0001752724-22-025403.txt : 20220211 0001752724-22-025403.hdr.sgml : 20220211 20220211132539 ACCESSION NUMBER: 0001752724-22-025403 CONFORMED SUBMISSION TYPE: NPORT-P/A PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210930 FILED AS OF DATE: 20220211 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PRAXIS MUTUAL FUNDS CENTRAL INDEX KEY: 0000912900 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P/A SEC ACT: 1940 Act SEC FILE NUMBER: 811-08056 FILM NUMBER: 22618981 BUSINESS ADDRESS: STREET 1: 1110 N. MAIN ST. 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R2I72C950HOYXII45366 Advanced Micro Devices, Inc. 007903107 29581.00000000 NS USD 3043884.90000000 0.657911578560 Long EC CORP US N 1 N N N OLD Dominion Fght 5299009TWK32WE417T96 Old Dominion Freight Line, Inc. 679580100 4700.00000000 NS USD 1344106.00000000 0.290517851122 Long EC CORP US N 1 N N N Dominos Pizza Inc 25490005ZWM1IF9UXU57 Domino's Pizza, Inc. 25754A201 1410.00000000 NS USD 672513.60000000 0.145358480598 Long EC CORP US N 1 N N N Monolithic Pwr Sys 529900TB7O85LSZ1XU31 Monolithic Power Systems, Inc. 609839105 1810.00000000 NS USD 877270.80000000 0.189615125346 Long EC CORP US N 1 N N N AmerisourceBergen Corporation AI8GXW8LG5WK7E9UD086 AmerisourceBergen Corporation 03073E105 190.00000000 NS USD 22695.50000000 0.004905452315 Long EC CORP US N 1 N N N Align Technology I 549300N5YSE0U3LCP840 Align Technology, Inc. 016255101 1711.00000000 NS USD 1138550.73000000 0.246088709874 Long EC CORP US N 1 N N N Paycom Software Inc 254900LSB0HNJUDC6Q18 Paycom Software, Inc. 70432V102 1270.00000000 NS USD 629602.50000000 0.136083586682 Long EC CORP US N 1 N N N Charter Communications, Inc. 0J0XRGZE3PBRFEZ7MV65 Charter Communications, Inc. Class A 16119P108 3722.00000000 NS USD 2707978.32000000 0.585308035537 Long EC CORP US N 1 N N Price T Rowe Group 549300SIV6FPS9Y7IH33 T. Rowe Price Group, Inc. 74144T108 1940.00000000 NS USD 381598.00000000 0.082479381055 Long EC CORP US N 1 N N N CSX Corporation 549300JVQR4N1MMP3Q88 CSX Corporation 126408103 28911.00000000 NS USD 859813.14000000 0.185841790602 Long EC CORP US N 1 N N N Tesla Inc 54930043XZGB27CTOV49 Tesla, Inc. 88160R101 18060.00000000 NS USD 14005168.80000000 3.027106154119 Long EC CORP US N 1 N N N Intercontinental Exchange Inc 5493000F4ZO33MV32P92 Intercontinental Exchange, Inc. 45866F104 5221.00000000 NS USD 599475.22000000 0.129571814065 Long EC CORP US N 1 N N N Ross Stores Inc 549300ENZFLPGRDFZQ60 Ross Stores, Inc. 778296103 2715.00000000 NS USD 295527.75000000 0.063875979184 Long EC CORP US N 1 N N N Biogen Inc W8J5WZB5IY3K0NDQT671 Biogen, Inc. 09062X103 1280.00000000 NS USD 362227.20000000 0.078292536274 Long EC CORP US N 1 N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 Microsoft Corporation 594918104 168288.00000000 NS USD 47443752.96000000 10.25459090216 Long EC CORP US N 1 N N N Verisk Analytics, Inc. 549300I1YSWNIRKBWP67 Verisk Analytics, Inc. 92345Y106 3035.00000000 NS USD 607819.45000000 0.131375353197 Long EC CORP US N 1 N N N General Mills, Inc. 2TGYMUGI08PO8X8L6150 General Mills, Inc. 370334104 8970.00000000 NS USD 536585.40000000 0.115978678282 Long EC CORP US N 1 N N N Lam Research Corporation 549300I4GMO6D34U1T02 Lam Research Corporation 512807108 3673.00000000 NS USD 2090487.95000000 0.451842389686 Long EC CORP US N 1 N N N Citrix Systems Inc. HCTKJGUQOPZ5NBK7NP58 Citrix Systems, Inc. 177376100 962.00000000 NS USD 103289.94000000 0.022325301286 Long EC CORP US N 1 N N N Ball Corporation 0BGI85ALH27ZJP15DY16 Ball Corporation 058498106 8283.00000000 NS USD 745221.51000000 0.161073718661 Long EC CORP US N 1 N N N Paypal Holdings Incorporation 5493005X2GO78EFZ3E94 PayPal Holdings, Inc. 70450Y103 33047.00000000 NS USD 8599159.87000000 1.858640201661 Long EC CORP US N 1 N N N Rockwell Automation, Inc. VH3R4HHBHH12O0EXZJ88 Rockwell Automation, Inc. 773903109 2298.00000000 NS USD 675703.92000000 0.146048042962 Long EC CORP US N 1 N N N Johnson & Johnson 549300G0CFPGEF6X2043 Johnson & Johnson 478160104 20108.00000000 NS USD 3247442.00000000 0.701908831212 Long EC CORP US N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global, Inc. 78409V104 6654.00000000 NS USD 2827218.06000000 0.611080759588 Long EC CORP US N 1 N N The Cooper Companies, Inc. QJKMVPIGLH7530PCUE20 Cooper Cos., Inc. (The) 216648402 1161.00000000 NS USD 479852.91000000 0.103716400542 Long EC CORP US N 1 N N N Air Products & Chemicals, Inc. 7QEON6Y1RL5XR3R1W237 Air Products & Chemicals, Inc. 009158106 4148.00000000 NS USD 1062344.28000000 0.229617290138 Long EC CORP US N 1 N N N IHS Markit Ltd 549300HLPTRASHS0E726 IHS Markit Ltd. G47567105 6627.00000000 NS USD 772840.74000000 0.167043396164 Long EC CORP US N 1 N N N Thermo Fisher Scientific Inc HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific, Inc. 883556102 10795.00000000 NS USD 6167507.35000000 1.333057796116 Long EC CORP US N 1 N N N Electronic Arts Inc. 549300O7A67PUEYKDL45 Electronic Arts, Inc. 285512109 5055.00000000 NS USD 719073.75000000 0.155422087728 Long EC CORP US N 1 N N N Fortinet Inc 549300O0QJWDBAS0QX03 Fortinet, Inc. 34959E109 4150.00000000 NS USD 1211966.00000000 0.261956838191 Long EC CORP US N 1 N N N Mettler-Toledo International Inc 5493000BD5GJNUDIUG10 Mettler-Toledo International, Inc. 592688105 960.00000000 NS USD 1322265.60000000 0.285797221889 Long EC CORP US N 1 N N N Netflix, Inc. 549300Y7VHGU0I7CE873 Netflix, Inc. 64110L106 10752.00000000 NS USD 6562375.68000000 1.418405453747 Long EC CORP US N 1 N N N eBay Inc. OML71K8X303XQONU6T67 eBay, Inc. 278642103 10955.00000000 NS USD 763234.85000000 0.164967159230 Long EC CORP US N 1 N N N OReilly Automotive, Inc. 549300K2RLMQL149Q332 O'Reilly Automotive, Inc. 67103H107 1750.00000000 NS USD 1069355.00000000 0.231132601660 Long EC CORP US N 1 N N N Adobe Inc FU4LY2G4933NH2E1CP29 Adobe, Inc. 00724F101 14127.00000000 NS USD 8133196.44000000 1.757925902055 Long EC CORP US N 1 N N N Alphabet Inc. 5493006MHB84DD0ZWV18 Alphabet, Inc. Class A 02079K305 5155.00000000 NS USD 13781995.60000000 2.978869037037 Long EC CORP US N 1 N N N United Health Group Incorporated 549300GHBMY8T5GXDE41 UnitedHealth Group, Inc. 91324P102 11450.00000000 NS USD 4473973.00000000 0.967013778631 Long EC CORP US N 1 N N N West Pharmaceutical Services Incorporated 5493007NKRGM1RJQ1P16 West Pharmaceutical Services, Inc. 955306105 2490.00000000 NS USD 1057104.60000000 0.228484774864 Long EC CORP US N 1 N N N Salesforce.com, Inc. RCGZFPDMRW58VJ54VR07 salesforce.com, Inc. 79466L302 25477.00000000 NS USD 6909871.94000000 1.493514014179 Long EC CORP US N 1 N N N Eli Lilly and Company FRDRIPF3EKNDJ2CQJL29 Eli Lilly & Company 532457108 10580.00000000 NS USD 2444509.00000000 0.528361231726 Long EC CORP US N 1 N N N Bristol-Myers Squibb Company HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Company 110122108 28376.00000000 NS USD 1679007.92000000 0.362904244856 Long EC CORP US N 1 N N N Dow Inc 5493003S21INSLK2IP73 Dow, Inc. 260557103 8087.00000000 NS USD 465487.72000000 0.100611478662 Long EC CORP US N 1 N N N The Sherwin-Williams Company Z15BMIOX8DDH0X2OBP21 Sherwin-Williams Company (The) 824348106 3471.00000000 NS USD 970942.83000000 0.209861591671 Long EC CORP US N 1 N N N Calvert Social Investment Foundation/Calvert Community Investment Foundation 549300B32FCKBWZSDR33 Calvert Social Investment Foundation, Inc. 3.00%, Due 6/15/2023 13161GQ62 900000.00000000 PA USD 900000.00000000 0.194527861649 Long DBT CORP US N 2 2023-06-15 Fixed 3.00000000 N N N N N N J. B. Hunt Transport Services, Inc. 549300XCD1MPI1C5GK90 J.B. Hunt Transport Services, Inc. 445658107 2270.00000000 NS USD 379589.40000000 0.082045238096 Long EC CORP US N 1 N N N AbbVie Inc. FR5LCKFTG8054YNNRU85 AbbVie, Inc. 00287Y109 28751.00000000 NS USD 3101370.37000000 0.670336606955 Long EC CORP US N 1 N N N Incyte Corporation. 549300Z4WN6JVZ3T4680 Incyte Corporation 45337C102 8757.00000000 NS USD 602306.46000000 0.130183764135 Long EC CORP US N 1 N N N Zebra Technologies Corporation PO0I32GKZ3HZMMDPZZ08 Zebra Technologies Corporation Class A 989207105 1267.00000000 NS USD 653037.14000000 0.141148798246 Long EC CORP US N 1 N N N Tractor Supply Co 549300OJ9VZHZRO6I137 Tractor Supply Company 892356106 2070.00000000 NS USD 419402.70000000 0.090650567112 Long EC CORP US N 1 N N Hologic Inc 549300DYP6F5ZJL0LB74 Hologic, Inc. 436440101 6559.00000000 NS USD 484119.79000000 0.104638652812 Long EC CORP US N 1 N N N Nvidia Corp 549300S4KLFTLO7GSQ80 NVIDIA Corporation 67066G104 61236.00000000 NS USD 12685649.76000000 2.741902579389 Long EC CORP US N 1 N N N Extra Space Storage Inc. 529900SDJHKRQWED6A16 Extra Space Storage, Inc. REIT 30225T102 2720.00000000 NS USD 456932.80000000 0.098762400557 Long EC CORP US N 1 N N N BlackRock, Inc. 549300LRIF3NWCU26A80 BlackRock, Inc. 09247X101 2233.00000000 NS USD 1872727.78000000 0.404775256106 Long EC CORP US N 1 N N N Calvert Impact Capital Inc 549300B32FCKBWZSDR33 Calvert Impact Capital, Inc. 1.00%, 6/14/2024 13162EBT2 520000.00000000 PA USD 520000.00000000 0.112393875619 Long DBT CORP US N 2 2024-06-14 Fixed 1.00000000 N N N N N N Anthem Inc 8MYN82XMYQH89CTMTH67 Anthem, Inc. 036752103 1300.00000000 NS USD 484640.00000000 0.104751092077 Long EC CORP US N 1 N N N Edwards Lifesciences Corporation YA13X31F3V31L8TMPR58 Edwards Lifesciences Corporation 28176E108 7610.00000000 NS USD 861528.10000000 0.186212465604 Long EC CORP US N 1 N N N Moderna Inc 549300EI6OKH5K5Q2G38 Moderna, Inc. 60770K107 1590.00000000 NS USD 611927.40000000 0.132263254007 Long EC CORP US N 1 N N N Intuit Inc VI90HBPH7XSFMB9E4M29 Intuit, Inc. 461202103 8000.00000000 NS USD 4316080.00000000 0.932886459010 Long EC CORP US N 1 N N N Organon & Co 549300AMCKY57OK2CO56 Organon & Co. 68622V106 207.00000000 NS USD 6787.53000000 0.001467070774 Long EC CORP US N 1 N N N ResMed Inc. 529900T3QE5253CCXF22 ResMed, Inc. 761152107 3458.00000000 NS USD 911355.90000000 0.196982349365 Long EC CORP US N 1 N N N Synopsys Inc QG7T915N9S0NY5UKNE63 Synopsys, Inc. 871607107 6470.00000000 NS USD 1937182.70000000 0.418706675839 Long EC CORP US N 1 N N N Autozone, Inc. GA3JGKJ41LJKXDN23E90 AutoZone, Inc. 053332102 469.00000000 NS USD 796357.31000000 0.172126316248 Long EC CORP US N 1 N N N Church & Dwight Co., Inc. POOXSI30AWAQGYJZC921 Church & Dwight Company, Inc. 171340102 6461.00000000 NS USD 533484.77000000 0.115308501700 Long EC CORP US N 1 N N N Autodesk Inc FRKKVKAIQEF3FCSTPG55 Autodesk, Inc. 052769106 4686.00000000 NS USD 1336306.62000000 0.288832076996 Long EC CORP US N 1 N N N Prologis Inc. 529900DFH19P073LZ636 Prologis, Inc. REIT 74340W103 3257.00000000 NS USD 408525.51000000 0.088299548766 Long EC CORP US N 1 N N N Equinix, Inc. 549300EVUN2BTLJ3GT74 Equinix, Inc. REIT 29444U700 1687.00000000 NS USD 1332949.31000000 0.288106421068 Long EC CORP US N 1 N N N Illumina Inc SQ95QG8SR5Q56LSNF682 Illumina, Inc. 452327109 2758.00000000 NS USD 1118672.38000000 0.241792162186 Long EC CORP US N 1 N N N Xilinx Inc. 6EY4K7ZMF9UX1CU6KC79 Xilinx, Inc. 983919101 4239.00000000 NS USD 640046.61000000 0.138340998221 Long EC CORP US N 1 N N N Norfolk Southern Corporation 54930036C8MWP850MI84 Norfolk Southern Corporation 655844108 2169.00000000 NS USD 518933.25000000 0.112163306068 Long EC CORP US N 1 N N N 2021-11-29 Susan Conti Susan Conti Susan Conti Senior Fund Accounting Manager XXXX NPORT-EX 2 214.htm SOI

 

Schedule of Portfolio Investments

Praxis Impact Bond Fund

September 30, 2021 (Unaudited)

            
MUNICIPAL BONDS - 1.1%  Coupon    Maturity  Principal Amount     Fair Value  
American Municipal Power Ohio, Inc., Rev. Taxable-Hydroelectric Projects, Series 2010-A  7.334%  02/15/28  $1,000,000   $1,262,317 
City of San Francisco, California, Public Utilities Comm. Water Rev., Series 2019-A  3.303%  11/01/39   2,500,000    2,671,919 
Findlay City School District, Series 2010-B  6.250%  12/01/37   270,000    270,988 
Houston, Texas, Independent School District, Series 2009A-2  6.168%  02/15/34   1,000,000    1,003,470 
Massachusetts St., Series 2016-F  3.277%  06/01/46   3,100,000    3,411,023 
New Jersey St. Housing & Mortgage Finance, Series 2013-C  2.600%  07/01/23   115,000    116,750 
Osceola County Housing Finance Authority Rev., Series 2013-B  3.350%  07/01/23   85,000    88,709 
TOTAL MUNICIPAL BONDS (COST $8,450,539)              $8,825,176 

 

CORPORATE BONDS - 36.5%  Coupon   Maturity  Principal Amount   Fair Value 
APPAREL & TEXTILE PRODUCTS - 0.1%                 
Hanesbrands, Inc. (a)(b)  4.625%  05/15/24  $500,000   $527,140 
VF Corp.  2.400%  04/23/25   536,000    558,537 
                1,085,677 
ASSET MANAGEMENT - 0.1%                 
Ameriprise Financial, Inc.  3.000%  04/02/25   730,000    775,480 
                  
AUTOMOTIVE - 0.6%                 
BMW US Capital, LLC (b)  3.800%  04/06/23   1,000,000    1,048,943 
BorgWarner, Inc. (a)  2.650%  07/01/27   601,000    633,430 
Hyundai Capital Services, Inc. (b)  1.250%  02/08/26   200,000    196,921 
Magna International, Inc.  2.450%  06/15/30   1,250,000    1,269,430 
Toyota Motor Credit Corp., Series B  2.900%  03/30/23   1,735,000    1,801,396 
                4,950,120 
BANKING - 4.4%                 
Bank of America Corp.  3.300%  01/11/23   500,000    518,889 
Bank of America Corp.  3.335%  01/25/23   1,000,000    1,009,548 
Bank of America Corp.  4.100%  07/24/23   1,000,000    1,066,107 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund

 

CORPORATE BONDS - 36.5% (Continued)

 

Coupon

 

 

Maturity

 

Principal Amount

 

 

Fair Value

 

BANKING - 4.4% (Continued)

 

 

 

 

 

 

 

 

 

 

 

 

 

Bank of America Corp. (a)

 

0.981

%

 

09/25/25

 

$

1,500,000

 

 

$

1,502,070

 

Bank of America Corp.

 

2.456

%

 

10/22/25

 

 

1,000,000

 

 

 

1,044,530

 

Bank of America Corp.

 

4.271

%

 

07/23/29

 

 

1,000,000

 

 

 

1,133,962

 

Bank of Montreal

 

3.300

%

 

02/05/24

 

 

1,000,000

 

 

 

1,063,374

 

Citigroup, Inc.

 

3.875

%

 

10/25/23

 

 

1,000,000

 

 

 

1,069,742

 

Citigroup, Inc.

 

1.678

%

 

05/15/24

 

 

1,250,000

 

 

 

1,274,315

 

Citigroup, Inc.

 

3.700

%

 

01/12/26

 

 

1,750,000

 

 

 

1,922,295

 

Citigroup, Inc. (a)

 

2.572

%

 

06/03/30

 

 

1,000,000

 

 

 

1,019,304

 

ING Groep N.V. (b)

 

4.625

%

 

01/06/26

 

 

1,250,000

 

 

 

1,418,605

 

JPMorgan Chase & Co.

 

0.653

%

 

09/16/24

 

 

1,000,000

 

 

 

1,002,497

 

JPMorgan Chase & Co.

 

0.563

%

 

02/16/25

 

 

500,000

 

 

 

497,924

 

JPMorgan Chase & Co.

 

3.200

%

 

06/15/26

 

 

2,557,000

 

 

 

2,762,133

 

JPMorgan Chase & Co.

 

2.739

%

 

10/15/30

 

 

2,000,000

 

 

 

2,071,243

 

Key Bank, N.A. (a)

 

1.250

%

 

03/10/23

 

 

1,750,000

 

 

 

1,773,327

 

Mitsubishi UFJ Financial Group

 

2.527

%

 

09/13/23

 

 

1,250,000

 

 

 

1,299,803

 

National Australia Bank, New York Branch

 

3.625

%

 

06/20/23

 

 

1,750,000

 

 

 

1,846,233

 

National Bank of Canada (b)

 

2.150

%

 

10/07/22

 

 

1,250,000

 

 

 

1,273,785

 

PNC Bank N.A.

 

3.500

%

 

06/08/23

 

 

1,285,000

 

 

 

1,349,686

 

Regions Financial Corp.

 

2.250

%

 

05/18/25

 

 

1,000,000

 

 

 

1,039,252

 

Sumitomo Mitsui Financial Group, Inc. (a)

 

0.508

%

 

01/12/24

 

 

2,000,000

 

 

 

1,993,527

 

Toronto-Dominion Bank (SOFR + 45) (c)

 

0.463

%

 

09/28/23

 

 

2,000,000

 

 

 

2,011,234

 

Truist Financial Corp.

 

1.250

%

 

03/09/23

 

 

1,750,000

 

 

 

1,772,914

 

 

 

 

 

 

 

 

 

 

 

 

 

34,736,299

 

BEVERAGES - 0.5%

 

 

 

 

 

 

 

 

 

 

 

 

 

Coca-Cola Co. (The)

 

3.450

%

 

03/25/30

 

 

500,000

 

 

 

559,389

 

Coca-Cola Femsa S.A.B. de C.V.

 

1.850

%

 

09/01/32

 

 

1,000,000

 

 

 

946,270

 

PepsiCo, Inc. (a)

 

2.250

%

 

03/19/25

 

 

2,000,000

 

 

 

2,086,829

 

 

 

 

 

 

 

 

 

 

 

 

 

3,592,488

 

BIOTECH & PHARMA - 0.5%

 

 

 

 

 

 

 

 

 

 

 

 

 

AbbVie, Inc.

 

2.950

%

 

11/21/26

 

 

500,000

 

 

 

535,573

 

Gilead Sciences, Inc.

 

3.650

%

 

03/01/26

 

 

750,000

 

 

 

821,998

 

Zeneca Wilmington, Inc.

 

7.000

%

 

11/15/23

 

 

1,100,000

 

 

 

1,248,998

 

Zoetis, Inc.

 

3.250

%

 

02/01/23

 

 

1,200,000

 

 

 

1,236,655

 

 

 

 

 

 

 

 

 

 

 

 

 

3,843,224

 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund

 

CORPORATE BONDS - 36.5% (Continued)

 

Coupon

 

 

Maturity

 

Principal Amount

 

 

Fair Value

 

CABLE & SATELLITE - 0.2%

 

 

 

 

 

 

 

 

 

 

 

 

 

Comcast Corp. (a)

 

3.300

%

 

04/01/27

 

$

500,000

 

 

$

547,497

 

Comcast Corp. (a)(b)

 

2.937

%

 

11/01/56

 

 

672,000

 

 

 

634,762

 

Time Warner Cable, Inc.

 

4.500

%

 

09/15/42

 

 

500,000

 

 

 

547,171

 

 

 

 

 

 

 

 

 

 

 

 

 

1,729,430

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CHEMICALS - 1.0%

 

 

 

 

 

 

 

 

 

 

 

 

 

Avery Dennison Corp.

 

2.650

%

 

04/30/30

 

 

1,250,000

 

 

 

1,279,983

 

DowDuPont, Inc. (a)

 

4.493

%

 

11/15/25

 

 

1,500,000

 

 

 

1,686,623

 

Ecolab, Inc.

 

4.800

%

 

03/24/30

 

 

140,000

 

 

 

170,059

 

Ecolab, Inc. (a)

 

2.750

%

 

08/18/55

 

 

1,470,000

 

 

 

1,412,437

 

LG Chemical Ltd. (b)

 

3.250

%

 

10/15/24

 

 

290,000

 

 

 

309,609

 

Nutrien Ltd.

