
M/I Homes, Inc.*   205    28,237 
Kontoor Brands, Inc.   423    26,404 
Visteon Corp.*   208    25,979 
GMS, Inc.*   312    25,718 
Adient plc*   707    25,707 
Tri Pointe Homes, Inc.*   725    25,665 
MDC Holdings, Inc.   446    24,641 
Hilton Grand Vacations, Inc.*   606    24,349 
Steven Madden Ltd.   572    24,024 
LCI Industries   188    23,633 
Rush Enterprises, Inc. — Class A   464    23,339 
Cavco Industries, Inc.*   66    22,877 
International Game Technology plc   824    22,586 
Fox Factory Holding Corp.*   324    21,864 
Shake Shack, Inc. — Class A*   287    21,272 
LGI Homes, Inc.*   158    21,039 
Resideo Technologies, Inc.*   1,112    20,928 
UniFirst Corp.   114    20,852 
Century Communities, Inc.   216    19,686 
Foot Locker, Inc.   623    19,406 
Red Rock Resorts, Inc. — Class A   361    19,252 
Papa John's International, Inc.   250    19,058 
Bloomin' Brands, Inc.   665    18,720 
Boot Barn Holdings, Inc.*   226    17,348 
Urban Outfitters, Inc.*   485    17,310 
Dorman Products, Inc.*   200    16,682 
Sonos, Inc.*   964    16,523 
Patrick Industries, Inc.   162    16,257 
Winnebago Industries, Inc.   223    16,252 
SkyWest, Inc.*   305    15,921 
Topgolf Callaway Brands Corp.*   1,093    15,674 
Acushnet Holdings Corp.   237    14,971 
MillerKnoll, Inc.   556    14,834 
Dave & Buster's Entertainment, Inc.*   274    14,755 
HNI Corp.   351    14,682 
SeaWorld Entertainment, Inc.*   276    14,581 
Dana, Inc.   990    14,464 
PriceSmart, Inc.   190    14,398 
Brinker International, Inc.*   333    14,379 
ODP Corp.*   249    14,019 
JetBlue Airways Corp.*   2,508    13,919 
Six Flags Entertainment Corp.*   548    13,744 
Spirit Airlines, Inc.   833    13,653 
Gentherm, Inc.*   251    13,142 
Atlanta Braves Holdings, Inc. — Class C*   332    13,141 
Cheesecake Factory, Inc.   368    12,884 
Cracker Barrel Old Country Store, Inc.   167    12,872 
H&E Equipment Services, Inc.   244    12,766 
Jack in the Box, Inc.   156    12,734 
Vista Outdoor, Inc.*   428    12,656 
National Vision Holdings, Inc.*   590    12,349 
La-Z-Boy, Inc.   330    12,184 
OPENLANE, Inc.*   819    12,130 
Hanesbrands, Inc.*   2,668    11,899 
Cinemark Holdings, Inc.*   834    11,751 
Oxford Industries, Inc.   114    11,400 
Aurora Innovation, Inc.*   2,550    11,144 
Buckle, Inc.   232    11,025 
Sally Beauty Holdings, Inc.*   815    10,823 
G-III Apparel Group Ltd.*   313    10,636 
Dillard's, Inc. — Class A   26    10,495 
Green Brick Partners, Inc.*   198    10,284 
Allegiant Travel Co. — Class A   120    9,913 
Madison Square Garden Entertainment Corp.*   300    9,537 
Leslie's, Inc.*   1,348    9,315 
XPEL, Inc.*   172    9,262 
Winmark Corp.   22    9,186 
Warby Parker, Inc. — Class A*   643    9,066 
Steelcase, Inc. — Class A   666    9,004 
Lions Gate Entertainment Corp. — Class B*   879    8,957 
Wabash National Corp.   347    8,890 
OneSpaWorld Holdings Ltd.*   615    8,672 
Sovos Brands, Inc.*   386    8,503 
indie Semiconductor, Inc. — Class A*   1,046    8,483 
Malibu Boats, Inc. — Class A*   154    8,442 
Camping World Holdings, Inc. — Class A   317    8,324 
Sweetgreen, Inc. — Class A*   733    8,283 
Caleres, Inc.   263    8,082 
iRobot Corp.*   208    8,050 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
American Axle & Manufacturing Holdings, Inc.*   867   $7,638 
Beazer Homes USA, Inc.*   224    7,569 
BlueLinx Holdings, Inc.*   66    7,478 
ScanSource, Inc.*   188    7,447 
Nu Skin Enterprises, Inc. — Class A   378    7,341 
Everi Holdings, Inc.*   641    7,224 
Monarch Casino & Resort, Inc.   102    7,053 
MRC Global, Inc.*   637    7,013 
Luminar Technologies, Inc.*,1   2,067    6,966 
Chico's FAS, Inc.*   912    6,913 
Hibbett, Inc.   95    6,842 
Dream Finders Homes, Inc. — Class A*   184    6,538 
Standard Motor Products, Inc.   161    6,409 
MarineMax, Inc.*   162    6,302 
Sonic Automotive, Inc. — Class A   111    6,239 
BJ's Restaurants, Inc.*   173    6,230 
Bluegreen Vacations Holding Corp.1   82    6,160 
Golden Entertainment, Inc.   154    6,149 
Methode Electronics, Inc.   268    6,092 
VSE Corp.   94    6,073 
Virgin Galactic Holdings, Inc.*   2,474    6,061 
Titan International, Inc.*   398    5,922 
Dine Brands Global, Inc.   119    5,908 
PC Connection, Inc.   87    5,847 
Hovnanian Enterprises, Inc. — Class A*   37    5,758 
Ethan Allen Interiors, Inc.   173    5,522 
Hawaiian Holdings, Inc.*   387    5,496 
Interface, Inc. — Class A   435    5,490 
Wolverine World Wide, Inc.   590    5,245 
Chuy's Holdings, Inc.*   137    5,238 
Arko Corp.   625    5,156 
Blue Bird Corp.*   191    5,149 
IMAX Corp.*   341    5,122 
Life Time Group Holdings, Inc.*   339    5,112 
Portillo's, Inc. — Class A*   320    5,098 
Douglas Dynamics, Inc.   171    5,075 
Guess?, Inc.   218    5,027 
Clean Energy Fuels Corp.*   1,287    4,929 
Lions Gate Entertainment Corp. — Class A*   442    4,818 
Forestar Group, Inc.*   139    4,597 
Titan Machinery, Inc.*   156    4,505 
Sun Country Airlines Holdings, Inc.*   286    4,499 
Hudson Technologies, Inc.*   333    4,492 
Vizio Holding Corp. — Class A*   576    4,435 
REV Group, Inc.   240    4,361 
A-Mark Precious Metals, Inc.   143    4,326 
RCI Hospitality Holdings, Inc.   65    4,307 
Denny's Corp.*   387    4,211 
Accel Entertainment, Inc.*   409    4,200 
Haverty Furniture Companies, Inc.   111    3,941 
Nikola Corp.*,1   4,482    3,921 
Global Industrial Co.   100    3,884 
Shoe Carnival, Inc.   126    3,806 
Rush Enterprises, Inc. — Class B   70    3,709 
Miller Industries, Inc.   84    3,552 
Xperi, Inc.*   321    3,537 
Movado Group, Inc.   116    3,497 
Savers Value Village, Inc.*   197    3,424 
Kura Sushi USA, Inc. — Class A*   44    3,344 
America's Car-Mart, Inc.*   44    3,334 
First Watch Restaurant Group, Inc.*   164    3,296 
Super Group SGHC Ltd.*   1,035    3,281 
Atlanta Braves Holdings, Inc. — Class A*   76    3,251 
Genesco, Inc.*   92    3,239 
Shyft Group, Inc.   261    3,189 
Bally's Corp.*   224    3,123 
Lindblad Expeditions Holdings, Inc.*   265    2,987 
OneWater Marine, Inc. — Class A*   88    2,974 
MasterCraft Boat Holdings, Inc.*   131    2,966 
Designer Brands, Inc. — Class A   326    2,885 
Lovesac Co.*   106    2,708 
EVgo, Inc.*,1   752    2,692 
Marcus Corp.   184    2,683 
Fisker, Inc.*   1,489    2,606 
Cooper-Standard Holdings, Inc.*   128    2,501 
Zumiez, Inc.*   121    2,461 
Xponential Fitness, Inc. — Class A*   188    2,423 
Daktronics, Inc.*   285    2,417 
Sleep Number Corp.*   162    2,402 
Build-A-Bear Workshop, Inc. — Class A   100    2,299 
Microvast Holdings, Inc.*   1,620    2,268 
Carrols Restaurant Group, Inc.   279    2,199 
Johnson Outdoors, Inc. — Class A   41    2,190 
Rush Street Interactive, Inc.*   478    2,146 
Hooker Furnishings Corp.   82    2,139 
Children's Place, Inc.*   91    2,113 
Potbelly Corp.*   198    2,063 
Funko, Inc. — Class A*   264    2,041 
JAKKS Pacific, Inc.*   55    1,955 
Holley, Inc.*   401    1,953 
Destination XL Group, Inc.*   442    1,945 
El Pollo Loco Holdings, Inc.*   215    1,896 
Bowlero Corp. — Class A*   127    1,798 
SES AI Corp.*   947    1,733 
Commercial Vehicle Group, Inc.*   244    1,711 
Solid Power, Inc.*   1,176    1,705 
Big Lots, Inc.   216    1,683 
Tile Shop Holdings, Inc.*   219    1,612 
Rocky Brands, Inc.   53    1,600 
Global Business Travel Group I*   245    1,580 
Frontier Group Holdings, Inc.*   289    1,578 
Vera Bradley, Inc.*   199    1,532 
Clarus Corp.   222    1,531 
Escalade, Inc.   76    1,527 
Red Robin Gourmet Burgers, Inc.*   120    1,496 
Weyco Group, Inc.   45    1,411 
Landsea Homes Corp.*   102    1,340 
Full House Resorts, Inc.*   249    1,337 
Tilly's, Inc. — Class A*   170    1,282 
Snap One Holdings Corp.*   139    1,239 
ThredUp, Inc. — Class A*   545    1,226 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Sportsman's Warehouse Holdings, Inc.*   287   $1,223 
PetMed Express, Inc.   156    1,179 
GrowGeneration Corp.*   446    1,119 
TuSimple Holdings, Inc. — Class A*   1,256    1,103 
Reservoir Media, Inc.*   151    1,077 
Big 5 Sporting Goods Corp.   163    1,033 
ONE Group Hospitality, Inc.*   167    1,022 
Century Casinos, Inc.*   209    1,020 
Noodles & Co.*   305    961 
VOXX International Corp. — Class A*   89    951 
Livewire Group, Inc.*   84    950 
Cato Corp. — Class A   132    943 
Hyliion Holdings Corp.*   1,120    911 
J Jill, Inc.*   35    902 
EVI Industries, Inc.   36    854 
Biglari Holdings, Inc. — Class B*   5    825 
Traeger, Inc.*   268    732 
Marine Products Corp.   64    730 
Duluth Holdings, Inc. — Class B*   103    554 
Torrid Holdings, Inc.*   92    531 
Fossil Group, Inc.*   362    528 
Aeva Technologies, Inc.*   603    457 
Workhorse Group, Inc.*   1,250    450 
Purple Innovation, Inc.   415    427 
Lazydays Holdings, Inc.*   57    402 
United Homes Group, Inc.*   46    388 
CompX International, Inc.   12    303 
Envela Corp.*   58    282 
Loop Media, Inc.*   276    276 
Qurate Retail, Inc. — Class B*   10    65 
Dragonfly Energy Holdings Corp.*   113    61 
Total Consumer, Cyclical        2,242,077 
Technology - 6.7%          
Super Micro Computer, Inc.*   351    99,775 
MicroStrategy, Inc. — Class A*   92    58,109 
Onto Innovation, Inc.*   372    56,879 
Rambus, Inc.*   828    56,511 
Qualys, Inc.*   282    55,351 
SPS Commerce, Inc.*   277    53,694 
Duolingo, Inc.*   218    49,453 
Tenable Holdings, Inc.*   867    39,934 
Maximus, Inc.   462    38,743 
Insight Enterprises, Inc.*   218    38,628 
MACOM Technology Solutions Holdings, Inc.*   412    38,295 
ExlService Holdings, Inc.*   1,227    37,853 
Workiva, Inc.*   371    37,668 
Varonis Systems, Inc.*   825    37,356 
Power Integrations, Inc.   431    35,389 
Altair Engineering, Inc. — Class A*   408    34,333 
ASGN, Inc.*   356    34,237 
Synaptics, Inc.*   300    34,224 
Axcelis Technologies, Inc.*   247    32,034 
Silicon Laboratories, Inc.*   241    31,877 
Freshworks, Inc. — Class A*   1,230    28,893 
Blackbaud, Inc.*   331    28,698 
Amkor Technology, Inc.   849    28,246 
Diodes, Inc.*   343    27,618 
Evolent Health, Inc. — Class A*   836    27,613 
Box, Inc. — Class A*   1,070    27,403 
CommVault Systems, Inc.*   335    26,750 
BlackLine, Inc.*   428    26,724 
Rapid7, Inc.*   455    25,981 
Appfolio, Inc. — Class A*   146    25,293 
ACI Worldwide, Inc.*   824    25,214 
FormFactor, Inc.*   586    24,442 
Verra Mobility Corp.*   1,060    24,412 
Kulicke & Soffa Industries, Inc.   421    23,037 
Sprout Social, Inc. — Class A*   363    22,303 
Braze, Inc. — Class A*   397    21,093 
Parsons Corp.*   313    19,628 
Privia Health Group, Inc.*   840    19,345 
Envestnet, Inc.*   380    18,818 
Progress Software Corp.   330    17,919 
DigitalOcean Holdings, Inc.*   481    17,648 
C3.ai, Inc. — Class A*,1   613    17,599 
Ambarella, Inc.*   276    16,916 
Fastly, Inc. — Class A*   900    16,020 
Xerox Holdings Corp.   871    15,965 
SiTime Corp.*   130    15,870 
Impinj, Inc.*   175    15,755 
IonQ, Inc.*   1,220    15,116 
PagerDuty, Inc.*   646    14,955 
Schrodinger Incorporated/United States*   413    14,785 
ACV Auctions, Inc. — Class A*   965    14,620 
Photronics, Inc.*   463    14,524 
AvidXchange Holdings, Inc.*   1,134    14,050 
MaxLinear, Inc. — Class A*   566    13,454 
PROS Holdings, Inc.*   339    13,150 
Clear Secure, Inc. — Class A   633    13,071 
Agilysys, Inc.*   152    12,893 
Verint Systems, Inc.*   474    12,812 
CSG Systems International, Inc.   237    12,611 
Cohu, Inc.*   354    12,528 
Veeco Instruments, Inc.*   386    11,978 
Donnelley Financial Solutions, Inc.*   188    11,726 
Appian Corp. — Class A*   311    11,712 
Ultra Clean Holdings, Inc.*   338    11,539 
Asana, Inc. — Class A*   603    11,463 
NetScout Systems, Inc.*   518    11,370 
Semtech Corp.*   485    10,626 
Adeia, Inc.   812    10,061 
PowerSchool Holdings, Inc. — Class A*   425    10,013 
Jamf Holding Corp.*   530    9,572 
AvePoint, Inc.*   1,119    9,187 
Phreesia, Inc.*   388    8,982 
Zeta Global Holdings Corp. — Class A*   1,018    8,979 
PAR Technology Corp.*   202    8,795 
Zuora, Inc. — Class A*   934    8,780 
Veradigm, Inc.*   819    8,591 
EngageSmart, Inc.*   369    8,450 
Intapp, Inc.*   209    7,946 
Model N, Inc.*   283    7,621 
Everbridge, Inc.*   309    7,512 
PDF Solutions, Inc.*   232    7,456 
Alkami Technology, Inc.*   300    7,275 
ACM Research, Inc. — Class A*   365    7,132 
N-able, Inc.*   531    7,036 
SMART Global Holdings, Inc.*   367    6,947 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Digi International, Inc.*   267   $6,942 
Sapiens International Corporation N.V.   233    6,743 
Amplitude, Inc. — Class A*   514    6,538 
Navitas Semiconductor Corp.*   768    6,198 
3D Systems Corp.*   968    6,147 
Cerence, Inc.*   306    6,016 
Pitney Bowes, Inc.   1,332    5,861 
E2open Parent Holdings, Inc.*   1,288    5,654 
Grid Dynamics Holdings, Inc.*   421    5,612 
Alignment Healthcare, Inc.*   646    5,562 
Simulations Plus, Inc.   120    5,370 
PubMatic, Inc. — Class A*   325    5,301 
Aehr Test Systems*   196    5,200 
Matterport, Inc.*   1,904    5,122 
Integral Ad Science Holding Corp.*   352    5,065 
BigCommerce Holdings, Inc.*   510    4,962 
Digital Turbine, Inc.*   720    4,939 
MeridianLink, Inc.*   199    4,929 
SolarWinds Corp.*   387    4,834 
Yext, Inc.*   812    4,783 
Conduent, Inc.*   1,306    4,767 
Alpha & Omega Semiconductor Ltd.*   176    4,587 
Vimeo, Inc.*   1,155    4,528 
Olo, Inc. — Class A*   785    4,490 
Mitek Systems, Inc.*   324    4,225 
Instructure Holdings, Inc.*   148    3,997 
CEVA, Inc.*   176    3,997 
Corsair Gaming, Inc.*   280    3,948 
Health Catalyst, Inc.*   424    3,926 
Consensus Cloud Solutions, Inc.*   149    3,905 
Digimarc Corp.*   108    3,901 
Daily Journal Corp.*   10    3,408 
Definitive Healthcare Corp.*   342    3,399 
Thoughtworks Holding, Inc.*   702    3,377 
OneSpan, Inc.*   304    3,259 
SEMrush Holdings, Inc. — Class A*   238    3,251 
8x8, Inc.*   858    3,243 
Cantaloupe, Inc.*   435    3,223 
TTEC Holdings, Inc.   148    3,207 
Vishay Precision Group, Inc.*   94    3,203 
Planet Labs PBC*   1,275    3,149 
Weave Communications, Inc.*   249    2,856 
Unisys Corp.*   504    2,833 
American Software, Inc. — Class A   242    2,735 
Bandwidth, Inc. — Class A*   178    2,576 
Sharecare, Inc.*   2,337    2,524 
Domo, Inc. — Class B*   233    2,398 
Cricut, Inc. — Class A   363    2,392 
PlayAGS, Inc.*   280    2,360 
Cardlytics, Inc.*   256    2,358 
SoundHound AI, Inc. — Class A*,1   1,047    2,220 
Outset Medical, Inc.*   375    2,029 
ON24, Inc.   248    1,954 
EverCommerce, Inc.*   177    1,952 
NextNav, Inc.*   412    1,833 
Enfusion, Inc. — Class A*   189    1,833 
LivePerson, Inc.*   471    1,785 
Playstudios, Inc.*   649    1,759 
Climb Global Solutions, Inc.   32    1,755 
Immersion Corp.   238    1,680 
Red Violet, Inc.*   84    1,677 
Inspired Entertainment, Inc.*   165    1,630 
Desktop Metal, Inc. — Class A*   2,125    1,596 
IBEX Holdings Ltd.*   83    1,578 
Innodata, Inc.*   191    1,555 
HireRight Holdings Corp.*   111    1,493 
Asure Software, Inc.*   144    1,371 
Outbrain, Inc.*   311    1,362 
eGain Corp.*   162    1,349 
CS Disco, Inc.*   171    1,298 
SkyWater Technology, Inc.*   134    1,289 
Kaltura, Inc.*   630    1,228 
Richardson Electronics Ltd.   91    1,215 
Computer Programs and Systems, Inc.*   108    1,210 
Rimini Street, Inc.*   366    1,197 
Atomera, Inc.*   161    1,129 
inTEST Corp.*   81    1,102 
Expensify, Inc. — Class A*   419    1,035 
Rackspace Technology, Inc.*   480    960 
Vuzix Corp.*,1   448    934 
Brightcove, Inc.*   328    849 
CoreCard Corp.*   55    761 
Viant Technology, Inc. — Class A*   109    751 
Tingo Group, Inc.*   927    640 
Skillsoft Corp.*   29    510 
BigBear.ai Holdings, Inc.*   202    432 
System1, Inc.*   183    406 
Veritone, Inc.*   199    360 
Velo3D, Inc.*   675    268 
CXApp, Inc.*   14    18 
Presto Automation, Inc.*   25    13 
Total Technology        2,178,680 
Energy - 4.0%          
Weatherford International plc*   540    52,828 
Chord Energy Corp.   317    52,695 
Matador Resources Co.   860    48,900 
Murphy Oil Corp.   1,127    48,078 
ChampionX Corp.   1,476    43,114 
Civitas Resources, Inc.   610    41,712 
Noble Corporation plc   840    40,454 
Permian Resources Corp.   2,947    40,079 
PBF Energy, Inc. — Class A   841    36,970 
SM Energy Co.   891    34,500 
Equitrans Midstream Corp.   3,311    33,706 
Valaris Ltd.*   455    31,199 
Alpha Metallurgical Resources, Inc.   87    29,486 
Patterson-UTI Energy, Inc.   2,680    28,944 
Magnolia Oil & Gas Corp. — Class A   1,353    28,805 
California Resources Corp.   525    28,707 
Helmerich & Payne, Inc.   739    26,767 
Tidewater, Inc.*   350    25,239 
Northern Oil and Gas, Inc.   664    24,614 
Warrior Met Coal, Inc.   393    23,961 
CNX Resources Corp.*   1,181    23,620 
Kosmos Energy Ltd.*   3,460    23,217 
CONSOL Energy, Inc.   230    23,122 
Arch Resources, Inc.   136    22,568 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Liberty Energy, Inc. — Class A   1,239   $22,476 
Peabody Energy Corp.   862    20,964 
Shoals Technologies Group, Inc. — Class A*   1,299    20,186 
Array Technologies, Inc.*   1,149    19,303 
Seadrill Ltd.*   384    18,156 
Archrock, Inc.   1,056    16,262 
Oceaneering International, Inc.*   763    16,237 
Par Pacific Holdings, Inc.*   420    15,275 
Callon Petroleum Co.*   465    15,066 
Sitio Royalties Corp. — Class A   613    14,412 
Delek US Holdings, Inc.   494    12,745 
Borr Drilling Ltd.*   1,667    12,269 
Talos Energy, Inc.*   835    11,882 
Sunnova Energy International, Inc.*   766    11,682 
Helix Energy Solutions Group, Inc.*   1,092    11,226 
Gulfport Energy Corp.*   84    11,189 
Green Plains, Inc.*   441    11,122 
Expro Group Holdings N.V.*   669    10,651 
Fluence Energy, Inc.*   435    10,375 
Diamond Offshore Drilling, Inc.*   772    10,036 
NOW, Inc.*   807    9,135 
Vital Energy, Inc.*   176    8,006 
Crescent Energy Co. — Class A   581    7,675 
CVR Energy, Inc.   225    6,818 
SunCoke Energy, Inc.   634    6,809 
US Silica Holdings, Inc.*   572    6,469 
Core Laboratories, Inc.   356    6,287 
ProPetro Holding Corp.*   749    6,277 
Comstock Resources, Inc.   698    6,177 
Dril-Quip, Inc.*   258    6,004 
Nabors Industries Ltd.*   70    5,714 
REX American Resources Corp.*   118    5,581 
Bristow Group, Inc.*   179    5,060 
FuelCell Energy, Inc.*   3,102    4,963 
RPC, Inc.   646    4,703 
Select Water Solutions, Inc. — Class A   616    4,675 
Montauk Renewables, Inc.*   506    4,508 
Kinetik Holdings, Inc. — Class A   130    4,342 
TETRA Technologies, Inc.*   951    4,299 
Stem, Inc.*,1   1,081    4,194 
Vitesse Energy, Inc.   190    4,159 
Berry Corp.   579    4,070 
SilverBow Resources, Inc.*   134    3,897 
Newpark Resources, Inc.*   567    3,765 
VAALCO Energy, Inc.   818    3,673 
SandRidge Energy, Inc.   242    3,308 
Oil States International, Inc.*   479    3,252 
SunPower Corp. — Class A*   663    3,202 
Tellurian, Inc.*   4,040    3,053 
Ramaco Resources, Inc. — Class A   171    2,938 
NextDecade Corp.*   588    2,805 
DMC Global, Inc.*   148    2,785 
W&T Offshore, Inc.   746    2,432 
Kodiak Gas Services, Inc.   116    2,329 
SEACOR Marine Holdings, Inc.*   183    2,304 
Atlas Energy Solutions, Inc.   124    2,135 
Excelerate Energy, Inc. — Class A   137    2,118 
Gevo, Inc.*   1,774    2,058 
Aris Water Solutions, Inc. — Class A   227    1,905 
Solaris Oilfield Infrastructure, Inc. — Class A   234    1,863 
Riley Exploration Permian, Inc.   67    1,825 
Energy Vault Holdings, Inc.*   744    1,734 
Vertex Energy, Inc.*   496    1,681 
Amplify Energy Corp.*   275    1,631 
Forum Energy Technologies, Inc.*   73    1,618 
ProFrac Holding Corp. — Class A*   182    1,543 
Hallador Energy Co.*   173    1,529 
Evolution Petroleum Corp.   235    1,365 
Maxeon Solar Technologies Ltd.*   187    1,341 
Ring Energy, Inc.*   910    1,329 
TPI Composites, Inc.*   314    1,300 
FutureFuel Corp.   198    1,204 
Granite Ridge Resources, Inc.   197    1,186 
Ranger Energy Services, Inc.   115    1,176 
NACCO Industries, Inc. — Class A   32    1,168 
HighPeak Energy, Inc.   79    1,125 
KLX Energy Services Holdings, Inc.*   96    1,081 
Eos Energy Enterprises, Inc.*   817    891 
Empire Petroleum Corp.*   75    824 
Mammoth Energy Services, Inc.*   177    789 
PrimeEnergy Resources Corp.*   5    532 
Ramaco Resources, Inc. — Class B   34    452 
Enviva, Inc.   238    237 
Verde Clean Fuels, Inc.*   5    12 
Total Energy        1,308,119 
Communications - 2.1%          
Cogent Communications Holdings, Inc.   329    25,024 
Yelp, Inc. — Class A*   502    23,765 
Ziff Davis, Inc.*   349    23,449 
TEGNA, Inc.   1,531    23,424 
InterDigital, Inc.   199    21,599 
DigitalBridge Group, Inc.   1,228    21,539 
Calix, Inc.*   448    19,573 
Q2 Holdings, Inc.*   432    18,753 
Opendoor Technologies, Inc.*   4,136    18,529 
Cargurus, Inc.*   743    17,951 
Perficient, Inc.*   261    17,179 
Extreme Networks, Inc.*   958    16,899 
Viavi Solutions, Inc.*   1,677    16,887 
Credo Technology Group Holding Ltd.*   865    16,842 
ePlus, Inc.*   202    16,128 
EchoStar Corp. — Class A*   918    15,211 
Upwork, Inc.*   939    13,963 
Lumen Technologies, Inc.*   7,597    13,903 
Telephone & Data Systems, Inc.   751    13,781 
Squarespace, Inc. — Class A*   381    12,577 
Bumble, Inc. — Class A*   768    11,320 
Harmonic, Inc.*   836    10,901 
Globalstar, Inc.*   5,232    10,150 
Cars.com, Inc.*   505    9,580 
Magnite, Inc.*   1,016    9,489 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Beyond, Inc.*   342   $9,470 
Sprinklr, Inc. — Class A*   782    9,415 
Shutterstock, Inc.   187    9,028 
Hims & Hers Health, Inc.*   927    8,250 
Shenandoah Telecommunications Co.   369    7,978 
Scholastic Corp.   207    7,804 
Rover Group, Inc.*   705    7,670 
Liberty Latin America Ltd. — Class C*   1,038    7,619 
Infinera Corp.*   1,514    7,192 
A10 Networks, Inc.   536    7,059 
TechTarget, Inc.*   198    6,902 
fuboTV, Inc.*   2,147    6,827 
Figs, Inc. — Class A*   970    6,742 
Sphere Entertainment Co.*   198    6,724 
Open Lending Corp. — Class A*   755    6,425 
Couchbase, Inc.*   258    5,810 
Gray Television, Inc.   628    5,627 
Revolve Group, Inc.*   311    5,156 
Clear Channel Outdoor Holdings, Inc.*   2,821    5,134 
Gogo, Inc.*   503    5,095 
QuinStreet, Inc.*   394    5,051 
HealthStream, Inc.   185    5,001 
Eventbrite, Inc. — Class A*   587    4,907 
Thryv Holdings, Inc.*   235    4,782 
CommScope Holding Company, Inc.*   1,573    4,436 
AMC Networks, Inc. — Class A*   234    4,397 
ADTRAN Holdings, Inc.   592    4,345 
IDT Corp. — Class B*   118    4,023 
Stagwell, Inc.*   598    3,965 
EW Scripps Co. — Class A*   452    3,612 
Applied Digital Corp.*   518    3,491 
Anterix, Inc.*   98    3,265 
Sinclair, Inc.   249    3,244 
ATN International, Inc.   83    3,235 
NETGEAR, Inc.*   217    3,164 
Liquidity Services, Inc.*   175    3,012 
Clearfield, Inc.*   99    2,879 
Boston Omaha Corp. — Class A*   176    2,768 
Aviat Networks, Inc.*   84    2,743 
Grindr, Inc.*   311    2,731 
AST SpaceMobile, Inc.*   448    2,701 
Gannett Company, Inc.*   1,095    2,519 
Consolidated Communications Holdings, Inc.*   565    2,458 
Preformed Line Products Co.   18    2,409 
Advantage Solutions, Inc.*   659    2,386 
Stitch Fix, Inc. — Class A*   641    2,288 
1-800-Flowers.com, Inc. — Class A*   198    2,134 
Spok Holdings, Inc.   135    2,090 
Nextdoor Holdings, Inc.*   1,104    2,087 
iHeartMedia, Inc. — Class A*   779    2,080 
Tucows, Inc. — Class A*   75    2,025 
Liberty Latin America Ltd. — Class A*   272    1,988 
EverQuote, Inc. — Class A*   161    1,971 
Ooma, Inc.*   181    1,942 
Ribbon Communications, Inc.*   668    1,937 
Entravision Communications Corp. — Class A   457    1,906 
MediaAlpha, Inc. — Class A*   163    1,817 
OptimizeRx Corp.*   126    1,803 
Luna Innovations, Inc.*   244    1,623 
Blade Air Mobility, Inc.*   445    1,571 
WideOpenWest, Inc.*   385    1,559 
Nerdy, Inc.*   450    1,544 
CarParts.com, Inc.*   403    1,274 
BlackSky Technology, Inc.*   899    1,259 
Vivid Seats, Inc. — Class A*   188    1,188 
Lands' End, Inc.*   112    1,071 
Solo Brands, Inc. — Class A*   167    1,029 
ContextLogic, Inc. — Class A*   167    994 
Mondee Holdings, Inc.*   344    949 
Townsquare Media, Inc. — Class A   88    929 
Allbirds, Inc. — Class A*   721    883 
DHI Group, Inc.*   325    842 
Gambling.com Group Ltd.*   81    790 
KVH Industries, Inc.*   142    747 
Terran Orbital Corp.*   647    738 
BARK, Inc.*   809    652 
Cambium Networks Corp.*   92    552 
Urban One, Inc.*   93    328 
DZS, Inc.*   165    325 
Value Line, Inc.   6    293 
Urban One, Inc.*   61    246 
Total Communications        695,321 
Basic Materials - 2.0%          
Commercial Metals Co.   890    44,536 
ATI, Inc.*   979    44,515 
Balchem Corp.   243    36,146 
Cabot Corp.   421    35,154 
HB Fuller Co.   411    33,460 
Avient Corp.   687    28,559 
Carpenter Technology Corp.   366    25,913 
Livent Corp.*   1,371    24,651 
Innospec, Inc.   189    23,292 
Quaker Chemical Corp.   105    22,409 
Hecla Mining Co.   4,564    21,953 
Sensient Technologies Corp.   320    21,120 
Constellium SE*   961    19,181 
Uranium Energy Corp.*   2,789    17,850 
Minerals Technologies, Inc.   247    17,614 
Rogers Corp.*   131    17,301 
Stepan Co.   162    15,317 
Sylvamo Corp.   276    13,554 
Ingevity Corp.*   277    13,080 
Tronox Holdings plc — Class A   889    12,588 
Orion S.A.   426    11,813 
Hawkins, Inc.   147    10,352 
Kaiser Aluminum Corp.   121    8,614 
Energy Fuels, Inc.*,1   1,192    8,570 
Coeur Mining, Inc.*   2,419    7,886 
Koppers Holdings, Inc.   153    7,837 
Ecovyst, Inc.*   723    7,064 
Novagold Resources, Inc.*   1,835    6,863 
Compass Minerals International, Inc.   260    6,583 
Worthington Steel, Inc.   234    6,575 
Mativ Holdings, Inc.   414    6,338 
AdvanSix, Inc.   201    6,022 
Schnitzer Steel Industries, Inc. — Class A   196    5,911 
Haynes International, Inc.   95    5,420 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
Perimeter Solutions S.A.*   1,150   $5,290 
Centrus Energy Corp. — Class A*   93    5,060 
Century Aluminum Co.*   399    4,844 
Lightwave Logic, Inc.*,1   870    4,333 
Ivanhoe Electric Incorporated / US*   423    4,264 
Encore Energy Corp.*   1,074    4,221 
Piedmont Lithium, Inc.*   136    3,839 
United States Lime & Minerals, Inc.   16    3,686 
i-80 Gold Corp.*   1,466    2,580 
Oil-Dri Corporation of America   37    2,482 
American Vanguard Corp.   205    2,249 
Trinseo plc   266    2,226 
Rayonier Advanced Materials, Inc.*   484    1,960 
Intrepid Potash, Inc.*   81    1,935 
Kronos Worldwide, Inc.   168    1,670 
Codexis, Inc.*   506    1,543 
Caledonia Mining Corporation plc   124    1,513 
Dakota Gold Corp.*   408    1,069 
Perpetua Resources Corp.*   287    910 
Danimer Scientific, Inc.*   666    679 
Origin Materials, Inc.*   792    662 
Glatfelter Corp.*   336    652 
Contango ORE, Inc.*   28    507 
5E Advanced Materials, Inc.*   298    420 
Valhi, Inc.   18    273 
NioCorp Developments Ltd.*   14    45 
Total Basic Materials        652,953 
Utilities - 1.6%          
Portland General Electric Co.   766    33,198 
New Jersey Resources Corp.   738    32,900 
Brookfield Infrastructure Corp. — Class A   910    32,105 
Ormat Technologies, Inc.   406    30,771 
Southwest Gas Holdings, Inc.   469    29,711 
Black Hills Corp.   506    27,299 
PNM Resources, Inc.   651    27,082 
ALLETE, Inc.   439    26,849 
ONE Gas, Inc.   419    26,699 
Otter Tail Corp.   313    26,596 
Spire, Inc.   391    24,375 
Northwestern Energy Group, Inc.   457    23,257 
American States Water Co.   281    22,598 
California Water Service Group   425    22,045 
Avista Corp.   573    20,479 
MGE Energy, Inc.   277    20,030 
Chesapeake Utilities Corp.   162    17,112 
SJW Group   235    15,357 
Northwest Natural Holding Co.   273    10,630 
Middlesex Water Co.   133    8,728 
Ameresco, Inc. — Class A*   244    7,727 
Unitil Corp.   121    6,361 
Genie Energy Ltd. — Class B   150    4,219 
York Water Co.   108    4,171 
Consolidated Water Company Ltd.   114    4,058 
Altus Power, Inc.*   485    3,312 
Artesian Resources Corp. — Class A   63    2,611 
RGC Resources, Inc.   61    1,241 
Global Water Resources, Inc.   86    1,125 
FTC Solar, Inc.*   483    335 
Total Utilities        512,981 
Government - 0.0%          
Banco Latinoamericano de Comercio Exterior S.A. — Class E   209    5,171 
Total Common Stocks          
(Cost $19,532,499)        19,132,197 
          
