0001752724-22-272498.txt : 20221129 0001752724-22-272498.hdr.sgml : 20221129 20221129072218 ACCESSION NUMBER: 0001752724-22-272498 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220930 FILED AS OF DATE: 20221129 DATE AS OF CHANGE: 20221129 PERIOD START: 20221231 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 SEC ACT: 1940 Act SEC FILE NUMBER: 811-08056 FILM NUMBER: 221428333 BUSINESS ADDRESS: STREET 1: 1110 N. MAIN ST. CITY: GOSHEN STATE: IN ZIP: 46527 BUSINESS PHONE: 8009772947 MAIL ADDRESS: STREET 1: PO BOX 483 CITY: GOSHEN STATE: IN ZIP: 46527 FORMER COMPANY: FORMER CONFORMED NAME: MMA PRAXIS MUTUAL FUNDS DATE OF NAME CHANGE: 19931229 FORMER COMPANY: FORMER CONFORMED NAME: PRAXIS MUTUAL FUNDS DATE OF NAME CHANGE: 19931001 0000912900 S000017267 Praxis Small Cap Index Fund C000047796 Praxis Small Cap Index Fund Class A MMSCX C000047798 Praxis Small Cap Index Fund Class I MMSIX NPORT-P 1 primary_doc.xml NPORT-P false 0000912900 XXXXXXXX S000017267 C000047798 C000047796 Praxis Mutual Funds 811-08056 0000912900 5493000A2TZD2B7R2O62 1110 N. Main Street Goshen 46527 800-977-2947 PRAXIS SMALL CAP INDEX FUND S000017267 549300LCKNKY6WIQTW36 2022-12-31 2022-09-30 N 137545679.06 106217.32 137439461.74 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0 N B. Riley Financial Inc N/A B. 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Class A 917286205 6520.00000000 NS USD 101125.20000000 0.073577994791 Long EC CORP US N 1 N N N TTEC Holdings Inc. GTJS1N8S8I28A7L4WG97 Ttec Holdings, Inc. 89854H102 3630.00000000 NS USD 160845.30000000 0.117029925731 Long EC CORP US N 1 N N N Exlservice Holdings Inc 81E3DTNF6OSH489ZOV15 ExlService Holdings, Inc. 302081104 7000.00000000 NS USD 1031520.00000000 0.750526804267 Long EC CORP US N 1 N N Easterly Government Properties Inc 549300ERMCEFC6S8HL77 Easterly Government Properties, Inc. 27616P103 9670.00000000 NS USD 152495.90000000 0.110954960147 Long EC CORP US N 1 N N Apogee Enterprises 549300579S7QW8V4IJ60 Apogee Enterprises, Inc. 037598109 4720.00000000 NS USD 180398.40000000 0.131256625801 Long EC CORP US N 1 N N N Redwood Trust, Inc. DRBV4N1ERQLEMIF11G78 Redwood Trust, Inc. REIT 758075402 19810.00000000 NS USD 113709.40000000 0.082734171511 Long EC CORP US N 1 N N N Big Lots, Inc. N/A Big Lots, Inc. 089302103 5570.00000000 NS USD 86947.70000000 0.063262544031 Long EC CORP US N 1 N N Scholastic Corporation N/A Scholastic Corporation 807066105 8410.00000000 NS USD 258691.60000000 0.188222215603 Long EC CORP US N 1 N N N National Bank Holdings Corp N/A National Bank Holdings Corporation 633707104 6570.00000000 NS USD 243024.30000000 0.176822796686 Long EC CORP US N 1 N N N Nexpoint Residential Trust Inc 549300U2J6XVYBF87166 NexPoint Residential Trust Inc 65341D102 3250.00000000 NS USD 150182.50000000 0.109271746337 Long EC CORP US N 1 N N N Onto Innovation Incorporation 549300V1USTYXJ7TNR79 Onto Innovation, Inc. 683344105 15157.00000000 NS USD 970805.85000000 0.706351609435 Long EC CORP US N 1 N N N Ameris Bancorp PBJHNT51T5V6G5UQFV42 Ameris Bancorp 03076K108 10274.00000000 NS USD 459350.54000000 0.334220269917 Long EC CORP US N 1 N N N Seacoast Banking Corporation Of Florida 549300V6IC06XYQYPG88 Seacoast Banking Corporation of Florida 811707801 8510.00000000 NS USD 257257.30000000 0.187178628861 Long EC CORP US N 1 N N N Arlo Technologies Inc 549300T4EUX2OQ75HV52 Arlo Technologies, Inc. 04206A101 31600.00000000 NS USD 146624.00000000 0.106682606395 Long EC CORP US N 1 N N N Brandywine Realty Trust 5UZ46ZCYUFYYAC0DS831 Brandywine Realty Trust REIT 105368203 55840.00000000 NS USD 376920.00000000 0.274244380200 Long EC CORP US N 1 N N N Cytokinetics Inc 549300BE5DY1HW7IHA64 Cytokinetics, Inc. 23282W605 16450.00000000 NS USD 797002.50000000 0.579893496314 Long EC CORP US N 1 N N Mueller Industries Inc. 5493005IZFE4VJLLYG84 Mueller Industries, Inc. 624756102 8500.00000000 NS USD 505240.00000000 0.367609123030 Long EC CORP US N 1 N N Columbia Banking System Incorporation N/A Columbia Banking System, Inc. 197236102 14740.00000000 NS USD 425838.60000000 0.309837214588 Long EC CORP US N 1 N N N Frontdoor Inc 5493008RB0JZJI3QGZ06 Frontdoor Inc. 35905A109 8360.00000000 NS USD 170460.40000000 0.124025805865 Long EC CORP US N 1 N N N Glaukos Corporation 5299004JA1LHE21M6T14 Glaukos