 

1.900

%

 

05/13/23

 

 

800,000

 

 

 

817,213

 

Nutrien Ltd.

 

5.875

%

 

12/01/36

 

 

840,000

 

 

 

1,133,380

 

Solvay Finance S.A. (b)

 

4.450

%

 

12/03/25

 

 

1,250,000

 

 

 

1,386,969

 

 

 

 

 

 

 

 

 

 

 

 

 

8,196,273

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CONSTRUCTION MATERIALS - 0.4%

 

 

 

 

 

 

 

 

 

 

 

 

 

Carlisle Cos., Inc.

 

3.500

%

 

12/01/24

 

 

1,250,000

 

 

 

1,337,987

 

Owens Corning

 

4.200

%

 

12/01/24

 

 

1,000,000

 

 

 

1,090,459

 

Owens Corning (a)

 

3.950

%

 

08/15/29

 

 

300,000

 

 

 

334,717

 

 

 

 

 

 

 

 

 

 

 

 

 

2,763,163

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CONSUMER SERVICES - 2.8%

 

 

 

 

 

 

 

 

 

 

 

 

 

Andrew W. Mellon Funding

 

0.947

%

 

08/01/27

 

 

1,050,000

 

 

 

1,031,955

 

California Endowment

 

2.498

%

 

04/01/51

 

 

3,500,000

 

 

 

3,369,340

 

Conservation Fund, Series 2019

 

3.474

%

 

12/15/29

 

 

535,000

 

 

 

567,453

 

Ford Foundation (The), Series 2017

 

3.859

%

 

06/01/47

 

 

2,485,000

 

 

 

2,975,408

 

John D. & Catherine T. MacArthur Foundation, Series 2020

 

1.299

%

 

12/01/30

 

 

1,500,000

 

 

 

1,410,625

 

Local Initiatives Support Corp.

 

4.649

%

 

03/01/37

 

 

1,500,000

 

 

 

1,720,440

 

Massachusetts Institute of Technology

 

3.959

%

 

07/01/38

 

 

1,500,000

 

 

 

1,779,604

 

President & Fellows of Harvard College

 

3.150

%

 

07/15/46

 

 

3,961,000

 

 

 

4,391,640

 

University of Notre Dame, Series 2017

 

3.394

%

 

02/15/48

 

 

2,000,000

 

 

 

2,288,341

 

Yale University

 

2.402

%

 

04/15/50

 

 

2,415,000

 

 

 

2,326,166

 

 

 

 

 

 

 

 

 

 

 

 

 

21,860,972

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

CONTAINERS & PACKAGING - 0.4%

 

 

 

 

 

 

 

 

 

 

 

 

 

CCL Industries, Inc. (b)

 

3.050

%

 

06/01/30

 

 

1,750,000

 

 

 

1,833,349

 

Sonoco Products Co.

 

5.750

%

 

11/01/40

 

 

1,000,000

 

 

 

1,350,639

 

 

 

 

 

 

 

 

 

 

 

 

 

3,183,988

 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund

 

CORPORATE BONDS - 36.5% (Continued)

 

Coupon

 

 

Maturity

 

Principal Amount

 

 

Fair Value

 

DIVERSIFIED INDUSTRIALS - 0.2%

 

 

 

 

 

 

 

 

 

 

 

 

 

Illinois Tool Works, Inc.

 

3.900

%

 

09/01/42

 

$

1,000,000

 

 

$

1,163,785

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

ELECTRIC UTILITIES - 5.1%

 

 

 

 

 

 

 

 

 

 

 

 

 

Avangrid, Inc.

 

3.150

%

 

12/01/24

 

 

1,800,000

 

 

 

1,918,628

 

Caledonia Generating, LLC (b)

 

1.950

%

 

02/28/34

 

 

1,958,264

 

 

 

1,939,797

 

Consolidated Edison Co.

 

3.350

%

 

04/01/30

 

 

1,000,000

 

 

 

1,094,240

 

DTE Electric Co.

 

4.050

%

 

05/15/48

 

 

1,750,000

 

 

 

2,080,897

 

Duke Energy, LLC

 

3.450

%

 

03/15/29

 

 

1,750,000

 

 

 

1,934,684

 

Electricite de France S.A. (b)

 

3.625

%

 

10/13/25

 

 

1,250,000

 

 

 

1,358,828

 

Enel Finance International N.V. (b)

 

2.650

%

 

09/10/24

 

 

1,250,000

 

 

 

1,309,765

 

Florida Power & Light Co. (a)

 

3.700

%

 

12/01/47

 

 

1,300,000

 

 

 

1,500,643

 

Georgia Power Co.

 

3.250

%

 

04/01/26

 

 

1,000,000

 

 

 

1,071,882

 

Interstate Power & Light Co.

 

3.600

%

 

04/01/29

 

 

1,250,000

 

 

 

1,378,468

 

Liberty Utilities Financial Services (b)

 

2.050

%

 

09/15/30

 

 

355,000

 

 

 

343,476

 

MidAmerican Energy Co.

 

3.950

%

 

08/01/47

 

 

1,750,000

 

 

 

2,045,307

 

Midland Cogeneration Venture, L.P. (b)

 

6.000

%

 

03/15/25

 

 

264,477

 

 

 

275,075

 

Narragansett Electric Co. (b)

 

3.395

%

 

04/09/30

 

 

1,500,000

 

 

 

1,622,996

 

National Rural Utilities

 

1.350

%

 

03/15/31

 

 

1,000,000

 

 

 

928,310

 

NextEra Energy Capital Holdings, Inc.

 

0.650

%

 

03/01/23

 

 

400,000

 

 

 

401,352

 

Niagara Mohawk Power Corp. (b)

 

1.960

%

 

06/27/30

 

 

1,500,000

 

 

 

1,456,747

 

Northern States Power Co.

 

2.900

%

 

03/01/50

 

 

1,250,000

 

 

 

1,255,601

 

NSTAR Electric Co.

 

3.950

%

 

04/01/30

 

 

600,000

 

 

 

685,156

 

NSTAR Electric Co.

 

5.500

%

 

03/15/40

 

 

1,250,000

 

 

 

1,711,017

 

Pacificorp

 

8.080

%

 

10/14/22

 

 

500,000

 

 

 

534,995

 

Potomac Electric Power Co.

 

6.500

%

 

11/15/37

 

 

1,000,000

 

 

 

1,454,004

 

Public Service Co.

 

3.700

%

 

06/15/28

 

 

1,750,000

 

 

 

1,947,924

 

Puget Energy, Inc.

 

5.625

%

 

07/15/22

 

 

750,000

 

 

 

769,960

 

Puget Energy, Inc.

 

4.223

%

 

06/15/48

 

 

1,000,000

 

 

 

1,201,230

 

Rochester Gas & Electric Corp. (b)

 

1.850

%

 

12/01/30

 

 

500,000

 

 

 

482,072

 

San Diego Gas and Electric Co.

 

4.500

%

 

08/15/40

 

 

841,000

 

 

 

1,029,379

 

Solar Star Funding, LLC (b)

 

3.950

%

 

06/30/35

 

 

276,037

 

 

 

291,556

 

Solar Star Funding, LLC (b)

 

5.375

%

 

06/30/35

 

 

427,439

 

 

 

492,239

 

Southern California Edison

 

4.050

%

 

03/15/42

 

 

1,165,000

 

 

 

1,250,098

 

Tenaska Virginia Partners, L.P. (b)

 

6.119

%

 

03/30/24

 

 

372,123

 

 

 

397,234

 

Topaz Solar Farms, LLC (b)

 

4.875

%

 

09/30/39

 

 

240,617

 

 

 

259,394

 

Topaz Solar Farms, LLC (a)(b)

 

5.750

%

 

09/30/39

 

 

577,569

 

 

 

691,944

 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund

 

CORPORATE BONDS - 36.5% (Continued)

 

Coupon

 

 

Maturity

 

Principal Amount

 

 

Fair Value

 

ELECTRIC UTILITIES - 5.1% (Continued)

 

 

 

 

 

 

 

 

 

 

 

 

 

Union Electric Co. (a)

 

2.625

%

 

03/15/51

 

$

2,000,000

 

 

$

1,895,228

 

Westar Energy, Inc.

 

2.550

%

 

07/01/26

 

 

1,292,000

 

 

 

1,357,989

 

 

 

 

 

 

 

 

 

 

 

 

 

40,368,115

 

ELECTRICAL EQUIPMENT - 0.3%

 

 

 

 

 

 

 

 

 

 

 

 

 

Johnson Controls International plc (a)

 

1.750

%

 

09/15/30

 

 

1,000,000

 

 

 

970,625

 

Legrand S.A.

 

8.500

%

 

02/15/25

 

 

1,000,000

 

 

 

1,242,214

 

Roper Technologies, Inc.

 

2.000

%

 

06/30/30

 

 

440,000

 

 

 

430,799

 

 

 

 

 

 

 

 

 

 

 

 

 

2,643,638

 

FOOD - 1.5%

 

 

 

 

 

 

 

 

 

 

 

 

 

Campbell Soup Co.

 

3.950

%

 

03/15/25

 

 

1,500,000

 

 

 

1,635,208

 

Cargill, Inc. (b)

 

4.760

%

 

11/23/45

 

 

1,500,000

 

 

 

1,976,036

 

General Mills, Inc.

 

4.000

%

 

04/17/25

 

 

1,500,000

 

 

 

1,647,576

 

Hormel Foods Corp.

 

1.800

%

 

06/11/30

 

 

2,250,000

 

 

 

2,213,005

 

Ingredion, Inc. (a)

 

2.900

%

 

06/01/30

 

 

1,000,000

 

 

 

1,045,132

 

Kellogg Co.

 

2.650

%

 

12/01/23

 

 

1,250,000

 

 

 

1,306,656

 

Mars, Inc. (b)

 

3.600

%

 

04/01/34

 

 

1,500,000

 

 

 

1,692,194

 

 

 

 

 

 

 

 

 

 

 

 

 

11,515,807

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

FORESTRY, PAPER & WOOD PRODUCTS - 0.2%

 

 

 

 

 

 

 

 

 

 

 

Fibria Overseas Finance Ltd.

 

5.500

%

 

01/17/27

 

 

800,000

 

 

 

912,008

 

Klabin Finance S.A. (b)

 

4.875

%

 

09/19/27

 

 

750,000

 

 

 

824,070

 

 

 

 

 

 

 

 

 

 

 

 

 

1,736,078

 

GAS & WATER UTILITIES - 0.4%

 

 

 

 

 

 

 

 

 

 

 

 

 

American Water Capital Corp.

 

2.800

%

 

05/01/30

 

 

1,500,000

 

 

 

1,573,355

 

Brooklyn Union Gas Co. (b)

 

4.504

%

 

03/10/46

 

 

1,250,000

 

 

 

1,444,032

 

Indiana Gas Co., Inc.

 

6.550

%

 

06/30/28

 

 

250,000

 

 

 

304,272

 

 

 

 

 

 

 

 

 

 

 

 

 

3,321,659

 

HEALTH CARE FACILITIES & SERVICES - 0.2%

 

 

 

 

 

 

 

 

 

 

 

Kaiser Foundation Hospital (a)

 

3.150

%

 

05/01/27

 

 

1,500,000

 

 

 

1,629,290

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

HOME & OFFICE PRODUCTS - 0.2%

 

 

 

 

 

 

 

 

 

 

 

 

 

Steelcase, Inc.

 

5.125

%

 

01/18/29

 

 

1,000,000

 

 

 

1,150,430

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

HOME CONSTRUCTION - 0.2%

 

 

 

 

 

 

 

 

 

 

 

 

 

NVR, Inc.

 

3.950

%

 

09/15/22

 

 

500,000

 

 

 

512,144

 

NVR, Inc.

 

3.000

%

 

05/15/30

 

 

1,000,000

 

 

 

1,046,488

 

 

 

 

 

 

 

 

 

 

 

 

 

1,558,632

 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund

 

CORPORATE BONDS - 36.5% (Continued)

 

Coupon

 

 

Maturity

 

Principal Amount

 

 

Fair Value

 

INSTITUTIONAL FINANCIAL SERVICES - 1.7%

 

 

 

 

 

 

 

 

 

 

 

 

 

Bank of New York Mellon Corp. (The)

 

3.400

%

 

05/15/24

 

$

650,000

 

 

$ 

695,674

 

Bank of New York Mellon Corp. (The), Perpetual Bond

 

3.554

%

 

12/29/49

 

 

1,000,000

 

 

 

1,005,080

 

Brookfield Finance, Inc. (a)

 

4.250

%

 

06/02/26

 

 

1,570,000

 

 

 

1,755,720

 

Goldman Sachs Group, Inc.

 

3.272

%

 

09/29/25

 

 

1,500,000

 

 

 

1,601,747

 

Goldman Sachs Group, Inc.

 

4.223

%

 

05/01/29

 

 

1,000,000

 

 

 

1,130,121

 

Goldman Sachs Group, Inc.

 

3.800

%

 

03/15/30

 

 

1,500,000

 

 

 

1,669,811

 

Morgan Stanley (a)

 

3.125

%

 

07/27/26

 

 

2,000,000

 

 

 

2,152,564

 

Morgan Stanley, Series GMTN

 

2.699

%

 

01/22/31

 

 

1,250,000

 

 

 

1,288,866

 

National Securities Clearing Corp. (b)

 

1.500

%

 

04/23/25

 

 

1,000,000

 

 

 

1,015,394

 

State Street Corp.

 

7.350

%

 

06/15/26

 

 

1,000,000

 

 

 

1,263,209

 

 

 

 

 

 

 

 

 

 

 

 

 

13,578,186

 

INSURANCE - 3.9%

 

 

 

 

 

 

 

 

 

 

 

 

 

Aflac, Inc.

 

4.000

%

 

10/15/46

 

 

1,058,000

 

 

 

1,226,623

 

Athene Global Funding (b)

 

2.800

%

 

05/26/23

 

 

1,500,000

 

 

 

1,556,295

 

First American Financial Corp. (a)

 

2.400

%

 

08/15/31

 

 

1,500,000

 

 

 

1,461,606

 

Five Corners Funding Trust (b)

 

4.419

%

 

11/15/23

 

 

1,000,000

 

 

 

1,079,835

 

Horace Mann Educators Corp.

 

4.500

%

 

12/01/25

 

 

1,235,000

 

 

 

1,351,833

 

Kemper Corp.

 

4.350

%

 

02/15/25

 

 

1,250,000

 

 

 

1,357,354

 

Marsh & McLennan Cos., Inc. (a)

 

3.750

%

 

03/14/26

 

 

1,000,000

 

 

 

1,099,899

 

Massachusetts Mutual Life Insurance Co. (b)

 

3.375

%

 

04/15/50

 

 

1,500,000

 

 

 

1,570,902

 

Met Life Global Funding I (b)

 

1.950

%

 

01/13/23

 

 

500,000

 

 

 

510,175

 

Met Life Global Funding I (a)(b)

 

3.600

%

 

01/11/24

 

 

1,750,000

 

 

 

1,867,465

 

New York Life Global Funding (a)(b)

 

2.900

%

 

01/17/24

 

 

3,000,000

 

 

 

3,161,684

 

OneBeacon US Holdings, Inc.

 

4.600

%

 

11/09/22

 

 

1,000,000

 

 

 

1,039,580

 

Pacific Life Global Funding II (b)

 

1.200

%

 

06/24/25

 

 

415,000

 

 

 

415,970

 

Principal Financial Group, Inc.

 

3.700

%

 

05/15/29

 

 

1,250,000

 

 

 

1,398,599

 

Prudential Financial, Inc. (a)

 

1.500

%

 

03/10/26

 

 

644,000

 

 

 

653,597

 

Prudential Financial, Inc.

 

5.875

%

 

09/15/42

 

 

750,000

 

 

 

780,098

 

Prudential plc (a)

 

3.125

%

 

04/14/30

 

 

750,000

 

 

 

808,090

 

Reliance STD Life Insurance Co. (b)

 

2.750

%

 

05/07/25

 

 

1,280,000

 

 

 

1,341,858

 

RLI Corp.

 

4.875

%

 

09/15/23

 

 

1,000,000

 

 

 

1,069,314

 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund

 

CORPORATE BONDS - 36.5% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
INSURANCE - 3.9% (Continued)                    
Sammons Financial Group, Inc. (b)   4.450%   05/12/27   $1,200,000   $1,340,142 
Security Benefit Global, Series MTN (a)(b)   1.250%   05/17/24    1,500,000    1,510,048 
StanCorp Financial Group, Inc.   5.000%   08/15/22    1,250,000    1,294,784 
Teachers Insurance & Annuity Association (3MO LIBOR + 266.10) (b)(c)   4.375%   09/15/54    2,678,000    2,812,283 
                   30,708,034 
INTERNET MEDIA & SERVICES - 0.1%                    
Alphabet, Inc.   0.450%   08/15/25    890,000    879,051 
                     
LEISURE FACILITIES & SERVICES - 0.5%                    
Hyatt Hotels Corp.   3.375%   07/15/23    1,000,000    1,037,822 
Marriott International, Inc. (a)   3.600%   04/15/24    727,000    774,599 
McDonald's Corp., Series MTN   3.500%   07/01/27    1,000,000    1,104,794 
Starbucks Corp.   2.450%   06/15/26    1,000,000    1,050,770 
                   3,967,985 
MACHINERY - 0.5%                    
Ingersoll-Rand Global Holding Co. Ltd.   6.391%   11/15/27    655,000    811,822 
John Deere Capital Corp.   1.750%   03/09/27    250,000    255,762 
John Deere Capital Corp.   3.050%   01/06/28    1,250,000    1,356,967 
Xylem, Inc.   1.950%   01/30/28    1,775,000    1,785,812 
                   4,210,363 
MEDICAL EQUIPMENT & DEVICES - 0.3%                    
Agilent Technologies, Inc.   3.875%   07/15/23    1,250,000    1,318,324 
Alcon Finance Corp. (b)   2.600%   05/27/30    1,250,000    1,276,358 
                   2,594,682 
PERSONAL PRODUCTS - 0.1%                    
Estée Lauder Cos., Inc. (The)   2.600%   04/15/30    1,000,000    1,048,741 
                     
PIPELINES - 0.2%                    
Northern Natural Gas Co. (b)   4.100%   09/15/42    1,000,000    1,135,639 
                     
REITS - 2.5%                    
Agree Ltd. Partnership   2.900%   10/01/30    650,000    671,485 
Boston Properties, L.P.   4.500%   12/01/28    1,250,000    1,439,452 
Camden Property Trust   2.800%   05/15/30    500,000    527,707 
Duke Realty Trust, L.P.   2.875%   11/15/29    1,500,000    1,580,360 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
CORPORATE BONDS - 36.5% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
REITS - 2.5% (Continued)                    
ERP Operating, L.P.   4.150%   12/01/28   $1,250,000   $1,425,154 
ESSEX Portfolio, L.P.   2.650%   03/15/32    1,500,000    1,515,806 
Federal Realty Investment Trust   1.250%   02/15/26    515,000    510,581 
Kilroy Realty Corp.   2.500%   11/15/32    1,750,000    1,723,037 
Kimco Realty Corp.   2.700%   10/01/30    1,750,000    1,799,103 
Lexington Realty Trust   2.700%   09/15/30    1,500,000    1,517,956 
Mid-America Apartment Communities, Inc. (a)   3.950%   03/15/29    1,750,000    1,969,710 
Regency Centers, L.P.   3.750%   06/15/24    1,000,000    1,065,775 
Rexford Industrial Realty, L.P.   2.150%   09/01/31    1,750,000    1,686,488 
Sun Communities Operating Ltd. (a)   2.700%   07/15/31    500,000    505,241 
UDR, Inc.   1.900%   03/15/33    1,000,000    928,711 
Vornado Realty, L.P.   3.500%   01/15/25    567,000    602,705 
                   19,469,271 
RETAIL - CONSUMER STAPLES - 0.4%                    
Kroger Co. (The)   5.000%   04/15/42    1,000,000    1,268,653 
Target Corp.   2.250%   04/15/25    1,000,000    1,043,134 
Walmart, Inc. (a)   1.800%   09/22/31    500,000    495,705 
                   2,807,492 
RETAIL - DISCRETIONARY - 0.4%                    
ERAC USA Finance, LLC (b)   2.700%   11/01/23    1,250,000    1,298,908 
Lowe's Cos., Inc.   4.650%   04/15/42    1,000,000    1,222,326 
Lowe's Cos., Inc. (a)   3.000%   10/15/50    500,000    487,564 
                   3,008,798 
SEMICONDUCTORS - 0.6%                    
Intel Corp. (a)   3.400%   03/25/25    300,000    324,205 
Intel Corp.   3.734%   12/08/47    1,361,000    1,518,303 
Maxim Integrated Products, Inc.   3.375%   03/15/23    500,000    517,128 
NVIDIA Corp. (a)   2.850%   04/01/30    500,000    535,799 
Skyworks Solutions, Inc.   0.900%   06/01/23    500,000    500,977 
Texas Instruments, Inc.   1.375%   03/12/25    1,000,000    1,017,636 
                   4,414,048 
SOFTWARE - 0.5%                    
Microsoft Corp. (a)   2.525%   06/01/50    4,000,000    3,849,027 
                     