WARRANTS - 0.0%          
Cassava Sciences, Inc.          
Expiring 11/15/24   121     
Total Warrants          
(Cost $0)         
           
RIGHTS - 0.0%          
Consumer, Non-cyclical - 0.0%          
Cartesian Therapeutics, Inc.   881     
Oncternal Therapeutics, Inc.*,†††   7     
Tobira Therapeutics, Inc.*,†††   141     
Novartis AG*,†††   429     
Total Consumer, Non-cyclical         
Total Rights          
(Cost $271)         
           
EXCHANGE-TRADED FUNDS - 7.8%          
Vanguard Russell 2000 ETF1   15,743    1,276,757 
iShares Russell 2000 Index ETF   6,356    1,275,713 
Total Exchange-Traded Funds          
(Cost $2,799,130)        2,552,470 
           
   Face
Amount
    
FEDERAL AGENCY DISCOUNT NOTES†† - 9.2%          
Federal Farm Credit Bank          
5.25% due 01/08/242  $3,000,000    2,996,938 
Total Federal Agency Discount Notes          
(Cost $2,996,938)        2,996,938 
           
U.S. TREASURY BILLS†† - 1.5%          
U.S. Treasury Bills          
5.27% due 02/22/242,3   500,000    496,283 
Total U.S. Treasury Bills          
(Cost $496,193)        496,283 
           
REPURCHASE AGREEMENTS††,4 - 22.9%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/243
   4,122,477    4,122,477 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/243
   3,322,248    3,322,248 
Total Repurchase Agreements          
(Cost $7,444,725)        7,444,725 

   

 

Russell 2000® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
SECURITIES LENDING COLLATERAL†,5 - 3.0%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%6   969,106   $969,106 
Total Securities Lending Collateral          
(Cost $969,106)        969,106 
Total Investments - 103.2%          
(Cost $34,238,862)       $33,591,719 
Other Assets & Liabilities, net - (3.2)%        (1,055,402)
Total Net Assets - 100.0%       $32,536,317 

 

Futures Contracts

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased                  
Russell 2000 Index Mini Futures Contracts   4   Mar 2024  $409,400   $21,542 

 

Total Return Swap Agreements

 

Counterparty  Index  Type  Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††                  
Goldman Sachs International  Russell 2000 Index  Pay  5.43% (Federal Funds Rate + 0.10%)  At Maturity  03/21/24   2,754   $5,582,003   $118,784 
BNP Paribas  Russell 2000 Index  Pay  5.53% (Federal Funds Rate + 0.20%)  At Maturity  03/21/24   619    1,254,803    27,383 
Barclays Bank plc  Russell 2000 Index  Pay  5.40% (SOFR)  At Maturity  03/20/24   1,833    3,716,098    11,220 
                       $10,552,904   $157,387 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
††† Value determined based on Level 3 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Rate indicated is the effective yield at the time of purchase.
3 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
4 Repurchase Agreements — See Note 4.
5 Securities lending collateral — See Note 5.
6 Rate indicated is the 7-day yield as of December 31, 2023.

 

 

ADR — American Depositary Receipt

plc — Public Limited Company

REIT — Real Estate Investment Trust

SOFR — Secured Overnight Financing Rate

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $19,132,197*  $  —  $   $19,132,197 
Warrants   *            
Rights   *       *    
Exchange-Traded Funds   2,552,470            2,552,470 
Federal Agency Discount Notes       2,996,938        2,996,938 
U.S. Treasury Bills       496,283        496,283 
Repurchase Agreements       7,444,725        7,444,725 
Securities Lending Collateral   969,106            969,106 
Equity Futures Contracts**   21,542            21,542 
Equity Index Swap Agreements**       157,387        157,387 
Total Assets  $22,675,315   $11,095,333   $   $33,770,648 

 

* Security has a market value of $0.
** This derivative is reported as unrealized appreciation/depreciation at period end.
   