Corporation 377322102 7100.00000000 NS USD 378004.00000000 0.275033091089 Long EC CORP US N 1 N N N Caretrust Reit Inc 5493001NVXE2B9GPLU96 CareTrust REIT, Inc. REIT 14174T107 12440.00000000 NS USD 225288.40000000 0.163918278744 Long EC CORP US N 1 N N N Zimvie Inc 549300GFKURT1J6XR665 Zimvie, Inc. 98888T107 9430.00000000 NS USD 93074.10000000 0.067720070219 Long EC CORP US N 1 N N N CSG Systems International Inc. 549300D7FJZUOHHXUA81 CSG Systems International, Inc. 126349109 5650.00000000 NS USD 298772.00000000 0.217384436913 Long EC CORP US N 1 N N N Xenia Hotels & Resorts Inc 54930075IWIPHF5IQL62 Xenia Hotel & Resorts, Inc. 984017103 18240.00000000 NS USD 251529.60000000 0.183011194030 Long EC CORP US N 1 N N N Simply Good Foods Company N/A Simply Good Foods Company (The) 82900L102 16280.00000000 NS USD 520797.20000000 0.378928433949 Long EC CORP US N 1 N N N The ODP Corporation 549300OI428NU7XTM839 The ODP Corporation 88337F105 7677.00000000 NS USD 269846.55000000 0.196338479926 Long EC CORP US N 1 N N N Tri Pointe Homes Inc N/A TRI Pointe Homes, Inc. 87265H109 14490.00000000 NS USD 218943.90000000 0.159302064507 Long EC CORP US N 1 N N N Madden(Steven)Ltd. 549300Z9GZ7GYJWSGF43 Steven Madden Ltd. 556269108 11935.00000000 NS USD 318306.45000000 0.231597567372 Long EC CORP US N 1 N N N SiriusPoint Ltd 549300OGXFI85N3YZZ51 SeriousPoint LTD G8192H106 790.00000000 NS USD 3910.50000000 0.002845252702 Long EC CORP US N 1 N N N OptimizeRx Corp. N/A Optimizerx, Corporation 68401U204 4280.00000000 NS USD 63429.60000000 0.046150937435 Long EC CORP US N 1 N N N Prestige Consumer Healthcare Inc N/A Prestige Consumer Healthcare, Inc. 74112D101 6630.00000000 NS USD 330372.90000000 0.240377032780 Long EC CORP US N 1 N N N Cutera Inc 529900NPKPEWJWR21Z42 CUTERA, INC. 232109108 4980.00000000 NS USD 227088.00000000 0.165227655234 Long EC CORP US N 1 N N AZZ Inc 549300HD1X2NFLWPYC83 AZZ, Inc. 002474104 4910.00000000 NS USD 179264.10000000 0.130431316981 Long EC CORP US N 1 N N N Livent Corporation 254900OOLQ2VNMZTJL47 Livent Corporation 53814L108 35680.00000000 NS USD 1093592.00000000 0.795689961350 Long EC CORP US N 1 N N OFG Bancorp 549300Q4QEXJ37LEXQ06 OFG Bancorp 67103X102 11530.00000000 NS USD 289748.90000000 0.210819291877 Long EC CORP US N 1 N N N TTM Technologies Inc 549300SC4BDOIS008048 TTM Technologies, Inc. 87305R109 28760.00000000 NS USD 379056.80000000 0.275799101074 Long EC CORP US N 1 N N N Renasant Corporation 549300OVE6OZHW2UUH81 Renasant Corporation 75970E107 9410.00000000 NS USD 294344.80000000 0.214163236870 Long EC CORP US N 1 N N N Astec Industries 5493002DO2QKHLKB2A48 Astec Industries, Inc. 046224101 4830.00000000 NS USD 150647.70000000 0.109610222633 Long EC CORP US N 1 N N N Diversified Healthcare Trust N/A Diversified Healthcare Trust 25525P107 107560.00000000 NS USD 106495.16000000 0.077485140476 Long EC CORP US N 1 N N N First Commonwealth Financial Corp PA 549300ZHLQ42NXDETL24 First Commonwealth Financial Corporation 319829107 16550.00000000 NS USD 212502.00000000 0.154614982705 Long EC CORP US N 1 N N N Bristow Group Inc 5OR64DV4VUQ8NW3R8C06 Bristow Group, Inc. 11040G103 8623.00000000 NS USD 202554.27000000 0.147377083288 Long EC CORP US N 1 N N N Stewart Information Services Corporation 529900TV1XI0PLKENU10 Stewart Information Services Corporation 860372101 3830.00000000 NS USD 167141.20000000 0.121610778945 Long EC CORP US N 1 N N ScanSource Inc. 7FHBAN017QDY4K2KP156 ScanSource, Inc. 806037107 23700.00000000 NS USD 625917.00000000 0.455412872020 Long EC CORP US N 1 N N N Regenxbio Incorporation 549300EOES47LATSET33 REGENXBIO, INC. 75901B107 5140.00000000 NS USD 135850.20000000 0.098843664170 Long EC CORP US N 1 N N N Alpha & Omega Semiconductor Ltd. 5493001FE7J03YOV2V35 Alpha & Omega Semiconductor Ltd. G6331P104 6060.00000000 NS USD 186405.60000000 0.135627422895 Long EC CORP US N 1 N N Alexander & Baldwin Inc N/A Alexander & Baldwin, Inc. 014491104 7290.00000000 NS USD 120868.20000000 0.087942864785 Long EC CORP US N 1 N N N DXP Enterprises Inc. N/A DXP Enterprises, Inc. 233377407 5460.00000000 NS USD 129292.80000000 0.094072545368 Long EC CORP US N 1 N N N Maxlinear Inc 549300EMOI0SM2IY4F64 MaxLinear, Inc. 57776J100 12360.00000000 NS USD 403183.20000000 0.293353302534 Long EC CORP US N 1 N