SPECIALTY FINANCE - 1.2%                    
American Express Credit Corp.   3.000%   10/30/24    1,000,000    1,067,402 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
CORPORATE BONDS - 36.5% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
SPECIALTY FINANCE - 1.2% (Continued)                    
BlueHub Loan Fund, Inc.   3.099%   01/01/30   $1,030,000   $1,066,425 
Community Preservation Corp. (The)   2.867%   02/01/30    1,750,000    1,802,745 
Fidelity National Financial, Inc.   5.500%   09/01/22    725,000    758,621 
Fidelity National Financial, Inc. (a)   3.400%   06/15/30    500,000    536,956 
GATX Corp.   4.350%   02/15/24    300,000    323,511 
Low Income Investment Fund   3.386%   07/01/26    115,000    121,188 
USAA Capital Corp. (b)   1.500%   05/01/23    1,000,000    1,017,560 
USAA Capital Corp. (b)   2.125%   05/01/30    3,000,000    3,021,896 
                   9,716,304 
STEEL - 0.3%                    
Nucor Corp.   4.125%   09/15/22    1,025,000    1,051,780 
Nucor Corp.   2.000%   06/01/25    460,000    473,534 
Reliance Steel & Aluminum Co.   4.500%   04/15/23    1,105,000    1,160,226 
                   2,685,540 
TECHNOLOGY HARDWARE - 0.6%                    
Apple, Inc.   2.850%   02/23/23    1,250,000    1,289,183 
Apple, Inc.   3.000%   06/20/27    1,000,000    1,094,744 
Apple, Inc.   2.650%   05/11/50    1,000,000    961,407 
Apple, Inc. (a)   2.650%   02/08/51    1,000,000    956,612 
Xerox Corp.   4.070%   03/17/22    750,000    758,438 
                   5,060,384 
TECHNOLOGY SERVICES - 1.0%                    
Experian Financial plc (a)(b)   2.750%   03/08/30    635,000    658,254 
Genpact Luxembourg S.A.R.L.   3.700%   04/01/22    1,100,000    1,114,508 
IBM Corp.   3.300%   05/15/26    1,000,000    1,089,940 
Mastercard, Inc.   3.300%   03/26/27    197,000    216,568 
Moody's Corp.   3.250%   05/20/50    500,000    512,064 
RELX Capital, Inc.   3.500%   03/16/23    1,500,000    1,562,936 
S&P Global, Inc.   4.000%   06/15/25    1,163,000    1,279,126 
Visa, Inc. (a)   0.750%   08/15/27    1,770,000    1,723,082 
                   8,156,478 
TELECOMMUNICATIONS - 0.8%                    
AT&T, Inc.   5.250%   03/01/37    500,000    620,303 
AT&T, Inc. (a)   4.750%   05/15/46    1,500,000    1,794,220 
Verizon Communications, Inc.   3.875%   02/08/29    1,000,000    1,121,580 
Verizon Communications, Inc.   1.500%   09/18/30    1,000,000    946,364 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
CORPORATE BONDS - 36.5% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
TELECOMMUNICATIONS - 0.8% (Continued)                    
Verizon Communications, Inc.   2.987%   10/30/56   $1,799,000   $1,661,134 
                   6,143,601 
TRANSPORTATION & LOGISTICS - 1.3%                    
British Airways, Series 2013-1 (b)   4.625%   12/20/25    420,704    443,944 
Burlington Northern Santa Fe, LLC   5.750%   05/01/40    1,000,000    1,401,658 
Canadian Pacific Railway Co.   2.050%   03/05/30    1,750,000    1,728,244 
Mexico City Airport Trust (b)   4.250%   10/31/26    497,000    530,299 
Norfolk Southern Corp.   4.837%   10/01/41    1,000,000    1,272,893 
Norfolk Southern Corp. (a)   3.050%   05/15/50    1,500,000    1,495,152 
Penske Truck Leasing Co. (b)   3.450%   07/01/24    1,250,000    1,331,672 
TTX Co. (b)   4.600%   02/01/49    280,000    361,169 
United Parcel Services, Inc. (a)   3.900%   04/01/25    1,500,000    1,642,518 
                   10,207,549 
WHOLESALE - CONSUMER STAPLES - 0.3%                    
Bunge Ltd. Finance Corp.   1.630%   08/17/25    395,000    399,111 
Sysco Corp. (a)   2.400%   02/15/30    1,750,000    1,776,260 
                   2,175,371 
                     
TOTAL CORPORATE BONDS (COST $270,903,435)        $287,621,092 

 

CORPORATE NOTES - 1.0%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 1.0%                    
Calvert Social Investment Foundation, Inc. (d)   2.000%   06/15/22   $980,000   $980,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/15/23    1,650,000    1,650,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/23    950,000    950,000 
Calvert Social Investment Foundation, Inc. (d)   1.000%   06/14/24    550,000    550,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/17/24    980,000    980,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/24    400,000    400,000 
Calvert Social Investment Foundation, Inc. (d)   2.500%   06/13/25    1,400,000    1,397,200 
Calvert Social Investment Foundation, Inc. (d)   2.500%   12/15/25    650,000    650,000 
TOTAL CORPORATE NOTES (COST $7,560,000)                 $7,557,200 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
FOREIGN GOVERNMENTS - 9.0%  Coupon   Maturity   Principal Amount   Fair Value 
FOREIGN AGENCY - 1.6%                    
BNG Bank N.V. (b)   3.125%   11/08/21   $1,500,000   $1,504,255 
BNG Bank N.V. (a)(b)   1.500%   10/16/24    1,500,000    1,538,681 
BNG Bank N.V. (a)(b)   0.500%   11/24/25    2,000,000    1,968,100 
KFW   2.000%   11/30/21    1,000,000    1,002,990 
KFW   2.000%   09/29/22    1,500,000    1,527,343 
Kommunalbanken A.S. (b)   2.125%   02/11/25    1,000,000    1,046,490 
Kommunivest I Sverige AB, Series MTN (b)   0.375%   06/19/24    500,000    497,744 
Nederlandse Waterschapsbank N.V. (b)   2.125%   11/15/21    1,500,000    1,503,420 
Nederlandse Waterschapsbank N.V. (b)   3.125%   12/05/22    1,500,000    1,550,592 
                   12,139,615 
SUPRANATIONAL - 7.4%                    
African Development Bank   3.000%   12/06/21    1,463,000    1,470,271 
African Development Bank   0.750%   04/03/23    3,000,000    3,022,175 
Asian Development Bank   1.875%   08/10/22    3,036,000    3,081,115 
Asian Development Bank   2.125%   03/19/25    1,000,000    1,049,080 
Asian Development Bank   3.125%   09/26/28    1,000,000    1,121,188 
Central American Bank for Economic Development (b)   1.140%   02/09/26    1,200,000    1,191,480 
European Bank for Reconstruction & Development   1.625%   09/27/24    1,250,000    1,288,137 
European Bank for Reconstruction & Development   1.500%   02/13/25    200,000    205,454 
European Investment Bank   2.500%   10/15/24    1,000,000    1,057,580 
European Investment Bank (b)   2.875%   06/13/25    1,000,000    1,077,527 
European Investment Bank   2.125%   04/13/26    1,000,000    1,052,610 
European Investment Bank   2.375%   05/24/27    4,000,000    4,269,189 
Inter-American Development Bank   3.000%   09/26/22    2,000,000    2,055,611 
Inter-American Development Bank   0.875%   04/03/25    3,000,000    3,016,015 
Inter-American Development Bank   4.375%   01/24/44    3,000,000    4,099,620 
International Bank for Reconstruction & Development   0.250%   11/24/23    7,000,000    6,984,377 
International Bank for Reconstruction & Development   2.125%   03/03/25    500,000    524,309 
International Bank for Reconstruction & Development   0.625%   04/22/25    1,000,000    996,638 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
FOREIGN GOVERNMENTS - 9.0% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
SUPRANATIONAL - 7.4% (Continued)                    
International Bank for Reconstruction & Development   3.125%   11/20/25   $1,000,000   $1,094,732 
International Bank for Reconstruction & Development   0.875%   07/15/26    3,000,000    2,979,586 
International Development Association (b)   2.750%   04/24/23    5,000,000    5,190,886 
International Development Association (b)   0.375%   09/23/25    2,000,000    1,964,395 
International Development Association (a)(b)   0.875%   04/28/26    2,000,000    1,986,415 
International Finance Corp., Series GMTN   2.000%   10/24/22    2,000,000    2,038,289 
International Finance Corp., Series GMTN   0.500%   03/20/23    2,500,000    2,509,875 
International Finance Corp.   2.125%   04/07/26    3,000,000    3,155,209 
                   58,481,763 
                     
TOTAL FOREIGN GOVERNMENTS (COST $68,811,593)        $70,621,378 

 

COMMERCIAL MORTGAGE-BACKED SECURITIES - 0.2%  Coupon   Maturity   Principal Amount   Fair Value 
Commercial Mortgage Pass-Through Certificates, Class A-3   3.391%   05/17/45   $716,501   $722,214 
Commercial Mortgage Pass-Through Certificates, Class A-3   2.853%   10/17/45    993,930    1,013,003 
TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES  (COST $1,742,278)                 $1,735,217 

 

ASSET BACKED SECURITIES - 2.6%  Coupon   Maturity   Principal Amount   Fair Value 
Ahold Finance U.S.A., LLC   8.620%   01/02/25   $298,749   $329,762 
Cards II Trust (b)   0.602%   04/15/27    2,250,000    2,249,871 
Iowa Student Loan Liquidity Corp. Rev.   1.754%   08/25/70    1,452,818    1,455,045 
Mastercard Credit Card Trust (b)   1.990%   09/21/24    4,000,000    4,098,776 
SBA Tower Trust (b)   3.448%   03/15/48    1,250,000    1,265,780 
SBA Tower Trust (b)   2.836%   01/15/50    282,000    292,008 
SolarCity LMC, Series I, LLC (b)   4.800%   12/20/26    379,236    395,834 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
ASSET BACKED SECURITIES - 2.6% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
SolarCity LMC, Series IV, LLC (b)   4.180%   08/21/45   $184,814   $187,164 
Tesla Auto Lease   0.600%   09/22/25    1,200,000    1,197,641 
Textainer Marine Containers VII (b)   1.680%   02/20/46    1,430,000    1,411,673 
TIF Funding II, LLC (b)   1.650%   02/20/46    474,167    463,853 
Toyota Auto Receivables Owner Trust   0.260%   11/17/25    3,000,000    2,995,167 
Triton Container Finance, LLC (b)   1.860%   03/20/46    1,675,625    1,660,353 
Triumph Rail, LLC (b)   2.150%   06/19/51    2,042,062    2,062,298 
Wendy's Funding, LLC (b)   3.783%   06/15/49    699,375    729,602 
TOTAL ASSET BACKED SECURITIES (COST $20,767,416)   $20,794,827 

 

U.S. GOVERNMENT AGENCIES - 46.1%  Coupon   Maturity   Principal Amount   Fair Value 
DEVELOPMENT FINANCE CORPORATION - 1.1%      
DFC   0.000%   06/21/23   $1,000,000   $1,086,660 
DFC (c)   0.130%   09/15/26    833,333    833,333 
DFC   1.650%   04/15/28    3,500,000    3,565,986 
DFC   3.280%   09/15/29    893,629    976,629 
DFC   3.540%   06/15/30    514,717    569,168 
DFC   3.520%   09/20/32    785,714    879,703 
DFC   3.820%   06/01/33    834,149    961,423 
                   8,872,902 
FEDERAL HOME LOAN BANK - 5.0%      
FHLB   3.250%   11/16/28    12,500,000    14,097,148 
FHLB   5.500%   07/15/36    17,120,000    24,972,863 
                   39,070,011 
FEDERAL HOME LOAN MORTGAGE CORPORATION - 10.1%      
FHLMC   5.000%   12/01/21    1,421    1,480 
FHLMC   4.000%   11/01/24    81,713    86,571 
FHLMC   0.375%   09/23/25    6,000,000    5,902,363 
FHLMC   4.000%   10/01/25    45,165    47,879 
FHLMC   2.875%   04/25/26    3,000,000    3,220,310 
FHLMC   6.000%   04/01/27    59,057    66,244 
FHLMC   2.500%   10/01/27    323,034    338,160 
FHLMC   2.738%   04/25/29    2,361,312    2,524,168 
FHLMC   2.412%   08/25/29    3,670,000    3,886,312 
FHLMC   7.000%   02/01/30    15,786    15,845 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
U.S. GOVERNMENT AGENCIES - 46.1% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL HOME LOAN MORTGAGE CORPORATION - 10.1% (Continued)
FHLMC   7.500%   07/01/30   $75,271   $85,441 
FHLMC   1.487%   11/25/30    2,500,000    2,469,865 
FHLMC   1.878%   01/25/31    1,500,000    1,533,583 
FHLMC   2.000%   01/25/31    3,000,000    3,084,660 
FHLMC   7.000%   03/01/31    31,053    35,700 
FHLMC   6.250%   07/15/32    1,550,000    2,246,383 
FHLMC   3.000%   11/01/32    464,507    495,996 
FHLMC   3.000%   11/01/32    605,622    646,046 
FHLMC   5.500%   11/01/33    33,293    38,485 
FHLMC (H15T1Y + 223.10) (c)   2.731%   05/01/34    32,941    34,564 
FHLMC (H15T1Y + 223.10) (c)   2.731%   05/01/34    13,765    13,811 
FHLMC   1.783%   06/25/34    2,084,061    2,070,164 
FHLMC   5.000%   07/01/35    63,887    72,937 
FHLMC   4.500%   10/01/35    95,102    105,886 
FHLMC   2.438%   02/25/36    4,000,000    4,139,773 
FHLMC   5.500%   03/01/36    27,224    31,652 
FHLMC   5.500%   06/01/36    37,973    44,136 
FHLMC   6.000%   06/01/36    30,975    35,441 
FHLMC   5.500%   12/01/36    30,922    35,991 
FHLMC   6.000%   08/01/37    18,210    21,525 
FHLMC   5.000%   03/01/38    159,215    181,862 
FHLMC   4.500%   06/01/39    168,513    188,311 
FHLMC   5.000%   06/01/39    234,545    267,328 
FHLMC   4.500%   07/01/39    157,846    177,027 
FHLMC   4.500%   11/01/39    143,465    160,335 
FHLMC   4.500%   09/01/40    222,277    248,403 
FHLMC   4.500%   05/01/41    427,473    477,753 
FHLMC   4.500%   07/01/41    487,787    544,728 
FHLMC   5.000%   09/01/41    209,887    238,466 
FHLMC   3.500%   10/01/41    259,026    281,243 
FHLMC   4.000%   10/01/41    257,717    284,191 
FHLMC   3.500%   02/01/42    394,607    427,342 
FHLMC   4.000%   02/01/42    116,760    128,758 
FHLMC   3.500%   06/01/42    458,054    496,178 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
U.S. GOVERNMENT AGENCIES - 46.1% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL HOME LOAN MORTGAGE CORPORATION - 10.1% (Continued)
FHLMC   3.500%   06/01/42   $489,405   $530,308 
FHLMC   3.500%   08/01/42    555,324    603,253 
FHLMC   3.000%   11/01/42    1,036,290    1,106,756 
FHLMC   3.000%   01/01/43    568,060    606,630 
FHLMC   3.000%   05/01/43    816,498    871,736 
FHLMC   3.500%   10/01/44    490,924    528,826 
FHLMC   3.500%   11/01/44    437,460    471,158 
FHLMC   3.500%   04/01/45    555,312    597,293 
FHLMC   3.000%   05/01/46    963,870    1,019,043 
FHLMC   3.000%   12/01/46    2,190,133    2,336,797 
FHLMC   3.500%   03/01/48    2,515,979    2,746,531 
FHLMC   3.500%   03/01/49    793,601    838,909 
FHLMC   3.500%   07/01/49    1,332,078    1,407,810 
FHLMC   3.000%   09/01/49    1,397,200    1,461,267 
FHLMC   3.000%   07/01/50    3,443,495    3,600,849 
FHLMC   2.000%   08/01/50    3,918,052    3,931,539 
FHLMC   2.000%   01/01/51    9,335,809    9,367,944 
FHLMC   2.500%   04/01/51    9,516,825    9,824,910 
                   79,284,855 
FEDERAL NATIONAL MORTGAGE ASSOCIATION - 29.5%      
FNMA   5.500%   06/01/22    1,145    1,153 
FNMA   2.890%   07/01/22    2,224,689    2,252,044 
FNMA   2.000%   10/05/22    3,500,000    3,567,539 
FNMA   2.190%   01/01/23    1,851,078    1,878,117 
FNMA   2.670%   12/01/23    2,287,065    2,368,941 
FNMA (c)   2.639%   07/25/24    2,820,350    2,942,411 
FNMA   2.625%   09/06/24    5,750,000    6,109,434 
FNMA   2.890%   12/01/24    4,000,000    4,121,007 
FNMA   3.080%   12/01/24    2,188,088    2,333,638 
FNMA   2.710%   01/01/25    4,500,000    4,639,320 
FNMA   5.000%   04/01/25    33,090    36,454 
FNMA   0.500%   06/17/25    10,000,000    9,939,467 
FNMA   5.000%   07/01/25    26,144    28,697 
FNMA   3.500%   10/01/25    45,460    48,506 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
U.S. GOVERNMENT AGENCIES - 46.1% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL NATIONAL MORTGAGE ASSOCIATION - 29.5% (Continued)
FNMA   5.000%   10/01/25   $36,711   $40,302 
FNMA   5.500%   11/01/25    10    11 
FNMA   0.500%   11/07/25    12,000,000    11,844,582 
FNMA   4.000%   03/01/26    198,878    211,295 
FNMA   2.910%   04/01/26    3,000,000    3,178,400 
FNMA   2.125%   04/24/26    2,000,000    2,106,016 
FNMA   2.254%   07/25/26    449,906    463,435 
FNMA   8.500%   09/01/26    6,019    6,067 
FNMA   2.500%   09/01/27    393,427    411,790 
FNMA   0.750%   10/08/27    10,000,000    9,734,265 
FNMA   2.500%   11/01/27    598,868    626,831 
FNMA   2.500%   01/01/28    402,255    421,040 
FNMA (c)   2.899%   01/25/28    3,349,297    3,508,182 
FNMA (c)   3.430%   06/25/28    2,000,000    2,222,453 
FNMA   2.522%   08/27/29    6,000,000    6,402,136 
FNMA   0.875%   08/05/30    40,000,000    37,654,160 
FNMA   6.625%   11/15/30    12,750,000    18,203,483 
FNMA (c)   1.561%   11/25/30    3,000,000    2,967,582 
FNMA (c)   1.429%   12/25/30    5,000,000    4,897,325 
FNMA   1.250%   01/25/31    3,000,000    2,891,742 
FNMA   1.376%   03/25/31    1,000,000    976,706 
FNMA   2.000%   01/01/32    1,570,300    1,623,389 
FNMA   3.000%   12/01/32    675,661    715,835 
FNMA   6.000%   10/01/33    26,085    30,647 
FNMA   5.500%   02/01/34    27,361    31,563 
FNMA (H15T1Y + 211.70) (c)   2.242%   05/01/34    27,886    28,049 
FNMA   6.000%   11/01/34    70,715    82,990 
FNMA   5.500%   01/01/35    36,802    42,598 
FNMA   2.500%   02/01/35    1,680,021    1,752,741 
FNMA   5.000%   10/01/35    56,990    64,975 
FNMA   5.500%   10/01/35    76,138    88,495 
FNMA   6.000%   10/01/35    40,247    47,166 
FNMA   5.500%   06/01/36    23,753    27,583 
FNMA   6.000%   06/01/36    17,512    20,667 
FNMA   5.500%   11/01/36    25,048    28,789 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
U.S. GOVERNMENT AGENCIES - 46.1% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL NATIONAL MORTGAGE ASSOCIATION - 29.5% (Continued)
FNMA (12MO LIBOR + 156.50) (c)   1.940%   05/01/37   $25,725   $25,657 
FNMA   5.625%   07/15/37    2,750,000    4,102,410 
FNMA   4.500%   09/01/40    135,270    151,100 
FNMA   4.500%   10/01/40    135,183    150,090 
FNMA   4.000%   12/01/40    356,750    393,343 
FNMA   4.000%   01/01/41    244,092    269,123 
FNMA   3.500%   02/01/41    350,698    380,530 
FNMA   4.000%   10/01/41    200,380    220,901 
FNMA   4.000%   11/01/41    211,414    233,055 
FNMA   4.000%   12/01/41    260,708    286,959 
FNMA   4.000%   12/01/41    462,740    509,224 
FNMA   4.000%   01/01/42    762,871    851,937 
FNMA   3.500%   05/01/42    406,090    439,762 
FNMA   3.000%   06/01/42    736,054    785,835 
FNMA   3.000%   08/01/42    556,695    591,372 
FNMA   3.000%   08/01/42    579,834    615,901 
FNMA   3.500%   12/01/42    810,294    884,650 
FNMA   3.000%   06/01/43    673,982    719,228 
FNMA   4.000%   12/01/44    978,607    1,088,652 
FNMA   3.500%   05/01/45    1,111,258    1,211,910 
FNMA   3.000%   04/01/46    871,437    919,632 
FNMA   3.500%   11/01/46    1,474,582    1,585,994 
FNMA   4.000%   10/01/48    851,088    911,849 
FNMA   4.000%   11/01/48    1,803,993    2,008,492 
FNMA   3.500%   05/01/49    698,562    738,795 
FNMA   4.000%   06/01/49    1,110,462    1,188,623 
FNMA   3.500%   08/01/49    2,760,062    2,919,051 
FNMA   3.000%   09/01/49    1,365,460    1,428,729 
FNMA   3.000%   06/01/50    2,762,962    2,893,799 
FNMA   2.500%   07/01/50    3,977,176    4,104,280 
FNMA   2.500%   08/01/50    2,789,742    2,878,898 
FNMA   3.000%   08/01/50    4,875,725    5,119,819 
FNMA   2.000%   11/01/50    6,326,975    6,348,753 
FNMA   2.000%   01/01/51    11,226,731    11,265,375 
FNMA   2.000%   02/01/51    6,610,601    6,633,356 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Impact Bond Fund
                     
U.S. GOVERNMENT AGENCIES - 46.1% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL NATIONAL MORTGAGE ASSOCIATION - 29.5% (Continued)
FNMA   2.500%   04/01/51   $12,967,365   $13,381,781 
                   231,858,883 
GOVERNMENT NATIONAL MORTGAGE ASSOCIATION - 0.0% (e)
GNMA   7.000%   12/20/30    10,957    12,618 
GNMA   7.000%   10/20/31    8,180    9,598 
GNMA   7.000%   03/20/32    34,091    40,190 
GNMA (H15T1Y + 150) (c)   2.000%   01/20/34    25,405    26,444 
GNMA   5.500%   10/20/38    5,337    5,850 
GNMA   6.500%   11/20/38    5,104    5,800 
                   100,500 
SMALL BUSINESS ADMINISTRATION - 0.0% (e)
SBA (Prime - 2.65) (c)   0.600%   02/25/32    112,739    113,860 
                     
UNITED STATES AGENCY OF INTERNATIONAL DEVELOPMENT - 0.4%
Hashemite Kingdom of Jordan AID Bond   3.000%   06/30/25    1,450,000    1,551,591 
Iraq AID Bond   2.149%   01/18/22    1,500,000    1,508,544 
                   3,060,135 
                     
TOTAL U.S. GOVERNMENT AGENCIES (COST $353,337,921)   $362,361,146 

 

MONEY MARKET FUNDS - 2.7%   Shares   Fair Value 
First American Government Obligations Fund - Class X, 0.03% (f) (COST $21,059,217)    21,059,217   $21,059,217 

 

COLLATERAL FOR SECURITIES LOANED - 4.4%   Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 0.09% (f)(g) (COST $34,896,490)    34,896,490   $34,896,490 
            

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Impact Bond Fund 
           
INVESTMENT COMPANIES - 0.5%  Shares   Fair Value 
Pax High Yield Bond Fund - Institutional Class (COST $4,199,236)   530,984   $3,674,408 
           
TOTAL INVESTMENTS - (COST $791,728,125) - 104.1%       $819,146,151 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (4.1%)        (32,391,913)
           
NET ASSETS - 100.0%       $786,754,238 

 

(a) All or a portion of the security is on loan.  The total value of the securities on loan as of September 30, 2021 was $34,174,866.  
(b) 144a security may only be resold to qualified institutional investors.  These securities were deemed liquid under guidelines established by the Board of Trustees.  At September 30, 2021, these securities were valued at $90,582,485 or 11.5% of net assets.
(c) Variable rate security. Interest rate resets periodically.  The rate shown is the effective interest rate as of September 30, 2021.  For securities based on a published reference rate and spread, the reference rate and spread (in basis points) are indicated parenthetically.  Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions.  These securities, therefore, do not indicate a reference rate and spread.
(d)

Restricted and illiquid securities not registered under the Securities Act of 1933 are as follows: 

 

   Acquisition
Date
  Current
Cost
   Fair
Value
   % of Net
Assets
 
Calvert Social Investment Foundation, Inc. 2.000%, 06/15/22  06/17/19  $980,000   $980,000    0.1%
Calvert Social Investment Foundation, Inc. 3.000%, 06/15/23  06/18/18   1,650,000    1,650,000    0.2%
Calvert Social Investment Foundation, Inc. 3.000%, 12/15/23  12/17/18   950,000    950,000    0.1%
Calvert Social Investment Foundation, Inc. 1.000%, 06/14/24  06/15/21   550,000    550,000    0.1%
Calvert Social Investment Foundation, Inc. 3.000%, 06/17/24  06/17/19   980,000    980,000    0.1%
Calvert Social Investment Foundation, Inc. 3.000%, 12/15/24  12/12/19   400,000    400,000    0.1%
Calvert Social Investment Foundation, Inc. 2.500%, 06/13/25  06/12/20   1,400,000    1,397,200    0.2%
Calvert Social Investment Foundation, Inc. 2.500%, 12/15/25  12/15/20   650,000    650,000    0.1%
      $7,560,000   $7,557,200    1.0%

 

(e) Percentage rounds to less than 0.1%.
(f) The rate shown is the 7-day effective yield as of September 30, 2021.
(g) The security was purchased with cash collateral held from securities on loan.