 

S&P 500® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

 

   Shares   Value 
COMMON STOCKS - 97.0%
Technology - 26.9%          
Apple, Inc.   64,452   $12,408,944 
Microsoft Corp.   32,766    12,321,327 
NVIDIA Corp.   10,890    5,392,946 
Broadcom, Inc.   1,935    2,159,944 
Adobe, Inc.*   2,007    1,197,376 
Salesforce, Inc.*   4,290    1,128,871 
Advanced Micro Devices, Inc.*   7,123    1,050,001 
Accenture plc — Class A   2,767    970,968 
Intel Corp.   18,587    933,997 
Intuit, Inc.   1,236    772,537 
Oracle Corp.   7,005    738,537 
QUALCOMM, Inc.   4,907    709,699 
Texas Instruments, Inc.   4,004    682,522 
International Business Machines Corp.   4,026    658,452 
ServiceNow, Inc.*   904    638,667 
Applied Materials, Inc.   3,688    597,714 
Lam Research Corp.   581    455,074 
Analog Devices, Inc.   2,197    436,236 
Micron Technology, Inc.   4,841    413,131 
Fiserv, Inc.*   2,646    351,495 
KLA Corp.   599    348,199 
Synopsys, Inc.*   671    345,505 
Cadence Design Systems, Inc.*   1,199    326,572 
NXP Semiconductor N.V.   1,136    260,916 
Roper Technologies, Inc.   471    256,775 
Autodesk, Inc.*   942    229,358 
Microchip Technology, Inc.   2,385    215,079 
MSCI, Inc. — Class A   349    197,412 
Paychex, Inc.   1,417    168,779 
Cognizant Technology Solutions Corp. — Class A   2,211    166,997 
Fortinet, Inc.*   2,810    164,469 
ON Semiconductor Corp.*   1,899    158,623 
Fidelity National Information Services, Inc.   2,612    156,903 
Electronic Arts, Inc.   1,079    147,618 
ANSYS, Inc.*   383    138,983 
Monolithic Power Systems, Inc.   211    133,095 
Fair Isaac Corp.*   109    126,877 
HP, Inc.   3,834    115,365 
Take-Two Interactive Software, Inc.*   697    112,182 
Broadridge Financial Solutions, Inc.   519    106,784 
Hewlett Packard Enterprise Co.   5,656    96,039 
PTC, Inc.*   524    91,679 
NetApp, Inc.   921    81,195 
Skyworks Solutions, Inc.   703    79,031 
Akamai Technologies, Inc.*   665    78,703 
Tyler Technologies, Inc.*   186    77,770 
EPAM Systems, Inc.*   254    75,524 
Western Digital Corp.*   1,430    74,889 
Seagate Technology Holdings plc   858    73,248 
Teradyne, Inc.   674    73,143 
Leidos Holdings, Inc.   606    65,594 
Zebra Technologies Corp. — Class A*   226    61,772 
Jack Henry & Associates, Inc.   321    52,455 
Qorvo, Inc.*   429   48,310 
Ceridian HCM Holding, Inc.*   688    46,178 
Paycom Software, Inc.   216    44,651 
Total Technology        49,015,110 
Consumer, Non-cyclical - 18.4%          
UnitedHealth Group, Inc.   4,078    2,146,945 
Eli Lilly & Co.   3,516    2,049,547 
Johnson & Johnson   10,613    1,663,482 
Procter & Gamble Co.   10,391    1,522,697 
Merck & Company, Inc.   11,172    1,217,971 
AbbVie, Inc.   7,784    1,206,286 
PepsiCo, Inc.   6,061    1,029,400 
Coca-Cola Co.   17,155    1,010,944 
Thermo Fisher Scientific, Inc.   1,703    903,935 
Abbott Laboratories   7,651    842,146 
Pfizer, Inc.   24,894    716,698 
Amgen, Inc.   2,359    679,439 
Danaher Corp.   2,899    670,655 
Philip Morris International, Inc.   6,844    643,884 
S&P Global, Inc.   1,428    629,062 
Intuitive Surgical, Inc.*   1,552    523,583 
Elevance Health, Inc.   1,036    488,536 
Medtronic plc   5,866    483,241 
Vertex Pharmaceuticals, Inc.*   1,136    462,227 
Bristol-Myers Squibb Co.   8,971    460,302 
CVS Health Corp.   5,663    447,150 
Stryker Corp.   1,491    446,495 
Gilead Sciences, Inc.   5,493    444,988 
Mondelez International, Inc. — Class A   5,998    434,435 
Automatic Data Processing, Inc.   1,813    422,375 
Regeneron Pharmaceuticals, Inc.*   472    414,553 
Zoetis, Inc.   2,024    399,477 
Cigna Group   1,290    386,291 
Boston Scientific Corp.*   6,455    373,164 
Altria Group, Inc.   7,798    314,571 
Becton Dickinson & Co.   1,279    311,859 
PayPal Holdings, Inc.*   4,753    291,882 
Colgate-Palmolive Co.   3,630    289,347 
McKesson Corp.   587    271,769 
Moody's Corp.   694    271,049 
Humana, Inc.   543    248,591 
HCA Healthcare, Inc.   873    236,304 
Cintas Corp.   382    230,216 
Dexcom, Inc.*   1,703    211,325 
Edwards Lifesciences Corp.*   2,674    203,892 
IDEXX Laboratories, Inc.*   366    203,148 
Monster Beverage Corp.*   3,257    187,636 
IQVIA Holdings, Inc.*   807    186,724 
Kimberly-Clark Corp.   1,490    181,050 
Agilent Technologies, Inc.   1,290    179,349 
Centene Corp.*   2,355    174,765 
Constellation Brands, Inc. — Class A   713    172,368 
United Rentals, Inc.   299    171,453 
Archer-Daniels-Midland Co.   2,352    169,861 
General Mills, Inc.   2,563    166,954 
Biogen, Inc.*   639    165,354 
Kenvue, Inc.   7,598    163,585 
Sysco Corp.   2,223    162,568 

   

 

S&P 500® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 97.0% (continued)
Consumer, Non-cyclical - 18.4% (continued)          
CoStar Group, Inc.*   1,800   $157,302 
Gartner, Inc.*   344    155,182 
Verisk Analytics, Inc. — Class A   639    152,631 
Cencora, Inc. — Class A   735    150,954 
Estee Lauder Companies, Inc. — Class A   1,024    149,760 
Corteva, Inc.   3,107    148,887 
Keurig Dr Pepper, Inc.   4,439    147,908 
Global Payments, Inc.   1,148    145,796 
Moderna, Inc.*   1,462    145,396 
Quanta Services, Inc.   641    138,328 
Equifax, Inc.   543    134,278 
GE HealthCare Technologies, Inc.   1,726    133,454 
Kroger Co.   2,918    133,382 
Kraft Heinz Co.   3,515    129,985 
Hershey Co.   661    123,237 
West Pharmaceutical Services, Inc.   325    114,439 
Zimmer Biomet Holdings, Inc.   921    112,086 
ResMed, Inc.   648    111,469 
Cardinal Health, Inc.   1,087    109,570 
Church & Dwight Company, Inc.   1,086    102,692 
Illumina, Inc.*   700    97,468 
STERIS plc   436    95,855 
Molina Healthcare, Inc.*   257    92,857 
FleetCor Technologies, Inc.*   318    89,870 
Baxter International, Inc.   2,237    86,482 
Align Technology, Inc.*   314    86,036 
Waters Corp.*   261    85,929 
Laboratory Corporation of America Holdings   374    85,006 
Cooper Companies, Inc.   218    82,500 
Clorox Co.   547    77,997 
Hologic, Inc.*   1,080    77,166 
McCormick & Company, Inc.   1,108    75,809 
Avery Dennison Corp.   355    71,767 
Lamb Weston Holdings, Inc.   639    69,070 
Quest Diagnostics, Inc.   496    68,388 
Tyson Foods, Inc. — Class A   1,258    67,617 
Insulet Corp.*   308    66,830 
Kellanova   1,163    65,023 
Bunge Global S.A.   641    64,709 
Conagra Brands, Inc.   2,107    60,387 
Revvity, Inc.   544    59,465 
J M Smucker Co.   468    59,146 
Viatris, Inc.   5,289    57,280 
Rollins, Inc.   1,238    54,063 
Bio-Techne Corp.   697    53,780 
Charles River Laboratories International, Inc.*   226    53,426 
Teleflex, Inc.   207    51,613 
Incyte Corp.*   820    51,488 
Molson Coors Beverage Co. — Class B   816    49,947 
MarketAxess Holdings, Inc.   167    48,906 
Brown-Forman Corp. — Class B   807    46,080 
Henry Schein, Inc.*   576    43,609 
Robert Half, Inc.   467    41,059 
Universal Health Services, Inc. — Class B   269    41,006 
Hormel Foods Corp.   1,277   41,004 
Campbell Soup Co.   866    37,437 
Catalent, Inc.*   795    35,719 
Dentsply Sirona, Inc.   934    33,241 
Bio-Rad Laboratories, Inc. — Class A*   92    29,706 
DaVita, Inc.*   237    24,828 
Total Consumer, Non-cyclical        33,461,833 
Financial - 13.7%          
Berkshire Hathaway, Inc. — Class B*   8,021    2,860,770 
JPMorgan Chase & Co.   12,746    2,168,095 
Visa, Inc. — Class A   7,028    1,829,740 
Mastercard, Inc. — Class A   3,651    1,557,188 
Bank of America Corp.   30,354    1,022,019 
Wells Fargo & Co.   16,011    788,061 
Goldman Sachs Group, Inc.   1,438    554,737 
Prologis, Inc. REIT   4,074    543,064 
Morgan Stanley   5,572    519,589 
BlackRock, Inc. — Class A   617    500,881 
American Express Co.   2,538    475,469 
Charles Schwab Corp.   6,561    451,397 
American Tower Corp. — Class A REIT   2,055    443,633 
Citigroup, Inc.   8,438    434,051 
Marsh & McLennan Companies, Inc.   2,174    411,908 
Progressive Corp.   2,579    410,783 
Blackstone, Inc. — Class A   3,133    410,172 
Chubb Ltd.   1,799    406,574 
CME Group, Inc. — Class A   1,587    334,222 
Equinix, Inc. REIT   414    333,432 
Intercontinental Exchange, Inc.   2,523    324,029 
U.S. Bancorp   6,864    297,074 
PNC Financial Services Group, Inc.   1,756    271,917 
Aon plc — Class A   883    256,971 
Crown Castle, Inc. REIT   1,913    220,359 
Capital One Financial Corp.   1,679    220,150 
Welltower, Inc. REIT   2,440    220,015 
Truist Financial Corp.   5,880    217,090 
Arthur J Gallagher & Co.   952    214,086 
Public Storage REIT   698    212,890 
American International Group, Inc.   3,095    209,686 
Simon Property Group, Inc. REIT   1,438    205,116 
Aflac, Inc.   2,345    193,462 
Travelers Companies, Inc.   1,007    191,823 
Realty Income Corp. REIT   3,192    183,285 
MetLife, Inc.   2,741    181,262 
Digital Realty Trust, Inc. REIT   1,335    179,664 
Bank of New York Mellon Corp.   3,391    176,501 
Ameriprise Financial, Inc.   446    169,404 
Prudential Financial, Inc.   1,592    165,106 
Allstate Corp.   1,154    161,537 
Extra Space Storage, Inc. REIT   931    149,267 
VICI Properties, Inc. REIT   4,561    145,405 
CBRE Group, Inc. — Class A*   1,344    125,113 
Discover Financial Services   1,102    123,865 
Arch Capital Group Ltd.*   1,645    122,174 

   

 

S&P 500® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 97.0% (continued)
Financial - 13.7% (continued)          
SBA Communications Corp. REIT   476   $120,756 
AvalonBay Communities, Inc. REIT   626    117,200 
Weyerhaeuser Co. REIT   3,218    111,890 
Willis Towers Watson plc   455    109,746 
Hartford Financial Services Group, Inc.   1,326    106,584 
T. Rowe Price Group, Inc.   985    106,075 
State Street Corp.   1,360    105,346 
Fifth Third Bancorp   3,002    103,539 
M&T Bank Corp.   732    100,342 
Equity Residential REIT   1,523    93,147 
Raymond James Financial, Inc.   828    92,322 
Iron Mountain, Inc. REIT   1,287    90,064 
Ventas, Inc. REIT   1,774    88,416 
Alexandria Real Estate Equities, Inc. REIT   690    87,471 
Nasdaq, Inc.   1,501    87,268 
Invitation Homes, Inc. REIT   2,536    86,503 
Cboe Global Markets, Inc.   465    83,030 
Huntington Bancshares, Inc.   6,384    81,204 
Regions Financial Corp.   4,100    79,458 
Northern Trust Corp.   913    77,039 
Principal Financial Group, Inc.   967    76,074 
Brown & Brown, Inc.   1,041    74,026 
Cincinnati Financial Corp.   692    71,594 
Essex Property Trust, Inc. REIT   283    70,167 
Synchrony Financial   1,824    69,658 
Mid-America Apartment Communities, Inc. REIT   514    69,112 
Citizens Financial Group, Inc.   2,055    68,103 
Everest Group Ltd.   191    67,534 
W R Berkley Corp.   898    63,507 
Kimco Realty Corp. REIT   2,932    62,481 
Host Hotels & Resorts, Inc. REIT   3,110    60,552 
KeyCorp   4,128    59,443 
Loews Corp.   807    56,159 
UDR, Inc. REIT   1,334    51,079 
Regency Centers Corp. REIT   724    48,508 
Healthpeak Properties, Inc. REIT   2,412    47,758 
Camden Property Trust REIT   471    46,766 
Globe Life, Inc.   378    46,010 
Boston Properties, Inc. REIT   637    44,698 
Assurant, Inc.   232    39,090 
Franklin Resources, Inc.   1,243    37,029 
Invesco Ltd.   1,982    35,359 
Federal Realty Investment Trust REIT   324    33,388 
Comerica, Inc.   581    32,426 
Zions Bancorp North America   653    28,647 
Total Financial        24,879,604 
Communications - 13.6%          
Amazon.com, Inc.*   40,092    6,091,578 
Alphabet, Inc. — Class A*   26,091    3,644,652 
Meta Platforms, Inc. — Class A*   9,786    3,463,853 
Alphabet, Inc. — Class C*   21,959    3,094,682 
Netflix, Inc.*   1,930    939,678 
Cisco Systems, Inc.   17,858    902,186 
Comcast Corp. — Class A   17,704    776,321 
Walt Disney Co.   8,067    728,370 
Verizon Communications, Inc.   18,535   698,770 
Uber Technologies, Inc.*   9,073    558,625 
Booking Holdings, Inc.*   154    546,272 
AT&T, Inc.   31,522    528,939 
Palo Alto Networks, Inc.*   1,370    403,986 
T-Mobile US, Inc.   2,243    359,620 
Arista Networks, Inc.*   1,111    261,652 
Airbnb, Inc. — Class A*   1,917    260,980 
Motorola Solutions, Inc.   732    229,182 
Charter Communications, Inc. — Class A*   443    172,185 
CDW Corp.   591    134,346 
Warner Bros Discovery, Inc.*   9,783    111,331 
Corning, Inc.   3,385    103,073 
eBay, Inc.   2,288    99,803 
Expedia Group, Inc.*   588    89,252 
VeriSign, Inc.*   392    80,736 
FactSet Research Systems, Inc.   167    79,667 
Omnicom Group, Inc.   873    75,523 
Gen Digital, Inc.   2,486    56,731 
Interpublic Group of Companies, Inc.   1,689    55,129 
F5, Inc.*   263    47,072 
Match Group, Inc.*   1,198    43,727 
Etsy, Inc.*   528    42,794 
Juniper Networks, Inc.   1,406    41,449 
News Corp. — Class A   1,678    41,195 
Fox Corp. — Class A   1,090    32,340 
Paramount Global — Class B   2,127    31,458 
Fox Corp. — Class B   582    16,092 
News Corp. — Class B   506    13,014 
Total Communications        24,856,263 
Consumer, Cyclical - 8.8%          
Tesla, Inc.*   12,193    3,029,717 
Home Depot, Inc.   4,409    1,527,939 
Costco Wholesale Corp.   1,952    1,288,476 
Walmart, Inc.   6,289    991,461 
McDonald's Corp.   3,198    948,239 
NIKE, Inc. — Class B   5,396    585,844 
Lowe's Companies, Inc.   2,544    566,167 
Starbucks Corp.   5,037    483,602 
TJX Companies, Inc.   5,044    473,178 
Target Corp.   2,035    289,825 
Chipotle Mexican Grill, Inc. — Class A*   121    276,722 
Lululemon Athletica, Inc.*   508    259,735 
O'Reilly Automotive, Inc.*   261    247,971 
Marriott International, Inc. — Class A   1,088    245,355 
PACCAR, Inc.   2,306    225,181 
General Motors Co.   6,038    216,885 
Ford Motor Co.   17,336    211,326 
Ross Stores, Inc.   1,493    206,616 
Hilton Worldwide Holdings, Inc.   1,131    205,944 
DR Horton, Inc.   1,329    201,982 
AutoZone, Inc.*   78    201,678 
Copart, Inc.*   3,852    188,748 
Lennar Corp. — Class A   1,103    164,391 
Fastenal Co.   2,519    163,156 
WW Grainger, Inc.   195    161,595 
Yum! Brands, Inc.   1,236    161,496 

   

 

S&P 500® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 97.0% (continued)
Consumer, Cyclical - 8.8% (continued)          
Cummins, Inc.   625   $149,731 
Royal Caribbean Cruises Ltd.*   1,039    134,540 
Dollar General Corp.   968    131,600 
Dollar Tree, Inc.*   921    130,828 
Delta Air Lines, Inc.   2,837    114,132 
Aptiv plc*   1,247    111,881 
Ulta Beauty, Inc.*   217    106,328 
Tractor Supply Co.   477    102,569 
PulteGroup, Inc.   951    98,162 
NVR, Inc.*   14    98,006 
Darden Restaurants, Inc.   530    87,079 
Genuine Parts Co.   618    85,593 
Walgreens Boots Alliance, Inc.   3,161    82,534 
Carnival Corp.*   4,442    82,355 
Las Vegas Sands Corp.   1,627    80,065 
Southwest Airlines Co.   2,628    75,897 
Pool Corp.   171    68,179 
Best Buy Company, Inc.   854    66,851 
Domino's Pizza, Inc.   154    63,483 
United Airlines Holdings, Inc.*   1,446    59,662 
Live Nation Entertainment, Inc.*   626    58,594 
LKQ Corp.   1,180    56,392 
MGM Resorts International*   1,205    53,839 
CarMax, Inc.*   700    53,718 
Caesars Entertainment, Inc.*   951    44,583 
Bath & Body Works, Inc.   1,002    43,246 
American Airlines Group, Inc.*   2,881    39,585 
Wynn Resorts Ltd.   423    38,539 
Norwegian Cruise Line Holdings Ltd.*   1,876    37,595 
Tapestry, Inc.   1,010    37,178 
BorgWarner, Inc.   1,036    37,140 
Whirlpool Corp.   242    29,468 
Hasbro, Inc.   575    29,360 
VF Corp.   1,457    27,391 
Ralph Lauren Corp. — Class A   175    25,235 
Total Consumer, Cyclical        16,064,567 
Industrial - 7.5%          
Caterpillar, Inc.   2,249    664,962 
Union Pacific Corp.   2,688    660,227 
Boeing Co.*   2,507    653,475 
General Electric Co.   4,798    612,369 
Honeywell International, Inc.   2,906    609,417 
RTX Corp.   6,339    533,363 
United Parcel Service, Inc. — Class B   3,189    501,407 
Deere & Co.   1,181    472,246 
Lockheed Martin Corp.   973    441,003 
Eaton Corporation plc   1,760    423,843 
Illinois Tool Works, Inc.   1,207    316,162 
CSX Corp.   8,712    302,045 
Northrop Grumman Corp.   625    292,588 
Waste Management, Inc.   1,616    289,426 
3M Co.   2,435    266,194 
Amphenol Corp. — Class A   2,638    261,505 
Parker-Hannifin Corp.   566    260,756 
General Dynamics Corp.   999    259,410 
FedEx Corp.   1,020    258,029 
TransDigm Group, Inc.   244    246,830 
Trane Technologies plc   1,007    245,607 
Emerson Electric Co.   2,513    244,590 
Norfolk Southern Corp.   997   235,671 
Carrier Global Corp.   3,699    212,508 
TE Connectivity Ltd.   1,370    192,485 
L3Harris Technologies, Inc.   836    176,078 
Johnson Controls International plc   2,999    172,862 
AMETEK, Inc.   1,018    167,858 
Otis Worldwide Corp.   1,804    161,404 
Old Dominion Freight Line, Inc.   394    159,700 
Rockwell Automation, Inc.   506    157,103 
Republic Services, Inc. — Class A   902    148,749 
Ingersoll Rand, Inc.   1,785    138,052 
Martin Marietta Materials, Inc.   272    135,704 
Vulcan Materials Co.   586    133,028 
Keysight Technologies, Inc.*   783    124,567 
Xylem, Inc.   1,063    121,565 
Mettler-Toledo International, Inc.*   96    116,444 
Fortive Corp.   1,549    114,053 
Westinghouse Air Brake Technologies Corp.   790    100,251 
Dover Corp.   617    94,901 
Howmet Aerospace, Inc.   1,725    93,357 
Teledyne Technologies, Inc.*   208    92,828 
Builders FirstSource, Inc.*   544    90,815 
Garmin Ltd.   675    86,765 
Expeditors International of Washington, Inc.   641    81,535 
Axon Enterprise, Inc.*   311    80,341 
Ball Corp.   1,390    79,953 
Veralto Corp.   966    79,463 
Hubbell, Inc.   236    77,628 
IDEX Corp.   333    72,297 
Jacobs Solutions, Inc.   555    72,039 
Jabil, Inc.   564    71,854 
J.B. Hunt Transport Services, Inc.   359    71,707 
Textron, Inc.   864    69,483 
Snap-on, Inc.   233    67,300 
Stanley Black & Decker, Inc.   676    66,315 
Masco Corp.   990    66,310 
Packaging Corporation of America   395    64,349 
Nordson Corp.   239    63,134 
Amcor plc   6,372    61,426 
Trimble, Inc.*   1,097    58,360 
Pentair plc   729    53,005 
Allegion plc   387    49,029 
Westrock Co.   1,130    46,918 
Huntington Ingalls Industries, Inc.   175    45,437 
A O Smith Corp.   542    44,682 
CH Robinson Worldwide, Inc.   514    44,404 
Generac Holdings, Inc.*   271    35,024 
Mohawk Industries, Inc.*   233    24,116 
Total Industrial        13,588,311 
Energy - 3.9%          
Exxon Mobil Corp.   17,660    1,765,647 
Chevron Corp.   7,740    1,154,498 
ConocoPhillips   5,235    607,626 