N Kulicke and Soffa Industries, Inc. 529900H6BEIRBF429744 Kulicke & Soffa Industries, Inc. 501242101 9850.00000000 NS USD 379520.50000000 0.276136485980 Long EC CORP US N 1 N N N Avanos Medical Inc 549300YCXWOM7NEWMQ58 Avanos Medical, Inc. 05350V106 4050.00000000 NS USD 88209.00000000 0.064180257171 Long EC CORP US N 1 N N N Harmonic Inc 549300LRGRD8XC9BTL66 Harmonic, Inc. 413160102 29630.00000000 NS USD 387264.10000000 0.281770675683 Long EC CORP US N 1 N N N Sanmina Corp X5K24XLM8QYRXF00EB42 Sanmina Corporation 801056102 13090.00000000 NS USD 603187.20000000 0.438874827042 Long EC CORP US N 1 N N United Community Banks Inc 549300GVW0FV66X3U703 United Community Banks, Inc. 90984P303 15290.00000000 NS USD 506099.00000000 0.368234125478 Long EC CORP US N 1 N N N Brookline Bancorp, Inc. N/A Brookline Bancorp, Inc. 11373M107 15670.00000000 NS USD 182555.50000000 0.132826116814 Long EC CORP US N 1 N N N Hillenbrand, Inc. U246OE781574J2BUD366 Hillenbrand, Inc. 431571108 4920.00000000 NS USD 180662.40000000 0.131448710372 Long EC CORP US N 1 N N N Provident Financial Services Inc. 529900JOSO3SXEDVE477 Provident Financial Services, Inc. 74386T105 14360.00000000 NS USD 280020.00000000 0.203740611651 Long EC CORP US N 1 N N N Zumiez Inc. 549300J0PDF58P6HZD25 Zumiez, Inc. 989817101 8440.00000000 NS USD 181713.20000000 0.132213265171 Long EC CORP US N 1 N N N Boise Cascade Co N/A Boise Cascade Company 09739D100 7010.00000000 NS USD 416814.60000000 0.303271414718 Long EC CORP US N 1 N N N Encore Capital Group Inc. 5493000UVC6H49CIH830 Encore Capital Group, Inc. 292554102 7690.00000000 NS USD 349741.20000000 0.254469273651 Long EC CORP US N 1 N N ATN International Inc. 54930013NP7VEU877V56 ATN International, Inc. 00215F107 1330.00000000 NS USD 51298.10000000 0.037324142099 Long EC CORP US N 1 N N N Donnelley Financial Solutions Inc 549300O1NPY4J56QCU04 Donnelley Financial Solutions, Inc. 25787G100 6550.00000000 NS USD 242153.50000000 0.176189208640 Long EC CORP US N 1 N N N Alamo Group Inc 54930080C93RVZRSDV26 Alamo Group, Inc. 011311107 1800.00000000 NS USD 220086.00000000 0.160133048553 Long EC CORP US N 1 N N N Caleres Inc JFU6RQQJ8Z1CPOLBXQ18 Caleres, Inc. 129500104 10210.00000000 NS USD 247286.20000000 0.179923725594 Long EC CORP US N 1 N N N Allscripts Healthcare Solutions, Inc Y68YJHVB1GU4TAU3C223 Allscripts Healthcare Solutions, Inc. 01988P108 23320.00000000 NS USD 355163.60000000 0.258414574317 Long EC CORP US N 1 N N Marten Transport Ltd. N/A Marten Transport Ltd. 573075108 18180.00000000 NS USD 348328.80000000 0.253441621198 Long EC CORP US N 1 N N N Knowles Corporation 5493003EO323TDZQU148 Knowles Corporation 49926D109 18120.00000000 NS USD 220520.40000000 0.160449114983 Long EC CORP US N 1 N N N Safehold Inc 549300MHMP6BIE0XV355 Safehold, Inc. 78645L100 3430.00000000 NS USD 90757.80000000 0.066034746390 Long EC CORP US N 1 N N Edgewell Personal Care Co 549300CY8QZDL4Z3RU59 Edgewell Personal Care Company 28035Q102 5910.00000000 NS USD 221034.00000000 0.160822806784 Long EC CORP US N 1 N N N Community Health Systems Incorporated N/A Community Health Systems, Inc. 203668108 9500.00000000 NS USD 20425.00000000 0.014861088468 Long EC CORP US N 1 N N N Amphastar Pharmaceuticals Inc 54930055TH0ZLSAQMJ38 Amphastar Pharmaceuticals, Inc. 03209R103 6470.00000000 NS USD 181807.00000000 0.132281513401 Long EC CORP US N 1 N N N Quanex Building Products Corp. 5493000TL30VL5WOAW87 Quanex Building Products Corporation 747619104 11930.00000000 NS USD 216648.80000000 0.157632165651 Long EC CORP US N 1 N N N Group 1 Automotive, Inc. 549300US8QAZJLWYAF63 Group 1 Automotive, Inc. 398905109 3050.00000000 NS USD 435753.50000000 0.317051227124 Long EC CORP US N 1 N N N Urban Outfitters Inc. 549300N3DUFR5U6NRN38 Urban Outfitters, Inc. 917047102 10750.00000000 NS USD 211237.50000000 0.153694941267 Long EC CORP US N 1 N N N Corsair Gaming Inc 549300Y7YT18L8G0H525 Corsair Gaming, Inc. 22041X102 10890.00000000 NS USD 123601.50000000 0.089931594925 Long EC CORP US N 1 N N N Axcelis Technologies Inc. 529900HF9B6NL1QG9F05 Axcelis Technologies, Inc. 054540208 16000.00000000 NS USD 968960.00000000 0.705008581766 Long EC CORP US N 1 N N N 2022-11-28 Susan McLauchlan Susan McLauchlan Susan McLauchlan AVP Fund Accounting XXXX NPORT-EX 2 215.htm SOI