 

GMTN - Global Medium-Term Note
 
H15T1Y - U.S. Treasury yield curve rate for U.S. Treasury Note with a constant maturity of 1 year
 
LIBOR - London Interbank Offered Rate
 
plc - Public Liability Company
 
SOFR - Secured Overnight Financing Rate

 

 

Schedule of Portfolio Investments    

Praxis International Index Fund    

September 30, 2021 (Unaudited)

 

COMMON STOCKS - 98.1%  Shares   Fair Value 
AUSTRALIA - 3.8%          
Australia & New Zealand Banking Group Ltd.   40,646   $815,934 
Brambles Ltd.   40,548    311,662 
Coles Group Ltd.   14,425    175,147 
Commonwealth Bank of Australia   18,009    1,335,896 
CSL Ltd. - ADR   7,282    762,353 
CSL Ltd.   3,640    760,192 
Dexus   119,299    917,812 
Endeavour Group Ltd.   28,598    143,047 
Fortescue Metals Group Ltd.   43,722    465,533 
Goodman Group   44,189    679,656 
GPT Group (The)   86,547    311,604 
Macquarie Group Ltd. - ADR   2,747    354,802 
Macquarie Group Ltd.   2,144    276,881 
National Australia Bank Ltd.   36,653    722,533 
Origin Energy Ltd.   164,204    550,674 
REA Group Ltd.   2,913    327,956 
Scentre Group   175,279    372,902 
SEEK Ltd.   32,750    719,651 
Stockland   100,899    319,834 
Sydney Airport (a)   67,719    397,536 
Transurban Group   77,465    780,403 
Vicinity Centres   245,277    289,853 
Wesfarmers Ltd.   24,534    975,393 
Woolworths Group Ltd.   28,598    802,933 
         13,570,187 
AUSTRIA - 0.5%          
Raiffeisen Bank International AG   36,856    963,835 
Verbund AG   8,891    899,083 
         1,862,918 
BELGIUM - 0.4%          
KBC Group N.V.   7,492    675,732 
UCB S.A.   2,483    278,006 
Umicore S.A.   6,207    367,160 

 

        1,320,898 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
BRAZIL - 1.6%          
Banco Bradesco S.A. - ADR   196,740   $753,514 
Banco do Brasil S.A. - ADR   86,851    465,521 
Banco Santander Brasil S.A. - ADR   119,591    782,125 
BRF S.A. - ADR (a)   25,121    126,107 
Cia Brasileira de Distribuicao - ADR (b)   17,197    80,998 
Cia Energética de Minas Gerais - ADR   126,500    318,780 
Gerdau S.A. - ADR   79,331    390,309 
Natura & Co. Holding S.A. - ADR (a)(b)   18,044    300,433 
Sendas Distribuidora S.A. - ADR   17,197    299,744 
Suzano S.A. - ADR (a)   59,138    591,380 
Telefónica Brasil S.A. - ADR   171,040    1,327,270 
Ultrapar Participacoes S.A. - ADR   48,473    130,877 
         5,567,058 
CANADA - 6.9%          
Bank of Montreal   12,001    1,196,860 
Bank of Nova Scotia (The)   15,056    926,396 
Cameco Corp.   12,370    268,800 
Canadian Imperial Bank of Commerce   12,671    1,410,282 
Canadian National Railway Co.   15,841    1,832,012 
Canadian Pacific Railway Ltd.   16,665    1,084,392 
CGI, Inc. (a)   8,100    686,556 
Franco-Nevada Corp.   10,461    1,358,989 
Gildan Activewear, Inc.   18,362    670,397 
Kinross Gold Corp.   18,486    99,085 
Manulife Financial Corp. (b)   75,463    1,451,908 
Methanex Corp.   15,712    723,380 
Nutrien Ltd.   5,829    377,894 
Open Text Corp.   11,725    571,477 
Restaurant Brands International, Inc.   11,589    709,131 
Ritchie Bros. Auctioneers, Inc.   9,384    578,617 
Royal Bank of Canada   32,068    3,190,125 
Shaw Communications, Inc. - Class B   6,737    195,642 
Shopify, Inc. - Class A (a)   463    627,726 
Sun Life Financial, Inc.   11,714    602,685 
Teck Resources Ltd. - Class B   44,613    1,111,310 
Thomson Reuters Corp.   20,428    2,256,885 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
CANADA - 6.9% (Continued)          
Toronto-Dominion Bank (The)   26,902   $1,779,567 
Wheaton Precious Metals Corp. (b)   22,043    828,376 
         24,538,492 
CAYMAN ISLANDS - 6.8%          
51job, Inc. - ADR (a)   2,904    201,915 
Alibaba Group Holding Ltd. - ADR (a)   19,924    2,949,748 
Autohome, Inc. - ADR   11,232    527,118 
Baidu, Inc. - ADR (a)   5,628    865,305 
Baozun, Inc. - ADR (a)   12,780    224,033 
BeiGene Ltd. - ADR (a)   1,977    717,651 
China Literature Ltd. (a)   47,000    356,679 
ENN Energy Holdings Ltd.   14,000    230,906 
GDS Holdings Ltd. - ADR (a)(b)   4,041    228,761 
Genscript Biotech Corp. (a)   190,000    729,184 
Hello Group, Inc. - ADR   8,314    87,962 
Hengan International Group Co. Ltd.   124,500    663,902 
HUYA, Inc. - ADR (a)   14,507    120,988 
JD.com, Inc. - ADR (a)   15,448    1,115,964 
JOYY, Inc. - ADR (b)   4,385    240,430 
Kingdee International Software Group Co. Ltd. (a)   100,000    332,963 
Meituan - B Shares - ADR (a)   21,377    1,373,900 
NetEase, Inc. - ADR   13,641    1,164,941 
NIO, Inc. - ADR (a)   16,819    599,261 
Noah Holdings Ltd. - ADR (a)   6,771    251,407 
Shenzhou International Group Holdings Ltd.   48,000    1,018,716 
Sunny Optical Technology Group Co. Ltd.   25,000    654,616 
Tencent Holdings Ltd. - ADR   87,007    5,200,408 
Tingyi Cayman Islands Holding Corp.   130,000    241,708 
Trip.com Group Ltd. - ADR (a)   8,755    269,216 
Vipshop Holdings Ltd. - ADR (a)   15,804    176,057 
Weibo Corp. - ADR (a)   6,782    322,077 
WuXi Biologics Cayman, Inc. (a)   108,000    1,751,774 
XPeng, Inc. - ADR (a)   13,572    482,349 
Zai Lab Ltd. (a)   2,031    214,047 
ZTO Express Cayman, Inc. - ADR   31,282    959,106 
         24,273,092 

 

 

Schedule of Portfolio Investments (Continued)    
Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
CHILE - 0.3%          
Enel Americas S.A. - ADR   53,811   $314,795 
Sociedad Quimica y Minera de Chile S.A. - ADR   11,292    606,606 
         921,401 
CHINA - 2.6%          
Agricultural Bank of China Ltd. - H Shares   1,300,000    446,585 
ANTA Sports Products Ltd.   56,000    1,057,464 
Bank of China Ltd. - H Shares   1,016,000    358,985 
BYD Co. Ltd. - H Shares   14,500    450,690 
China Life Insurance Co. Ltd. - H Shares   275,000    449,691 
China Merchants Bank Co. Ltd. - H Shares   82,820    659,087 
China Minsheng Banking Corp. Ltd. - H Shares   522,500    209,658 
China Pacific Insurance Group Co. Ltd. - H Shares   127,400    378,298 
China Resources Land Ltd.   134,000    563,954 
China Vanke Co. Ltd. - H Shares   96,574    264,061 
Haier Smart Home Co. Ltd. - H Shares   241,230    843,297 
Industrial & Commercial Bank of China Ltd. - H Shares   743,000    411,858 
Jiangsu Expressway Co. Ltd. - H Shares   272,000    274,840 
New World Development Co. Ltd. (a)   72,768    295,963 
Ping An Insurance Group Co. of China Ltd. - H Shares   130,318    891,285 
Sinopharm Group Co. Ltd. - H Shares   357,200    936,056 
Yum China Holdings, Inc.   16,507    959,222 
         9,450,994 
COLOMBIA - 0.3%          
Bancolombia S.A. - ADR   34,647    1,199,479 
           
DENMARK - 1.9%          
Coloplast A/S - Series B   3,561    556,801 
DSV A/S   4,551    1,089,333 
Genmab A/S (a)   932    407,207 
Novo Nordisk A/S - ADR   30,237    2,903,054 
Orsted A/S   4,053    534,239 
Pandora A/S   2,532    307,381 
Vestas Wind Systems A/S   21,015    843,072 
         6,641,087 
FINLAND - 0.5%          
Neste OYJ   9,891    557,908 

 

 

Schedule of Portfolio Investments (Continued)    
Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
FINLAND - 0.5% (Continued)          
Nokia Corp. - ADR (a)   119,187   $649,569 
UPM-Kymmene OYJ   14,351    507,882 
         1,715,359 
FRANCE - 6.3%          
Accor S.A. (a)   7,593    270,713 
Aeroports de Paris (a)   1,727    219,926 
Air Liquide S.A. - ADR   2    64 
Air Liquide S.A.   8,844    1,416,287 
Atos SE   4,607    244,703 
AXA S.A. - ADR   3,581    100,125 
AXA S.A.   41,937    1,162,072 
Capgemini SE - ADR   6,425    267,409 
Capgemini SE   2,481    514,441 
Cie de Saint-Gobain   10,059    676,860 
Cie Generale des Etablissements Michelin SCA - ADR (b)   18,110    555,977 
Cie Generale des Etablissements Michelin SCA   1,074    164,668 
CNP Assurances   24,456    385,946 
Covivio   5,514    463,325 
Danone S.A. - ADR   11,880    160,974 
Danone S.A.   5,973    407,178 
Dassault Systemes SE - ADR   3,725    196,308 
Dassault Systemes SE   15,295    804,811 
Edenred   6,540    352,022 
EssilorLuxottica S.A.   4,430    846,442 
Faurecia SE   3,770    177,348 
Gecina S.A.   2,427    326,481 
Getlink SE   14,041    219,317 
Groupe Bruxelles Lambert S.A.   6,989    768,668 
Hermes International   830    1,145,043 
Kering S.A.   1,378    978,623 
Klepierre S.A. (a)   12,650    282,865 
Legrand S.A.   10,029    1,074,476 
L'Oreal S.A. - ADR   21,745    1,802,226 
L'Oreal S.A.   1,380    570,981 
Orange S.A. - ADR (b)   9,499    102,874 
Publicis Groupe S.A.   8,339    560,129 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
FRANCE - 6.3% (Continued)          
Renault S.A. (a)   6,593   $233,871 
Sartorius Sedim Biotech   1,319    736,976 
Schneider Electric SE   9,145    1,522,955 
Solvay S.A.   2,892    358,703 
Teleperformance   1,454    571,841 
Unibail-Rodamco-Westfield (a)   3,126    230,048 
Unibail-Rodamco-Westfield - CDI (a)   45,646    172,747 
Valeo   9,455    263,837 
Vivendi SE - ADR   5,023    179,522 
Vivendi SE   17,630    221,934 
Wendel SE   2,330    321,908 
Worldline S.A. (a)   5,894    449,223 
         22,482,847 
GERMANY - 4.7%          
adidas AG - ADR   2,402    379,804 
adidas AG   1,323    415,712 
Allianz SE - ADR   78,610    1,765,581 
Allianz SE   880    197,137 
BASF SE   3,984    301,992 
Bayerische Moteren Werke AG - ADR (b)   2    65 
Continental AG (a)   4,866    528,183 
Covestro AG   7,156    487,629 
Daimler AG   18,669    1,647,001 
Delivery Hero SE (a)   163    20,789 
Deutsche Boerse AG   3,878    629,195 
Deutsche Post AG - ADR   14,832    935,751 
Deutsche Post AG   10,161    637,118 
Deutsche Telekom AG - ADR   30,009    604,681 
Deutsche Telekom AG   25,629    513,908 
Fraport AG Frankfurt Airport Services Worldwide (a)   10,208    706,665 
Infineon Technologies AG - ADR   12,109    498,164 
Infineon Technologies AG   8,718    356,508 
Merck KGaA   2,316    501,215 
Muenchener Rueckversicherungs-Gesellschaft AG - ADR (b)   18,890    517,208 
Muenchener Rueckversicherungs-Gesellschaft AG   1,787    487,559 
Siemens AG   13,225    2,162,704 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
GERMANY - 4.7% (Continued)          
Symrise AG   4,190   $549,123 
Vitesco Technologies Group AG (a)   973    57,474 
Vonovia SE   20,686    1,241,300 
Zalando SE (a)   6,837    623,471 
         16,765,937 
HONG KONG - 2.7%          
AAC Technologies Holdings, Inc.   33,423    158,055 
AIA Group Ltd. - ADR   35,494    1,633,079 
AIA Group Ltd.   57,569    662,290 
China Conch Venture Holdings Ltd.   167,591    778,181 
Geely Automobile Holdings Ltd.   90,000    258,352 
Guangdong Investment Ltd.   134,000    174,886 
Hong Kong Exchanges & Clearing Ltd.   26,978    1,657,795 
Lenovo Group Ltd.   770,000    1,005,013 
Link REIT   95,500    817,792 
New China Life Insurance Co. Ltd. - H Shares   113,800    335,045 
Sino Land Co. Ltd.   168,000    226,008 
Swire Properties Ltd.   206,350    515,502 
Techtronic Industries Co. Ltd.   24,500    484,153 
Wharf Holdings Ltd. (The)   166,000    549,105 
Zhongsheng Group Holdings Ltd.   70,000    561,129 
         9,816,385 
HUNGARY - 0.0% (c)          
MOL Hungarian Oil & Gas plc - ADR   6,368    26,544 
           
INDIA - 3.2%          
Dr. Reddy's Laboratories Ltd. - ADR   14,524    946,093 
HDFC Bank Ltd. - ADR   30,589    2,235,750 
ICICI Bank Ltd. - ADR   144,722    2,730,904 
Infosys Ltd. - ADR   142,558    3,171,916 
Wipro Ltd. - ADR   254,466    2,246,935 
         11,331,598 
INDONESIA - 0.6%          
Bank Mandiri Persero Tbk PT - ADR   87,101    742,101 
Telkom Indonesia Persero Tbk PT - ADR   50,040    1,271,016 
         2,013,117 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
IRELAND - 0.3%          
CRH plc - ADR   14,500   $677,730 
Smurfit Kappa Group plc   10,442    549,689 
         1,227,419 
ISRAEL - 0.5%          
Check Point Software Technologies Ltd. (a)   4,857    549,036 
CyberArk Software Ltd. (a)   2,299    362,828 
ICL Group Ltd.   39,641    288,190 
Nice Ltd. - ADR (a)(b)   2,630    747,025 
         1,947,079 
ITALY - 1.4%          
Assicurazioni Generali S.p.A.   41,464    878,069 
Enel S.p.A.   148,245    1,137,677 
Intesa Sanpaolo S.p.A.   199,542    564,833 
Mediobanca Banca di Credito Finanziario S.p.A. (a)   29,677    357,002 
Moncler S.p.A.   7,061    430,603 
Poste Italiane S.p.A.   32,728    449,364 
Terna S.p.A.   78,333    555,848 
UniCredit S.p.A.   37,450    495,543 
         4,868,939 
JAPAN - 15.7%          
Advantest Corp.   4,800    427,730 
Aeon Co. Ltd.   14,100    370,692 
AGC, Inc.   10,000    515,327 
Ajinomoto Co., Inc.   17,000    502,352 
Asahi Kasei Corp.   50,000    535,808 
Astellas Pharma, Inc.   24,700    406,542 
Bridgestone Corp.   28,756    1,360,493 
Canon, Inc.   34,400    841,709 
Chugai Pharmaceutical Co. Ltd.   14,700    537,935 
Dai Nippon Printing Co. Ltd.   61,618    1,484,557 
Dai-ichi Life Holdings, Inc.   16,346    357,508 
Daiichi Sankyo Co. Ltd. - ADR (b)   5,703    153,981 
Daiichi Sankyo Co. Ltd.   23,430    622,802 
Daiwa House Industry Co. Ltd.   17,000    566,700 
Daiwa Securities Group, Inc.   52,000    303,097 
Denso Corp.   10,000    652,979 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
JAPAN - 15.7% (Continued)          
East Japan Railway Co.   7,729   $546,238 
ENEOS Holdings, Inc.   98,900    401,770 
FANUC Corp. - ADR   10,090    222,484 
FANUC Corp.   1,200    263,117 
Fast Retailing Co. Ltd.   1,000    737,522 
FUJIFILM Holdings Corp. - ADR   8,601    740,804 
FUJIFILM Holdings Corp.   1,500    129,526 
Fujitsu Ltd.   3,390    612,615 
Honda Motor Co. Ltd.   17,400    534,947 
Hoya Corp. - ADR   1,273    199,632 
Hoya Corp.   6,861    1,070,455 
Idemitsu Kosan Co. Ltd.   9,200    242,024 
Japan Exchange Group, Inc.   12,400    307,523 
Kao Corp.   8,000    476,113 
KDDI Corp. - ADR   43,814    718,988 
Keyence Corp.   3,600    2,148,755 
Kintetsu Group Holdings Co. Ltd. (a)   12,091    410,117 
Kubota Corp. - ADR   5,277    561,262 
Kubota Corp.   24,000    510,788 
Lixil Corp.   15,100    437,653 
M3, Inc.   11,200    798,212 
Medipal Holdings Corp.   800    15,056 
Mitsubishi Corp.   30,400    954,643 
Mitsubishi Estate Co. Ltd.   13,000    206,998 
Mitsubishi UFJ Financial Group, Inc. - ADR   25,008    148,297 
Mitsubishi UFJ Financial Group, Inc.   240,478    1,421,559 
Mitsui & Co. Ltd. - ADR   1,204    530,347 
Mitsui & Co. Ltd.   27,090    592,382 
Mitsui OSK Lines Ltd.   15,000    1,006,620 
Mizuho Financial Group, Inc.   68,700    971,919 
Murata Manufacturing Co. Ltd. - ADR   916    20,198 
Murata Manufacturing Co. Ltd.   12,900    1,141,047 
Nidec Corp. - ADR   34,780    967,232 
Nintendo Co. Ltd. - ADR   14,840    879,270 
Nintendo Co. Ltd.   300    143,366 
Nippon Prologis REIT, Inc. (a)   193    645,022 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
JAPAN - 15.7% (Continued)          
Nippon Telegraph & Telephone Corp.   12,900   $357,451 
Nomura Holdings, Inc.   65,900    324,884 
Nomura Real Estate Master Fund, Inc. (a)   222    319,522 
Nomura Research Institute Ltd.   10,200    374,922 
NSK Ltd.   55,000    376,076 
Odakyu Electric Railway Co. Ltd. (a)   12,000    277,743 
Omron Corp.   7,900    781,733 
Oriental Land Co. Ltd.   2,960    478,861 
PeptiDream, Inc. (a)   4,864    158,783 
Pinduoduo, Inc. - ADR (a)(b)   7,848    711,578 
Rakuten Group, Inc.   16,351    159,273 
Recruit Holdings Co. Ltd.   20,650    1,262,260 
Seibu Holdings, Inc. (a)   40,300    508,701 
Seiko Epson Corp.   14,500    292,757 
Sekisui House Ltd. - ADR (b)   21,690    457,225 
Sekisui House Ltd.   8,000    167,529 
Seven & i Holdings Co. Ltd.   17,400    792,132 
Shimadzu Corp.   17,000    746,581 
Shimano, Inc.   2,084    608,924 
Shin-Etsu Chemical Co. Ltd.   6,100    1,029,500 
Shiseido Co. Ltd. - ADR (b)   7,565    510,713 
Shiseido Co. Ltd.   2,100    141,141 
SMC Corp.   678    423,015 
SoftBank Group Corp. - ADR (b)   12,750    370,260 
SoftBank Group Corp.   14,400    832,116 
Sony Group Corp. - ADR   23,139    2,558,711 
Sumitomo Corp.   23,254    327,580 
Sumitomo Metal Mining Co. Ltd.   8,000    289,287 
Sumitomo Mitsui Financial Group, Inc. - ADR   58,630    410,996 
Sumitomo Mitsui Financial Group, Inc.   9,700    341,243 
Sumitomo Mitsui Trust Holdings, Inc.   22,000    757,688 
Takeda Pharmaceutical Co. Ltd.   3,100    102,248 
TDK Corp.   11,400    411,119 
Terumo Corp.   10,972    518,085 
Tokyo Electron Ltd. - ADR   1,464    161,918 
Tokyo Electron Ltd.   1,900    839,387 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund  

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
JAPAN - 15.7% (Continued)          
Toppan, Inc.   62,000   $1,051,241 
Toray Industries, Inc.   50,000    317,713 
Toyota Motor Corp. - ADR (b)   11,838    2,104,205 
Unicharm Corp.   6,900    305,756 
USS Co. Ltd.   15,320    260,785 
Yamaha Corp.   8,277    520,645 
Yamaha Motor Co. Ltd.   10,400    289,537 
Yaskawa Electric Corp.   6,600    316,925 
Yokogawa Electric Corp.   15,500    270,347 
         55,973,809 
JERSEY - 0.9%          
Experian plc - ADR   11,145    466,752 
Ferguson plc   508    70,528 
Ferguson plc   5,680    792,474 
Glencore plc (a)   248,450    1,168,846 
WPP plc - ADR   1,188    79,643 
WPP plc   34,966    468,504 
         3,046,747 
LUXEMBOURG - 0.6%          
ArcelorMittal S.A. - ADR   21,319    642,981 
Aroundtown S.A.   56,076    386,256 
Globant S.A. (a)   972    273,142 
Tenaris S.A. - ADR (b)   26,739    564,460 
Tenaris S.A.   35,185    370,070 
         2,236,909 
MEXICO - 1.1%          
América Móvil S.A.B. de C.V. - Class L - ADR   6,638    117,293 
Coca-Cola Femsa S.A.B. de C.V. - ADR   8,455    475,763 
Fomento Economico Mexicano S.A.B. de C.V. - ADR   12,658    1,097,702 
Grupo Aeroportuario del Pacifico S.A.B. de C.V. - ADR (a)   2,661    309,528 
Grupo Aeroportuario del Sureste S.A.B. de C.V. - ADR   3,169    592,603 
Grupo Televisa S.A.B. - ADR   39,194    430,350 
Wal-Mart de Mexico S.A.B. de C.V. - ADR   29,536    1,004,224 
         4,027,463 
NETHERLANDS - 3.9%          
Adyen N.V. (a)   349    975,466 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
NETHERLANDS - 3.9% (Continued)          
Akzo Nobel N.V. - ADR   9,200   $334,052 
ASML Holding N.V. - ADR   6,611    4,925,922 
ING Groep N.V. - ADR (b)   40,673    589,352 
ING Groep N.V.   12,870    187,088 
Koninklijke Ahold Delhaize N.V. - ADR   24,466    813,739 
Koninklijke Ahold Delhaize N.V.   5,491    182,818 
Koninklijke DSM N.V.   4,332    866,193 
Koninklijke Philips N.V.   16,004    711,218 
Koninklijke Vopak N.V.   6,800    267,905 
NN Group N.V.   8,273    433,307 
Prosus N.V. - ADR   4,090    65,604 
Prosus N.V. (a)   8,287    663,221 
QIAGEN N.V. (a)   7,847    405,533 
Stellantis N.V.   42,053    801,362 
STMicroelectronics N.V. - ADR   14,434    629,755 
Universal Music Group N.V. (a)   17,630    471,991 
Wolters Kluwer N.V.   5,108    541,366 
         13,865,892 
NEW ZEALAND - 0.1%          
a2 Milk Co. Ltd. (The) (a)   47,163    208,899 
           