   

 

S&P 500® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 97.0% (continued)
Energy - 3.9% (continued)          
Schlumberger N.V.   6,298   $327,748 
EOG Resources, Inc.   2,571    310,962 
Phillips 66   1,939    258,158 
Marathon Petroleum Corp.   1,674    248,355 
Pioneer Natural Resources Co.   1,029    231,402 
Valero Energy Corp.   1,501    195,130 
Williams Companies, Inc.   5,363    186,793 
ONEOK, Inc.   2,568    180,325 
Hess Corp.   1,219    175,731 
Occidental Petroleum Corp.   2,911    173,816 
Baker Hughes Co.   4,436    151,622 
Kinder Morgan, Inc.   8,526    150,399 
Halliburton Co.   3,946    142,648 
Devon Energy Corp.   2,825    127,973 
Diamondback Energy, Inc.   789    122,358 
Targa Resources Corp.   983    85,393 
Coterra Energy, Inc. — Class A   3,316    84,624 
First Solar, Inc.*   471    81,144 
Enphase Energy, Inc.*   602    79,548 
Equities Corp.   1,813    70,091 
Marathon Oil Corp.   2,580    62,333 
APA Corp.   1,352    48,510 
Total Energy        7,022,834 
Utilities - 2.3%          
NextEra Energy, Inc.   9,045    549,393 
Southern Co.   4,808    337,137 
Duke Energy Corp.   3,398    329,742 
Sempra   2,775    207,376 
American Electric Power Company, Inc.   2,318    188,268 
Dominion Energy, Inc.   3,689    173,383 
PG&E Corp.   9,406    169,590 
Constellation Energy Corp.   1,408    164,581 
Exelon Corp.   4,389    157,565 
Xcel Energy, Inc.   2,433    150,627 
Consolidated Edison, Inc.   1,522    138,456 
Public Service Enterprise Group, Inc.   2,197    134,347 
Edison International   1,690    120,818 
WEC Energy Group, Inc.   1,391    117,080 
American Water Works Company, Inc.   858    113,247 
DTE Energy Co.   909    100,226 
Eversource Energy   1,540    95,049 
Entergy Corp.   932    94,309 
PPL Corp.   3,250    88,075 
Ameren Corp.   1,159    83,842 
FirstEnergy Corp.   2,277    83,475 
CenterPoint Energy, Inc.   2,783    79,510 
Atmos Energy Corp.   655    75,915 
CMS Energy Corp.   1,286    74,678 
Alliant Energy Corp.   1,125    57,713 
AES Corp.   2,952    56,826 
Evergy, Inc.   1,013    52,879 
NRG Energy, Inc.   995    51,442 
NiSource, Inc.   1,822   48,374 
Pinnacle West Capital Corp.   500    35,920 
Total Utilities        4,129,843 
Basic Materials - 1.9%          
Linde plc   2,138    878,098 
Sherwin-Williams Co.   1,038    323,752 
Freeport-McMoRan, Inc.   6,322    269,127 
Air Products and Chemicals, Inc.   979    268,050 
Ecolab, Inc.   1,119    221,954 
Newmont Corp.   5,081    210,303 
Nucor Corp.   1,084    188,660 
Dow, Inc.   3,092    169,565 
PPG Industries, Inc.   1,040    155,532 
DuPont de Nemours, Inc.   1,896    145,859 
LyondellBasell Industries N.V. — Class A   1,130    107,440 
International Flavors & Fragrances, Inc.   1,125    91,091 
Steel Dynamics, Inc.   671    79,245 
Albemarle Corp.   517    74,696 
Celanese Corp. — Class A   442    68,674 
CF Industries Holdings, Inc.   842    66,939 
International Paper Co.   1,526    55,165 
Mosaic Co.   1,441    51,487 
Eastman Chemical Co.   523    46,976 
FMC Corp.   550    34,678 
Total Basic Materials        3,507,291 
Total Common Stocks          
(Cost $126,160,891)        176,525,656 
           
   Face
Amount
      
U.S. TREASURY BILLS†† - 0.8%          
U.S. Treasury Bills          
5.27% due 02/22/241,2  $500,000    496,283 
5.24% due 02/22/241,2   400,000    397,027 
5.22% due 02/22/241,2   400,000    397,026 
5.17% due 01/09/242,3   146,000    145,851 
Total U.S. Treasury Bills          
(Cost $1,435,977)        1,436,187 
           
REPURCHASE AGREEMENTS††,4 - 2.3%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/241
   2,356,292    2,356,292 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/241
   1,898,904    1,898,904 
Total Repurchase Agreements          
(Cost $4,255,196)        4,255,196 
Total Investments - 100.1%          
(Cost $131,852,064)       $182,217,039 
Other Assets & Liabilities, net - (0.1)%        (94,599)
Total Net Assets - 100.0%       $182,122,440 

   

 

S&P 500® Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

 

Futures Contracts

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Equity Futures Contracts Purchased                  
S&P 500 Index Mini Futures Contracts   5   Mar 2024  $1,204,750   $3,450 

 

 

Total Return Swap Agreements

 

Counterparty  Index  Type   Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Equity Index Swap Agreements††                          
Goldman Sachs International  S&P 500 Index   Pay   5.83% (Federal Funds Rate + 0.50%)  At Maturity  03/21/24   303   $1,443,285   $20,122 
BNP Paribas  S&P 500 Index   Pay   5.93% (Federal Funds Rate + 0.60%)  At Maturity  03/21/24   126    602,182    9,022 
Barclays Bank plc  S&P 500 Index   Pay   5.85% (SOFR + 0.45%)  At Maturity  03/20/24   495    2,362,194    7,292 
                         $4,407,661   $36,436 

 

* Non-income producing security.
** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as equity index swap collateral at December 31, 2023.
2 Rate indicated is the effective yield at the time of purchase.
3 All or a portion of this security is pledged as futures collateral at December 31, 2023.
4 Repurchase Agreements — See Note 4.

 

plc — Public Limited Company

REIT — Real Estate Investment Trust

SOFR — Secured Overnight Financing Rate

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $176,525,656   $   $   $176,525,656 
U.S. Treasury Bills       1,436,187        1,436,187 
Repurchase Agreements       4,255,196        4,255,196 
Equity Futures Contracts**   3,450            3,450 
Equity Index Swap Agreements**       36,436        36,436 
Total Assets  $176,529,106   $5,727,819   $   $182,256,925 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

   

 

S&P 500® Pure Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

 

   Shares   Value 
COMMON STOCKS - 99.9%
Technology - 30.3%
Monolithic Power Systems, Inc.   1,036   $653,488 
NVIDIA Corp.   1,283    635,367 
Advanced Micro Devices, Inc.*   3,914    576,963 
KLA Corp.   954    554,560 
ServiceNow, Inc.*   702    495,956 
Intuit, Inc.   704    440,021 
Applied Materials, Inc.   2,626    425,596 
Lam Research Corp.   471    368,916 
Cadence Design Systems, Inc.*   1,325    360,890 
Broadcom, Inc.   317    353,851 
Adobe, Inc.*   588    350,801 
Fortinet, Inc.*   5,573    326,188 
Microsoft Corp.   865    325,275 
Salesforce, Inc.*   1,211    318,662 
Synopsys, Inc.*   578    297,618 
Oracle Corp.   2,791    294,255 
Tyler Technologies, Inc.*   648    270,942 
Fair Isaac Corp.*   221    257,246 
Apple, Inc.   1,129    217,366 
Total Technology        7,523,961 
Consumer, Cyclical - 26.8%          
Royal Caribbean Cruises Ltd.*   5,596    724,626 
PulteGroup, Inc.   5,539    571,736 
Live Nation Entertainment, Inc.*   5,985    560,196 
DR Horton, Inc.   3,677    558,830 
Marriott International, Inc. — Class A   2,433    548,666 
Tesla, Inc.*   2,018    501,433 
Hilton Worldwide Holdings, Inc.   2,647    481,992 
Lululemon Athletica, Inc.*   933    477,033 
Copart, Inc.*   8,818    432,082 
Norwegian Cruise Line Holdings Ltd.*   20,104    402,884 
Chipotle Mexican Grill, Inc. — Class A*   168    384,209 
NVR, Inc.*   53    371,024 
Wynn Resorts Ltd.   3,615    329,363 
Ross Stores, Inc.   2,184    302,244 
Total Consumer, Cyclical        6,646,318 
Communications - 18.0%          
Booking Holdings, Inc.*   184    652,689 
Arista Networks, Inc.*   2,746    646,710 
Uber Technologies, Inc.*   10,210    628,630 
Palo Alto Networks, Inc.*   1,703    502,181 
Meta Platforms, Inc. — Class A*   1,345    476,076 
Expedia Group, Inc.*   3,048    462,656 
Amazon.com, Inc.*   2,282    346,727 
Netflix, Inc.*   564    274,600 
Alphabet, Inc. — Class A*   1,806    252,280 
Alphabet, Inc. — Class C*   1,523    214,636 
Total Communications        4,457,185 
Industrial - 7.6%          
Builders FirstSource, Inc.*   3,614    603,321 
Axon Enterprise, Inc.*   1,436    370,962 
Fortive Corp.   5,004    368,445 
Old Dominion Freight Line, Inc.   779    315,752 
TransDigm Group, Inc.   228    230,645 
Total Industrial        1,889,125 
Energy - 6.9%          
Targa Resources Corp.   5,442    472,746 
APA Corp.   13,080    469,310 
Diamondback Energy, Inc.   2,719    421,663 
Hess Corp.   2,381    343,245 
Total Energy        1,706,964 
Consumer, Non-cyclical - 6.2%          
United Rentals, Inc.   781    447,841 
FleetCor Technologies, Inc.*   1,154    326,132 
West Pharmaceutical Services, Inc.   820    288,739 
Eli Lilly & Co.   435    253,570 
Gartner, Inc.*   522    235,479 
Total Consumer, Non-cyclical        1,551,761 
Basic Materials - 2.4%          
Celanese Corp. — Class A   3,790    588,852 
Financial - 1.7%          
Arch Capital Group Ltd.*   5,609    416,581 
Total Common Stocks          
(Cost $22,212,201)        24,780,747 
           
   Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 0.4%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $51,467    51,467 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   41,477    41,477 
Total Repurchase Agreements          
(Cost $92,944)        92,944 
Total Investments - 100.3%          
(Cost $22,305,145)       $24,873,691 
Other Assets & Liabilities, net - (0.3)%        (69,979)
Total Net Assets - 100.0%       $24,803,712 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

See Sector Classification in Other Information section.

   

 

S&P 500® Pure Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $24,780,747   $   $   $24,780,747 
Repurchase Agreements       92,944        92,944 
Total Assets  $24,780,747   $92,944   $   $24,873,691 

   

 

S&P 500® Pure Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.2%
Financial - 30.2%
Berkshire Hathaway, Inc. — Class B*   4,911   $1,751,557 
Invesco Ltd.   63,623    1,135,034 
Citigroup, Inc.   19,704    1,013,574 
Citizens Financial Group, Inc.   28,174    933,686 
Truist Financial Corp.   18,295    675,451 
Capital One Financial Corp.   5,076    665,565 
Synchrony Financial   14,173    541,267 
Loews Corp.   7,653    532,572 
Prudential Financial, Inc.   5,132    532,240 
M&T Bank Corp.   3,810    522,275 
Franklin Resources, Inc.   17,283    514,861 
American International Group, Inc.   7,492    507,583 
Bank of America Corp.   14,793    498,080 
Wells Fargo & Co.   9,785    481,618 
Zions Bancorp North America   10,659    467,610 
State Street Corp.   5,873    454,923 
Huntington Bancshares, Inc.   35,147    447,070 
KeyCorp   30,261    435,758 
Bank of New York Mellon Corp.   8,352    434,722 
Regions Financial Corp.   22,336    432,872 
Comerica, Inc.   6,795    379,229 
Goldman Sachs Group, Inc.   904    348,736 
MetLife, Inc.   5,144    340,173 
Assurant, Inc.   1,913    322,321 
PNC Financial Services Group, Inc.   2,046    316,823 
Hartford Financial Services Group, Inc.   3,920    315,090 
Fifth Third Bancorp   8,985    309,893 
Alexandria Real Estate Equities, Inc. REIT   2,431    308,178 
U.S. Bancorp   6,841    296,078 
Everest Group Ltd.   837    295,946 
Principal Financial Group, Inc.   3,548    279,121 
Cincinnati Financial Corp.   2,541    262,892 
Allstate Corp.   1,817    254,344 
Travelers Companies, Inc.   1,331    253,542 
Total Financial        17,260,684 
Consumer, Non-cyclical - 24.1%          
CVS Health Corp.   16,293    1,286,495 
Viatris, Inc.   112,573    1,219,165 
Tyson Foods, Inc. — Class A   21,511    1,156,216 
Bunge Global S.A.   10,560    1,066,032 
Centene Corp.*   13,685    1,015,564 
Kroger Co.   19,859    907,755 
Cigna Group   2,413    722,573 
Archer-Daniels-Midland Co.   9,919    716,350 
Cencora, Inc. — Class A   3,444    707,329 
McKesson Corp.   1,525    706,044 
Cardinal Health, Inc.   6,333    638,366 
Kraft Heinz Co.   15,477    572,339 
Universal Health Services, Inc. — Class B   3,440    524,394 
Molson Coors Beverage Co. — Class B   8,147    498,678 
Conagra Brands, Inc.   10,851    310,990 
Henry Schein, Inc.*   4,001    302,916 
Elevance Health, Inc.   623    293,782 
Bio-Rad Laboratories, Inc. — Class A*   901    290,924 
Sysco Corp.   3,936    287,840 
Humana, Inc.   577    264,156 
Corteva, Inc.   5,466    261,931 
Total Consumer, Non-cyclical        13,749,839 
Consumer, Cyclical - 19.6%          
General Motors Co.   52,583    1,888,781 
Ford Motor Co.   126,235    1,538,805 
Walgreens Boots Alliance, Inc.   56,361    1,471,586 
United Airlines Holdings, Inc.*   27,218    1,123,015 
CarMax, Inc.*   11,959    917,734 
BorgWarner, Inc.   21,702    778,017 
American Airlines Group, Inc.*   54,178    744,406 
Best Buy Company, Inc.   7,955    622,717 
Whirlpool Corp.   5,081    618,713 
Southwest Airlines Co.   20,405    589,296 
Target Corp.   2,125    302,642 
VF Corp.   15,564    292,603 
LKQ Corp.   5,915    282,678 
Total Consumer, Cyclical        11,170,993 
Communications - 6.8%          
Paramount Global — Class B   100,398    1,484,886 
Warner Bros Discovery, Inc.*   91,042    1,036,058 
AT&T, Inc.   24,642    413,493 
Verizon Communications, Inc.   8,300    312,910 
Fox Corp. — Class A   8,027    238,161 
News Corp. — Class A   8,878    217,955 
Fox Corp. — Class B   4,293    118,702 
News Corp. — Class B   2,663    68,492 
Total Communications        3,890,657 
Basic Materials - 5.0%          
Mosaic Co.   18,150    648,499 
International Paper Co.   16,027    579,376 
International Flavors & Fragrances, Inc.   4,447    360,074 
Dow, Inc.   6,268    343,737 
Albemarle Corp.   2,293    331,293 
LyondellBasell Industries N.V. — Class A   3,050    289,994 
Eastman Chemical Co.   3,128    280,957 
Total Basic Materials        2,833,930 
Energy - 4.8%          
Valero Energy Corp.   7,746    1,006,980 
Phillips 66   6,617    880,988 
Equities Corp.   8,611    332,901 
Chevron Corp.   1,743    259,986 
Kinder Morgan, Inc.   14,700    259,308 
Total Energy        2,740,163 
Industrial - 4.7%          
Mohawk Industries, Inc.*   10,234    1,059,219 
Westrock Co.   18,030    748,606 
Stanley Black & Decker, Inc.   3,726    365,520 
FedEx Corp.   1,094    276,749 
CH Robinson Worldwide, Inc.   3,063    264,613 
Total Industrial        2,714,707 
Utilities - 2.3%          
NRG Energy, Inc.   9,388    485,360 
Evergy, Inc.   5,720    298,584 
Eversource Energy   4,689    289,405 

   

 

S&P 500® Pure Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.2% (continued)
Utilities - 2.3% (continued)          
Pinnacle West Capital Corp.   3,769   $270,765 
Total Utilities        1,344,114 
Technology - 1.7%          
Hewlett Packard Enterprise Co.   41,273    700,815 
HP, Inc.   8,542    257,029 
Total Technology        957,844 
Total Common Stocks          
(Cost $55,174,276)        56,662,931 
           
   Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 0.8%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
   248,398   248,398 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   200,180    200,180 
Total Repurchase Agreements          
(Cost $448,578)        448,578 
Total Investments - 100.0%          
(Cost $55,622,854)       $57,111,509 
Other Assets & Liabilities, net - 0.0%        17,282 
Total Net Assets - 100.0%       $57,128,791 

 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $56,662,931   $   $   $56,662,931 
Repurchase Agreements       448,578        448,578 
Total Assets  $56,662,931   $448,578   $   $57,111,509 

   

 

S&P MidCap 400® Pure Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.8%
Industrial - 23.9%
TopBuild Corp.*   1,687   $631,376 
Simpson Manufacturing Company, Inc.   2,459    486,833 
Comfort Systems USA, Inc.   2,201    452,680 
Owens Corning   3,028    448,840 
Clean Harbors, Inc.*   2,248    392,298 
UFP Industries, Inc.   2,974    373,386 
Eagle Materials, Inc.   1,832    371,603 
Saia, Inc.*   798    349,700 
nVent Electric plc   5,533    326,945 
Universal Display Corp.   1,701    325,333 
EMCOR Group, Inc.   1,483    319,483 
Lennox International, Inc.   689    308,341 
Chart Industries, Inc.*   2,200    299,926 
Trex Company, Inc.*   3,583    296,637 
Lincoln Electric Holdings, Inc.   1,316    286,177 
Esab Corp.   3,122    270,428 
RBC Bearings, Inc.*   938    267,227 
Advanced Drainage Systems, Inc.   1,689    237,541 
Vontier Corp.   6,209    214,521 
Crane Co.   1,803    213,006 
Total Industrial        6,872,281 
Consumer, Cyclical - 21.9%          
Toll Brothers, Inc.   5,030    517,034 
Hyatt Hotels Corp. — Class A   3,758    490,081 
Deckers Outdoor Corp.*   671    448,517 
Murphy USA, Inc.   1,248    444,987 
Wingstop, Inc.   1,690    433,620 
Churchill Downs, Inc.   3,098    418,013 
Floor & Decor Holdings, Inc. — Class A*   3,210    358,107 
Skechers USA, Inc. — Class A*   5,354    333,768 
Tempur Sealy International, Inc.   6,471    329,827 
Five Below, Inc.*   1,393    296,932 
Texas Roadhouse, Inc. — Class A   2,361    288,585 
Casey's General Stores, Inc.   997    273,916 
Williams-Sonoma, Inc.   1,323    266,955 
Watsco, Inc.   614    263,081 
Crocs, Inc.*   2,780    259,680 
Planet Fitness, Inc. — Class A*   3,488    254,624 
FirstCash Holdings, Inc.   1,982    214,829 
Light & Wonder, Inc. — Class A*   2,573    211,269 
Boyd Gaming Corp.   2,873    179,878 
Total Consumer, Cyclical        6,283,703 
Energy - 17.1%          
Southwestern Energy Co.*   109,611    717,952 
CNX Resources Corp.*   34,106    682,120 
Weatherford International plc*   6,091    595,883 
Permian Resources Corp.   40,305    548,148 
Valaris Ltd.*   6,769    464,150 
Chord Energy Corp.   2,622    435,855 
Range Resources Corp.   13,351    406,405 
Ovintiv, Inc.   9,237    405,689 
Civitas Resources, Inc.   5,393    368,773 
Matador Resources Co.   5,158    293,284 
Total Energy        4,918,259 
Celsius Holdings, Inc.*   10,925    595,631 
Medpace Holdings, Inc.*   1,623    497,498 
Lantheus Holdings, Inc.*   6,078    376,836 
Exelixis, Inc.*   12,858    308,463 
Arrowhead Pharmaceuticals, Inc.*   9,946    304,348 
Coca-Cola Consolidated, Inc.   312    289,661 
Grand Canyon Education, Inc.*   2,177    287,451 
Progyny, Inc.*   7,679    285,505 
Avis Budget Group, Inc.1   1,584    280,780 
Acadia Healthcare Company, Inc.*   3,294    256,142 
Penumbra, Inc.*   998    251,037 
Coty, Inc. — Class A*   17,009    211,252 
Brink's Co.   2,350    206,682 
FTI Consulting, Inc.*   811    161,511 
Halozyme Therapeutics, Inc.*   4,268    157,745 
Total Consumer, Non-cyclical        4,470,542 
Technology - 10.1%          
Super Micro Computer, Inc.*   2,244    637,880 
Rambus, Inc.*   7,722    527,027 
Dynatrace, Inc.*   8,805    481,545 
Onto Innovation, Inc.*   2,465    376,898 
Qualys, Inc.*   1,844    361,940 
Manhattan Associates, Inc.*   1,375    296,065 
Dropbox, Inc. — Class A*   7,804    230,062 
Total Technology        2,911,417 
Basic Materials - 5.0%          
Reliance Steel & Aluminum Co.   1,437    401,900 
Valvoline, Inc.*   9,795    368,096 
NewMarket Corp.   613    334,594 
Westlake Corp.   2,331    326,247 
Total Basic Materials        1,430,837 
Financial - 4.0%          
Park Hotels & Resorts, Inc. REIT   30,083    460,270 
Kinsale Capital Group, Inc.   1,237    414,283 
Primerica, Inc.   1,280    263,373 
Total Financial        1,137,926 
Utilities - 1.5%          
Vistra Corp.   11,097    427,456 
Communications - 0.7%          
GoDaddy, Inc. — Class A*   1,759    186,735 
Total Common Stocks          
(Cost $25,057,372)        28,639,156 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.3%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $49,303    49,303 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   39,732    39,732 
Total Repurchase Agreements          
(Cost $89,035)        89,035 