Schedule of Portfolio Investments

Praxis Impact Bond Fund

September 30, 2022 (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     $ 1,080,299  
City of San Francisco, California, Public Utilities Comm. Water Rev., Series 2019-A     3.303 %     11/01/39       2,500,000       2,024,300  
Findlay City School District, Series 2010-B     6.250 %     12/01/37       270,000       270,383  
Houston, Texas, Independent School District, Series 2009A-2     6.168 %     02/15/34       1,000,000       1,031,370  
Massachusetts St., Series 2016-F     3.277 %     06/01/46       3,100,000       2,439,855  
New Jersey St. Housing & Mortgage Finance, Series 2013-C     2.600 %     07/01/23       55,000       54,600  
Osceola County Housing Finance Authority Rev., Series 2013-B     3.350 %     07/01/23       45,000       44,859  
TOTAL MUNICIPAL BONDS (COST $8,313,576)                           $ 6,945,666  
                                 
CORPORATE BONDS - 40.2%   Coupon     Maturity     Principal Amount     Fair Value  
APPAREL & TEXTILE PRODUCTS - 0.2%                                
Hanesbrands, Inc. (a)     4.625 %     05/15/24     $ 500,000     $ 476,750  
VF Corp.     2.400 %     04/23/25       536,000       500,803  
                              977,553  
ASSET MANAGEMENT - 0.1%                                
Ameriprise Financial, Inc.     3.000 %     04/02/25       730,000       697,041  
                                 
AUTOMOTIVE - 0.5%                                
BMW US Capital, LLC (a)     3.800 %     04/06/23       1,000,000       995,830  
BorgWarner, Inc.     2.650 %     07/01/27       601,000       523,724  
Honda Motor Co. Ltd. (b)     2.967 %     03/10/32       760,000       637,366  
Hyundai Capital Services, Inc. (a)     1.250 %     02/08/26       200,000       173,839  
Magna International, Inc.     2.450 %     06/15/30       1,250,000       1,012,219  
                              3,342,978  
BANKING - 4.6%                                
Bank of America Corp.     0.981 %     09/25/25       1,500,000       1,364,750  
Bank of America Corp.     2.456 %     10/22/25       1,000,000       936,284  
Bank of America Corp.     1.530 %     12/06/25       2,000,000       1,829,409  