NORWAY - 1.4%          
Equinor ASA - ADR   158,981    4,054,015 
Mowi ASA   10,838    274,996 
Norsk Hydro ASA   112,833    842,210 
         5,171,221 
PAPUA NEW GUINEA - 0.3%          
Oil Search Ltd.   348,382    1,083,702 
           
PHILIPPINES - 0.3%          
PLDT, Inc. - ADR   30,993    1,009,442 
           
PORTUGAL - 0.3%          
EDP - Energias de Portugal S.A.   50,604    265,797 
Galp Energia SGPS S.A.   82,314    934,810 
         1,200,607 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
RUSSIA - 0.2%          
Mobile TeleSystems PJSC - ADR   86,910   $837,812 
           
SINGAPORE - 0.9%          
BOC Aviation Ltd.   45,200    377,145 
CapitaLand Integrated Commercial Trust   387,425    576,848 
CapitaLand Investment Ltd. (a)   183,000    458,201 
City Developments Ltd.   51,000    258,092 
DBS Group Holdings Ltd. - ADR   11,392    1,010,470 
Keppel REIT   737    574 
Venture Corp. Ltd.   30,000    394,275 
         3,075,605 
SOUTH AFRICA - 1.0%          
FirstRand Ltd.   201,574    860,287 
Gold Fields Ltd. - ADR (b)   27,396    222,455 
Impala Platinum Holdings Ltd. - ADR   34,408    392,939 
Mr Price Group Ltd.   46,588    624,936 
MultiChoice Group Ltd.   40,877    311,575 
Naspers Ltd. - Class N - ADR   25,395    844,638 
Standard Bank Group Ltd.   37,895    358,800 
         3,615,630 
SOUTH KOREA - 4.3%          
Hyundai Mobis Co. Ltd.   4,029    849,941 
KB Financial Group, Inc. - ADR (b)   29,162    1,353,408 
KT Corp. - ADR   39,515    538,194 
LG Chem Ltd.   410    268,637 
LG Display Co. Ltd. - ADR (a)   3    24 
NAVER Corp.   3,825    1,253,092 
POSCO - ADR   22,846    1,575,689 
Samsung Electronics Co. Ltd.   88,827    5,505,167 
Shinhan Financial Group Co. Ltd. - ADR   35,724    1,202,827 
SK Hynix, Inc.   1,749    149,681 
SK Telecom Co. Ltd. - ADR   56,068    1,687,647 
Woori Financial Group, Inc. - ADR   39,921    1,153,717 
         15,538,024 
SPAIN - 1.9%          
Aena SME S.A. (a)   2,879    497,839 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
SPAIN - 1.9% (Continued)          
Amadeus IT Group S.A. (a)   9,206   $605,423 
Cellnex Telecom S.A.   3,788    233,628 
Iberdrola S.A. - ADR   12,778    514,187 
Iberdrola S.A.   45,814    460,854 
Industria de Diseno Textil S.A. - ADR   6,572    120,793 
Industria de Diseno Textil S.A.   35,166    1,293,805 
Naturgy Energy Group S.A.   12,657    318,551 
Repsol S.A.   140,542    1,834,353 
Siemens Gamesa Renewable Energy S.A. (a)   9,325    236,986 
Telefónica S.A. - ADR   34,242    161,280 
Telefónica S.A.   75,459    354,055 
         6,631,754 
SWEDEN - 2.3%          
Assa Abloy AB - Class B   14,650    425,039 
Atlas Copco AB - A Shares   8,922    538,878 
Atlas Copco AB - Class A - ADR   10,074    608,822 
Boliden AB (a)   25,785    825,826 
Essity AB - Series B   12,219    379,042 
H & M Hennes & Mauritz AB - B Shares (a)   19,185    388,420 
Hexagon AB - B Shares   58,429    903,976 
ICA Gruppen AB   7,527    345,411 
Kinnevik AB - Series B (a)   17,337    609,602 
Lundin Energy AB   34,303    1,273,645 
Sandvik AB - ADR   13,048    299,060 
Sandvik AB   17,709    404,673 
Svenska Cellulosa AB S.C.A. - Series B   16,418    254,502 
Svenska Handelsbanken AB - A Shares   36,120    404,610 
Telefonaktiebolaget LM Ericsson - B Shares   60,032    677,724 
         8,339,230 
SWITZERLAND - 6.0%          
ABB Ltd. - ADR (b)   33,452    1,115,959 
Adecco Group AG   3,938    197,342 
Barry Callebaut AG   425    964,051 
Coca-Cola HBC AG (a)   6,858    221,014 
Credit Suisse Group AG - ADR (b)   11,870    117,038 
Credit Suisse Group AG   51,770    511,360 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund  

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
SWITZERLAND - 6.0% (Continued)          
Geberit AG   2,043   $1,500,169 
Givaudan S.A.   272    1,240,233 
Groupe Bruxelles Lambert S.A.   2,460    270,998 
Holcim Ltd. (a)   8,532    411,167 
Logitech International S.A. (b)   4,649    409,809 
Lonza Group AG - ADR (a)   1,070    80,057 
Lonza Group AG   1,788    1,341,369 
Nestlé S.A. - ADR   36,016    4,329,483 
Partners Group Holding AG   644    1,005,181 
Roche Holding AG - ADR   81,648    3,712,535 
Sika AG   852    269,414 
Swatch Group AG (The)   828    216,038 
Swiss Re AG   6,747    575,932 
Swisscom AG   1,946    1,120,030 
Temenos AG   2,112    286,607 
UBS Group AG   22,324    356,373 
UBS Group AG   2    32 
Zurich Insurance Group AG - ADR   24,700    1,014,182 
Zurich Insurance Group AG   492    201,215 
         21,467,588 
TAIWAN - 4.7%          
ASE Technology Holding Co. Ltd. - ADR   126,937    996,455 
AU Optronics Corp. - ADR   157,981    993,700 
Chunghwa Telecom Co. Ltd. - ADR   87,940    3,455,163 
Taiwan Semiconductor Manufacturing Co. Ltd. - ADR   89,014    9,938,413 
United Microelectronics Corp. - ADR   114,499    1,308,724 
         16,692,455 
TURKEY - 0.1%          
Turkcell Iletisim Hizmetleri A.S. - ADR (b)   97,496    424,108 
           
UNITED KINGDOM - 6.8%          
3i Group plc   68,813    1,182,095 
Antofagasta plc   47,452    862,099 
Ashtead Group plc   11,037    834,403 
AstraZeneca plc - ADR   42,278    2,539,217 
Aviva plc   62,051    328,894 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund  

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
UNITED KINGDOM - 6.8% (Continued)          
Barratt Developments plc   19,279   $170,438 
Berkeley Group Holdings plc (a)   6,470    377,769 
British Land Co. plc (The)   62,287    413,269 
BT Group plc (a)   130,919    280,692 
Burberry Group plc   13,434    326,969 
Coca-Cola Europacific Partners plc   9,316    515,082 
Compass Group plc (a)   35,682    729,808 
GlaxoSmithKline plc - ADR (b)   34,232    1,308,005 
Halma plc   17,839    680,507 
HSBC Holdings plc - ADR   10,258    268,247 
Informa plc (a)   99,047    728,457 
InterContinental Hotels Group plc - ADR (a)   4,765    306,342 
InterContinental Hotels Group plc (a)   732    46,744 
ITV plc (a)   307,997    440,530 
J Sainsbury plc   42,996    164,810 
Kingfisher plc   106,863    482,412 
Land Securities Group plc   27,778    258,850 
Legal & General Group plc   210,040    789,213 
Lloyds Banking Group plc   437,921    272,568 
London Stock Exchange Group plc   7,929    794,626 
Mondi plc   17,385    426,077 
National Grid plc - ADR   2,629    156,767 
NatWest Group plc   143,085    433,632 
Ocado Group plc (a)   10,511    234,920 
PEARSON plc - ADR   19,618    189,706 
PEARSON plc   41,697    399,809 
Prudential plc - ADR (b)   17,512    686,120 
Reckitt Benckiser Group plc - ADR   34,350    542,730 
Reckitt Benckiser Group plc   3,212    252,359 
RELX plc - ADR   33,113    955,641 
RELX plc   58,665    1,688,905 
Rentokil Initial plc   62,540    491,160 
Sage Group plc (The) - ADR   2,320    91,443 
Sage Group plc (The)   33,781    321,681 
Segro plc   65,385    1,049,994 
Tesco plc - ADR   5,503    57,314 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund  

 

COMMON STOCKS - 98.1% (Continued)  Shares   Fair Value 
UNITED KINGDOM - 6.8% (Continued)          
Tesco plc   36,317   $123,694 
Unilever plc - ADR   19,812    1,074,207 
United Utilities Group plc   13,042    169,762 
         24,447,967 
UNITED STATES - 0.0% (c)          
Jackson Financial, Inc. - Class A (a)   876    22,766 
           
TOTAL COMMON STOCKS (Cost $219,406,256)       $350,458,460 

 

CORPORATE NOTES - 1.0%  Coupon   Maturity   Par Value   Fair Value 
COMMUNITY DEVELOPMENT - 1.0%                   
Calvert Social Investment Foundation, Inc. (d)   2.000%  06/15/22   $290,000   $290,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%  06/15/23    870,000    870,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%  12/15/23    480,000    480,000 
Calvert Social Investment Foundation, Inc. (d)   1.000%  06/14/24    450,000    450,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%  06/17/24    290,000    290,000 
Calvert Social Investment Foundation, Inc. (d)   3.000%  12/15/24    120,000    120,000 
Calvert Social Investment Foundation, Inc. (d)   2.500%  06/13/25    500,000    499,000 
Calvert Social Investment Foundation, Inc. (d)   2.500%  12/15/25    400,000    400,000 
TOTAL CORPORATE NOTES (Cost $3,400,000)                $3,399,000 

 

RIGHTS - 0.0% (c)  Shares   Fair Value 
AUSTRALIA - 0.0% (c)          
Transurban Group (a) (Cost $5,262)   8,607   $6,531 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

MONEY MARKET FUNDS - 0.4%  Shares   Fair Value 
First American Government Obligations Fund - Class X, 0.03% (e) (Cost $1,522,047)   1,522,047   $1,522,047 

 

COLLATERAL FOR SECURITIES LOANED - 2.9%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 0.09% (e)(f) (Cost $10,386,589)   10,386,589   $10,386,589 
           
TOTAL INVESTMENTS - (Cost $234,720,154) - 102.4%       $365,772,627 
           
LIABILITES IN EXESS OF OTHER ASSETS - (2.4%)        (8,480,207)
           
NET ASSETS - 100.0%       $357,292,420 

 

(a) Non-income producing security.
(b) All or a portion of the security is on loan.  The total value of the securities on loan as of September 30, 2021 was $10,065,113.  
(c) Percentage rounds to less than 0.1%.
(d)

Restricted and illiquid securities not registered under the Securities Act of 1933 are as follows: 

 

  

Acquisition

Date

  

Current

Cost

  

Fair

Value

  

% of Net

Assets

 
Calvert Social Investment Foundation, Inc.  2.000%, 06/15/22  06/17/19   $290,000   $290,000   0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/15/23  06/18/18    870,000    870,000   0.3%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/23  12/17/18    480,000    480,000   0.1%
Calvert Social Investment Foundation, Inc.  1.000%, 06/14/24  06/15/21    450,000    450,000   0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/17/24  06/17/19    290,000    290,000   0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/24  12/12/19    120,000    120,000   0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 06/13/25  06/12/20    500,000    499,000   0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 12/15/25  12/15/20    400,000    400,000   0.1%
       $3,400,000   $3,399,000   1.0%

 

(e) The rate shown is the 7-day effective yield as of September 30, 2021.
(f) The security was purchased with cash collateral held from securities on loan.  

 

ADR - American Depositary Receipt

CDI - CHESS Depositary Interest

plc - Public Liability Company

REIT - Real Estate Investment Trust

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

September 30, 2021 (Unaudited)

 

Common Stocks by Sector/Industry  % of Net Assets
Communications - 10.3%   
Advertising & Marketing  0.3%
Cable & Satellite  0.3%
Entertainment Content  0.6%
Internet Media & Services  4.0%
Publishing & Broadcasting  0.5%
Telecommunications  4.6%
Consumer Discretionary - 11.1%   
Apparel & Textile Products  1.5%
Automotive  3.5%
E-Commerce Discretionary  1.6%
Home Construction  1.0%
Leisure Facilities & Services  0.9%
Leisure Products  0.3%
Retail - Discretionary  2.0%
Wholesale - Discretionary  0.3%
Consumer Staples - 6.4%   
Beverages  0.7%
Food  1.9%
Household Products  2.0%
Retail - Consumer Staples  1.5%
Wholesale - Consumer Staples  0.3%
Energy - 3.3%   
Oil & Gas Producers  2.9%
Oil & Gas Services & Equipment  0.1%
Renewable Energy  0.3%
Financials - 17.7%   
Asset Management  1.1%
Banking  10.7%
Institutional Financial Services  1.2%
Insurance  4.6%
Specialty Finance  0.1%

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

Common Stocks by Sector/Industry (Continued)  % of Net Assets
Health Care - 7.9%   
Biotech & Pharma  4.9%
Health Care Facilities & Services  1.2%
Medical Equipment & Devices  1.8%
Industrials - 10.4%   
Commercial Support Services  1.8%
Diversified Industrials  0.8%
Electrical Equipment  1.7%
Engineering & Construction  0.1%
Industrial Support Services  0.7%
Machinery  1.9%
Transportation & Logistics  3.4%
Materials - 8.3%   
Chemicals  2.8%
Construction Materials  0.7%
Containers & Packaging  0.4%
Forestry, Paper & Wood Products  0.4%
Metals & Mining  2.7%
Steel  1.3%
Real Estate - 3.9%   
Real Estate Owners & Developers  1.5%
REITs  2.4%
Technology - 17.0%   
Semiconductors  5.7%
Software  1.2%
Technology Hardware  5.4%
Technology Services  4.7%
Utilities - 1.8%   
Electric & Gas Marketing & Trading  0.2%
Electric Utilities  1.4%
Gas & Water Utilities  0.2%
   98.1%

 

 

Schedule of Portfolio Investments    
Praxis Value Index Fund    
September 30, 2021 (Unaudited)    
          
COMMON STOCKS - 98.3%   Shares   Fair Value 
ADVERTISING & MARKETING - 0.2%           
Omnicom Group, Inc. (a)    10,229   $741,193 
            
APPAREL & TEXTILE PRODUCTS - 0.7%           
NIKE, Inc. - Class B    9,970    1,447,943 
PVH Corp. (b)    6,540    672,246 
VF Corp.    7,520    503,765 
          2,623,954 
ASSET MANAGEMENT - 0.8%           
Ameriprise Financial, Inc.    1,540    406,745 
BlackRock, Inc.    762    639,059 
Charles Schwab Corp. (The)    30,770    2,241,287 
          3,287,091 
AUTOMOTIVE - 0.5%           
BorgWarner, Inc.    14,870    642,533 
Ford Motor Co. (b)    97,563    1,381,492 
          2,024,025 
BANKING - 8.8%           
Bank of America Corp.    169,070    7,177,021 
Citigroup, Inc.    53,446    3,750,840 
Citizens Financial Group, Inc.    10,900    512,082 
Comerica, Inc.    9,200    740,600 
Fifth Third Bancorp    19,490    827,156 
Huntington Bancshares, Inc.    33,170    512,808 
JPMorgan Chase & Co.    74,775    12,239,920 
KeyCorp    21,488    464,571 
M&T Bank Corp.    7,616    1,137,373 
People's United Financial, Inc.    32,700    571,269 
PNC Financial Services Group, Inc. (The)    11,651    2,279,402 
Regions Financial Corp.    24,860    529,767 
Truist Financial Corp.    40,200    2,357,730 
U.S. Bancorp    28,047    1,667,114 
Zions Bancorp., N.A.    9,670    598,476 
          35,366,129 
BEVERAGES - 2.0%           
Coca-Cola Co. (The)    79,950    4,194,977 
PepsiCo, Inc.    25,859    3,889,452 
          8,084,429 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
BIOTECH & PHARMA - 5.8%           
AbbVie, Inc.    11,066   $1,193,689 
Amgen, Inc.    9,544    2,029,532 
Biogen, Inc. (b)    2,300    650,877 
Bristol-Myers Squibb Co.    28,879    1,708,770 
Eli Lilly & Co.    10,980    2,536,929 
Gilead Sciences, Inc.    32,650    2,280,602 
Johnson & Johnson    40,071    6,471,466 
Merck & Co., Inc.    25,610    1,923,567 
Moderna, Inc. (b)    2,780    1,069,911 
Organon & Co.    37,554    1,231,396 
Vertex Pharmaceuticals, Inc. (b)    1,570    284,782 
Viatris, Inc.    69,350    939,693 
Zoetis, Inc.    3,990    774,619 
          23,095,833 
CABLE & SATELLITE - 0.8%           
Comcast Corp. - Class A    60,520    3,384,884 
            
CHEMICALS - 3.5%           
Air Products & Chemicals, Inc.    2,797    716,340 
Celanese Corp.    4,040    608,586 
Dow, Inc.    8,860    509,982 
DuPont de Nemours, Inc.    12,548    853,138 
Eastman Chemical Co.    3,900    392,886 
International Flavors & Fragrances, Inc.    8,452    1,130,201 
Linde plc    11,936    3,501,784 
LyondellBasell Industries N.V. - Class A    57,850    5,429,222 
Sherwin-Williams Co. (The)    2,880    805,622 
          13,947,761 
COMMERCIAL SUPPORT SERVICES - 1.9%           
Republic Services, Inc.    25,760    3,092,746 
Robert Half International, Inc.    8,160    818,693 
Waste Management, Inc.    25,070    3,744,455 
          7,655,894 
CONSTRUCTION MATERIALS - 0.2%           
Martin Marietta Materials, Inc. (a)    2,140    731,195 
            
CONTAINERS & PACKAGING - 0.4%           
Ball Corp.    5,768    518,947 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
CONTAINERS & PACKAGING - 0.4% (Continued)           
International Paper Co.    12,160   $679,987 
WestRock Co.    10,430    519,727 
          1,718,661 
DIVERSIFIED INDUSTRIALS - 1.1%           
Dover Corp.    5,253    816,841 
Emerson Electric Co.    11,724    1,104,401 
Illinois Tool Works, Inc. (a)    11,135    2,300,825 
          4,222,067 
ELECTRIC UTILITIES - 4.7%           
AES Corp. (The)    27,234    621,752 
Ameren Corp.    7,200    583,200 
American Electric Power Co., Inc.    16,270    1,320,799 
CMS Energy Corp.    12,530    748,417 
Consolidated Edison, Inc.    26,561    1,928,063 
DTE Energy Co.    4,170    465,831 
Duke Energy Corp.    29,724    2,900,765 
Edison International    11,827    656,044 
Eversource Energy    10,350    846,216 
NextEra Energy, Inc.    37,400    2,936,648 
NRG Energy, Inc.    15,780    644,297 
PPL Corp.    16,050    447,474 
Sempra Energy    15,043    1,902,939 
Southern Co. (The)    31,681    1,963,272 
Xcel Energy, Inc.    14,114    882,125 
          18,847,842 
ELECTRICAL EQUIPMENT - 3.4%           
Carrier Global Corp.    9,550    494,308 
Johnson Controls International plc (a)    119,867    8,160,545 
Keysight Technologies, Inc. (b)    4,270    701,518 
Otis Worldwide Corp.    5,570    458,300 
Rockwell Automation, Inc.    5,250    1,543,710 
Roper Technologies, Inc.    2,520    1,124,248 
Trane Technologies plc    7,740    1,336,311 
          13,818,940 
ENTERTAINMENT CONTENT - 2.6%           
Activision Blizzard, Inc.    6,620    512,322 
Discovery, Inc. (b)    19,010    482,474 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
ENTERTAINMENT CONTENT - 2.6% (Continued)           
Electronic Arts, Inc.    2,910   $413,947 
Fox Corp. - Class A (a)    15,020    602,452 
ViacomCBS, Inc. - Class B (a)    14,766    583,405 
Walt Disney Co. (The) (b)    46,899    7,933,904 
          10,528,504 
FOOD - 2.4%           
Campbell Soup Co.    24,510    1,024,763 
Conagra Brands, Inc. (a)    16,070    544,291 
General Mills, Inc.    33,564    2,007,799 
Hershey Co. (The)    2,830    478,978 
Hormel Foods Corp.    15,960    654,360 
J.M. Smucker Co. (The) (a)    3,710    445,311 
Kellogg Co. (a)    6,820    435,934 
Kraft Heinz Co. (The)    15,150    557,823 
McCormick & Co., Inc.    4,900    397,047 
Mondelez International, Inc. - Class A    40,482    2,355,243 
Tyson Foods, Inc. - Class A    9,110    719,143 
          9,620,692 
GAS & WATER UTILITIES - 0.4%           
American Water Works Co., Inc.    4,630    782,655 
NiSource, Inc.    29,770    721,327 
          1,503,982 
HEALTH CARE FACILITIES & SERVICES - 4.6%           
AmerisourceBergen Corp.    8,740    1,043,993 
Anthem, Inc.    6,020    2,244,256 
Cardinal Health, Inc.    20,270    1,002,554 
Centene Corp. (b)    15,600    972,036 
Cigna Corp.    8,662    1,733,786 
CVS Health Corp.    40,634    3,448,201 
HCA Healthcare, Inc.    4,100    995,152 
Humana, Inc. (a)    1,420    552,593 
IQVIA Holdings, Inc. (b)    2,920    699,457 
Laboratory Corp. of America Holdings (b)    2,120    596,653 
McKesson Corp.    5,714    1,139,257 
Quest Diagnostics, Inc.    2,720    395,243 
UnitedHealth Group, Inc.    9,750    3,809,715 
          18,632,896 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
HOME & OFFICE PRODUCTS - 0.3%           
Newell Brands, Inc. (a)    16,550   $366,417 
Whirlpool Corp. (a)    3,500    713,510 
          1,079,927 
HOME CONSTRUCTION - 0.2%           
Mohawk Industries, Inc. (b)    4,070    722,018 
            