   

 

S&P MidCap 400® Pure Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
SECURITIES LENDING COLLATERAL†,3 - 0.1%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   37,008   $37,008 
Total Securities Lending Collateral          
(Cost $37,008)        37,008 
Total Investments - 100.2%          
(Cost $25,183,415)       $28,765,199 
Other Assets & Liabilities, net - (0.2)%        (53,892)
Total Net Assets - 100.0%       $28,711,307 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
|Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $28,639,156   $   $   $28,639,156 
Repurchase Agreements       89,035        89,035 
Securities Lending Collateral   37,008            37,008 
Total Assets  $28,676,164   $89,035   $   $28,765,199 

   

 

S&P MidCap 400® Pure Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Consumer, Cyclical - 26.5%          
Macy's, Inc.   13,316   $267,918 
Lithia Motors, Inc. — Class A   706    232,472 
Goodyear Tire & Rubber Co.*   15,269    218,652 
Adient plc*   5,418    196,999 
AutoNation, Inc.*   1,071    160,843 
Nordstrom, Inc.   8,599    158,652 
WESCO International, Inc.   831    144,494 
Taylor Morrison Home Corp. — Class A*   2,470    131,774 
Lear Corp.   918    129,631 
PVH Corp.   990    120,899 
Penske Automotive Group, Inc.   701    112,517 
Thor Industries, Inc.   915    108,199 
Aramark   3,823    107,426 
Penn Entertainment, Inc.*   4,048    105,329 
Harley-Davidson, Inc.   2,388    87,974 
Marriott Vacations Worldwide Corp.   846    71,817 
Gap, Inc.   3,020    63,148 
BJ's Wholesale Club Holdings, Inc.*   717    47,795 
Leggett & Platt, Inc.   1,806    47,263 
Under Armour, Inc. — Class A*   4,456    39,168 
Under Armour, Inc. — Class C*   4,609    38,485 
Total Consumer, Cyclical        2,591,455 
Financial - 21.4%          
Jones Lang LaSalle, Inc.*   853    161,106 
Unum Group   2,794    126,345 
Medical Properties Trust, Inc. REIT   25,729    126,329 
Ally Financial, Inc.   3,421    119,462 
New York Community Bancorp, Inc.   11,599    118,658 
Associated Banc-Corp.   5,273    112,789 
Valley National Bancorp   9,624    104,517 
Kilroy Realty Corp. REIT   2,517    100,277 
Cousins Properties, Inc. REIT   3,971    96,694 
Jefferies Financial Group, Inc.   2,310    93,347 
FNB Corp.   6,700    92,259 
Kemper Corp.   1,882    91,597 
Reinsurance Group of America, Inc. — Class A   544    88,008 
First Horizon Corp.   5,075    71,862 
Old National Bancorp   4,053    68,455 
Prosperity Bancshares, Inc.   999    67,662 
Texas Capital Bancshares, Inc.*   1,022    66,052 
Healthcare Realty Trust, Inc. REIT   3,563    61,391 
Janus Henderson Group plc   2,002    60,360 
Webster Financial Corp.   1,124    57,054 
Independence Realty Trust, Inc. REIT   3,624    55,447 
CNO Financial Group, Inc.   1,879    52,424 
First American Financial Corp.   787    50,714 
Old Republic International Corp.   1,664    48,922 
Total Financial        2,091,731 
Industrial - 15.9%          
Avnet, Inc.   4,881    246,002 
TD SYNNEX Corp.   2,063    222,000 
Arrow Electronics, Inc.*   1,652    201,957 
MasTec, Inc.*   1,885   142,732 
Ryder System, Inc.   1,045    120,238 
MDU Resources Group, Inc.   5,019    99,376 
Fluor Corp.*   2,237    87,624 
Greif, Inc. — Class A   1,003    65,787 
AGCO Corp.   483    58,641 
Oshkosh Corp.   510    55,289 
Werner Enterprises, Inc.   1,249    52,920 
Vishay Intertechnology, Inc.   2,199    52,710 
Coherent Corp.*   1,131    49,233 
Berry Global Group, Inc.   719    48,453 
Knight-Swift Transportation Holdings, Inc.   839    48,368 
Total Industrial        1,551,330 
Consumer, Non-cyclical - 15.6%          
Hertz Global Holdings, Inc.*   24,741    257,059 
ManpowerGroup, Inc.   2,243    178,251 
Performance Food Group Co.*   2,168    149,917 
US Foods Holding Corp.*   3,134    142,315 
Graham Holdings Co. — Class B   199    138,608 
Pilgrim's Pride Corp.*   3,885    107,459 
Tenet Healthcare Corp.*   1,378    104,136 
Perrigo Company plc   3,102    99,822 
Enovis Corp.*   1,362    76,299 
QuidelOrtho Corp.*   983    72,447 
Post Holdings, Inc.*   747    65,781 
Patterson Companies, Inc.   2,306    65,606 
Envista Holdings Corp.*   2,649    63,735 
Total Consumer, Non-cyclical        1,521,435 
Energy - 7.7%          
PBF Energy, Inc. — Class A   5,752    252,858 
HF Sinclair Corp.   3,621    201,219 
Sunrun, Inc.*   6,826    133,994 
Chesapeake Energy Corp.   805    61,937 
NOV, Inc.   2,600    52,728 
Antero Resources Corp.*   2,324    52,708 
Total Energy        755,444 
Basic Materials - 6.9%          
United States Steel Corp.   5,419    263,635 
Cleveland-Cliffs, Inc.*   8,017    163,707 
Alcoa Corp.   4,315    146,710 
Commercial Metals Co.   1,931    96,627 
Total Basic Materials        670,679 
Utilities - 2.3%          
UGI Corp.   3,043    74,858 
Southwest Gas Holdings, Inc.   827    52,390 
Black Hills Corp.   940    50,713 
Spire, Inc.   703    43,825 
Total Utilities        221,786 
Technology - 1.6%          
Kyndryl Holdings, Inc.*   5,019    104,295 
Concentrix Corp.   565    55,488 
Total Technology        159,783 
Communications - 1.6%          
Frontier Communications Parent, Inc.*   3,529    89,425 
TEGNA, Inc.   4,579    70,059 
Total Communications        159,484 
Total Common Stocks          
(Cost $8,208,820)        9,723,127 

   

 

S&P MidCap 400® Pure Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Face
Amount
   Value 
REPURCHASE AGREEMENTS††,1 - 0.9%
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $49,870   $49,870 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   40,189    40,189 
Total Repurchase Agreements          
(Cost $90,059)        90,059 
Total Investments - 100.4%          
(Cost $8,298,879)       $9,813,186 
Other Assets & Liabilities, net - (0.4)%        (41,496)
Total Net Assets - 100.0%       $9,771,690 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $9,723,127   $   $   $9,723,127 
Repurchase Agreements       90,059        90,059 
Total Assets  $9,723,127   $90,059   $   $9,813,186 

   

 

S&P SmallCap 600® Pure Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Consumer, Cyclical - 18.8%          
Group 1 Automotive, Inc.   134   $40,835 
Green Brick Partners, Inc.*   746    38,747 
Cavco Industries, Inc.*   99    34,315 
Installed Building Products, Inc.   183    33,456 
Cinemark Holdings, Inc.*   2,265    31,914 
Patrick Industries, Inc.   318    31,911 
M/I Homes, Inc.*   218    30,027 
GMS, Inc.*   364    30,005 
Dave & Buster's Entertainment, Inc.*   557    29,994 
Six Flags Entertainment Corp.*   1,170    29,344 
Meritage Homes Corp.   167    29,092 
Abercrombie & Fitch Co. — Class A*   327    28,848 
Boot Barn Holdings, Inc.*   348    26,712 
Signet Jewelers Ltd.   249    26,708 
Shake Shack, Inc. — Class A*   342    25,349 
Urban Outfitters, Inc.*   664    23,698 
Guess?, Inc.   986    22,737 
Oxford Industries, Inc.   184    18,400 
Monarch Casino & Resort, Inc.   244    16,872 
American Eagle Outfitters, Inc.   768    16,251 
Steven Madden Ltd.   357    14,994 
XPEL, Inc.*   269    14,486 
Madison Square Garden Sports Corp. — Class A*   67    12,183 
Kontoor Brands, Inc.   187    11,673 
Jack in the Box, Inc.   123    10,041 
Total Consumer, Cyclical        628,592 
Financial - 18.7%          
Two Harbors Investment Corp. REIT   3,987    55,539 
Ambac Financial Group, Inc.*   2,567    42,304 
SiriusPoint Ltd.*   3,615    41,934 
St. Joe Co.   692    41,645 
Redwood Trust, Inc. REIT   4,704    34,857 
Customers Bancorp, Inc.*   578    33,304 
Goosehead Insurance, Inc. — Class A*   415    31,457 
eXp World Holdings, Inc.   1,772    27,501 
Sunstone Hotel Investors, Inc. REIT   2,481    26,621 
Bancorp, Inc.*   688    26,529 
HCI Group, Inc.   301    26,307 
First BanCorp   1,557    25,613 
DiamondRock Hospitality Co. REIT   2,632    24,714 
Pathward Financial, Inc.   450    23,819 
Ellington Financial, Inc. REIT   1,807    22,967 
OFG Bancorp   607    22,750 
New York Mortgage Trust, Inc. REIT   2,234    19,056 
Preferred Bank/Los Angeles CA   255    18,628 
World Acceptance Corp.*   138    18,013 
Palomar Holdings, Inc.*   311    17,261 
Triumph Financial, Inc.*   197    15,795 
WisdomTree, Inc.   2,250    15,593 
Apple Hospitality REIT, Inc.   847    14,069 
Total Financial        626,276 
OraSure Technologies, Inc.*   5,410    44,362 
PROG Holdings, Inc.*   1,401    43,305 
elf Beauty, Inc.*   298    43,013 
Inter Parfums, Inc.   283    40,755 
UFP Technologies, Inc.*   197    33,892 
Amphastar Pharmaceuticals, Inc.*   481    29,750 
Viad Corp.*   814    29,467 
Cal-Maine Foods, Inc.   460    26,399 
Dynavax Technologies Corp.*   1,850    25,863 
LiveRamp Holdings, Inc.*   655    24,811 
Adtalem Global Education, Inc.*   396    23,344 
Stride, Inc.*   380    22,561 
Vericel Corp.*   624    22,221 
Collegium Pharmaceutical, Inc.*   714    21,977 
Catalyst Pharmaceuticals, Inc.*   1,306    21,954 
ANI Pharmaceuticals, Inc.*   377    20,788 
CorVel Corp.*   83    20,518 
Glaukos Corp.*   171    13,593 
RadNet, Inc.*   386    13,421 
Apollo Medical Holdings, Inc.*   342    13,099 
Arlo Technologies, Inc.*   1,355    12,900 
Integer Holdings Corp.*   126    12,484 
Ensign Group, Inc.   105    11,782 
WD-40 Co.   48    11,475 
NeoGenomics, Inc.*   656    10,614 
CONMED Corp.   89    9,746 
Ligand Pharmaceuticals, Inc.*,††   107     
Ligand Pharmaceuticals, Inc.*,††   107     
Total Consumer, Non-cyclical        604,094 
Industrial - 17.1%          
Dorian LPG Ltd.   917    40,229 
Encore Wire Corp.   183    39,089 
PGT Innovations, Inc.*   913    37,159 
ArcBest Corp.   268    32,216 
AAON, Inc.   423    31,247 
Matson, Inc.   279    30,579 
Materion Corp.   193    25,115 
Gibraltar Industries, Inc.*   315    24,879 
Fabrinet*   127    24,172 
Boise Cascade Co.   166    21,474 
AZZ, Inc.   369    21,435 
MYR Group, Inc.*   141    20,393 
Federal Signal Corp.   264    20,259 
Mueller Industries, Inc.   417    19,661 
Badger Meter, Inc.   117    18,061 
AeroVironment, Inc.*   131    16,511 
Powell Industries, Inc.   182    16,089 
Frontdoor, Inc.*   452    15,919 
Moog, Inc. — Class A   104    15,057 
Applied Industrial Technologies, Inc.   86    14,851 
Franklin Electric Company, Inc.   150    14,498 
Alamo Group, Inc.   65    13,662 
Standex International Corp.   86    13,621 
Tennant Co.   137    12,699 
SPX Technologies, Inc.*   122    12,323 
OSI Systems, Inc.*   92    11,873 
Armstrong World Industries, Inc.   109    10,717 
Total Industrial        573,788 

   

 

S&P SmallCap 600® Pure Growth Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5% (continued)
Energy - 12.9%          
Alpha Metallurgical Resources, Inc.   145   $49,144 
Warrior Met Coal, Inc.   691    42,130 
Northern Oil and Gas, Inc.   1,124    41,667 
Par Pacific Holdings, Inc.*   1,079    39,243 
CONSOL Energy, Inc.   383    38,503 
Callon Petroleum Co.*   1,188    38,491 
Liberty Energy, Inc. — Class A   1,764    31,999 
REX American Resources Corp.*   645    30,509 
California Resources Corp.   485    26,520 
Helix Energy Solutions Group, Inc.*   2,534    26,049 
Oceaneering International, Inc.*   961    20,450 
RPC, Inc.   2,779    20,231 
SM Energy Co.   452    17,501 
Archrock, Inc.   712    10,965 
Total Energy        433,402 
Technology - 6.1%          
Axcelis Technologies, Inc.*   311    40,333 
Verra Mobility Corp.*   1,441    33,186 
DoubleVerify Holdings, Inc.*   767    28,210 
Veeco Instruments, Inc.*   729    22,621 
SPS Commerce, Inc.*   115    22,292 
Agilysys, Inc.*   168    14,250 
Donnelley Financial Solutions, Inc.*   181    11,289 
PDF Solutions, Inc.*   327    10,510 
Privia Health Group, Inc.*   447    10,294 
Progress Software Corp.   180    9,774 
Total Technology        202,759 
Communications - 5.0%          
Cargurus, Inc.*   1,327    32,060 
InterDigital, Inc.   260    28,220 
Cars.com, Inc.*   1,468    27,848 
TripAdvisor, Inc.*   1,122    24,157 
Yelp, Inc. — Class A*   496    23,481 
Cogent Communications Holdings, Inc.   231    17,570 
Liquidity Services, Inc.*   911    15,678 
Total Communications        169,014 
Basic Materials - 2.1%          
Hawkins, Inc.   454    31,971 
Carpenter Technology Corp.   273    19,328 
ATI, Inc.*   419    19,052 
Total Basic Materials        70,351 
Utilities - 0.7%          
Otter Tail Corp.   276    23,452 
Total Common Stocks          
(Cost $2,815,214)        3,331,728 
           
   Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 0.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $8,787    8,787 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   7,082    7,082 
Total Repurchase Agreements          
(Cost $15,869)        15,869 
Total Investments - 100.0%          
(Cost $2,831,083)       $3,347,597 
Other Assets & Liabilities, net - 0.0%        (1,495)
Total Net Assets - 100.0%       $3,346,102 

 

* Non-income producing security.
Value determined based on Level 1 inputs, unless otherwise noted — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $3,331,728   $  — *  $   $3,331,728 
Repurchase Agreements       15,869        15,869 
Total Assets  $3,331,728   $15,869   $   $3,347,597 

 

* Security has a market value of $0.

   

 

S&P SmallCap 600® Pure Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.6%
Consumer, Cyclical - 27.5%          
JetBlue Airways Corp.*   14,949   $82,967 
MarineMax, Inc.*   2,039    79,317 
Foot Locker, Inc.   2,526    78,685 
Kohl's Corp.   2,675    76,719 
Phinia, Inc.   2,311    70,000 
ScanSource, Inc.*   1,616    64,010 
Topgolf Callaway Brands Corp.*   3,988    57,188 
Advance Auto Parts, Inc.   901    54,988 
ODP Corp.*   932    52,472 
Sally Beauty Holdings, Inc.*   3,784    50,252 
American Axle & Manufacturing Holdings, Inc.*   5,617    49,486 
Dana, Inc.   3,244    47,395 
America's Car-Mart, Inc.*   624    47,280 
Designer Brands, Inc. — Class A   5,271    46,648 
Resideo Technologies, Inc.*   2,263    42,590 
Allegiant Travel Co. — Class A   476    39,323 
Sonic Automotive, Inc. — Class A   669    37,604 
G-III Apparel Group Ltd.*   1,077    36,596 
Caleres, Inc.   1,066    32,758 
Newell Brands, Inc.   3,737    32,437 
Nu Skin Enterprises, Inc. — Class A   1,650    32,043 
Alaska Air Group, Inc.*   747    29,185 
Hibbett, Inc.   382    27,512 
Victoria's Secret & Co.*   1,024    27,177 
Shoe Carnival, Inc.   860    25,981 
MDC Holdings, Inc.   440    24,310 
Wabash National Corp.   917    23,494 
Standard Motor Products, Inc.   527    20,980 
Interface, Inc. — Class A   1,612    20,343 
Titan International, Inc.*   1,355    20,162 
Methode Electronics, Inc.   868    19,730 
MillerKnoll, Inc.   730    19,476 
Wolverine World Wide, Inc.   2,094    18,616 
Vista Outdoor, Inc.*   602    17,801 
Hanesbrands, Inc.*   3,855    17,193 
PriceSmart, Inc.   214    16,217 
Haverty Furniture Companies, Inc.   432    15,336 
Total Consumer, Cyclical        1,454,271 
Financial - 22.8%          
Genworth Financial, Inc. — Class A*   10,477    69,986 
Anywhere Real Estate, Inc.*   8,518    69,081 
Bread Financial Holdings, Inc.   1,844    60,741 
EZCORP, Inc. — Class A*   6,357    55,560 
Cushman & Wakefield plc*   5,077    54,832 
StoneX Group, Inc.*   719    53,084 
Jackson Financial, Inc. — Class A   883    45,210 
Hudson Pacific Properties, Inc. REIT   4,736    44,092 
PRA Group, Inc.*   1,523    39,903 
ProAssurance Corp.   2,755    37,992 
Pebblebrook Hotel Trust REIT   2,327    37,185 
United Fire Group, Inc.   1,717    34,546 
Brandywine Realty Trust REIT   6,084    32,854 
Eagle Bancorp, Inc.   1,060    31,948 
Hope Bancorp, Inc.   2,639    31,879 
Stewart Information Services Corp.   523    30,726 
Simmons First National Corp. — Class A   1,398    27,736 
JBG SMITH Properties REIT   1,588    27,012 
Chatham Lodging Trust REIT   2,424    25,985 
Navient Corp.   1,349    25,119 
Northfield Bancorp, Inc.   1,946    24,481 
Service Properties Trust REIT   2,806    23,963 
Safehold, Inc. REIT   975    22,815 
Encore Capital Group, Inc.*   423    21,467 
Lincoln National Corp.   788    21,252 
Dime Community Bancshares, Inc.   787    21,194 
Banc of California, Inc.   1,518    20,387 
Independent Bank Group, Inc.   396    20,148 
Veritex Holdings, Inc.   865    20,129 
Renasant Corp.   590    19,871 
Provident Financial Services, Inc.   1,084    19,544 
SL Green Realty Corp. REIT   430    19,423 
Ready Capital Corp. REIT   1,803    18,481 
Hanmi Financial Corp.   919    17,829 
Brookline Bancorp, Inc.   1,580    17,238 
Pacific Premier Bancorp, Inc.   578    16,825 
Heritage Financial Corp.   781    16,706 
Mercury General Corp.   441    16,454 
BankUnited, Inc.   488    15,826 
Total Financial        1,209,504 
Consumer, Non-cyclical - 19.1%          
Fresh Del Monte Produce, Inc.   3,282    86,152 
Green Dot Corp. — Class A*   8,199    81,170 
United Natural Foods, Inc.*   4,963    80,549 
Kelly Services, Inc. — Class A   3,561    76,989 
TrueBlue, Inc.*   3,718    57,034 
SpartanNash Co.   2,334    53,565 
Pediatrix Medical Group, Inc.*   5,332    49,588 
B&G Foods, Inc.   4,499    47,240 
Cross Country Healthcare, Inc.*   1,692    38,307 
AdaptHealth Corp.*   4,979    36,297 
GEO Group, Inc.*   3,256    35,262 
Deluxe Corp.   1,595    34,213 
ABM Industries, Inc.   762    34,160 
Universal Corp.   505    33,997 
Chefs' Warehouse, Inc.*   1,107    32,579 
Owens & Minor, Inc.*   1,641    31,622 
Enhabit, Inc.*   2,782    28,794 
Heidrick & Struggles International, Inc.   739    21,823 
ModivCare, Inc.*   447    19,663 
Healthcare Services Group, Inc.*   1,776    18,417 
Hain Celestial Group, Inc.*   1,666    18,243 
Phibro Animal Health Corp. — Class A   1,538    17,810 
Fulgent Genetics, Inc.*   616    17,809 
Resources Connection, Inc.   1,250    17,713 
Avanos Medical, Inc.*   736    16,508 
Select Medical Holdings Corp.   607    14,264 
TreeHouse Foods, Inc.*   335    13,886 
Total Consumer, Non-cyclical        1,013,654 