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
BANKING - 4.6% (Continued)                    
Bank of America Corp.   4.271%   07/23/29   $1,000,000   $911,795 
Bank of America Corp.   2.572%   10/20/32    1,500,000    1,147,242 
Bank of Montreal   3.300%   02/05/24    1,000,000    977,878 
Citigroup, Inc.   1.678%   05/15/24    1,250,000    1,223,180 
Citigroup, Inc.   3.700%   01/12/26    1,750,000    1,658,176 
Citigroup, Inc.   2.014%   01/25/26    1,000,000    918,936 
Citigroup, Inc.   2.572%   06/03/30    1,000,000    786,518 
ING Groep N.V. (a)   4.625%   01/06/26    1,250,000    1,202,238 
JPMorgan Chase & Co.   0.653%   09/16/24    1,000,000    953,708 
JPMorgan Chase & Co.   0.563%   02/16/25    500,000    467,495 
JPMorgan Chase & Co. (b)   3.200%   06/15/26    2,557,000    2,373,812 
JPMorgan Chase & Co.   2.739%   10/15/30    2,000,000    1,626,180 
Key Bank, N.A.   1.250%   03/10/23    1,750,000    1,726,113 
Mitsubishi UFJ Financial Group   2.527%   09/13/23    1,250,000    1,219,037 
National Australia Bank, New York Branch   3.625%   06/20/23    1,750,000    1,740,095 
National Bank of Canada (a)   2.150%   10/07/22    1,250,000    1,249,811 
Regions Financial Corp.   2.250%   05/18/25    1,000,000    926,164 
State Street Corp. (c)   4.164%   08/04/33    195,000    175,944 
Sumitomo Mitsui Financial Group, Inc.   0.508%   01/12/24    2,000,000    1,884,043 
Toronto-Dominion Bank (SOFR + 45) (c)   0.500%   09/28/23    2,000,000    1,995,117 
                   29,293,925 
BEVERAGES - 0.2%                    
Coca-Cola Co. (The)   3.450%   03/25/30    500,000    454,502 
Coca-Cola Femsa S.A.B. de C.V.   1.850%   09/01/32    1,000,000    736,180 
                   1,190,682 
BIOTECH & PHARMA - 0.9%                    
AbbVie, Inc. (b)   2.950%   11/21/26    500,000    458,079 
Amgen, Inc.   3.000%   02/22/29    2,500,000    2,186,257 
Gilead Sciences, Inc.   3.650%   03/01/26    750,000    712,895 
Zeneca Wilmington, Inc.   7.000%   11/15/23    1,100,000    1,126,793 
Zoetis, Inc.   3.250%   02/01/23    1,200,000    1,193,584 
                   5,677,608 
CABLE & SATELLITE - 0.2%                    
Comcast Corp.   3.300%   04/01/27    500,000    463,784 
Comcast Corp.   2.937%   11/01/56    672,000    401,100 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
CABLE & SATELLITE - 0.2% (Continued)                    
Time Warner Cable, Inc.   4.500%   09/15/42   $500,000   $345,203 
                   1,210,087 
CHEMICALS - 1.0%                    
Avery Dennison Corp.   2.650%   04/30/30    1,250,000    999,172 
DowDuPont, Inc.   4.493%   11/15/25    1,500,000    1,473,387 
Ecolab, Inc.   4.800%   03/24/30    140,000    137,067 
Ecolab, Inc.   2.750%   08/18/55    1,470,000    909,158 
LG Chemical Ltd. (a)   3.250%   10/15/24    290,000    279,041 
Nutrien Ltd.   1.900%   05/13/23    800,000    785,341 
Nutrien Ltd.   5.875%   12/01/36    840,000    851,272 
Solvay Finance S.A. (a)   4.450%   12/03/25    1,250,000    1,194,730 
                   6,629,168 
CONSTRUCTION MATERIALS - 0.4%                    
Carlisle Cos., Inc.   3.500%   12/01/24    1,250,000    1,203,128 
Owens Corning   4.200%   12/01/24    1,000,000    981,260 
Owens Corning   3.950%   08/15/29    300,000    268,493 
                   2,452,881 
CONSUMER SERVICES - 4.7%                    
Andrew W. Mellon Funding   0.947%   08/01/27    1,050,000    896,473 
California Endowment (The)   2.498%   04/01/51    4,500,000    2,853,271 
Conservation Fund, Series 2019   3.474%   12/15/29    535,000    464,490 
Ford Foundation (The), Series 2017   3.859%   06/01/47    2,485,000    2,049,010 
John D. & Catherine T. MacArthur Foundation, Series 2020   1.299%   12/01/30    1,500,000    1,157,636 
Leland Stanford Junior University (The)   3.460%   05/01/47    1,415,000    1,103,656 
Local Initiatives Support Corp.   4.649%   03/01/37    1,500,000    1,406,003 
Massachusetts Institute of Technology   3.959%   07/01/38    1,500,000    1,346,059 
Massachusetts Institute of Technology,
Series H
   3.067%   04/01/52    4,000,000    2,895,265 
President & Fellows of Harvard College, Series 2016-B   3.150%   07/15/46    3,961,000    3,032,363 
President & Fellows of Harvard College, Series 2020-B   2.517%   10/15/50    1,300,000    835,398 
President & Fellows of Harvard College, Series 2022-A   3.745%   11/15/52    500,000    416,289 
Rockefeller Foundation (The)   2.492%   10/01/50    1,800,000    1,125,613 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
CONSUMER SERVICES - 4.7% (Continued)                    
Stanford University California, Series 2020-A   2.413%   06/01/50   $3,450,000   $2,192,611 
Trustees of Princeton University (The)   2.516%   07/01/50    5,150,000    3,486,257 
University of Notre Dame, Series 2017   3.394%   02/15/48    2,424,000    1,879,158 
Yale University   2.402%   04/15/50    4,165,000    2,696,022 
                   29,835,574 
CONTAINERS & PACKAGING - 0.4%                    
CCL Industries, Inc. (a)   3.050%   06/01/30    1,750,000    1,404,806 
Sonoco Products Co.   5.750%   11/01/40    1,000,000    947,332 
                   2,352,138 
DIVERSIFIED INDUSTRIALS - 0.1%                    
Illinois Tool Works, Inc.   3.900%   09/01/42    1,000,000    824,525 
                     
ELECTRIC UTILITIES - 6.2%                    
Avangrid, Inc.   3.150%   12/01/24    1,800,000    1,720,845 
Avista Corp.   4.000%   04/01/52    1,000,000    779,353 
Caledonia Generating, LLC (a)   1.950%   02/28/34    1,818,788    1,542,309 
Consolidated Edison Co. (b)   3.350%   04/01/30    1,000,000    878,591 
DTE Electric Co.   4.050%   05/15/48    1,750,000    1,425,508 
DTE Electric Co.   3.650%   03/01/52    500,000    377,891 
Duke Energy Carolinas, LLC   3.550%   03/15/52    1,000,000    730,105 
Duke Energy Progress NC Storm Funding, LLC, Series 2021A-3   2.799%   07/01/41    2,000,000    1,424,922 
Duke Energy Progress, LLC   3.450%   03/15/29    1,750,000    1,586,719 
Duke Energy Progress, LLC   4.000%   04/01/52    1,500,000    1,175,056 
Electricite de France S.A. (a)   3.625%   10/13/25    1,250,000    1,200,687 
Enel Finance International N.V. (a)   2.650%   09/10/24    1,250,000    1,183,067 
Florida Power & Light Co.   3.700%   12/01/47    1,300,000    1,011,755 
Florida Power & Light Co. (b)   2.875%   12/04/51    2,000,000    1,318,232 
Georgia Power Co.   3.250%   04/01/26    1,000,000    937,189 
Interstate Power & Light Co.   3.600%   04/01/29    1,250,000    1,130,460 
Liberty Utilities Financial Services (a)   2.050%   09/15/30    355,000    268,650 
MidAmerican Energy Co.   3.950%   08/01/47    1,750,000    1,387,242 
Midland Cogeneration Venture, L.P. (a)   6.000%   03/15/25    194,797    190,901 
Narragansett Electric Co. (a)   3.395%   04/09/30    1,500,000    1,326,616 
National Rural Utilities   1.350%   03/15/31    1,000,000    731,487 
NextEra Energy Capital Holdings, Inc.   0.650%   03/01/23    400,000    393,867 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
ELECTRIC UTILITIES - 6.2% (Continued)                    
Niagara Mohawk Power Corp. (a)   1.960%   06/27/30   $1,500,000   $1,157,674 
Northern States Power Co.   2.900%   03/01/50    1,250,000    835,224 
NSTAR Electric Co.   3.950%   04/01/30    600,000    557,988 
NSTAR Electric Co.   5.500%   03/15/40    1,250,000    1,220,615 
Pacificorp   8.080%   10/14/22    500,000    500,366 
PG&E Energy Recovery Funding, LLC   2.822%   07/15/46    1,000,000    680,197 
PG&E Wildfire Recovery Funding, LLC,
Series 2022-A
   4.674%   12/01/51    1,500,000    1,350,695 
Potomac Electric Power Co.   6.500%   11/15/37    1,000,000    1,065,892 
Public Service Co.   3.700%   06/15/28    1,750,000    1,634,019 
Puget Energy, Inc.   4.223%   06/15/48    1,000,000    815,835 
Rochester Gas & Electric Corp. (a)   1.850%   12/01/30    500,000    377,748 
San Diego Gas and Electric Co.   4.500%   08/15/40    841,000    723,129 
Solar Star Funding, LLC (a)   3.950%   06/30/35    262,310    239,983 
Solar Star Funding, LLC (a)   5.375%   06/30/35    408,982    410,361 
Southern California Edison   4.050%   03/15/42    1,165,000    868,178 
Tenaska Virginia Partners, L.P. (a)   6.119%   03/30/24    268,040    266,038 
Texas Electric Market Stabilization N, LLC   5.057%   08/01/46    1,500,000    1,421,698 
Topaz Solar Farms, LLC (a)   4.875%   09/30/39    226,455    197,016 
Topaz Solar Farms, LLC (a)   5.750%   09/30/39    546,943    503,204 
Union Electric Co.   2.625%   03/15/51    2,000,000    1,229,777 
Westar Energy, Inc.   2.550%   07/01/26    1,292,000    1,182,780 
                   39,959,869 
ELECTRICAL EQUIPMENT - 0.3%                    
Johnson Controls International plc (b)   1.750%   09/15/30    1,000,000    773,474 
Legrand S.A.   8.500%   02/15/25    1,000,000    1,080,866 
Roper Technologies, Inc.   2.000%   06/30/30    440,000    336,891 
                   2,191,231 
ENTERTAINMENT CONTENT - 0.2%                    
Magallanes, Inc. (a)   4.054%   03/15/29    1,500,000    1,295,532 
                     