HOUSEHOLD PRODUCTS - 2.0%           
Church & Dwight Co., Inc.    6,650    549,090 
Estée Lauder Cos., Inc. (The) - Class A    5,290    1,586,630 
Kimberly-Clark Corp.    3,750    496,650 
Procter & Gamble Co. (The)    37,456    5,236,349 
          7,868,719 
INDUSTRIAL SUPPORT SERVICES - 0.2%           
Fastenal Co.    4,760    245,664 
W.W. Grainger, Inc.    1,090    428,435 
          674,099 
INSTITUTIONAL FINANCIAL SERVICES - 3.0%           
Bank of New York Mellon Corp. (The)    38,024    1,971,164 
CME Group, Inc.    9,190    1,777,162 
Goldman Sachs Group, Inc. (The)    8,267    3,125,174 
Intercontinental Exchange, Inc.    5,470    628,065 
Morgan Stanley    29,931    2,912,586 
Northern Trust Corp.    6,297    678,880 
State Street Corp.    11,280    955,642 
          12,048,673 
INSURANCE - 5.4%           
Aflac, Inc.    38,140    1,988,238 
Allstate Corp. (The)    10,919    1,390,098 
American International Group, Inc.    29,507    1,619,639 
Arthur J. Gallagher & Co.    2,930    435,544 
Assurant, Inc.    4,170    657,817 
Berkley (W.R.) Corp.    11,170    817,421 
Cincinnati Financial Corp. (a)    7,712    880,865 
Globe Life, Inc.    6,860    610,746 
Hartford Financial Services Group, Inc. (The)    23,910    1,679,677 
Lincoln National Corp.    22,490    1,546,188 
Loews Corp.    16,890    910,878 
Marsh & McLennan Cos., Inc.    7,150    1,082,725 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
INSURANCE - 5.4% (Continued)           
MetLife, Inc.    35,413   $2,186,044 
Principal Financial Group, Inc.    11,170    719,348 
Progressive Corp. (The)    12,410    1,121,740 
Prudential Financial, Inc.    23,410    2,462,732 
Travelers Cos., Inc. (The)    11,393    1,731,850 
          21,841,550 
INTERNET MEDIA & SERVICES - 0.5%           
Booking Holdings, Inc. (b)    660    1,566,754 
Expedia Group, Inc. (b)    3,040    498,256 
          2,065,010 
LEISURE FACILITIES & SERVICES - 2.1%           
Carnival Corp. (a)(b)    28,663    716,861 
Darden Restaurants, Inc.    4,210    637,689 
Hilton Worldwide Holdings, Inc. (b)    6,420    848,146 
Live Nation Entertainment, Inc. (a)(b)    6,190    564,095 
Marriott International, Inc. - Class A (b)    8,550    1,266,169 
McDonald's Corp.    9,980    2,406,278 
Starbucks Corp.    13,490    1,488,082 
Yum! Brands, Inc.    5,400    660,474 
          8,587,794 
LEISURE PRODUCTS - 0.1%           
Hasbro, Inc.    6,490    579,038 
            
MACHINERY - 1.3%           
Deere & Co.    2,897    970,698 
IDEX Corp.    2,840    587,738 
Ingersoll-Rand, Inc. (b)    31,330    1,579,345 
Stanley Black & Decker, Inc.    5,070    888,822 
Xylem, Inc.    10,290    1,272,667 
          5,299,270 
MEDICAL EQUIPMENT & DEVICES - 4.9%           
Abbott Laboratories    35,810    4,230,235 
Baxter International, Inc.    17,182    1,381,948 
Becton, Dickinson and Co.    7,110    1,747,780 
Boston Scientific Corp. (b)    38,100    1,653,159 
Cooper Cos., Inc. (The)    1,170    483,573 
Danaher Corp.    6,410    1,951,460 
DENTSPLY SIRONA, Inc.    8,810    511,420 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
MEDICAL EQUIPMENT & DEVICES - 4.9% (Continued)           
Edwards Lifesciences Corp. (b)    5,460   $618,127 
Illumina, Inc. (b)    2,520    1,022,137 
Intuitive Surgical, Inc. (b)    410    407,602 
Medtronic plc    11,300    1,416,455 
Stryker Corp.    3,720    981,038 
Teleflex, Inc.    1,370    515,874 
Thermo Fisher Scientific, Inc.    1,954    1,116,379 
Waters Corp. (b)    4,800    1,715,040 
          19,752,227 
METALS & MINING - 0.2%           
Newmont Corp.    15,870    861,741 
            
OIL & GAS PRODUCERS - 2.6%           
ConocoPhillips    115,497    7,827,232 
Valero Energy Corp.    38,560    2,721,179 
          10,548,411 
OIL & GAS SERVICES & EQUIPMENT - 1.5%           
Baker Hughes Co.    80,150    1,982,110 
Schlumberger Ltd.    139,496    4,134,661 
          6,116,771 
REAL ESTATE SERVICES - 1.2%           
CBRE Group, Inc. - Class A (b)    50,110    4,878,710 
            
REITS - 4.4%           
American Tower Corp.    4,760    1,263,352 
AvalonBay Communities, Inc.    5,900    1,307,676 
Boston Properties, Inc. (a)    6,280    680,438 
Crown Castle International Corp.    4,160    721,011 
Digital Realty Trust, Inc.    5,980    863,811 
Equinix, Inc.    910    719,018 
Equity Residential    17,370    1,405,580 
Federal Realty Investment Trust    5,670    669,003 
Healthpeak Properties, Inc.    20,530    687,344 
Host Hotels & Resorts, Inc. (b)    49,590    809,805 
Iron Mountain, Inc. (a)    22,570    980,667 
Kimco Realty Corp.    22,420    465,215 
Prologis, Inc.    22,180    2,782,037 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
REITS - 4.4% (Continued)           
Public Storage    1,920   $570,432 
Realty Income Corp.    9,490    615,521 
Regency Centers Corp.    9,230    621,456 
Simon Property Group, Inc. (a)    3,119    405,377 
Ventas, Inc.    10,570    583,570 
Vornado Realty Trust    17,950    754,080 
Welltower, Inc. (a)    9,100    749,840 
          17,655,233 
RETAIL - CONSUMER STAPLES - 2.4%           
Costco Wholesale Corp.    3,160    1,419,946 
Dollar Tree, Inc. (b)    4,010    383,837 
Kroger Co. (The) (a)    20,514    829,381 
Target Corp.    3,350    766,380 
Walgreen Boots Alliance, Inc.    23,650    1,112,733 
Walmart, Inc.    35,430    4,938,233 
          9,450,510 
RETAIL - DISCRETIONARY - 1.6%           
Genuine Parts Co.    4,570    554,021 
Home Depot, Inc. (The)    6,312    2,071,977 
Lowe's Cos., Inc.    3,930    797,240 
Ross Stores, Inc.    9,950    1,083,058 
TJX Cos., Inc. (The)    29,130    1,921,997 
          6,428,293 
SEMICONDUCTORS - 3.0%           
Analog Devices, Inc.    4,430    741,936 
Broadcom, Inc.    3,100    1,503,283 
Intel Corp.    101,848    5,426,462 
IPG Photonics Corp. (a)(b)    2,450    388,080 
Micron Technology, Inc.    29,590    2,100,298 
Texas Instruments, Inc.    10,140    1,949,009 
          12,109,068 
SOFTWARE - 1.2%           
Microsoft Corp.    4,950    1,395,504 
NortonLifeLock, Inc.    15,800    399,740 
Oracle Corp.    20,392    1,776,755 
salesforce.com, inc. (b)    1,770    480,060 
Synopsys, Inc. (b)    2,040    610,796 
          4,662,855 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
SPECIALTY FINANCE - 1.6%           
American Express Co.    17,094   $2,863,758 
Capital One Financial Corp.    12,040    1,950,119 
Discover Financial Services    7,820    960,687 
Synchrony Financial    15,070    736,621 
          6,511,185 
STEEL - 0.2%           
Nucor Corp. (a)    6,590    649,049 
            
TECHNOLOGY HARDWARE - 2.3%           
Cisco Systems, Inc.    121,300    6,602,359 
Corning, Inc.    14,610    533,119 
HP, Inc.    36,560    1,000,281 
Juniper Networks, Inc.    21,720    597,734 
Western Digital Corp. (b)    11,965    675,305 
          9,408,798 
TECHNOLOGY SERVICES - 5.9%           
Accenture plc - Class A    17,800    5,694,576 
Automatic Data Processing, Inc.    5,210    1,041,583 
Cognizant Technology Solutions Corp. - Class A    6,500    482,365 
DXC Technology Co. (b)    15,380    516,922 
Fidelity National Information Services, Inc.    16,860    2,051,525 
Fiserv, Inc. (b)    8,970    973,245 
FleetCor Technologies, Inc. (b)    2,190    572,181 
Global Payments, Inc.    7,040    1,109,363 
International Business Machines Corp.    24,782    3,442,963 
Mastercard, Inc. - Class A    6,940    2,412,899 
Paychex, Inc.    10,194    1,146,315 
S&P Global, Inc. (a)    1,620    688,322 
Visa, Inc. - Class A (a)    15,730    3,503,858 
          23,636,117 
TELECOMMUNICATIONS - 2.6%           
AT&T, Inc.    172,926    4,670,731 
Lumen Technologies, Inc. (a)    47,328    586,394 
T-Mobile US, Inc. (b)    3,980    508,485 
Verizon Communications, Inc.    89,000    4,806,890 
          10,572,500 
TRANSPORTATION & LOGISTICS - 2.1%           
Alaska Air Group, Inc. (b)    9,130    535,018 

 

 

Schedule of Portfolio Investments (Continued) 
Praxis Value Index Fund 
            
COMMON STOCKS - 98.3% (Continued)   Shares   Fair Value 
TRANSPORTATION & LOGISTICS - 2.1% (Continued)           
American Airlines Group, Inc. (a)(b)    23,560   $483,451 
C.H. Robinson Worldwide, Inc. (a)    6,070    528,090 
CSX Corp.    22,190    659,931 
Delta Air Lines, Inc. (b)    11,410    486,180 
FedEx Corp.    3,340    732,429 
J.B. Hunt Transport Services, Inc.    4,690    784,262 
Norfolk Southern Corp.    2,680    641,190 
Southwest Airlines Co. (b)    8,950    460,298 
Union Pacific Corp.    9,130    1,789,571 
United Airlines Holdings, Inc. (b)    12,530    596,052 
United Parcel Service, Inc. - Class B    4,000    728,400 
          8,424,872 
TRANSPORTATION EQUIPMENT - 0.2%           
PACCAR, Inc.    5,090    401,703 
Westinghouse Air Brake Technologies Corp. (a)    4,610    397,428 
          799,131 
WHOLESALE - CONSUMER STAPLES - 0.3%           
Sysco Corp.    13,680    1,073,880 
            
WHOLESALE - DISCRETIONARY - 0.2%           
LKQ Corp. (b)    15,760    793,043 
            
TOTAL COMMON STOCKS (COST $297,116,053)        $394,934,464 

 

CORPORATE NOTES - 0.9%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 0.9%                    
Calvert Social Investment Foundation, Inc. (c)   2.000%   06/15/22   $280,000   $280,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   06/15/23    450,000    450,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   12/15/23    720,000    720,000 
Calvert Social Investment Foundation, Inc. (c)   1.000%   06/14/24    750,000    750,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   06/17/24    280,000    280,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   12/15/24    250,000    250,000 
Calvert Social Investment Foundation, Inc. (c)   2.500%   06/13/25    280,000    279,440 

 

 

Schedule of Portfolio Investments (Continued)
Praxis Value Index Fund                    

 

CORPORATE NOTES - 0.9% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 0.9% (Continued)                    
Calvert Social Investment Foundation, Inc. (c)   2.500%   12/15/25   $450,000   $450,000 
TOTAL CORPORATE NOTES (COST $3,460,000)                 $3,459,440 

 

MONEY MARKET FUNDS - 0.7%  Shares   Fair Value 
First American Government Obligations Fund - Class X, 0.03% (d) (COST $2,662,640)   2,662,640   $2,662,640 

 

COLLATERAL FOR SECURITIES LOANED - 7.0%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 0.09% (d)(e) (COST $28,307,708)  28,307,708   $28,307,708 
           
TOTAL INVESTMENTS - (COST $331,546,401) - 106.9%      $429,364,252 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (6.9%)       (27,759,728)
           
NET ASSETS - 100.0%      $401,604,524 

 

(a) All or a portion of the security is on loan.  The total value of the securities on loan as of September 30, 2021 was $27,006,226.  
(b) Non-income producing security.
(c)

Restricted and illiquid securities not registered under the Securities Act of 1933 are as follows:

 

   Acquisition   Current   Fair   % of Net 
   Date   Cost   Value   Assets 
Calvert Social Investment Foundation, Inc.  2.000%, 06/15/22  06/17/19   $280,000   $280,000    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/15/23  06/18/18    450,000    450,000    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/23  12/17/18    720,000    720,000    0.2%
Calvert Social Investment Foundation, Inc.  1.000%, 06/14/24  06/15/21    750,000    750,000    0.2%
Calvert Social Investment Foundation, Inc.  3.000%, 06/17/24  06/17/19    280,000    280,000    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/24  12/12/19    250,000    250,000    0.0%(f)
Calvert Social Investment Foundation, Inc.  2.500%, 06/13/25  06/12/20    280,000    279,440    0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 12/15/25  12/15/20    450,000    450,000    0.1%
       $3,460,000   $3,459,440    0.9%

 

(d) The rate shown is the 7-day effective yield as of September 30, 2021.
(e) The security was purchased with cash collateral held from securities on loan.  
(f) Percentage rounds to less than 0.1%.  

 

 

plc - Public Liability

 

 

Schedule of Portfolio Investments    
Praxis Growth Index Fund    
September 30, 2021 (Unaudited)    
         
COMMON STOCKS - 99.0%  Shares   Fair Value 
APPAREL & TEXTILE PRODUCTS - 0.7%          
NIKE, Inc. - Class B   21,587   $3,135,080 
           
ASSET MANAGEMENT - 0.5%          
BlackRock, Inc.   2,233    1,872,728 
T. Rowe Price Group, Inc.   1,940    381,598 
         2,254,326 
AUTOMOTIVE - 3.0%          
Tesla, Inc. (a)   18,060    14,005,169 
           
BANKING - 0.1%          
SVB Financial Group (a)   800    517,504 
           
BEVERAGES - 1.0%          
Coca-Cola Co. (The)   30,210    1,585,118 
PepsiCo, Inc.   19,670    2,958,565 
         4,543,683 
BIOTECH & PHARMA - 4.2%          
AbbVie, Inc.   28,751    3,101,370 
Amgen, Inc.   6,134    1,304,395 
Biogen, Inc. (a)   1,280    362,227 
Bristol-Myers Squibb Co.   28,376    1,679,008 
Eli Lilly & Co.   10,580    2,444,509 
Incyte Corp. (a)   8,757    602,306 
Johnson & Johnson   20,108    3,247,442 
Merck & Co., Inc.   24,871    1,868,061 
Moderna, Inc. (a)   1,590    611,927 
Organon & Co.   207    6,788 
Regeneron Pharmaceuticals, Inc. (a)   2,501    1,513,555 
Vertex Pharmaceuticals, Inc. (a)   5,704    1,034,649 
Zoetis, Inc.   8,600    1,669,604 
         19,445,841 
CABLE & SATELLITE - 1.2%          
Charter Communications, Inc. - Class A (a)(b)   3,722    2,707,978 
Comcast Corp. - Class A   53,294    2,980,734 
         5,688,712 
CHEMICALS - 1.4%          
Air Products & Chemicals, Inc.   4,148    1,062,344 

 

 

Schedule of Portfolio Investments (Continued)          
Praxis Growth Index Fund          
           
COMMON STOCKS - 99.0% (Continued)  Shares   Fair Value 
CHEMICALS - 1.4% (Continued)          
Dow, Inc.   8,087   $465,488 
Ecolab, Inc.   2,074    432,678 
Linde plc   11,878    3,484,767 
Sherwin-Williams Co. (The)   3,471    970,943 
         6,416,220 
COMMERCIAL SUPPORT SERVICES - 0.2%          
Waste Management, Inc.   6,124    914,681 
           
CONTAINERS & PACKAGING - 0.2%          
Ball Corp.   8,283    745,221 
           
DIVERSIFIED INDUSTRIALS - 0.3%          
Illinois Tool Works, Inc.   5,784    1,195,148 
           
E-COMMERCE DISCRETIONARY - 6.5%          
Amazon.com, Inc. (a)   8,700    28,579,848 
eBay, Inc.   10,955    763,235 
Etsy, Inc. (a)   3,530    734,099 
         30,077,182 
ELECTRIC UTILITIES - 0.3%          
Eversource Energy   6,420    524,899 
NextEra Energy, Inc.   11,334    889,946 
         1,414,845 
ELECTRICAL EQUIPMENT - 1.2%          
Amphenol Corp. - Class A   7,872    576,466 
Carrier Global Corp.   9,910    512,941 
Generac Holdings, Inc. (a)   1,590    649,785 
Keysight Technologies, Inc. (a)   4,941    811,757 
Otis Worldwide Corp.   5,220    429,502 
Rockwell Automation, Inc.   2,298    675,704 
Roper Technologies, Inc.   1,699    757,975 
TE Connectivity Ltd.   5,030    690,217 
Trane Technologies plc   2,180    376,377 
         5,480,724 
ENTERTAINMENT CONTENT - 0.3%          
Activision Blizzard, Inc.   160    12,382 
Electronic Arts, Inc.   5,055    719,074 

 

 

Schedule of Portfolio Investments (Continued)          
Praxis Growth Index Fund          
           
COMMON STOCKS - 99.0% (Continued)  Shares   Fair Value 
ENTERTAINMENT CONTENT - 0.3% (Continued)          
Walt Disney Co. (The) (a)   2,553   $431,891 
         1,163,347 
FOOD - 0.1%          
General Mills, Inc.   8,970    536,585 
           
GAS & WATER UTILITIES - 0.1%          
American Water Works Co., Inc.   3,780    638,971 
           
HEALTH CARE FACILITIES & SERVICES - 2.0%          
AmerisourceBergen Corp.   190    22,695 
Anthem, Inc.   1,300    484,640 
Catalent, Inc. (a)   2,980    396,548 
Cigna Corp.   60    12,010 
DaVita, Inc. (a)   5,090    591,763 
HCA Healthcare, Inc.   2,590    628,645 
Henry Schein, Inc. (a)   8,130    619,181 
Humana, Inc.   1,060    412,499 
IQVIA Holdings, Inc. (a)   2,768    663,047 
Laboratory Corp. of America Holdings (a)   1,440    405,274 
McKesson Corp.   3,370    671,911 
UnitedHealth Group, Inc.   11,450    4,473,973 
         9,382,186 
HOME CONSTRUCTION - 0.2%          
D.R. Horton, Inc.   6,078    510,370 
Masco Corp.   8,006    444,733 
         955,103 
HOUSEHOLD PRODUCTS - 1.3%          
Church & Dwight Co., Inc.   6,461    533,485 
Colgate-Palmolive Co.   9,857    744,992 
Estée Lauder Cos., Inc. (The) - Class A   3,409    1,022,461 
Procter & Gamble Co. (The)   26,417    3,693,097 
         5,994,035 
INDUSTRIAL SUPPORT SERVICES - 0.3%          
Fastenal Co.   11,534    595,270 
United Rentals, Inc. (a)   1,490    522,885 
W.W. Grainger, Inc.   1,230    483,464 
         1,601,619 

 

 

Schedule of Portfolio Investments (Continued)          
Praxis Growth Index Fund          
           
COMMON STOCKS - 99.0% (Continued)  Shares   Fair Value 
INSTITUTIONAL FINANCIAL SERVICES - 0.2%          
Intercontinental Exchange, Inc.   5,221   $599,475 
Nasdaq, Inc.   2,270    438,156 
         1,037,631 
INSURANCE - 0.4%          
Marsh & McLennan Cos., Inc.   8,240    1,247,783 
Progressive Corp. (The)   7,258    656,051 
         1,903,834 
INTERNET MEDIA & SERVICES - 13.4%          
Alphabet, Inc. - Class A (a)   5,155    13,781,996 
Alphabet, Inc. - Class C (a)   7,156    19,072,958 
Booking Holdings, Inc. (a)   445    1,056,372 
Expedia Group, Inc. (a)   30    4,917 
Facebook, Inc. - Class A (a)   59,345    20,141,100 
Netflix, Inc. (a)   10,752    6,562,376 
Twitter, Inc. (a)   19,770    1,193,910 
         61,813,629 
LEISURE FACILITIES & SERVICES - 1.0%          
Chipotle Mexican Grill, Inc. (a)   617    1,121,410 
Domino's Pizza, Inc.   1,410    672,514 
McDonald's Corp.   4,737    1,142,138 
Starbucks Corp.   14,692    1,620,674 
Yum! Brands, Inc.   2,384    291,587 
         4,848,323 
MACHINERY - 0.6%          
Deere & Co.   6,786    2,273,785 
Xylem, Inc.   3,320    410,618 
         2,684,403 
MEDICAL EQUIPMENT & DEVICES - 5.9%          
Abbott Laboratories   23,826    2,814,565 
Agilent Technologies, Inc.   8,185    1,289,383 
Align Technology, Inc. (a)   1,711    1,138,551 
Bio-Rad Laboratories, Inc. - Class A (a)   1,000    745,950 
Cooper Cos., Inc. (The)   1,161    479,853 
Danaher Corp.   14,004    4,263,378 
DexCom, Inc. (a)   2,750    1,503,865 
Edwards Lifesciences Corp. (a)   7,610    861,528 
Hologic, Inc. (a)   6,559    484,120 
IDEXX Laboratories, Inc. (a)   2,060    1,281,114 

 

 

Schedule of Portfolio Investments (Continued)          
Praxis Growth Index Fund          
           
COMMON STOCKS - 99.0% (Continued)  Shares   Fair Value 
MEDICAL EQUIPMENT & DEVICES - 5.9% (Continued)          
Illumina, Inc. (a)   2,758   $1,118,672 
Intuitive Surgical, Inc. (a)   360    357,894 
Mettler-Toledo International, Inc. (a)   960    1,322,265 
PerkinElmer, Inc.   4,400    762,476 
ResMed, Inc.   3,458    911,356 
Thermo Fisher Scientific, Inc.   10,795    6,167,507 
Waters Corp. (a)   1,646    588,116 
West Pharmaceutical Services, Inc.   2,490    1,057,105 
         27,147,698 
METALS & MINING - 0.1%          
Newmont Corp.   6,860    372,498 
           
REAL ESTATE SERVICES - 0.4%          
CBRE Group, Inc. - Class A (a)   17,813    1,734,274 
           
REITS - 1.3%          
American Tower Corp.   5,412    1,436,399 
Crown Castle International Corp.   6,699    1,161,071 
Equinix, Inc.   1,687    1,332,949 
Extra Space Storage, Inc.   2,720    456,933 
Prologis, Inc.   3,257    408,525 
Public Storage   2,570    763,547 
SBA Communications Corp.   1,668    551,391 
         6,110,815 
RETAIL - CONSUMER STAPLES - 1.3%          
Costco Wholesale Corp.   5,743    2,580,617 
Dollar General Corp.   7,323    1,553,501 
Target Corp.   8,164    1,867,679 
         6,001,797 
RETAIL - DISCRETIONARY - 3.0%          
AutoZone, Inc. (a)   469    796,357 
Bath & Body Works, Inc.   10,790    680,094 
Home Depot, Inc. (The)   21,556    7,075,972 
Lowe's Cos., Inc.   14,179    2,876,352 
O'Reilly Automotive, Inc. (a)   1,750    1,069,355 
Ross Stores, Inc.   2,715    295,528 
TJX Cos., Inc. (The)   6,093    402,016 