   

 

S&P SmallCap 600® Pure Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.6% (continued)
Industrial - 10.2%
World Kinect Corp.   3,493   $79,571 
Enviri Corp.*   7,974    71,766 
Benchmark Electronics, Inc.   2,070    57,215 
Greenbrier Companies, Inc.   1,276    56,374 
Clearwater Paper Corp.*   1,536    55,480 
O-I Glass, Inc.*   2,676    43,833 
Sanmina Corp.*   780    40,069 
DXP Enterprises, Inc.*   1,177    39,665 
Astec Industries, Inc.   618    22,989 
Kaman Corp.   884    21,172 
TTM Technologies, Inc.*   1,287    20,347 
Hub Group, Inc. — Class A*   210    19,307 
Masterbrand, Inc.*   967    14,360 
Total Industrial        542,148 
Communications - 6.9%          
EchoStar Corp. — Class A*   4,762    78,906 
AMC Networks, Inc. — Class A*   4,039    75,893 
ADTRAN Holdings, Inc.   8,554    62,786 
EW Scripps Co. — Class A*   5,303    42,371 
Viasat, Inc.*   1,374    38,403 
ATN International, Inc.   745    29,033 
Lumen Technologies, Inc.*   13,226    24,204 
Consolidated Communications Holdings, Inc.*   3,084    13,415 
Total Communications        365,011 
Technology - 6.0%          
Xerox Holdings Corp.   4,858    89,047 
NCR Atleos Corp.*   2,671    64,878 
NCR Voyix Corp.*   3,148    53,233 
TTEC Holdings, Inc.   1,519    32,917 
Alpha & Omega Semiconductor Ltd.*   1,143    29,786 
DXC Technology Co.*   1,080    24,700 
NetScout Systems, Inc.*   918    20,150 
Total Technology        314,711 
Basic Materials - 3.6%          
Mercer International, Inc.   4,952    46,945 
Kaiser Aluminum Corp.   584    41,575 
AdvanSix, Inc.   1,207    36,162 
Mativ Holdings, Inc.   2,353    36,024 
Century Aluminum Co.*   2,349    28,517 
Total Basic Materials        189,223 
Energy - 3.5%          
SunCoke Energy, Inc.   3,500    37,590 
US Silica Holdings, Inc.*   2,423    27,404 
Nabors Industries Ltd.*   334    27,265 
NOW, Inc.*   2,330    26,375 
Bristow Group, Inc.*   877    24,793 
ProPetro Holding Corp.*   2,653    22,232 
Talos Energy, Inc.*   1,245    17,716 
Total Energy        183,375 
Total Common Stocks          
(Cost $4,625,168)        5,271,897 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 0.7%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $21,555    21,555 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   17,371    17,371 
Total Repurchase Agreements          
(Cost $38,926)        38,926 
Total Investments - 100.3%          
(Cost $4,664,094)       $5,310,823 
Other Assets & Liabilities, net - (0.3)%        (15,279)
Total Net Assets - 100.0%       $5,295,544 

 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

plc — Public Limited Company

REIT — Real Estate Investment Trust

 

See Sector Classification in Other Information section.

 

 

 

 

S&P SmallCap 600® Pure Value Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

  

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $5,271,897   $   $   $5,271,897 
Repurchase Agreements       38,926        38,926 
Total Assets  $5,271,897   $38,926   $   $5,310,823 

   

 

Strengthening Dollar 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Face
Amount
   Value 
U.S. TREASURY BILLS†† - 6.2%
U.S. Treasury Bills          
5.17% due 01/09/241,2  $135,000   $134,862 
Total U.S. Treasury Bills          
(Cost $134,842)        134,862 
           
REPURCHASE AGREEMENTS††,3 - 130.6%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/244
  1,582,807    1,582,807 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/244
   1,275,562    1,275,562 
Total Repurchase Agreements          
(Cost $2,858,369)        2,858,369 
Total Investments - 136.8%          
(Cost $2,993,211)       $2,993,231 
Other Assets & Liabilities, net - (36.8)%        (805,281)
Total Net Assets - 100.0%       $2,187,950 

 

 

Futures Contracts

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Depreciation**
 
Currency Futures Contracts Purchased                  
U.S. Dollar Index Futures Contracts   33   Mar 2024  $3,333,825   $(10,342)
                   

 

Total Return Swap Agreements

 

Counterparty  Index  Type   Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Depreciation 
OTC Currency Index Swap Agreements††                  
Goldman Sachs International  U.S. Dollar Index   Receive   N/A  At Maturity  03/22/24   10,559   $1,067,446   $(1,599)

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as futures collateral at December 31, 2023.
2 Rate indicated is the effective yield at the time of purchase.
3 Repurchase Agreements — See Note 4.
4 All or a portion of this security is pledged as currency index swap collateral at December 31, 2023.

 

See Sector Classification in Other Information section.

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
U.S. Treasury Bills  $   $134,862   $   $134,862 
Repurchase Agreements       2,858,369        2,858,369 
Total Assets  $   $2,993,231   $   $2,993,231 

   

 

Strengthening Dollar 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

Investments in Securities (Liabilities)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Currency Futures Contracts**  $10,342   $   $   $10,342 
Currency Index Swap Agreements**       1,599        1,599 
Total Liabilities  $10,342   $1,599   $   $11,941 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

   

 

Technology Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS- 99.5%
Software - 32.0%
Microsoft Corp.   11,650   $4,380,866 
Adobe, Inc.*   2,235    1,333,401 
Salesforce, Inc.*   5,058    1,330,962 
Intuit, Inc.   1,798    1,123,804 
Oracle Corp.   9,765    1,029,524 
ServiceNow, Inc.*   1,426    1,007,455 
Cadence Design Systems, Inc.*   2,651    722,053 
Synopsys, Inc.*   1,383    712,120 
Workday, Inc. — Class A*   2,515    694,291 
Atlassian Corp. — Class A*   2,701    642,460 
Snowflake, Inc. — Class A*   3,217    640,183 
Roper Technologies, Inc.   1,161    632,942 
Autodesk, Inc.*   2,529    615,761 
ANSYS, Inc.*   1,419    514,927 
Datadog, Inc. — Class A*   4,170    506,154 
Electronic Arts, Inc.   3,654    499,904 
Palantir Technologies, Inc. — Class A*   27,970    480,245 
MongoDB, Inc.*   1,089    445,238 
Take-Two Interactive Software, Inc.*   2,737    440,520 
Cloudflare, Inc. — Class A*   5,244    436,615 
ROBLOX Corp. — Class A*   9,464    432,694 
Splunk, Inc.*   2,730    415,915 
HubSpot, Inc.*   716    415,666 
PTC, Inc.*   2,142    374,764 
NetEase, Inc. ADR   4,005    373,106 
Zoom Video Communications, Inc. — Class A*   5,137    369,402 
Monday.com Ltd.*   1,891    355,149 
Akamai Technologies, Inc.*   2,945    348,541 
DocuSign, Inc.*   5,373    319,425 
Twilio, Inc. — Class A*   4,155    315,240 
Dynatrace, Inc.*   5,739    313,866 
Unity Software, Inc.*   7,401    302,627 
Manhattan Associates, Inc.*   1,368    294,558 
Dropbox, Inc. — Class A*   9,027    266,116 
BILL Holdings, Inc.*   3,167    258,395 
Gitlab, Inc. — Class A*   4,026    253,477 
AppLovin Corp. — Class A*   6,197    246,950 
ZoomInfo Technologies, Inc. — Class A*   12,624    233,418 
Confluent, Inc. — Class A*   8,927    208,892 
Five9, Inc.*   2,443    192,240 
C3.ai, Inc. — Class A*,1   5,617    161,264 
MicroStrategy, Inc. — Class A*   222    140,220 
Total Software        24,781,350 
Semiconductors - 27.0%          
NVIDIA Corp.   5,825    2,884,657 
Broadcom, Inc.   1,841    2,055,016 
Advanced Micro Devices, Inc.*   8,977    1,323,300 
Intel Corp.   25,900    1,301,475 
QUALCOMM, Inc.   7,494    1,083,857 
Texas Instruments, Inc.   6,240    1,063,670 
Applied Materials, Inc.   6,190    1,003,213 
Lam Research Corp.   1,118    875,685 
Micron Technology, Inc.   9,980    851,693 
Analog Devices, Inc.   4,256    845,071 
KLA Corp.   1,297    753,946 
NXP Semiconductor N.V.   3,246    745,541 
ASML Holding N.V. — Class G   860    650,951 
Marvell Technology, Inc.   10,403    627,405 
Microchip Technology, Inc.   6,434    580,218 
Taiwan Semiconductor Manufacturing Company Ltd. ADR   5,424    564,096 
ON Semiconductor Corp.*   6,140    512,874 
STMicroelectronics N.V. — Class Y   9,128    457,587 
Entegris, Inc.   3,074    368,327 
Skyworks Solutions, Inc.   3,238    364,016 
Teradyne, Inc.   3,332    361,589 
Monolithic Power Systems, Inc.   494    311,605 
Qorvo, Inc.*   2,543    286,367 
Lattice Semiconductor Corp.*   3,898    268,923 
MKS Instruments, Inc.   2,321    238,761 
Rambus, Inc.*   3,375    230,344 
GLOBALFOUNDRIES, Inc.*,1   3,246    196,708 
Axcelis Technologies, Inc.*   974    126,318 
Total Semiconductors        20,933,213 
Computers - 16.0%          
Apple, Inc.   22,339    4,300,928 
International Business Machines Corp.   6,183    1,011,230 
Crowdstrike Holdings, Inc. — Class A*   2,586    660,258 
Dell Technologies, Inc. — Class C   7,881    602,896 
Fortinet, Inc.*   9,278    543,041 
Cognizant Technology Solutions Corp. — Class A   6,928    523,272 
Accenture plc — Class A   1,483    520,400 
Check Point Software Technologies Ltd.*   3,038    464,176 
Infosys Ltd. ADR   24,159    444,042 
HP, Inc.   14,093    424,058 
Hewlett Packard Enterprise Co.   23,385    397,077 
Zscaler, Inc.*   1,748    387,287 
Western Digital Corp.*   6,742    353,079 
Seagate Technology Holdings plc   4,127    352,322 
NetApp, Inc.   3,933    346,733 
Super Micro Computer, Inc.*   1,118    317,803 
Pure Storage, Inc. — Class A*   7,802    278,219 
Amdocs Ltd.   3,088    271,404 
Lumentum Holdings, Inc.*   3,145    164,861 
Total Computers        12,363,086 
Internet - 14.3%          
Alphabet, Inc. — Class A*   24,295    3,393,769 
Meta Platforms, Inc. — Class A*   7,215    2,553,821 
Palo Alto Networks, Inc.*   2,665    785,855 
Shopify, Inc. — Class A*   6,971    543,041 
CDW Corp.   2,049    465,779 
Baidu, Inc. ADR*   3,905    465,046 
Sea Ltd. ADR*   11,456    463,968 
Pinterest, Inc. — Class A*   11,485    425,404 
Snap, Inc. — Class A*   23,779    402,579 
Okta, Inc.*   3,976    359,947 
VeriSign, Inc.*   1,662    342,306 
Gen Digital, Inc.   13,004    296,751 
Match Group, Inc.*   7,573    276,415 

   

 

Technology Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5% (continued)
Internet - 14.3% (continued)          
F5, Inc.*   1,540   $275,629 
Total Internet        11,050,310 
Telecommunications - 3.6%          
Cisco Systems, Inc.   22,690    1,146,299 
Arista Networks, Inc.*   2,766    651,421 
Motorola Solutions, Inc.   1,856    581,095 
Corning, Inc.   13,305    405,137 
Total Telecommunications        2,783,952 
Electronics - 3.4%          
Amphenol Corp. — Class A   6,570    651,284 
TE Connectivity Ltd.   3,955    555,678 
Keysight Technologies, Inc.*   2,844    452,452 
Jabil, Inc.   2,651    337,737 
Flex Ltd.*   10,618    323,424 
Trimble, Inc.*   5,975    317,870 
Total Electronics        2,638,445 
Energy-Alternate Sources - 1.7%          
SolarEdge Technologies, Inc.*   5,839    546,531 
Enphase Energy, Inc.*   2,880    380,563 
First Solar, Inc.*   2,192    377,638 
Total Energy-Alternate Sources        1,304,732 
Commercial Services - 1.1%          
Gartner, Inc.*   1,068    481,785 
Marathon Digital Holdings, Inc.*   9,751    229,051 
Riot Platforms, Inc.*   9,278    143,531 
Total Commercial Services        854,367 
Office & Business Equipment - 0.4%          
Zebra Technologies Corp. — Class A*   1,075    293,830 
Total Common Stocks          
(Cost $46,939,943)        77,003,285 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.5%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $224,852    224,852 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   181,206    181,206 
Total Repurchase Agreements          
(Cost $406,058)        406,058 
           
    Shares      
SECURITIES LENDING COLLATERAL†,3 - 0.4%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   284,375    284,375 
Total Securities Lending Collateral          
(Cost $284,375)        284,375 
Total Investments - 100.4%          
(Cost $47,630,376)       $77,693,718 
Other Assets & Liabilities, net - (0.4)%        (330,102)
Total Net Assets - 100.0%       $77,363,616 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt

plc — Public Limited Company

 

See Sector Classification in Other Information section.

 

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $77,003,285   $   $   $77,003,285 
Repurchase Agreements       406,058        406,058 
Securities Lending Collateral   284,375            284,375 
Total Assets  $77,287,660   $406,058   $   $77,693,718 

   

 

Telecommunications Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.5%
Telecommunications - 70.0%
Cisco Systems, Inc.   3,460   $174,799 
Verizon Communications, Inc.   3,959    149,254 
AT&T, Inc.   8,200    137,596 
T-Mobile US, Inc.   822    131,791 
Arista Networks, Inc.*   360    84,784 
Motorola Solutions, Inc.   238    74,515 
Juniper Networks, Inc.   1,538    45,340 
Frontier Communications Parent, Inc.*   1,532    38,821 
Ciena Corp.*   814    36,638 
Telefonaktiebolaget LM Ericsson ADR   5,560    35,028 
Nice Ltd. ADR*   172    34,316 
Iridium Communications, Inc.   772    31,776 
BCE, Inc.   802    31,583 
Vodafone Group plc ADR   3,551    30,894 
America Movil SAB de CV ADR   1,643    30,428 
Rogers Communications, Inc. — Class B   641    30,005 
TELUS Corp.   1,620    28,820 
Viasat, Inc.*   1,004    28,062 
Nokia Oyj ADR   7,977    27,281 
InterDigital, Inc.   228    24,747 
Calix, Inc.*   556    24,292 
Viavi Solutions, Inc.*   2,340    23,564 
Extreme Networks, Inc.*   1,294    22,826 
Telephone & Data Systems, Inc.   1,120    20,552 
Harmonic, Inc.*   1,518    19,795 
Infinera Corp.*   3,126    14,849 
Gogo, Inc.*   1,148    11,629 
ADTRAN Holdings, Inc.   1,542    11,318 
CommScope Holding Company, Inc.*   2,117    5,970 
Lumen Technologies, Inc.*   2,195    4,017 
Total Telecommunications        1,365,290 
Media - 19.2%          
Comcast Corp. — Class A   3,801    166,674 
Charter Communications, Inc. — Class A*   209    81,234 
Liberty Broadband Corp. — Class C*   619    49,885 
Liberty Global Ltd. — Class C*   1,930    35,975 
DISH Network Corp. — Class A*   4,330    24,984 
Liberty Latin America Ltd. — Class C*   2,211    16,229 
Total Media        374,981 
Internet - 6.5%          
Roku, Inc.*   549    50,321 
F5, Inc.*   277    49,578 
Cogent Communications Holdings, Inc.   371    28,218 
Total Internet        128,117 
Computers - 2.5%          
Lumentum Holdings, Inc.*   564    29,565 
NetScout Systems, Inc.*   828    18,175 
Total Computers        47,740 
Electronics - 0.7%          
Applied Optoelectronics, Inc.*   694    13,408 
Software - 0.6%          
Digi International, Inc.*   471    12,246 
Total Common Stocks          
(Cost $1,685,287)        1,941,782 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 1.0%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $11,018    11,018 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   8,879    8,879 
Total Repurchase Agreements          
(Cost $19,897)        19,897 
Total Investments - 100.5%          
(Cost $1,705,184)       $1,961,679 
Other Assets & Liabilities, net - (0.5)%        (10,664)
Total Net Assets - 100.0%       $1,951,015 

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

ADR — American Depositary Receipt

plc — Public Limited Company

 

See Sector Classification in Other Information section.