FOOD - 1.5%                    
Campbell Soup Co.   3.950%   03/15/25    1,500,000    1,458,911 
Cargill, Inc. (a)   4.760%   11/23/45    1,500,000    1,329,728 
General Mills, Inc.   4.000%   04/17/25    1,500,000    1,464,168 
Hormel Foods Corp.   1.800%   06/11/30    2,250,000    1,798,080 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FOOD - 1.5% (Continued)                    
Ingredion, Inc.   2.900%   06/01/30   $1,000,000   $825,242 
Kellogg Co.   2.650%   12/01/23    1,250,000    1,220,885 
Mars, Inc. (a)   3.600%   04/01/34    1,500,000    1,282,306 
                   9,379,320 
FORESTRY, PAPER & WOOD PRODUCTS - 0.1%                    
Fibria Overseas Finance Ltd.   5.500%   01/17/27    800,000    764,149 
                     
GAS & WATER UTILITIES - 0.4%                    
American Water Capital Corp.   2.800%   05/01/30    1,500,000    1,267,588 
Brooklyn Union Gas Co. (a)   4.504%   03/10/46    1,250,000    945,729 
Indiana Gas Co., Inc.   6.550%   06/30/28    250,000    259,408 
                   2,472,725 
HEALTH CARE FACILITIES & SERVICES - 0.2%                    
Kaiser Foundation Hospital   3.150%   05/01/27    1,500,000    1,389,933 
                     
HOME & OFFICE PRODUCTS - 0.1%                    
Steelcase, Inc. (b)   5.125%   01/18/29    1,000,000    855,516 
                     