 

 

Schedule of Portfolio Investments (Continued)          
Praxis Growth Index Fund          
           
COMMON STOCKS - 99.0% (Continued)  Shares   Fair Value 
RETAIL - DISCRETIONARY - 3.0% (Continued)          
Tractor Supply Co. (b)   2,070   $419,403 
Ulta Beauty, Inc. (a)   1,070    386,184 
         14,001,261 
SEMICONDUCTORS - 7.5%          
Advanced Micro Devices, Inc. (a)   29,581    3,043,885 
Analog Devices, Inc.   6,264    1,049,095 
Applied Materials, Inc.   22,756    2,929,380 
Broadcom, Inc.   6,519    3,161,259 
KLA Corp.   4,142    1,385,540 
Lam Research Corp.   3,673    2,090,488 
Microchip Technology, Inc.   2,570    394,469 
Monolithic Power Systems, Inc.   1,810    877,271 
NVIDIA Corp.   61,236    12,685,650 
QUALCOMM, Inc.   28,060    3,619,179 
Texas Instruments, Inc.   15,207    2,922,937 
Xilinx, Inc.   4,239    640,046 
         34,799,199 
SOFTWARE - 17.5%          
Adobe, Inc. (a)   14,127    8,133,196 
ANSYS, Inc. (a)   1,628    554,253 
Autodesk, Inc. (a)   4,686    1,336,307 
Cadence Design Systems, Inc. (a)   11,834    1,792,141 
Citrix Systems, Inc.   962    103,290 
Fortinet, Inc. (a)   4,150    1,211,966 
Intuit, Inc.   8,000    4,316,080 
Microsoft Corp.   168,288    47,443,753 
Oracle Corp.   28,780    2,507,601 
Paycom Software, Inc. (a)   1,270    629,602 
salesforce.com, inc. (a)   25,477    6,909,872 
ServiceNow, Inc. (a)   5,223    3,250,116 
Synopsys, Inc. (a)   6,470    1,937,183 
Tyler Technologies, Inc. (a)   1,360    623,764 
         80,749,124 
TECHNOLOGY HARDWARE - 11.1%          
Apple, Inc.   351,448    49,729,892 
Arista Networks, Inc. (a)   1,860    639,170 
Cisco Systems, Inc.   7,030    382,643 

 

 

Schedule of Portfolio Investments (Continued)          
Praxis Growth Index Fund          
           
COMMON STOCKS - 99.0% (Continued)  Shares   Fair Value 
TECHNOLOGY HARDWARE - 11.1% (Continued)          
Zebra Technologies Corp. - Class A (a)   1,267   $653,037 
         51,404,742 
TECHNOLOGY SERVICES - 8.0%          
Accenture plc - Class A   18,389    5,883,009 
Automatic Data Processing, Inc.   7,780    1,555,378 
Broadridge Financial Solutions, Inc.   2,596    432,597 
Fiserv, Inc. (a)   9,656    1,047,676 
Gartner, Inc. (a)   1,430    434,548 
IHS Markit Ltd.   6,627    772,841 
Jack Henry & Associates, Inc. (b)   3,810    625,069 
Mastercard, Inc. - Class A   16,976    5,902,216 
Moody's Corp.   3,375    1,198,496 
MSCI, Inc.   1,797    1,093,187 
PayPal Holdings, Inc. (a)   33,047    8,599,160 
S&P Global, Inc. (b)   6,654    2,827,218 
Verisk Analytics, Inc.   3,035    607,819 
Visa, Inc. - Class A (b)   27,913    6,217,621 
         37,196,835 
TELECOMMUNICATIONS - 0.2%          
T-Mobile US, Inc. (a)   8,780    1,121,733 
           
TRANSPORTATION & LOGISTICS - 1.7%          
CSX Corp.   28,911    859,813 
FedEx Corp.   4,000    877,160 
J.B. Hunt Transport Services, Inc.   2,270    379,589 
Norfolk Southern Corp.   2,169    518,933 
Old Dominion Freight Line, Inc.   4,700    1,344,106 
Union Pacific Corp.   6,861    1,344,825 
United Parcel Service, Inc. - Class B   13,705    2,495,681 
         7,820,107 
WHOLESALE - DISCRETIONARY - 0.3%          
Copart, Inc. (a)   5,108    708,582 
Pool Corp.   1,190    516,948 
         1,225,530 
           
TOTAL COMMON STOCKS (COST $184,545,034)       $458,079,615 

 

 

Schedule of Portfolio Investments (Continued)    
Praxis Growth Index Fund    
             
CORPORATE NOTES - 0.9%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 0.9%                    
Calvert Social Investment Foundation, Inc. (c)   2.000%   06/15/22   $550,000   $550,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   06/15/23    900,000    900,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   12/15/23    200,000    200,000 
Calvert Social Investment Foundation, Inc. (c)   1.000%   06/14/24    520,000    520,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   06/17/24    550,000    550,000 
Calvert Social Investment Foundation, Inc. (c)   3.000%   12/15/24    150,000    150,000 
Calvert Social Investment Foundation, Inc. (c)   2.500%   06/13/25    670,000    668,660 
Calvert Social Investment Foundation, Inc. (c)   2.500%   12/15/25    500,000    500,000 
TOTAL CORPORATE NOTES (COST $4,040,000)                 $4,038,660 

 

MONEY MARKET FUNDS - 0.1%  Shares   Fair Value 
First American Government Obligations Fund - Class X, 0.03% (d) (COST $656,601)   656,601   $656,601 

 

 

Schedule of Portfolio Investments (Continued)    
Praxis Growth Index Fund          
           
COLLATERAL FOR SECURITIES LOANED - 2.7%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 0.09% (d)(e) (COST $12,525,642)   12,525,642   $12,525,642 
           
TOTAL INVESTMENTS - (COST $201,767,277) - 102.7%       $475,300,518 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (2.7%)        (12,641,857)
           
NET ASSETS - 100.0%       $462,658,661 

 

(a) Non-income producing security.
(b) All or a portion of the security is on loan.  The total value of the securities on loan as of September 30, 2021 was $12,126,488.  
(c)

Restricted and illiquid securities not registered under the Securities Act of 1933 are as follows:

 

   Acquisition   Current   Fair   % of Net 
   Date   Cost   Value   Assets 
Calvert Social Investment Foundation, Inc.  2.000%, 06/15/22  06/17/19   $550,000   $550,000    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/15/23  06/18/18    900,000    900,000    0.2%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/23  12/17/18    200,000    200,000    0.1%
Calvert Social Investment Foundation, Inc.  1.000%, 06/14/24  06/15/21    520,000    520,000    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/17/24  06/17/19    550,000    550,000    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/24  12/12/19    150,000    150,000    0.0%(f)
Calvert Social Investment Foundation, Inc.  2.500%, 06/13/25  06/12/20    670,000    668,660    0.2%
Calvert Social Investment Foundation, Inc.  2.500%, 12/15/25  12/15/20    500,000    500,000    0.1%
       $4,040,000   $4,038,660    0.9%

 

(d) The rate shown is the 7-day effective yield as of September 30, 2021.
(e) The security was purchased with cash collateral held from securities on loan.  
(f) Percentage rounds to less than 0.1%.  

 

plc - Public Liability Company

 

 

Schedule of Portfolio Investments  

Praxis Small Cap Index Fund  

September 30, 2021 (Unaudited)  

 

COMMON STOCKS - 98.6%  Shares   Fair Value 
ADVERTISING & MARKETING - 0.1%          
QuinStreet, Inc. (a)   7,790   $136,792 
           
AEROSPACE & DEFENSE - 0.2%          
Barnes Group, Inc.   2,800    116,844 
Park Aerospace Corp.   12,250    167,580 
         284,424 
APPAREL & TEXTILE PRODUCTS - 1.2%          
Fossil Group, Inc. (a)   15,270    180,949 
Kontoor Brands, Inc. (b)   7,330    366,134 
Movado Group, Inc.   6,810    214,447 
Oxford Industries, Inc. (b)   3,465    312,439 
Steven Madden Ltd.   11,935    479,310 
Wolverine World Wide, Inc.   13,500    402,840 
         1,956,119 
ASSET MANAGEMENT - 0.4%          
Blucora, Inc. (a)   15,340    239,151 
BrightSphere Investment Group, Inc.   7,030    183,694 
Virtus Investment Partners, Inc.   920    285,494 
         708,339 
AUTOMOTIVE - 1.0%          
American Axle & Manufacturing Holdings, Inc. (a)   25,710    226,505 
Dorman Products, Inc. (a)   4,390    415,601 
Gentherm, Inc. (a)   4,820    390,083 
Methode Electronics, Inc. (b)   8,170    343,548 
Standard Motor Products, Inc.   3,290    143,806 
         1,519,543 
BANKING - 12.0%          
Allegiance Bancshares, Inc.   6,260    238,819 
Ameris Bancorp   10,274    533,015 
Axos Financial, Inc. (a)   8,590    442,729 
Banc of California, Inc.   10,340    191,187 
BancFirst Corp.   4,170    250,700 
Bancorp, Inc. (The) (a)   9,800    249,410 
BankUnited, Inc. (b)   14,690    614,336 
Banner Corp.   6,070    335,125 
Berkshire Hills Bancorp, Inc. (b)   14,650    395,257 
Cadence BanCorp.   22,220    487,951 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

       

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
BANKING - 12.0% (Continued)          
Capitol Federal Financial, Inc.   21,140   $242,899 
Central Pacific Financial Corp.   6,990    179,503 
City Holding Co.   2,750    214,252 
Columbia Banking System, Inc.   7,680    291,763 
Community Bank System, Inc.   8,660    592,517 
Customers Bancorp, Inc. (a)   9,930    427,189 
CVB Financial Corp.   7,960    162,145 
Dime Community Bancshares, Inc.   12,479    407,564 
Eagle Bancorp, Inc.   5,790    332,925 
FB Financial Corp.   3,776    161,915 
First BanCorp.   38,970    512,455 
First Bancorp/NC   5,760    247,738 
First Commonwealth Financial Corp.   4,850    66,105 
First Financial Bancorp   15,720    368,005 
First Hawaiian, Inc.   23,640    693,834 
First Midwest Bancorp, Inc.   7,440    141,434 
Flagstar Bancorp, Inc.   6,160    312,805 
Great Western Bancorp, Inc.   3,790    124,085 
Hanmi Financial Corp.   9,870    197,992 
Heritage Financial Corp.   6,310    160,905 
Hilltop Holdings, Inc. (b)   6,640    216,929 
HomeStreet, Inc.   5,810    239,082 
Hope Bancorp, Inc.   22,210    320,712 
Independent Bank Corp. (b)   5,580    424,917 
Independent Bank Group, Inc.   4,980    353,779 
Investors Bancorp, Inc.   24,820    375,030 
Lakeland Financial Corp. (b)   3,600    256,464 
Meta Financial Group, Inc.   6,750    354,240 
National Bank Holdings Corp. - Class A   6,570    265,954 
NBT Bancorp, Inc.   7,000    252,840 
Northfield Bancorp, Inc.   14,500    248,820 
Northwest Bancshares, Inc.   15,930    211,550 
OFG Bancorp   7,240    182,593 
Old National Bancorp   29,470    499,517 
Pacific Premier Bancorp, Inc. (b)   15,026    622,677 
Park National Corp. (b)   2,050    249,998 
Preferred Bank   2,910    194,039 
Provident Financial Services, Inc.   9,430    221,322 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

 

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
BANKING - 12.0% (Continued)          
Renasant Corp.   9,410   $339,231 
Seacoast Banking Corp. of Florida   8,510    287,723 
ServisFirst Bancshares, Inc. (b)   10,670    830,126 
Simmons First National Corp. - Class A (b)   11,420    337,575 
Southside Bancshares, Inc.   4,987    190,952 
Triumph Bancorp, Inc. (a)   5,040    504,655 
TrustCo Bank Corp.   4,766    152,369 
United Community Banks, Inc.   12,060    395,809 
Veritex Holdings, Inc.   13,050    513,648 
Westamerica Bancorp.   2,220    124,897 
WSFS Financial Corp.   5,460    280,153 
         19,024,160 
BEVERAGES - 0.7%          
Celsius Holdings, Inc. (a)(b)   5,710    514,414 
Coca-Cola Consolidated, Inc. (b)   830    327,169 
National Beverage Corp.   4,440    233,056 
         1,074,639 
BIOTECH & PHARMA - 2.3%          
Cara Therapeutics, Inc. (a)   7,860    121,437 
Coherus Biosciences, Inc. (a)(b)   11,690    187,858 
Cytokinetics, Inc. (a)(b)   13,900    496,786 
Eagle Pharmaceuticals, Inc. (a)   3,150    175,707 
Enanta Pharmaceuticals, Inc. (a)   2,580    146,570 
Endo International plc (a)   25,190    81,615 
Heska Corp. (a)   1,950    504,153 
Innoviva, Inc. (a)(b)   11,970    200,019 
Ligand Pharmaceuticals, Inc. (a)   1,010    140,713 
Organogenesis Holdings, Inc. (a)(b)   14,360    204,486 
REGENXBIO, Inc. (a)   5,140    215,469 
Supernus Pharmaceuticals, Inc. (a)   4,660    124,282 
uniQure N.V. (a)   26,770    856,908 
Vanda Pharmaceuticals, Inc. (a)(b)   10,890    186,655 
         3,642,658 
CHEMICALS - 3.4%          
AdvanSix, Inc. (a)   7,480    297,330 
Balchem Corp.   5,600    812,392 
FutureFuel Corp. (b)   18,910    134,828 
GCP Applied Technologies, Inc. (a)   6,470    141,823 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

 

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
CHEMICALS - 3.4% (Continued)          
H.B. Fuller Co.   10,240   $661,095 
Innospec, Inc.   1,970    165,913 
Lydall, Inc. (a)   1,890    117,350 
Materion Corp.   2,060    141,398 
Quaker Chemical Corp. (b)   2,730    648,976 
Rogers Corp. (a)   3,610    673,193 
Stepan Co.   3,960    447,242 
Trinseo S.A.   11,030    595,399 
WD-40 Co.   2,500    578,700 
         5,415,639 
COMMERCIAL SUPPORT SERVICES - 3.8%          
ABM Industries, Inc.   13,350    600,883 
AMN Healthcare Services, Inc. (a)   9,180    1,053,405 
Brady Corp. - Class A   20,720    1,050,504 
CorVel Corp. (a)   2,390    445,066 
Harsco Corp. (a)   14,500    245,775 
Heidrick & Struggles International, Inc.   6,300    281,169 
Kelly Services, Inc. - Class A   11,930    225,238 
Korn Ferry   8,880    642,557 
TrueBlue, Inc. (a)   23,390    633,401 
UniFirst Corp.   1,790    380,590 
US Ecology, Inc. (a)   5,630    182,131 
Viad Corp. (a)(b)   5,500    249,755 
         5,990,474 
CONSTRUCTION MATERIALS - 0.1%          
Apogee Enterprises, Inc.   4,720    178,227 
           
CONSUMER SERVICES - 1.3%          
Adtalem Global Education, Inc. (a)   20,790    786,070 
American Public Education, Inc. (a)   5,580    142,904 
Medifast, Inc. (b)   1,800    346,752 
Perdoceo Education Corp. (a)(b)   16,740    176,775 
Regis Corp. (a)   39,730    138,260 
Strategic Education, Inc.   4,060    286,230 
WW International, Inc. (a)   6,740    123,005 
         1,999,996 
CONTAINERS & PACKAGING - 0.4%          
Myers Industries, Inc.   16,320    319,382 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
CONTAINERS & PACKAGING - 0.4% (Continued)          
O-I Glass, Inc. (a)   22,780   $325,071 
         644,453 
E-COMMERCE DISCRETIONARY - 0.3%          
Liquidity Services, Inc. (a)   12,680    274,015 
PetMed Express, Inc. (b)   8,210    220,603 
         494,618 
ELECTRIC UTILITIES - 0.3%          
Avista Corp.   5,700    222,984 
Unitil Corp.   7,690    328,978 
         551,962 
ELECTRICAL EQUIPMENT - 3.1%          
AAON, Inc. (b)   8,190    535,135 
Advanced Energy Industries, Inc. (b)   6,290    551,947 
Alarm.com Holdings, Inc. (a)   7,330    573,133 
Badger Meter, Inc.   6,300    637,182 
FARO Technologies, Inc. (a)   5,290    348,135 
Itron, Inc. (a)   8,320    629,242 
Mesa Laboratories, Inc. (b)   1,460    441,446 
OSI Systems, Inc. (a)   2,550    241,740 
SPX Corp. (a)   7,870    420,651 
Watts Water Technologies, Inc. - Class A   3,660    615,209 
         4,993,820 
ENGINEERING & CONSTRUCTION - 1.3%          
Arcosa, Inc.   5,970    299,515 
Comfort Systems USA, Inc.   5,920    422,214 
Exponent, Inc.   5,980    676,637 
Granite Construction, Inc.   7,530    297,811 
Installed Building Products, Inc. (b)   3,410    365,382 
         2,061,559 
ENTERTAINMENT CONTENT - 0.1%          
AMC Networks, Inc. - Class A (a)   4,380    204,064 
           
FOOD - 0.8%          
B&G Foods, Inc. (b)   10,010    299,199 
J & J Snack Foods Corp.   1,360    207,835 
Simply Good Foods Co. (The) (a)   10,360    357,317 
TreeHouse Foods, Inc. (a)   6,440    256,827 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
FOOD - 0.8% (Continued)          
USANA Health Sciences, Inc. (a)(b)   2,410   $222,202 
         1,343,380 
FORESTRY, PAPER & WOOD PRODUCTS - 1.2%          
Boise Cascade Co. (b)   7,010    378,400 
Domtar Corp. (a)   7,000    381,780 
Glatfelter Corp.   11,660    164,406 
Mercer International, Inc.   15,200    176,168 
Neenah, Inc.   4,380    204,152 
UFP Industries, Inc.   9,070    616,578 
         1,921,484 
GAS & WATER UTILITIES - 1.8%          
American States Water Co.   9,030    772,246 
California Water Service Group   18,130    1,068,401 
Middlesex Water Co.   6,200    637,236 
South Jersey Industries, Inc.   15,670    333,144 
         2,811,027 
HEALTH CARE FACILITIES & SERVICES - 3.7%          
Addus HomeCare Corp. (a)   2,750    219,312 
Community Health Systems, Inc. (a)(b)   11,490    134,433 
Covetrus, Inc. (a)   21,810    395,633 
Ensign Group, Inc. (The)   8,010    599,869 
Fulgent Genetics, Inc. (a)   2,920    262,654 
Joint Corp. (The) (a)   3,290    322,486 
Magellan Health, Inc. (a)   4,370    413,183 
MEDNAX, Inc. (a)   17,590    500,084 
ModivCare, Inc. (a)   1,030    187,069 
NeoGenomics, Inc. (a)(b)   17,840    860,602 
Owens & Minor, Inc. (b)   12,410    388,309 
Pennant Group, Inc. (The) (a)   4,650    130,619 
Prestige Consumer Healthcare, Inc. (a)   6,630    372,009 
RadNet, Inc. (a)   11,320    331,789 
Select Medical Holdings Corp.   16,840    609,103 
U.S. Physical Therapy, Inc.   2,080    230,048 
         5,957,202 
HOME & OFFICE PRODUCTS - 0.6%          
HNI Corp. (b)   11,550    424,116 
iRobot Corp. (a)(b)   3,560    279,460 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
HOME & OFFICE PRODUCTS - 0.6% (Continued)          
Tupperware Brands Corp. (a)   12,090   $255,341 
         958,917 
HOME CONSTRUCTION - 2.2%          
American Woodmark Corp. (a)   2,505    163,752 
Cavco Industries, Inc. (a)(b)   1,500    355,110 
Century Communities, Inc.   4,430    272,223 
Interface, Inc.   24,160    366,024 
LGI Homes, Inc. (a)(b)   3,980    564,802 
M/I Homes, Inc. (a)   3,510    202,878 
MDC Holdings, Inc.   10,555    493,130 
Meritage Homes Corp. (a)   6,110    592,670 
Patrick Industries, Inc.   4,460    371,518 
PGT Innovations, Inc. (a)   9,950    190,045 
         3,572,152 
HOUSEHOLD PRODUCTS - 0.7%          
Central Garden & Pet Co. (a)   4,610    221,280 
Clearwater Paper Corp. (a)   6,100    233,813 
e.l.f. Beauty, Inc. (a)   8,410    244,311 
Inter Parfums, Inc.   2,400    179,448 
Quanex Building Products Corp.   11,930    255,421 
         1,134,273 
INDUSTRIAL INTERMEDIATE PRODUCTS - 1.8%          
AZZ, Inc.   4,910    261,212 
Chart Industries, Inc. (a)(b)   5,510    1,053,016 
Gibraltar Industries, Inc. (a)   5,860    408,149 
Insteel Industries, Inc.   5,610    213,461 
Proto Labs, Inc. (a)   3,270    217,782 
Raven Industries, Inc. (a)   9,680    557,665 
Standex International Corp.   2,030    200,787 
         2,912,072 
INDUSTRIAL SUPPORT SERVICES - 1.0%          
Applied Industrial Technologies, Inc.   8,380    755,290 
DXP Enterprises, Inc. (a)   5,460    161,452 
Resideo Technologies, Inc. (a)(b)   24,870    616,527 
         1,533,269 
INSTITUTIONAL FINANCIAL SERVICES - 0.4%          
Piper Sandler Cos. (b)   3,730    516,456 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
INSTITUTIONAL FINANCIAL SERVICES - 0.4% (Continued)          
StoneX Group, Inc. (a)   2,410   $158,819 
         675,275 
INSURANCE - 1.7%          
Ambac Financial Group, Inc. (a)   16,620    237,998 
American Equity Investment Life Holding Co.   9,790    289,490 
Assured Guaranty Ltd.   6,380    298,648 
eHealth, Inc. (a)   4,420    179,010 
Employers Holdings, Inc.   3,240    127,948 
Genworth Financial, Inc. - Class A (a)   56,590    212,212 
Horace Mann Educators Corp.   5,790    230,384 
NMI Holdings, Inc. - Class A (a)   9,380    212,082 
Palomar Holdings, Inc. (a)   2,530    204,500 
ProAssurance Corp.   3,030    72,053 
SelectQuote, Inc. (a)   19,170    247,868 
Trupanion, Inc. (a)   4,550    353,399 
         2,665,592 
INTERNET MEDIA & SERVICES - 1.1%          
HealthStream, Inc. (a)   5,690    162,620 
Shutterstock, Inc.   3,610    409,085 
Stamps.com, Inc. (a)   2,760    910,220 
TechTarget, Inc. (a)(b)   2,580    212,644 
         1,694,569 
LEISURE FACILITIES & SERVICES - 1.7%          
Bloomin’ Brands, Inc. (a)(b)   12,830    320,750 
Brinker International, Inc. (a)   6,840    335,502 
Cheesecake Factory, Inc. (The) (a)(b)   5,670    266,490 
Chuy's Holdings, Inc. (a)   6,950    219,133 
Cinemark Holdings, Inc. (a)(b)   24,860    477,561 
Dave & Buster's Entertainment, Inc. (a)   5,980    229,213 
Dine Brands Global, Inc. (a)   1,590    129,124 
Red Robin Gourmet Burgers, Inc. (a)   9,670    222,990 
Shake Shack, Inc. - Class A (a)(b)   5,830    457,422 
         2,658,185 
LEISURE PRODUCTS - 0.6%          
LCI Industries (b)   4,750    639,493 
Winnebago Industries, Inc. (b)   3,720    269,514 
         909,007 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
MACHINERY - 2.5%          
Alamo Group, Inc.   1,800   $251,154 
Astec Industries, Inc.   2,380    128,068 
Enerpac Tool Group Corp.   12,470    258,503 
ESCO Technologies, Inc.   3,760    289,520 
Federal Signal Corp.   5,840    225,541 
Franklin Electric Co., Inc.   6,300    503,055 
Hillenbrand, Inc.   4,920    209,838 
John Bean Technologies Corp. (b)   5,325    748,429 
Lindsay Corp.   3,140    476,620 
SPX FLOW, Inc.   7,180    524,858 
Tennant Co.   3,800    281,010 
         3,896,596 
MEDICAL EQUIPMENT & DEVICES - 3.7%          
AngioDynamics, Inc. (a)   4,320    112,061 
Avanos Medical, Inc. (a)(b)   13,540    422,448 
BioLife Solutions, Inc. (a)   3,570    151,082 
CONMED Corp. (b)   3,920    512,854 
Cross Country Healthcare, Inc. (a)   7,760    164,822 
Cutera, Inc. (a)   2,430    113,238 
Glaukos Corp. (a)   7,100    342,007 
Inogen, Inc. (a)   4,340    187,011 
Integer Holdings Corp. (a)   4,160    371,654 
Lantheus Holdings, Inc. (a)   10,663    273,826 
LeMaitre Vascular, Inc.   2,750    145,997 
Meridian Bioscience, Inc. (a)   8,520    163,925 
Merit Medical Systems, Inc. (a)   8,020    575,836 
Myriad Genetics, Inc. (a)(b)   13,280    428,811 
Omnicell, Inc. (a)(b)   6,130    909,876 
OraSure Technologies, Inc. (a)(b)   14,440    163,316 
Tactile Systems Technology, Inc. (a)   3,830    170,244 
Varex Imaging Corp. (a)   8,210    231,522 
Vericel Corp. (a)(b)   8,820    430,416 
         5,870,946 
METALS & MINING - 0.8%          
Arconic Corp. (a)(b)   14,750    465,215 
Century Aluminum Co. (a)   14,780    198,791 
Encore Wire Corp.   3,690    349,923 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