 

   

 

Telecommunications Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $1,941,782   $   $   $1,941,782 
Repurchase Agreements       19,897        19,897 
Total Assets  $1,941,782   $19,897   $   $1,961,679 

   

 

Transportation Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.8%
Transportation - 36.9%
Union Pacific Corp.   3,596   $883,250 
United Parcel Service, Inc. — Class B   4,839    760,836 
CSX Corp.   17,201    596,359 
Norfolk Southern Corp.   2,245    530,673 
FedEx Corp.   2,079    525,925 
Old Dominion Freight Line, Inc.   1,159    469,777 
Expeditors International of Washington, Inc.   2,459    312,785 
J.B. Hunt Transport Services, Inc.   1,472    294,017 
Canadian Pacific Kansas City Ltd.   3,617    285,960 
Canadian National Railway Co.   2,225    279,527 
ZTO Express Cayman, Inc. ADR   11,903    253,296 
XPO, Inc.*   2,700    236,493 
CH Robinson Worldwide, Inc.   2,560    221,158 
Knight-Swift Transportation Holdings, Inc.   3,719    214,400 
Saia, Inc.*   482    211,222 
Landstar System, Inc.   990    191,714 
Hub Group, Inc. — Class A*   1,383    127,153 
Werner Enterprises, Inc.   2,765    117,153 
ArcBest Corp.   968    116,363 
Forward Air Corp.   1,393    87,578 
Total Transportation        6,715,639 
Auto Manufacturers - 27.4%          
Tesla, Inc.*   7,545    1,874,782 
Ford Motor Co.   42,887    522,793 
General Motors Co.   14,276    512,794 
Rivian Automotive, Inc. — Class A*   14,357    336,815 
NIO, Inc. ADR*,1   37,031    335,871 
Li Auto, Inc. ADR*   7,747    289,970 
Stellantis N.V.1   11,440    266,781 
Honda Motor Company Ltd. ADR   8,120    250,989 
Toyota Motor Corp. ADR   1,311    240,411 
Ferrari N.V.   693    234,532 
Lucid Group, Inc.*,1   30,164    126,990 
Total Auto Manufacturers        4,992,728 
Auto Parts & Equipment - 13.5%          
Aptiv plc*   3,321    297,960 
Mobileye Global, Inc. — Class A*   6,458    279,761 
Autoliv, Inc.   2,519    277,569 
Magna International, Inc.   4,618    272,831 
BorgWarner, Inc.   5,964    213,809 
Lear Corp.   1,486    209,838 
Gentex Corp.   6,162    201,251 
Goodyear Tire & Rubber Co.*   10,096    144,575 
Adient plc*   3,752    136,423 
Visteon Corp.*   1,080    134,892 
Fox Factory Holding Corp.*   1,808    122,004 
QuantumScape Corp.*   16,063    111,638 
Luminar Technologies, Inc.*,1   19,071    64,269 
Total Auto Parts & Equipment        2,466,820 
Airlines - 11.4%          
Delta Air Lines, Inc.   8,815    354,628 
Southwest Airlines Co.   9,864    284,872 
Ryanair Holdings plc ADR*   2,025    270,054 
Copa Holdings S.A. — Class A   2,533    269,283 
United Airlines Holdings, Inc.*   6,291    259,567 
American Airlines Group, Inc.*   15,085    207,268 
Alaska Air Group, Inc.*   4,247    165,930 
SkyWest, Inc.*   2,032    106,070 
JetBlue Airways Corp.*   16,445    91,270 
Allegiant Travel Co. — Class A   741    61,214 
Total Airlines        2,070,156 
Internet - 6.5%          
Uber Technologies, Inc.*   12,579    774,489 
Grab Holdings Ltd. — Class A*   70,764    238,475 
Lyft, Inc. — Class A*   11,839    177,466 
Total Internet        1,190,430 
Commercial Services - 2.2%          
GXO Logistics, Inc.*   3,193    195,284 
Avis Budget Group, Inc.   684    121,246 
Hertz Global Holdings, Inc.*   8,127    84,439 
Total Commercial Services        400,969 
Home Builders - 1.0%          
Thor Industries, Inc.   1,552    183,524 
Leisure Time - 0.9%          
Harley-Davidson, Inc.   4,401    162,133 
Total Common Stocks          
(Cost $12,142,773)        18,182,399 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,2 - 0.4%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $44,329    44,329 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   35,725    35,725 
Total Repurchase Agreements          
(Cost $80,054)        80,054 
           
    Shares      
SECURITIES LENDING COLLATERAL†,3 - 3.2%          
Money Market Fund          
First American Government Obligations Fund - Class X, 5.29%4   588,588    588,588 
Total Securities Lending Collateral          
(Cost $588,588)        588,588 
Total Investments - 103.4%          
(Cost $12,811,415)       $18,851,041 
Other Assets & Liabilities, net - (3.4)%        (616,412)
Total Net Assets - 100.0%       $18,234,629 

   

 

Transportation Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is on loan at December 31, 2023 — See Note 5.
2 Repurchase Agreements — See Note 4.
3 Securities lending collateral — See Note 5.
4 Rate indicated is the 7-day yield as of December 31, 2023.

 

ADR — American Depositary Receipt

plc — Public Limited Company

 

See Sector Classification in Other Information section.

 

 

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $18,182,399   $   $   $18,182,399 
Repurchase Agreements       80,054        80,054 
Securities Lending Collateral   588,588            588,588 
Total Assets  $18,770,987   $80,054   $   $18,851,041 

   

 

Utilities Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Shares   Value 
COMMON STOCKS - 99.2%
Electric - 84.5%
NextEra Energy, Inc.   15,508   $941,956 
Duke Energy Corp.   7,629    740,318 
Southern Co.   10,409    729,879 
Sempra   7,853    586,855 
American Electric Power Company, Inc.   6,774    550,184 
Constellation Energy Corp.   4,615    539,447 
PG&E Corp.   29,345    529,090 
Dominion Energy, Inc.   11,249    528,703 
Xcel Energy, Inc.   8,005    495,590 
Exelon Corp.   13,359    479,588 
Consolidated Edison, Inc.   5,152    468,677 
Public Service Enterprise Group, Inc.   7,550    461,683 
Edison International   6,378    455,963 
WEC Energy Group, Inc.   5,164    434,654 
Eversource Energy   6,514    402,044 
Entergy Corp.   3,861    390,695 
PPL Corp.   14,217    385,281 
DTE Energy Co.   3,476    383,264 
FirstEnergy Corp.   10,266    376,352 
CenterPoint Energy, Inc.   12,459    355,954 
Ameren Corp.   4,873    352,513 
CMS Energy Corp.   6,007    348,826 
Vistra Corp.   8,275    318,753 
AES Corp.   16,082    309,578 
Alliant Energy Corp.   5,902    302,773 
NRG Energy, Inc.   5,808    300,274 
Evergy, Inc.   5,617    293,207 
Fortis, Inc.   6,412    263,726 
Pinnacle West Capital Corp.   3,283    235,851 
OGE Energy Corp.   6,337    221,351 
Algonquin Power & Utilities Corp.   34,810    219,999 
Clearway Energy, Inc. — Class C   7,441    204,107 
Portland General Electric Co.   4,124    178,734 
Black Hills Corp.   2,999    161,796 
Ormat Technologies, Inc.   2,012    152,489 
Northwestern Energy Group, Inc.   2,905    147,835 
Avista Corp.   3,962    141,602 
Avangrid, Inc.   3,960    128,344 
Hawaiian Electric Industries, Inc.   7,704    109,320 
Otter Tail Corp.   1,099    93,382 
Total Electric        14,720,637 
Gas - 9.2%          
Atmos Energy Corp.   3,054    353,959 
NiSource, Inc.   10,526    279,465 
Brookfield Infrastructure Corp. — Class A   7,159    252,569 
UGI Corp.   8,132    200,047 
Southwest Gas Holdings, Inc.   2,807    177,823 
New Jersey Resources Corp.   3,963    176,671 
ONE Gas, Inc.   2,548    162,359 
Total Gas        1,602,893 
Water - 4.0%          
American Water Works Company, Inc.   3,247    428,571 
Essential Utilities, Inc.   7,079    264,401 
Total Water        692,972 
Energy-Alternate Sources - 1.5%          
NextEra Energy Partners, LP   4,456    135,507 
Sunnova Energy International, Inc.*   7,701    117,440 
Total Energy-Alternate Sources        252,947 
Total Common Stocks          
(Cost $14,344,632)        17,269,449 
           
    Face
Amount
      
REPURCHASE AGREEMENTS††,1 - 0.3%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/24
  $31,515    31,515 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/24
   25,398    25,398 
Total Repurchase Agreements          
(Cost $56,913)        56,913 
Total Investments - 99.5%          
(Cost $14,401,545)       $17,326,362 
Other Assets & Liabilities, net - 0.5%        93,178 
Total Net Assets - 100.0%       $17,419,540 

  

* Non-income producing security.
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 Repurchase Agreements — See Note 4.

 

See Sector Classification in Other Information section.

   

 

Utilities Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
Common Stocks  $17,269,449   $   $   $17,269,449 
Repurchase Agreements       56,913        56,913 
Total Assets  $17,269,449   $56,913   $   $17,326,362 

   

 

Weakening Dollar 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

   Face
Amount
   Value 
U.S. TREASURY BILLS†† - 2.7%
U.S. Treasury Bills          
5.17% due 01/09/241,2  $33,000   $32,966 
Total U.S. Treasury Bills          
(Cost $32,961)        32,966 
           
REPURCHASE AGREEMENTS††,3 - 97.2%          
J.P. Morgan Securities LLC
issued 12/29/23 at 5.33%
due 01/02/244
  659,043    659,043 
BofA Securities, Inc.
issued 12/29/23 at 5.35%
due 01/02/244
   531,113    531,113 
Total Repurchase Agreements          
(Cost $1,190,156)        1,190,156 
Total Investments - 99.9%          
(Cost $1,223,117)       $1,223,122 
Other Assets & Liabilities, net - 0.1%        1,114 
Total Net Assets - 100.0%       $1,224,236 

 

 

Futures Contracts

 

Description  Number of Contracts   Expiration Date  Notional Amount   Value and Unrealized
Appreciation**
 
Currency Futures Contracts Sold Short                  
U.S. Dollar Index Futures Contracts   18   Mar 2024  $1,818,450   $41,683 

 

Total Return Swap Agreements

 

Counterparty  Index  Type   Financing Rate  Payment Frequency  Maturity Date  Units   Notional Amount   Value and Unrealized Appreciation 
OTC Currency Index Swap Agreements Sold Short††                  
Goldman Sachs International  U.S. Dollar Index   Pay   N/A  At Maturity  03/22/24   6,204   $627,224   $2,578 

 

** Includes cumulative appreciation (depreciation).
Value determined based on Level 1 inputs — See Note 3.
†† Value determined based on Level 2 inputs — See Note 3.
1 All or a portion of this security is pledged as futures collateral at December 31, 2023.
2 Rate indicated is the effective yield at the time of purchase.
3 Repurchase Agreements — See Note 4.
4 All or a portion of this security is pledged as currency index swap collateral at December 31, 2023.

 

See Sector Classification in Other Information section.

   

 

Weakening Dollar 2x Strategy Fund  
SCHEDULE OF INVESTMENTS (Unaudited) December 31, 2023
   

 

The following table summarizes the inputs used to value the Fund's investments at December 31, 2023 (See Note 3 in the Notes to Schedule of Investments):

 

Investments in Securities (Assets)  Level 1 Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Total 
U.S. Treasury Bills  $   $32,966   $   $32,966 
Repurchase Agreements       1,190,156        1,190,156 
Currency Futures Contracts**   41,683            41,683 
Currency Index Swap Agreements**       2,578        2,578 
Total Assets  $41,683   $1,225,700   $   $1,267,383 

 

** This derivative is reported as unrealized appreciation/depreciation at period end.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

Note 1 – Organization and Significant Accounting Policies

 

Organization

The Rydex Series Funds (the “Trust”), a Delaware statutory trust, is registered with the U.S. Securities and Exchange Commission (the “SEC”) under the Investment Company Act of 1940 (the “1940 Act”), as an open-ended investment company of the series type. Each series, in effect, is representing a separate fund (each, a ”Fund”). The Trust may issue an unlimited number of authorized shares. The Trust accounts for the assets of each Fund separately.

 

This report covers the following funds (collectively, the “Funds”): 

 

Fund Name Investment Company Type
Banking Fund Diversified
Basic Materials Fund Diversified
Biotechnology Fund Non-diversified
Consumer Products Fund Diversified
Dow Jones Industrial Average® Fund Non-diversified
Electronics Fund Non-diversified
Emerging Markets 2x Strategy Fund Non-diversified
Emerging Markets Bond Strategy Fund Diversified
Energy Fund Diversified
Energy Services Fund Non-diversified
Europe 1.25x Strategy Fund Non-diversified
Financial Services Fund Diversified
Government Long Bond 1.2x Strategy Fund Diversified
Health Care Fund Diversified
High Yield Strategy Fund Non-diversified
Internet Fund Diversified
Inverse Emerging Markets 2x Strategy Fund Non-diversified
Inverse Government Long Bond Strategy Fund Diversified
Inverse High Yield Strategy Fund Non-diversified
Inverse Mid-Cap Strategy Fund Non-diversified
Inverse NASDAQ-100® Strategy Fund Non-diversified
Inverse Russell 2000® Strategy Fund Non-diversified
Inverse S&P 500® Strategy Fund Non-diversified
Japan 2x Strategy Fund Non-diversified
Leisure Fund Diversified
Long Short Equity Fund Non-diversified
Mid-Cap 1.5x Strategy Fund Non-diversified
Monthly Rebalance NASDAQ-100® 2x Strategy Fund Non-diversified
NASDAQ-100® Fund Non-diversified
Nova Fund Non-diversified
Precious Metals Fund Non-diversified
Real Estate Fund Diversified
Retailing Fund Diversified
Russell 2000® 1.5x Strategy Fund Non-diversified
Russell 2000® Fund Non-diversified
S&P 500® Fund Non-diversified
S&P 500® Pure Growth Fund Non-diversified
S&P 500® Pure Value Fund Non-diversified
S&P MidCap 400® Pure Growth Fund Non-diversified
S&P MidCap 400® Pure Value Fund Non-diversified
S&P SmallCap 600® Pure Growth Fund Non-diversified
S&P SmallCap 600® Pure Value Fund Non-diversified
Strengthening Dollar 2x Strategy Fund Non-diversified
Technology Fund Diversified
Telecommunications Fund Non-diversified
Transportation Fund Diversified
Utilities Fund Diversified
Weakening Dollar 2x Strategy Fund Non-diversified

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

For information on the Funds’ policy regarding valuation of investments and other significant accounting policies, please refer to the Funds’ most recent semi-annual or annual shareholder report.

 

Significant Accounting Policies

The Funds operate as investment companies and, accordingly, follow the investment company accounting and reporting guidance of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification Topic 946 Financial Services – Investment Companies. 

 

The following significant accounting policies are in conformity with U.S. generally accepted accounting principles (“U.S. GAAP”) and are consistently followed by the Trust. This requires management to make estimates and assumptions that affect the reported amount of assets and liabilities, contingent assets and liabilities at the date of the financial statements, and the reported amounts of revenues and expenses during the reporting period. Actual results could differ from these estimates. All time references are based on Eastern Time.

 

(a) Valuation of Investments 

The Board of Trustees of the Funds (the “Board”) adopted policies and procedures for the valuation of the Funds’ investments (the “Fund Valuation Procedures”). The U.S. Securities and Exchange Commission (the “SEC”) adopted Rule 2a-5 under the 1940 Act (“Rule 2a-5”) which establishes requirements for determining fair value in good faith. Rule 2a-5 also defines “readily available market quotations” for purposes of the 1940 Act and establishes requirements for determining whether a fund must fair value a security in good faith.

 

Pursuant to Rule 2a-5, the Board has designated Security Investors, LLC (the “Adviser”), as the valuation designee to perform fair valuation determinations for the Funds with respect to all Fund investments and other assets. As the Funds’ valuation designee pursuant to Rule 2a-5, the Adviser has adopted separate procedures (the “Valuation Designee Procedures” and collectively with the Fund Valuation Procedures, the “Valuation Procedures”) reasonably designed to prevent violations of the requirements of Rule 2a-5 and Rule 31a-4. The Adviser, in its role as valuation designee, utilizes the assistance of a valuation committee, consisting of representatives from Guggenheim’s investment management, fund administration, legal and compliance departments (the “Valuation Committee”), in determining the fair value of the Funds’ securities and other assets.

 

Valuations of the Funds’ securities and other assets are supplied primarily by pricing service providers appointed pursuant to the processes set forth in the Valuation Procedures. The Adviser, with the assistance of the Valuation Committee, convenes monthly, or more frequently as needed, to review the valuation of all assets which have been fair valued. The Adviser, consistent with the monitoring and review responsibilities set forth in the Valuation Procedures, regularly reviews the appropriateness of the inputs, methods, models and assumptions employed by the pricing service provider.

 

If the pricing service provider cannot or does not provide a valuation for a particular investment or such valuation is deemed unreliable, such investment is fair valued by the Adviser.

 

Equity securities listed or traded on a recognized U.S. securities exchange or the Nasdaq Stock Market (“NASDAQ”) will generally be valued on the basis of the last sale price on the primary U.S. exchange or market on which the security is listed or traded; provided, however, that securities listed on NASDAQ will be valued at the NASDAQ official closing price, which may not necessarily represent the last sale price.

 

Open-end investment companies are valued at their net asset value (“NAV”) as of the close of business, on the valuation date. Exchange-traded funds and closed-end investment companies are generally valued at the last quoted sale price.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

U.S. Government securities are valued by pricing service providers, using the last traded fill price, or at the reported bid price at the close of business on the valuation date.

 

Commercial paper and discount notes with a maturity of greater than 60 days at acquisition are valued at prices that reflect broker-dealer supplied valuations or are obtained from pricing service providers, which may consider the trade activity, treasury spreads, yields or price of bonds of comparable quality, coupon, maturity, and type, as well as prices quoted by dealers who make markets in such securities. Commercial paper and discount notes with a maturity of 60 days or less at acquisition are valued at amortized cost, unless the Adviser concludes that amortized cost does not represent the fair value of the applicable asset in which case it will be valued using an independent pricing service provider.

 

Repurchase agreements are generally valued at amortized cost, provided such amounts approximate market value.

 

Futures contracts are valued on the basis of the last sale price as of 4:00 p.m. price on the valuation date. In the event that the exchange for a specific futures contract closes earlier than 4:00 p.m., the futures contract is valued at the official settlement price of the exchange. However, the underlying securities from which the futures contract value is derived are monitored until 4:00 p.m. to determine if fair valuation would provide a more accurate valuation.

 

Swap agreements entered into by a Fund are generally valued using an evaluated price provided by a pricing service provider.

 

Investments for which market quotations are not readily available are fair valued as determined in good faith by the Adviser. Valuations in accordance with these methods are intended to reflect each security’s (or asset’s or liability’s) “fair value”. Each such determination is based on a consideration of all relevant factors, which are likely to vary from one pricing context to another. Examples of such factors may include, but are not limited to market prices; sale prices; broker quotes; and models which derive prices based on inputs such as anticipated cash flows or collateral, spread over U.S. Treasury securities, and other information analysis. In connection with futures contracts and other derivative investments, such factors may include obtaining information as to how (a) these contracts and other derivative investments trade in the futures or other derivative markets, respectively, and (b) the securities underlying these contracts and other derivative investments trade in the cash market.

 

Note 2 – Financial Instruments and Derivatives

As part of their investment strategies, the Funds may utilize short sales and a variety of derivative instruments. These investments involve, to varying degrees, elements of market risk. Valuation and accounting treatment of these instruments can be found under Significant Accounting Policies in Note 1 of these Notes to Schedule of Investments.

 

Short Sales

A short sale is a transaction in which a Fund sells a security it does not own. If the security sold short decreases in price between the time the Fund sells the security and closes its short position, the Fund will realize a gain on the transaction. Conversely, if the security increases in price during the period, the Fund will realize a loss on the transaction. The risk of such price increases is the principal risk of engaging in short sales.

 

Derivatives

Derivatives are instruments whose values depend on, or are derived from, in whole or in part, the value of one or more other assets, such as securities, currencies, commodities or indices. Derivative instruments may be used for investment purposes (including to maintain cash reserves while maintaining exposure to certain other assets), for risk management (hedging) purposes, to facilitate trading, to reduce transaction costs and to pursue higher investment returns. Derivative instruments may also be used to seek to mitigate certain investment risks, such as foreign currency exchange rate risk, interest rate risk and credit risk. U.S. GAAP requires disclosures to enable investors to better understand how and why a Fund uses derivative instruments, how these derivative instruments are accounted for and their effects on the Fund’s financial position and results of operations.

 

The Funds may utilize derivatives for the following purposes:

 

Duration: the use of an instrument to manage the interest rate risk of a portfolio.

 

Index Exposure: the use of an instrument to obtain exposure to a listed or other type of index.

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

Leverage: gaining total exposure to equities or other assets on the long and short sides at greater than 100% of invested capital.

 

Liquidity: the ability to buy or sell exposure with little price/market impact.

 

If a Fund’s investment strategy consistently involves applying leverage, the value of the Fund’s shares will tend to increase or decrease more than the value of any increase or decrease in the underlying index or other asset. In addition, because an investment in derivative instruments generally requires a small investment relative to the amount of investment exposure assumed, an opportunity for increased net income is created; but, at the same time, leverage risk will increase. The Fund’s use of leverage, through borrowings or instruments such as derivatives, may cause the Fund to be more volatile and riskier than if they had not been leveraged.

 

Futures contracts

A futures contract is an agreement to purchase (long) or sell (short) an agreed amount of securities or other instruments at a set price for delivery at a future date. There are significant risks associated with a Fund’s use of futures contracts, including (i) there may be an imperfect or no correlation between the changes in market value of the underlying asset and the prices of futures contracts; (ii) there may not be a liquid secondary market for a futures contract; (iii) trading restrictions or limitations may be imposed by an exchange; and (iv) government regulations may restrict trading in futures contracts. When investing in futures, there is minimal counterparty credit risk to a Fund because futures are exchange-traded and the exchange’s clearinghouse, as counterparty to all exchange-traded futures, guarantees against default. Securities held as collateral are noted on the Funds’ Schedules of Investments.