HOME CONSTRUCTION - 0.1%                    
NVR, Inc.   3.000%   05/15/30    1,000,000    816,420 
                     
INSTITUTIONAL FINANCIAL SERVICES - 1.6%                    
Brookfield Finance, Inc.   4.250%   06/02/26    1,570,000    1,503,459 
Goldman Sachs Group, Inc.   3.272%   09/29/25    1,500,000    1,428,808 
Goldman Sachs Group, Inc. (b)   4.223%   05/01/29    1,000,000    908,876 
Goldman Sachs Group, Inc.   3.800%   03/15/30    1,500,000    1,300,594 
Morgan Stanley   3.125%   07/27/26    2,000,000    1,841,628 
Morgan Stanley, Series GMTN   2.699%   01/22/31    1,250,000    1,013,463 
National Securities Clearing Corp. (a)   1.500%   04/23/25    1,000,000    921,020 
State Street Corp.   7.350%   06/15/26    1,000,000    1,062,294 
                   9,980,142 
INSURANCE - 4.5%                    
Aflac, Inc.   4.000%   10/15/46    1,058,000    833,724 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
INSURANCE - 4.5% (Continued)                    
Athene Global Funding (a)   2.800%   05/26/23   $1,500,000   $1,478,570 
First American Financial Corp.   2.400%   08/15/31    1,500,000    1,071,540 
Five Corners Funding Trust (a)   4.419%   11/15/23    1,000,000    990,627 
GA Global Funding Trust   2.250%   01/06/27    2,000,000    1,732,118 
Horace Mann Educators Corp.   4.500%   12/01/25    1,235,000    1,179,888 
Jackson National Life Global Funding   1.750%   01/12/25    385,000    353,799 
Kemper Corp.   4.350%   02/15/25    1,250,000    1,217,731 
Marsh & McLennan Cos., Inc.   3.750%   03/14/26    1,000,000    966,650 
Massachusetts Mutual Life Insurance Co. (a)   3.375%   04/15/50    1,500,000    1,023,291 
Met Life Global Funding I (a)   1.950%   01/13/23    500,000    496,640 
Met Life Global Funding I (a)   3.600%   01/11/24    1,750,000    1,723,875 
New York Life Global Funding (a)   2.900%   01/17/24    3,000,000    2,931,719 
OneBeacon US Holdings, Inc.   4.600%   11/09/22    1,000,000    1,000,103 
Pacific Life Global Funding II, Series 2020-1 (a)   1.200%   06/24/25    415,000    372,735 
Pacific Life Global Funding II, Series 2021-1 (a)   1.450%   01/20/28    1,000,000    814,266 
Primerica, Inc.   2.800%   11/19/31    1,000,000    785,196 
Principal Financial Group, Inc.   3.700%   05/15/29    1,250,000    1,119,272 
Prudential Financial, Inc.   1.500%   03/10/26    644,000    575,909 
Prudential plc   3.125%   04/14/30    750,000    626,918 
Reliance STD Life Insurance Co. (a)   2.750%   05/07/25    1,280,000    1,194,338 
RLI Corp. (b)   4.875%   09/15/23    1,000,000    1,000,796 
Sammons Financial Group, Inc. (a)   4.450%   05/12/27    1,200,000    1,097,628 
Security Benefit Global, Series MTN (a)   1.250%   05/17/24    1,500,000    1,398,604 
Teachers Insurance & Annuity Association (a)   4.375%   09/15/54    2,678,000    2,572,225 
Trustage Financial Group, Inc.   4.625%   04/15/32    400,000    345,335 
                   28,903,497 
LEISURE FACILITIES & SERVICES - 0.6%                    
Hyatt Hotels Corp.   3.375%   07/15/23    1,000,000    989,650 
Marriott International, Inc.   3.600%   04/15/24    727,000    709,829 
McDonald's Corp., Series MTN   3.500%   07/01/27    1,000,000    933,888 
Starbucks Corp. (b)   2.450%   06/15/26    1,000,000    916,964 
                   3,550,331 
MACHINERY - 0.6%                    
Ingersoll-Rand Global Holding Co. Ltd.   6.391%   11/15/27    655,000    663,586 
John Deere Capital Corp.   1.750%   03/09/27    250,000    219,003 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
MACHINERY - 0.6% (Continued)                    
John Deere Capital Corp.   3.050%   01/06/28   $1,250,000   $1,146,872 
Xylem, Inc.   1.950%   01/30/28    1,775,000    1,498,070 
                   3,527,531 
MEDICAL EQUIPMENT & DEVICES - 0.2%                    
Alcon Finance Corp. (a)   2.600%   05/27/30    1,250,000    1,008,454 
                     
PERSONAL PRODUCTS - 0.1%                    
Estée Lauder Cos., Inc. (The) (b)   2.600%   04/15/30    1,000,000    847,585 
                     
PIPELINES - 0.1%                    
Northern Natural Gas Co. (a)   4.100%   09/15/42    1,000,000    737,291 
                     