             

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
METALS & MINING - 0.8% (Continued)          
Kaiser Aluminum Corp. (b)   1,740   $189,590 
         1,203,519 
OIL & GAS PRODUCERS - 1.0%          
Penn Virginia Corp. (a)   13,370    356,578 
Range Resources Corp. (a)(b)   55,450    1,254,833 
         1,611,411 
OIL & GAS SERVICES & EQUIPMENT - 1.7%          
Core Laboratories N.V.   39,670    1,100,842 
DMC Global, Inc. (a)   3,490    128,816 
Matrix Service Co. (a)   96,680    1,011,273 
NOW, Inc. (a)   35,760    273,564 
U.S. Silica Holdings, Inc. (a)   16,680    133,273 
         2,647,768 
PUBLISHING & BROADCASTING - 0.7%          
E.W. Scripps Co. (The) - Class A   9,180    165,791 
Gannett Co., Inc. (a)   44,487    297,173 
Meredith Corp. (a)   5,370    299,109 
Scholastic Corp.   8,410    299,817 
         1,061,890 
REAL ESTATE OWNERS & DEVELOPERS - 0.1%          
St. Joe Co. (The)   5,140    216,394 
           
REAL ESTATE SERVICES - 0.7%          
Centerspace   3,050    288,225 
Marcus & Millichap, Inc. (a)   3,450    140,139 
RE/MAX Holdings, Inc. - Class A   4,650    144,894 
Realogy Holdings Corp. (a)   32,310    566,717 
         1,139,975 
REITS - 8.9%          
Acadia Realty Trust   17,540    357,991 
Agree Realty Corp. (b)   9,030    598,057 
Alexander & Baldwin, Inc.   14,570    341,521 
American Assets Trust, Inc.   6,220    232,752 
Armada Hoffler Properties, Inc.   12,440    166,323 
ARMOUR Residential REIT, Inc. (b)   16,350    176,253 
Brandywine Realty Trust (b)   55,840    749,373 
CareTrust REIT, Inc.   12,440    252,781 
Chatham Lodging Trust (a)   14,320    175,420 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

             

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
REITS - 8.9% (Continued)          
Community Healthcare Trust, Inc.   2,550   $115,234 
DiamondRock Hospitality Co. (a)   41,780    394,821 
Diversified Healthcare Trust   33,760    114,446 
Easterly Government Properties, Inc. (b)   9,670    199,782 
Essential Properties Realty Trust, Inc. (b)   14,970    417,962 
Four Corners Property Trust, Inc.   13,440    360,998 
Franklin Street Properties Corp.   32,340    150,058 
Getty Realty Corp.   8,140    238,583 
Global Net Lease, Inc. (a)   7,250    116,145 
Hersha Hospitality Trust (a)   18,960    176,897 
Independence Realty Trust, Inc.   16,080    327,228 
Industrial Logistics Properties Trust   9,300    236,313 
Innovative Industrial Properties, Inc. (b)   3,480    804,472 
iStar, Inc. (b)   14,210    356,387 
Kite Realty Group Trust   10,900    221,924 
Lexington Realty Trust (b)   32,120    409,530 
LTC Properties, Inc.   7,200    228,168 
Mack-Cali Realty Corp. (a)   20,870    357,294 
Matson, Inc.   7,900    637,609 
Office Properties Income Trust   12,790    323,971 
Retail Opportunity Investments Corp.   15,690    273,320 
Retail Properties of America, Inc. - Class A   45,460    585,525 
RPT Realty   19,470    248,437 
Safehold, Inc. (b)   3,430    246,583 
Saul Centers, Inc.   3,420    150,685 
Service Properties Trust   28,290    317,131 
SITE Centers Corp.   34,330    530,055 
Summit Hotel Properties, Inc. (a)(b)   24,240    233,431 
Tanger Factory Outlet Centers, Inc.   19,350    315,405 
Two Harbors Investment Corp. (b)   31,850    201,929 
Uniti Group, Inc.   35,680    441,362 
Universal Health Realty Income Trust   3,390    187,365 
Urstadt Biddle Properties, Inc. - Class A   16,730    316,699 
Washington Real Estate Investment Trust (b)   21,530    532,868 
Xenia Hotel & Resorts, Inc. (a)(b)   18,240    323,578 
         14,142,666 
RENEWABLE ENERGY - 0.3%          
Green Plains, Inc. (a)(b)   3,630    118,520 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
RENEWABLE ENERGY - 0.3% (Continued)          
Renewable Energy Group, Inc. (a)   5,840   $293,168 
         411,688 
RETAIL - CONSUMER STAPLES - 0.5%          
Big Lots, Inc.   5,740    248,886 
PriceSmart, Inc.   2,690    208,610 
SpartanNash Co. (b)   18,160    397,704 
         855,200 
RETAIL - DISCRETIONARY - 5.7%          
Abercrombie & Fitch Co. - Class A (a)(b)   13,550    509,886 
America's Car-Mart, Inc. (a)   2,800    326,984 
Asbury Automotive Group, Inc. (a)   3,100    609,894 
Barnes & Noble Education, Inc. (a)   10,510    104,995 
Bed Bath & Beyond, Inc. (a)(b)   19,560    337,899 
Boot Barn Holdings, Inc. (a)(b)   4,560    405,247 
Buckle, Inc. (The) (b)   5,380    212,994 
Caleres, Inc.   10,210    226,866 
Chico's FAS, Inc. (a)(b)   40,780    183,102 
Children's Place, Inc. (The) (a)(b)   4,250    319,855 
Designer Brands, Inc. - Class A (a)   11,180    155,737 
Ethan Allen Interiors, Inc. (b)   16,450    389,865 
Genesco, Inc. (a)   3,300    190,509 
GMS, Inc. (a)   7,050    308,790 
Group 1 Automotive, Inc.   3,050    573,034 
Guess?, Inc.   9,260    194,553 
Hibbett, Inc. (b)   5,140    363,604 
La-Z-Boy, Inc.   6,970    224,643 
Lumber Liquidators Holdings, Inc. (a)(b)   8,400    156,912 
Macy's, Inc. (b)   46,440    1,049,544 
MarineMax, Inc. (a)(b)   3,780    183,406 
Monro, Inc.   6,250    359,438 
ODP Corp. (The) (a)   7,677    308,308 
Sally Beauty Holdings, Inc. (a)(b)   15,060    253,761 
Signet Jewelers Ltd. (b)   3,920    309,523 
Sleep Number Corp. (a)   4,070    380,464 
Sonic Automotive, Inc. - Class A (b)   4,410    231,701 
Zumiez, Inc. (a)   4,180    166,197 
         9,037,711 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

             

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
SEMICONDUCTORS - 3.4%          
Axcelis Technologies, Inc. (a)(b)   7,890   $371,067 
CEVA, Inc. (a)   4,260    181,774 
Cohu, Inc. (a)(b)   7,270    232,204 
CTS Corp.   6,010    185,769 
Diodes, Inc. (a)   6,230    564,376 
FormFactor, Inc. (a)(b)   11,450    427,428 
Kulicke & Soffa Industries, Inc.   9,850    574,058 
MaxLinear, Inc. (a)   8,600    423,550 
Onto Innovation, Inc. (a)(b)   12,417    897,128 
Photronics, Inc. (a)   16,690    227,485 
Power Integrations, Inc. (b)   6,080    601,859 
Rambus, Inc. (a)(b)   13,445    298,479 
Ultra Clean Holdings, Inc. (a)   5,050    215,130 
Veeco Instruments, Inc. (a)(b)   8,620    191,450 
         5,391,757 
SOFTWARE - 2.3%          
Agilysys, Inc. (a)   6,190    324,108 
Allscripts Healthcare Solutions, Inc. (a)(b)   16,430    219,669 
Bottomline Technologies (de), Inc. (a)   5,810    228,217 
Digi International, Inc. (a)(b)   11,930    250,769 
Donnelley Financial Solutions, Inc. (a)   6,550    226,761 
Ebix, Inc.   7,800    210,054 
LivePerson, Inc. (a)(b)   9,500    560,025 
PDF Solutions, Inc. (a)   9,190    211,738 
Progress Software Corp.   6,410    315,308 
SPS Commerce, Inc. (a)   5,620    906,562 
Tabula Rasa HealthCare, Inc. (a)   4,720    123,711 
Xperi Holding Corp.   7,331    138,116 
         3,715,038 
SPECIALTY FINANCE - 2.5%          
Apollo Commercial Real Estate Finance, Inc. (b)   31,690    469,963 
Capstead Mortgage Corp.   27,500    183,975 
Deluxe Corp.   8,680    311,525 
Encore Capital Group, Inc. (a)   4,100    202,007 
Enova International, Inc. (a)   7,260    250,833 
Granite Point Mortgage Trust, Inc.   14,530    191,360 
Invesco Mortgage Capital, Inc.   43,621    137,406 
KKR Real Estate Finance Trust, Inc.   6,670    140,737 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
SPECIALTY FINANCE - 2.5% (Continued)          
Mr. Cooper Group, Inc. (a)(b)   10,090   $415,405 
New York Mortgage Trust, Inc.   44,650    190,209 
PennyMac Mortgage Investment Trust (b)   15,630    307,755 
PRA Group, Inc. (a)   3,460    145,804 
Redwood Trust, Inc.   19,810    255,351 
Stewart Information Services Corp.   3,830    242,286 
Walker & Dunlop, Inc.   4,340    492,590 
World Acceptance Corp. (a)   600    113,748 
         4,050,954 
STEEL - 0.4%          
Carpenter Technology Corp.   6,870    224,924 
TimkenSteel Corp. (a)   17,280    226,022 
Titan International, Inc. (a)   16,050    114,918 
         565,864 
TECHNOLOGY HARDWARE - 4.0%          
3D Systems Corp. (a)   22,670    625,012 
ADTRAN, Inc.   14,390    269,956 
Benchmark Electronics, Inc.   7,800    208,338 
CalAmp Corp. (a)   21,620    215,119 
Comtech Telecommunications Corp. (b)   4,570    117,038 
Daktronics, Inc. (a)   23,460    127,388 
Extreme Networks, Inc. (a)   29,990    295,401 
Fabrinet (a)   6,770    693,993 
Harmonic, Inc. (a)   17,410    152,338 
InterDigital, Inc.   2,370    160,733 
Knowles Corp. (a)   18,120    339,569 
NETGEAR, Inc. (a)(b)   4,710    150,296 
Pitney Bowes, Inc.   62,140    448,029 
Plantronics, Inc. (a)   5,500    141,405 
Plexus Corp. (a)(b)   4,900    438,109 
Sanmina Corp. (a)(b)   13,090    504,489 
TTM Technologies, Inc. (a)   16,420    206,399 
Universal Electronics, Inc. (a)   2,770    136,423 
Viavi Solutions, Inc. (a)   37,780    594,657 
Vicor Corp. (a)   4,440    595,670 
         6,420,362 
TECHNOLOGY SERVICES - 2.3%          
CSG Systems International, Inc.   3,800    183,160 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
TECHNOLOGY SERVICES - 2.3% (Continued)          
EVERTEC, Inc.   10,810   $494,233 
ExlService Holdings, Inc. (a)   5,430    668,542 
Green Dot Corp. - Class A (a)   7,600    382,508 
Insight Enterprises, Inc. (a)(b)   8,860    798,109 
Perficient, Inc. (a)(b)   5,160    597,012 
TTEC Holdings, Inc.   3,630    339,514 
Unisys Corp. (a)   10,560    265,478 
         3,728,556 
TELECOMMUNICATIONS - 1.0%          
8x8, Inc. (a)(b)   16,250    380,088 
Cogent Communications Holdings, Inc.   5,100    361,284 
Consolidated Communications Holdings, Inc. (a)   29,970    275,424 
Vonage Holdings Corp. (a)   39,210    632,065 
         1,648,861 
TRANSPORTATION & LOGISTICS - 2.3%          
Allegiant Travel Co. (a)   1,900    371,412 
ArcBest Corp.   6,890    563,395 
Atlas Air Worldwide Holdings, Inc. (a)(b)   4,200    343,056 
Bristow Group, Inc. (a)   8,623    274,470 
Echo Global Logistics, Inc. (a)   6,670    318,226 
Forward Air Corp.   4,620    383,552 
Hawaiian Holdings, Inc. (a)   10,110    218,983 
Heartland Express, Inc.   22,680    363,334 
Hub Group, Inc. - Class A (a)   3,480    239,250 
Marten Transport Ltd.   18,180    285,244 
SkyWest, Inc. (a)   5,770    284,692 
         3,645,614 
TRANSPORTATION EQUIPMENT - 0.2%          
Greenbrier Cos., Inc. (The)   6,020    258,800 
           
WHOLESALE - CONSUMER STAPLES - 1.2%          
Andersons, Inc. (The) (b)   30,340    935,382 
Chefs' Warehouse, Inc. (The) (a)   9,000    293,130 
United Natural Foods, Inc. (a)   14,890    720,974 
         1,949,486 
WHOLESALE - DISCRETIONARY - 1.1%          
ePlus, Inc. (a)   2,280    233,951 
G-III Apparel Group Ltd. (a)   9,060    256,398 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COMMON STOCKS - 98.6% (Continued)  Shares   Fair Value 
WHOLESALE - DISCRETIONARY - 1.1% (Continued)          
PC Connection, Inc.   2,970   $130,769 
ScanSource, Inc. (a)   23,700    824,523 
Veritiv Corp. (a)   3,640    325,998 
         1,771,639 
           
TOTAL COMMON STOCKS (COST $111,225,659)       $156,870,585 

 

RIGHTS - 0.0% (c)  Shares   Fair Value 
MEDICAL EQUIPMENT & DEVICES - 0.0% (c)          
Lantheus Holdings, Inc., CVR (a)(d) (Cost $0)   28,980   $2,608 

 

CORPORATE NOTES - 0.9%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 0.9%                    
Calvert Social Investment Foundation, Inc. (e)   2.000%   06/15/22   $70,000   $70,000 
Calvert Social Investment Foundation, Inc. (e)   3.000%   06/15/23    330,000    330,000 
Calvert Social Investment Foundation, Inc. (e)   3.000%   12/15/23    330,000    330,000 
Calvert Social Investment Foundation, Inc. (e)   1.000%   06/14/24    100,000    100,000 
Calvert Social Investment Foundation, Inc. (e)   3.000%   06/17/24    60,000    60,000 
Calvert Social Investment Foundation, Inc. (e)   3.000%   12/15/24    90,000    90,000 
Calvert Social Investment Foundation, Inc. (e)   2.500%   06/13/25    150,000    149,700 
Calvert Social Investment Foundation, Inc. (e)   2.500%   12/15/25    280,000    280,000 
TOTAL CORPORATE NOTES (COST $1,409,999)                 $1,409,700 

 

MONEY MARKET FUNDS - 0.4%  Shares   Fair Value 
First American Government Obligations Fund - Class X, 0.03% (f) (COST $648,010)   648,010   $648,010 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund  

              

COLLATERAL FOR SECURITIES LOANED - 22.3%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 0.09% (f)(g)  (COST $35,474,101)   35,474,101   $35,474,101 
           
TOTAL INVESTMENTS - (COST $148,757,769) - 122.2%       $194,405,004 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (22.2%)        (35,264,786)
           
NET ASSETS - 100.0%       $159,140,218 

 

(a) Non-income producing security.
(b) All or a portion of the security is on loan.  The total value of the securities on loan as of September 30, 2021 was $34,028,885.  
(c) Percentage rounds to less than 0.1%.
(d) Security value has been determined in good faith pursuant to procedures adopted by the Board of Trustees. The total value of such securities was $2,608 as of September 30, 2021, representing 0.0% (c) of net assets.
(e)

Restricted and illiquid securities not registered under the Securities Act of 1933 are as follows:

 

   Acquisition
 Date
  Current
Cost
   Fair
Value
   % of Net
 Assets
 
Calvert Social Investment Foundation, Inc.  2.000%, 06/15/22  06/17/19  $70,000   $70,000    0.0%(c)
Calvert Social Investment Foundation, Inc.  3.000%, 06/15/23  06/18/18   330,000    330,000    0.2%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/23  12/17/18   330,000    330,000    0.2%
Calvert Social Investment Foundation, Inc.  1.000%, 06/14/24  06/15/21   100,000    100,000    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/17/24  06/17/19   60,000    60,000    0.0%(c)
Calvert Social Investment Foundation, Inc.  3.000%, 12/13/24  12/12/19   90,000    90,000    0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 06/13/25  06/12/20   150,000    149,700    0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 12/15/25  12/15/20   280,000    280,000    0.2%
      $1,410,000   $1,409,700    0.9%

 

(f) The rate shown is the 7-day effective yield as of September 30, 2021.
(g) The security was purchased with cash collateral held from securities on loan.  

 

CVR - Contingent Value Right

plc - Public Liability Company

REIT - Real Estate Investment Trust 

 

 

Schedule of Portfolio Investments  

Praxis Genesis Conservative Portfolio  

September 30, 2021 (Unaudited)  

             

AFFILIATED MUTUAL FUNDS - 100.0%  Shares   Fair Value 
DEBT FUND - 70.4%          
Praxis Impact Bond Fund - Class I   1,866,404   $20,175,823 
           
EQUITY FUND - 29.6%          
Praxis Growth Index Fund - Class I   64,762    2,578,820 
Praxis International Index Fund - Class I   186,424    2,522,323 
Praxis Small Cap Index Fund - Class I   57,333    734,437 
Praxis Value Index Fund - Class I   160,662    2,652,527 
         8,488,107 
           
TOTAL AFFILIATED MUTUAL FUNDS (COST $23,519,445)       $28,663,930 

 

MONEY MARKET FUNDS - 0.0% (a)  Shares   Fair Value 
First American Government Obligations Fund - Class X, 0.03% (b) (COST $6,088)   6,088   $6,088 
           
TOTAL INVESTMENTS - (COST $23,525,533) - 100.0%       $28,670,018 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (0.0%) (a)        (14,041)
           
NET ASSETS - 100.0%       $28,655,977 

 

(a) Percentage rounds to less than 0.1%.
(b) The rate shown is the 7-day effective yield as of September 30, 2021.

 

 

Schedule of Portfolio Investments  

Praxis Genesis Balanced Portfolio  

September 30, 2021 (Unaudited)  

 

AFFILIATED MUTUAL FUNDS - 100.0%  Shares   Fair Value 
DEBT FUND - 40.4%          
Praxis Impact Bond Fund - Class I   3,469,798   $37,508,517 
           
EQUITY FUND - 59.6%          
Praxis Growth Index Fund - Class I   364,189    14,501,987 
Praxis International Index Fund - Class I   1,213,808    16,422,824 
Praxis Small Cap Index Fund - Class I   746,247    9,559,421 
Praxis Value Index Fund - Class I   903,680    14,919,750 
         55,403,982 
           
TOTAL AFFILIATED MUTUAL FUNDS (COST $65,039,769)       $92,912,499 

 

MONEY MARKET FUNDS - 0.0% (a)  Shares   Fair Value 
First American Government Obligations Fund - Class X, 0.03% (b) (COST $456)   456   $456 
           
TOTAL INVESTMENTS - (COST $65,040,225) - 100.0%       $92,912,955 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (0.0%) (a)        (46,406)
           
NET ASSETS - 100.0%       $92,866,549 

 

(a) Percentage rounds to less than 0.1%.
(b) The rate shown is the 7-day effective yield as of September 30, 2021.

 

 

Schedule of Portfolio Investments  

Praxis Genesis Growth Portfolio  

September 30, 2021 (Unaudited)  

       

AFFILIATED MUTUAL FUNDS - 100.1%  Shares   Fair Value 
DEBT FUND - 20.3%          
Praxis Impact Bond Fund - Class I   1,780,653   $19,248,858 
           
EQUITY FUND - 79.8%          
Praxis Growth Index Fund - Class I   478,989    19,073,326 
Praxis International Index Fund - Class I   1,660,837    22,471,129 
Praxis Small Cap Index Fund - Class I   1,148,814    14,716,303 
Praxis Value Index Fund - Class I   1,188,455    19,621,394 
         75,882,152 
           
TOTAL AFFILIATED MUTUAL FUNDS (COST $60,807,062)       $95,131,010 

 

MONEY MARKET FUNDS - 0.0% (a)  Shares   Fair Value 
First American Government Obligations Fund -  Class X, 0.03% (b) (COST $888)   888   $888 
           
TOTAL INVESTMENTS - (COST $60,807,950) - 100.1%       $95,131,898 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (0.1%)        (49,582)
           
NET ASSETS - 100.0%       $95,082,316 

 

(a) Percentage rounds to less than 0.1%.
(b) The rate shown is the 7-day effective yield as of September 30, 2021.