 

Swap Agreements

A swap is an agreement that obligates two parties to exchange a series of cash flows at specified intervals based upon or calculated by reference to changes in specified prices or rates for a specified amount of an underlying asset. When utilizing over-the-counter (“OTC”) swaps, a Fund bears the risk of loss of the amount expected to be received under a swap agreement in the event of the default or bankruptcy of a swap agreement counterparty or if the underlying asset declines in value. Certain standardized swaps are subject to mandatory central clearing and are executed on a multi-lateral or other trade facility platform, such as a registered exchange. There is limited counterparty credit risk with respect to centrally-cleared swaps as the transaction is facilitated through a central clearinghouse, much like exchange-traded futures contracts. For a Fund utilizing centrally-cleared swaps, the exchange bears the risk of loss resulting from a counterparty not being able to pay. There is no guarantee that a Fund or an underlying fund could eliminate its exposure under an outstanding swap agreement by entering into an offsetting swap agreement with the same or another party.

 

Total return swaps involve commitments where single or multiple cash flows are exchanged based on the price of an underlying reference asset (such as index or basket) or a fixed or variable interest rate. Index swaps will usually be computed based on the current index value as of the close of regular trading on the New York Stock Exchange (“NYSE”) or other exchange, with the swap value being adjusted to include dividends accrued, financing charges and/or interest associated with the swap agreement. When utilizing a total return index swap the Fund bears the risk of loss of the amount expected to be received under a swap agreement in the event of the default or bankruptcy of a swap agreement counterparty or if the underlying index declines in value.

 

Currency swaps enable the Funds to gain exposure to currencies in a market without actually possessing a given currency, or to hedge a position. Currency swaps involve the exchange of the principal and interest in one currency for the principal and interest in another currency. As in other types of OTC swaps, the Funds may be at risk due to the counterparty’s inability to perform.

 

Credit default swaps are instruments which allow for the full or partial transfer of third party credit risk, with respect to a particular entity or entities, from one counterparty to the other. A fund enters into credit default swaps as a “seller” or “buyer” of protection primarily to gain or reduce exposure to the investment grade and/or high yield bond market. A seller of credit default swaps is selling credit protection or assuming credit risk with respect to the underlying entity or entities. The buyer in a credit default swap is obligated to pay the seller a periodic stream of payments over the term of the contract provided that no event of default on an underlying reference obligation has occurred. If a credit event occurs, as defined under the terms of the swap agreement, the seller will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index. The notional amount reflects the maximum potential amount the seller of credit protection could be required to pay to the buyer if a credit event occurs. The seller of protection receives periodic premium payments from the buyer and may also receive or pay an upfront premium adjustment to the stated periodic payments. In the event a credit event occurs on a credit default swap referencing an index, a factor adjustment will take place and the buyer of protection will receive a payment reflecting the par less the default recovery rate of the default recovery of the defaulted index component based on its weighting in the index. If no default occurs, the counterparty will pay the stream of payments and have no further obligations to the fund selling the credit protection. For a fund utilizing centrally cleared credit default swaps, the exchange bears the risk of loss resulting from a counterparty not being able to pay. For OTC credit default swaps, a fund bears the risk of loss of the amount expected to be received under a swap agreement in the event of the default or bankruptcy of a swap agreement counterparty, or in the case of a credit default swap in which a fund is selling credit protection, the default of a third party issuer.

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

The quoted market prices and resulting market values for credit default swap agreements on securities and credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of the period end. Increasing market values, in absolute terms when compared to the notional amount of the swap, represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

 

In conjunction with short sales and the use of derivative instruments, the Funds are required to maintain collateral in various forms. Depending on the financial instrument utilized and the broker involved, the Funds use margin deposits at the broker, cash and/or securities segregated at the custodian bank, discount notes or repurchase agreements allocated to the Funds as collateral.

 

The Trust has established counterparty credit guidelines and enters into transactions only with financial institutions rated/identified as investment grade or better. The Trust monitors the counterparty credit risk associated with each such financial institution.

 

Foreign Investments 

There are several risks associated with exposure to foreign currencies, foreign issuers and emerging markets. A fund’s indirect and direct exposure to foreign currencies subjects the Fund to the risk that those currencies will decline in value relative to the U.S. dollar, or in the case of short positions, that the U.S. dollar will decline in value relative to the currency being hedged. Currency rates in foreign countries may fluctuate significantly over short periods of time for a number of reasons, including changes in interest rates and the imposition of currency controls or other political developments in the U.S. or abroad. In addition, the Funds may incur transaction costs in connection with conversions between various currencies. The Funds may, but is not obligated to, engage in currency hedging transactions, which generally involve buying currency forward, options or futures contracts. However, not all currency risks may be effectively hedged, and in some cases the costs of hedging techniques may outweigh expected benefits. In such instances, the value of securities denominated in foreign currencies can change significantly when foreign currencies strengthen or weaken relative to the U.S. dollar.

 

The Funds may invest in securities of foreign companies directly, or in financial instruments, such as ADRs and exchange-traded funds, which are indirectly linked to the performance of foreign issuers. Foreign markets can be more volatile than the U.S. market due to increased risks of adverse issuer, political, regulatory, market, or economic developments and can perform differently from the U.S. market. Investing in securities of foreign companies directly, or in financial instruments that are indirectly linked to the performance of foreign issuers, may involve risks not typically associated with investing in U.S. issuers. The value of securities denominated in foreign currencies, and of dividends from such securities, can change significantly when foreign currencies strengthen or weaken relative to the U.S. dollar. Foreign securities markets generally have less trading volume and less liquidity than U.S. markets, and prices in some foreign markets may fluctuate more than those of securities traded on U.S. markets. Many foreign countries lack accounting and disclosure standards comparable to those that apply to U.S. companies, and it may be more difficult to obtain reliable information regarding a foreign issuer’s financial condition and operations. Transaction costs and costs associated with custody services are generally higher for foreign securities than they are for U.S. securities. Some foreign governments levy withholding taxes against dividend and interest income. Although in some countries portions of these taxes are recoverable, the non-recovered portion will reduce the income received by the Funds.

 

Emerging markets, which consist of countries that have an emerging stock market as defined by Standard & Poor’s®, countries or markets with low - to middle - income economies as classified by the World Bank, and other countries or markets with similar characteristics as determined by GI, can be more volatile than the U.S. market due to increased risks of adverse issuer, political, regulatory, market,or economic developments and can perform differently from the U.S. market. Emerging markets can be subject to greater social, economic,regulatory, and political uncertainties and can be extremely volatile. As a result, the securities of emerging market issuers may present market, credit, currency, liquidity, legal, political and other risks different from, or greater than, the risks of investing in securities of developed foreign countries. In addition, the risks associated with investing in a narrowly defined geographic area are generally more pronounced with respect to investments in emerging market countries. The Fund may also be subject to this risk with respect to its investments in derivatives or other securities or financial instruments whose returns are related to the returns of emerging market securities.

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

Note 3 – Fair Value Measurement  

In accordance with U.S. GAAP, fair value is defined as the price that the Funds would receive to sell an investment or pay to transfer a liability in an orderly transaction between market participants at the measurement date. U.S. GAAP establishes a three-tier fair value hierarchy based on the types of inputs used to value assets and liabilities and requires corresponding disclosure. The hierarchy and the corresponding inputs are summarized below:

 

Level 1 — unadjusted quoted prices in active markets for identical assets or liabilities.

 

Level 2 — significant other observable inputs (for example quoted prices for securities that are similar based on characteristics such as interest rates, prepayment speeds, credit risk, etc.).

 

Level 3 — significant unobservable inputs based on the best information available under the circumstances, to the extent observable inputs are not available, which may include assumptions.

 

Rule 2a-5 sets forth a definition of “readily available market quotations,” which is consistent with the definition of a Level 1 input under U.S. GAAP. Rule 2a-5 provides that “a market quotation is readily available only when that quotation is a quoted price (unadjusted) in active markets for identical investments that the fund can access at the measurement date, provided that a quotation will not be readily available if it is not reliable.”

 

Securities for which market quotations are not readily available must be valued at fair value as determined in good faith. Accordingly, any security priced using inputs other than Level 1 inputs will be subject to fair value requirements. The types of inputs available depend on a variety of factors, such as the type of security and the characteristics of the markets in which it trades, if any. Fair valuation determinations that rely on fewer or no observable inputs require greater judgment. Accordingly, fair value determinations for Level 3 securities require the greatest amount of judgment.

 

The inputs or methodologies selected and applied for valuing securities or other assets are not necessarily an indication of the risk associated with investing in those securities. The suitability, appropriateness and accuracy of the techniques, methodologies and sources employed to determine fair valuation are periodically reviewed and subject to change.

 

Note 4 – Repurchase Agreements

The Funds transfer uninvested cash balances into a single joint account, the daily aggregate balance of which is invested in one or more repurchase agreements collateralized by obligations of the U.S. Treasury and U.S. government agencies.  The joint account includes other Funds in the Guggenheim complex not covered in this report. The collateral is in the possession of the Funds’ custodian and is evaluated to ensure that its market value exceeds, at a minimum, 102% of the original face amount of the repurchase agreements. Each Fund holds a pro rata share of the collateral based on the dollar amount of the repurchase agreement entered into by each Fund.

 

At December 31, 2023, the repurchase agreements in the joint account were as follows:

 

Counterparty and Terms of Agreement  Face Value   Repurchase Price   Collateral  Par Value   Fair Value 
J.P. Morgan Securities LLC 5.33% Due 01/02/24  $132,111,694   $132,170,374   U.S. Treasury Notes
0.38% - 4.50%
Due 03/31/24 - 02/15/33
  $135,741,000   $134,749,446 
             U.S. Treasury Bills
0.00%
Due 01/16/24 - 10/03/24
   1,900    1,857 
             U.S. Treasury Strip
0.00%
Due 11/15/30
   2,000    1,538 
             U.S. Treasury Bonds
4.75% - 6.63%
Due 02/15/27 - 11/15/43
   900    980 
             U.S. Treasury Floating Rate Note
5.53%
Due 01/31/25
   200    202 
                 135,746,000    134,754,023 
BofA Securities, Inc. 5.35%
Due 01/02/24
   106,467,001    106,514,467   U.S. Treasury Strip
0.00%
Due 02/15/41
   201,313,820    96,703,107 
             U.S. Treasury Bond
2.88%
Due 05/15/49
   14,701,200    11,834,352 
             U.S. Treasury Note
1.63%
Due 08/15/29
   65,700    58,882 
                 216,080,720    108,596,341 

 

In the event of counterparty default, the Funds have the right to collect the collateral to offset losses incurred. There is potential loss to the Funds in the event the Funds are delayed or prevented from exercising their rights to dispose of the collateral securities, including the risk of a possible decline in the value of the underlying securities during the period while the Funds seek to assert their rights. GI, acting under the supervision of the Board, reviews the value of the collateral and the creditworthiness of those banks and dealers with which the Funds enter into repurchase agreements to evaluate potential risks.

 

Note 5 – Portfolio Securities Loaned

The Funds may lend their securities to approved brokers to earn additional income. Security lending income is net of rebates paid to the borrowers and earnings on cash collateral investments shared with the lending agent. Within this arrangement, the Funds act as the lender, U.S. Bank acts as the lending agent, and other approved registered broker dealers act as the borrowers. The Funds receive cash collateral, valued at 102% of the value of the securities on loan. Under the terms of the Funds’ securities lending agreement with U.S. Bank, cash collateral and proceeds are invested in the First American Government Obligations Fund – Class X. The Funds bear the risk of loss on cash collateral investments. Collateral is maintained over the life of the loan in an amount not less than the value of loaned securities, as determined at the close of fund business each day; any additional collateral required due to changes in security values is delivered to the Funds the next business day. Although the collateral mitigates the risk, the Funds could experience a delay in recovering its securities and a possible loss of income or value if the borrower fails to return the securities. The Funds have the right under the securities lending agreement to recover the securities from the borrower on demand. Securities lending transactions are accounted for as secured borrowings. The remaining contractual maturity of the securities lending agreement is overnight and continuous.

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

At December 31, 2023, the Funds participated in securities lending transactions, which are subject to enforceable netting arrangements, as follows:

 

Fund  Value of
Securities Loaned
   Collateral Received 
Banking Fund  $50,954   $53,216 
Basic Materials Fund   259,441    282,225 
Biotechnology Fund   504,849    565,545 
Consumer Products Fund   589,593    607,012 
Electronics Fund   1,644,218    1,711,563 
Emerging Markets 2x Strategy Fund   27,333    29,267 
Energy Fund   807,123    843,448 
Europe 1.25x Strategy Fund   103,124    107,332 
Internet Fund   90,228    91,550 
Leisure Fund   202,807    208,851 
Mid-Cap 1.5x Strategy Fund   19,108    20,435 
Monthly Rebalance NASDAQ-100® 2x Strategy Fund   1,267,707    1,330,988 
NASDAQ-100® Fund   5,285,781    5,549,633 
Real Estate Fund   9,903    10,674 
Russell 2000® 1.5x Strategy Fund   12,819    14,039 
Russell 2000® Fund   920,471    969,106 
S&P MidCap 400® Pure Growth Fund   35,807    37,008 
Technology Fund   267,276    284,375 
Transportation Fund   548,557    588,588 

 

In the event of counterparty default, the Funds have the right to collect the collateral to offset losses incurred. There is potential loss to the Funds in the event the Funds are delayed or prevented from exercising their rights to dispose of the collateral securities, including the risk of a possible decline in the value of the underlying securities during the period while the Funds seek to assert their rights. GI, acting under the supervision of the Board, reviews the value of the collateral and the creditworthiness of those banks and dealers to evaluate potential risks.

 

Note 6 – Federal Income Tax Information

The Funds intend to comply with the provisions of Subchapter M of the Internal Revenue Code of 1986, as amended (the “Internal Revenue Code”), applicable to regulated investment companies and will distribute substantially all taxable net investment income and capital gains sufficient to relieve the Funds from all, or substantially all, federal income, excise and state income taxes. Therefore, no provision for federal or state income tax or federal excise tax is required.

 

Tax positions taken or expected to be taken in the course of preparing the Funds’ tax returns are evaluated to determine whether the tax positions are “more-likely-than-not” of being sustained by the applicable tax authority. Tax positions not deemed to meet the more-likely-than-not threshold would be recorded as a tax benefit or expense in the current year. Management has analyzed the Funds’ tax positions taken, or to be taken, on U.S. federal income tax returns for all open tax years, and has concluded that no provision for income tax is required in the Funds’ financial statements. The Funds’ U.S. federal income tax returns are subject to examination by the Internal Revenue Service (“IRS”) for a period of three years after they are filed.

 

 

 

NOTES TO SCHEDULE OF INVESTMENTS (Unaudited)

 

 

At December 31, 2023, the cost of investments for U.S. federal income tax purposes, the aggregate gross unrealized appreciation for all investments for which there was an excess of value over tax cost, and the aggregate gross unrealized depreciation for all investments for which there was an excess of tax cost over value, were as follows:

 

Fund  Tax Cost   Tax Unrealized Appreciation   Tax Unrealized Depreciation   Net Tax Unrealized Appreciation (Depreciation) 
Banking Fund  $7,185,706   $371,969   $(1,400)  $370,569 
Basic Materials Fund   21,395,556    10,178,335    (384,185)   9,794,150 
Biotechnology Fund   64,733,091    50,249,609    (2,529,178)   47,720,431 
Consumer Products Fund   33,054,374    23,639,114    (194,689)   23,444,425 
Dow Jones Industrial Average® Fund   20,577,082    2,992,729    (21,479)   2,971,250 
Electronics Fund   44,405,247    29,662,524    (149,536)   29,512,988 
Emerging Markets 2x Strategy Fund   3,950,644    306,552        306,552 
Emerging Markets Bond Strategy Fund   871,073    44,523    (163)   44,360 
Energy Fund   46,012,635    6,779,561    (427,953)   6,351,608 
Energy Services Fund   33,344,562        (1,047,030)   (1,047,030)
Europe 1.25x Strategy Fund   3,697,167    283,346    (9,877)   273,469 
Financial Services Fund   12,566,060        (282,857)   (282,857)
Government Long Bond 1.2x Strategy Fund   28,925,325    3,381,247    (43,503)   3,337,744 
Health Care Fund   14,949,375    5,301,285    (140,724)   5,160,561 
High Yield Strategy Fund   46,042,865    3,231,244    (30,791)   3,200,453 
Internet Fund   11,193,727    4,038,441    (61,394)   3,977,047 
Inverse Emerging Markets 2x Strategy Fund   325,081        (10,496)   (10,496)
Inverse Government Long Bond Strategy Fund   18,062,172    283    (2,467,862)   (2,467,579)
Inverse High Yield Strategy Fund   8,231,630    240    (645,571)   (645,331)
Inverse Mid-Cap Strategy Fund   365,601    139    (3,174)   (3,035)
Inverse NASDAQ-100® Strategy Fund   17,020,680    14,813    (198,318)   (183,505)
Inverse Russell 2000® Strategy Fund   1,782,664    8,088    (47,191)   (39,103)
Inverse S&P 500® Strategy Fund   37,259,134    3,706    (582,587)   (578,881)
Japan 2x Strategy Fund   1,291,786    78,927    (4,791)   74,136 
Leisure Fund   9,851,876    1,866,456    (30,233)   1,836,223 
Long Short Equity Fund   13,510,772    3,246,503    (1,119,059)   2,127,444 
Mid-Cap 1.5x Strategy Fund   13,672,195    1,529,206    (106,752)   1,422,454 
Monthly Rebalance NASDAQ-100® 2x Strategy Fund   560,949,695    45,423,654    (263,139)   45,160,515 
NASDAQ-100® Fund   750,979,103    1,028,539,728    (3,683,658)   1,024,856,070 
Nova Fund   264,505,170        (550,356)   (550,356)
Precious Metals Fund   68,507,501        (10,805,913)   (10,805,913)
Real Estate Fund   2,594,903    159,115    (1,063)   158,052 
Retailing Fund   4,784,614    1,478,662    (2,218)   1,476,444 
Russell 2000® 1.5x Strategy Fund   6,992,539    745,081    (767,200)   (22,119)
Russell 2000® Fund   34,747,146    3,250,241    (4,226,739)   (976,498)
S&P 500® Fund   159,596,068    22,718,359    (57,502)   22,660,857 
S&P 500® Pure Growth Fund   22,586,151    2,345,216    (57,676)   2,287,540 
S&P 500® Pure Value Fund   57,235,803    514,994    (639,288)   (124,294)
S&P MidCap 400® Pure Growth Fund   25,846,098    3,144,890    (225,789)   2,919,101 
S&P MidCap 400® Pure Value Fund   8,732,963    1,090,251    (10,028)   1,080,223 
S&P SmallCap 600® Pure Growth Fund   2,892,926    478,180    (23,509)   454,671 
S&P SmallCap 600® Pure Value Fund   4,976,470    349,961    (15,608)   334,353 
Strengthening Dollar 2x Strategy Fund   2,993,211    20    (11,941)   (11,921)
Technology Fund   53,202,237    24,610,941    (119,460)   24,491,481 
Telecommunications Fund   1,891,733    80,635    (10,689)   69,946 
Transportation Fund   15,032,779    3,934,125    (115,863)   3,818,262 
Utilities Fund   17,147,706    232,850    (54,194)   178,656 
Weakening Dollar 2x Strategy Fund   1,223,117    44,266        44,266 

 

Note 7 – Market Risks

The value of, or income generated by, the investments held by the Funds are subject to the possibility of rapid and unpredictable fluctuation, and loss that may result from various factors. These factors include, among others, developments affecting individual companies, or from broader influences, including real or perceived changes in prevailing interest rates (which may change at any time based on changes in monetary policies and various market and other economic conditions), changes in inflation rates or expectations about inflation rates, adverse investor confidence or sentiment, changing economic, political (including geopolitical), social or financial market conditions, increased instability or general uncertainty, environmental disasters, governmental actions, public health emergencies (such as the spread of infectious diseases, pandemics and epidemics), debt crises, actual or threatened wars or other armed conflicts (such as the ongoing Russia-Ukraine conflict and collateral economic and other effects, including, but not limited to, sanctions and other international trade barriers) or ratings downgrades, and other similar events, each of which may be temporary or last for extended periods. Moreover, changing economic, political, geopolitical, social, financial market or other conditions in one country, geographic region or industry could adversely affect the value, yield and return of the investments held by the Funds in a different country, geographic region, economy, industry or market because of the increasingly interconnected global economies and financial markets. The duration and extent of the foregoing types of factors or conditions are highly uncertain and difficult to predict and have in the past, and may in the future, cause volatility and distress in economies and financial markets or other adverse circumstances, which may negatively affect the value of the Funds’ investments and performance of the Funds.

 

 

OTHER INFORMATION (Unaudited)

 

 

Sector Classification

Information in the Schedule of Investments is categorized by sectors using sector-level Classifications defined by the Bloomberg Industry Classification System, a widely recognized industry classification system provider. Each Fund’s registration statement has investment policies relating to concentration in specific sectors/industries. For purposes of these investment policies, the Funds usually classify sectors/industries based on industry-level Classifications used by widely recognized industry classification system providers such as Bloomberg Industry Classification System, Global Industry Classification Standards and Barclays Global Classification Scheme.