REITS - 3.5%                    
Agree Ltd. Partnership   2.900%   10/01/30    650,000    519,307 
Agree Ltd. Partnership   4.800%   10/01/32    715,000    643,114 
Alexandria Real Estate Equities, Inc.   2.950%   03/15/34    1,000,000    773,178 
Boston Properties, L.P.   4.500%   12/01/28    1,250,000    1,150,256 
Camden Property Trust   2.800%   05/15/30    500,000    419,704 
Digital Realty Trust, L.P.   5.550%   01/15/28    2,250,000    2,231,223 
Duke Realty Trust, L.P.   2.875%   11/15/29    1,500,000    1,277,348 
ERP Operating, L.P.   4.150%   12/01/28    1,250,000    1,148,870 
ESSEX Portfolio, L.P.   2.650%   03/15/32    1,500,000    1,163,270 
Federal Realty Investment Trust   1.250%   02/15/26    515,000    453,175 
Kilroy Realty Corp.   2.500%   11/15/32    1,750,000    1,257,868 
Kimco Realty Corp.   2.700%   10/01/30    1,750,000    1,410,693 
Lexington Realty Trust   2.700%   09/15/30    1,500,000    1,154,003 
Mid-America Apartment Communities, Inc. (b)   3.950%   03/15/29    1,750,000    1,591,284 
Ontario Teachers Cadillac Fairview Properties Trust (a)   2.500%   10/15/31    1,125,000    879,590 
Prologis, L.P.   4.625%   01/15/33    1,500,000    1,425,117 
Regency Centers, L.P.   3.750%   06/15/24    1,000,000    969,438 
Rexford Industrial Realty, L.P.   2.150%   09/01/31    1,750,000    1,312,350 
Sun Communities Operating Ltd.   2.700%   07/15/31    500,000    377,893 
UDR, Inc.   1.900%   03/15/33    1,000,000    693,068 
Vornado Realty, L.P.   3.500%   01/15/25    567,000    530,648 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
REITS - 3.5% (Continued)                    
WP Carey, Inc.   2.450%   02/01/32   $985,000   $735,054 
                   22,116,451 
RETAIL - CONSUMER STAPLES - 0.2%                    
Kroger Co. (The)   5.000%   04/15/42    1,000,000    882,497 
Walmart, Inc.   1.800%   09/22/31    500,000    397,235 
                   1,279,732 
RETAIL - DISCRETIONARY - 0.6%                    
ERAC USA Finance, LLC (a)   2.700%   11/01/23    1,250,000    1,216,487 
Home Depot, Inc.   3.625%   04/15/52    1,000,000    755,658 
Lowe's Cos., Inc.   4.650%   04/15/42    1,000,000    846,823 
Lowe's Cos., Inc.   3.000%   10/15/50    500,000    306,174 
Lowe's Cos., Inc. (b)   5.625%   04/15/53    1,000,000    924,810 
                   4,049,952 
SEMICONDUCTORS - 0.4%                    
Intel Corp.   4.150%   08/05/32    1,000,000    910,641 
Intel Corp.   3.734%   12/08/47    1,361,000    1,011,071 
NVIDIA Corp.   2.850%   04/01/30    500,000    428,530 
Skyworks Solutions, Inc.   0.900%   06/01/23    500,000    485,088 
                   2,835,330 
SOFTWARE - 0.4%                    
Microsoft Corp.   2.525%   06/01/50    3,000,000    1,960,030 
Microsoft Corp.   2.921%   03/17/52    1,000,000    705,296 
                   2,665,326 
SPECIALTY FINANCE - 1.2%                    
American Express Credit Corp.   3.000%   10/30/24    1,000,000    964,865 
BlueHub Loan Fund, Inc.   3.099%   01/01/30    1,030,000    887,405 
Community Preservation Corp. (The)   2.867%   02/01/30    1,750,000    1,439,065 
F&G Global Funding   2.300%   04/11/27    535,000    460,700 
Fidelity National Financial, Inc.   3.400%   06/15/30    500,000    407,601 
GATX Corp.   4.350%   02/15/24    300,000    296,192 
Low Income Investment Fund   3.386%   07/01/26    115,000    109,103 
USAA Capital Corp. (a)   1.500%   05/01/23    1,000,000    984,221 
USAA Capital Corp. (a)   2.125%   05/01/30    3,000,000    2,409,134 
                   7,958,286 
STEEL - 0.2%                    
Nucor Corp.   2.000%   06/01/25    460,000    424,580 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
STEEL - 0.2% (Continued)                    
Reliance Steel & Aluminum Co.   4.500%   04/15/23   $1,105,000   $1,102,574 
                   1,527,154 
TECHNOLOGY HARDWARE - 0.7%                    
Apple, Inc.   3.000%   06/20/27    1,000,000    939,592 
Apple, Inc.   2.650%   05/11/50    1,000,000    657,616 
Apple, Inc.   2.650%   02/08/51    2,000,000    1,313,066 
HP, Inc. (b)   4.750%   01/15/28    1,100,000    1,032,265 
HP, Inc.   4.000%   04/15/29    915,000    801,902 
                   4,744,441 
TECHNOLOGY SERVICES - 0.6%                    
Experian Finance plc (a)   2.750%   03/08/30    635,000    513,192 
IBM Corp. (b)   3.300%   05/15/26    1,000,000    942,274 
Moody's Corp.   3.250%   05/20/50    500,000    338,826 
Moody's Corp.   3.750%   02/25/52    1,000,000    739,808 
RELX Capital, Inc.   3.500%   03/16/23    1,500,000    1,490,381 
                   4,024,481 
TELECOMMUNICATIONS - 0.7%                    
AT&T, Inc.   5.250%   03/01/37    500,000    460,377 
AT&T, Inc.   4.750%   05/15/46    1,500,000    1,257,213 
Verizon Communications, Inc.   3.875%   02/08/29    1,000,000    912,881 
Verizon Communications, Inc. (b)   1.500%   09/18/30    1,000,000    751,746 
Verizon Communications, Inc.   2.987%   10/30/56    1,799,000    1,069,365 
                   4,451,582 
TRANSPORTATION & LOGISTICS - 1.3%                    
British Airways, Series 2013-1 (a)   4.625%   12/20/25    319,474    310,562 
Burlington Northern Santa Fe, LLC   5.750%   05/01/40    1,000,000    1,012,130 
Canadian Pacific Railway Co.   2.050%   03/05/30    1,750,000    1,402,908 
Mexico City Airport Trust (a)   4.250%   10/31/26    497,000    442,330 
Norfolk Southern Corp.   4.837%   10/01/41    1,000,000    891,348 
Norfolk Southern Corp.   3.050%   05/15/50    1,500,000    977,531 
Penske Truck Leasing Co. (a)   3.450%   07/01/24    1,250,000    1,202,543 
TTX Co. (a)   4.600%   02/01/49    280,000    247,494 
Union Pacific Corp.   4.950%   09/09/52    2,000,000    1,866,516 
                   8,353,362 
WHOLESALE - CONSUMER STAPLES - 0.3%                    
Bunge Ltd. Finance Corp.   1.630%   08/17/25    395,000    355,321 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

CORPORATE BONDS - 40.2% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
WHOLESALE - CONSUMER STAPLES - 0.3% (Continued)                    
Sysco Corp.   2.400%   02/15/30   $1,750,000   $1,424,206 
                   1,779,527 
                     
TOTAL CORPORATE BONDS (COST $301,564,909)                 $257,949,310 
                     
CORPORATE NOTES - 1.1%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 1.1%                    
Calvert Social Investment Foundation, Inc. (d)   0.400%   12/15/22   $500,000   $495,743 
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/15/23    1,650,000    1,622,460 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/23    950,000    922,785 
Calvert Social Investment Foundation, Inc. (d)   1.000%   06/14/24    550,000    511,095 
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/17/24    980,000    941,433 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/24    400,000    380,333 
Calvert Social Investment Foundation, Inc. (d)   2.500%   06/13/25    1,400,000    1,301,087 
Calvert Social Investment Foundation, Inc. (d)   2.500%   12/15/25    650,000    597,335 
TOTAL CORPORATE NOTES (COST $7,080,000)                 $6,772,271 
                     
FOREIGN GOVERNMENTS - 7.7%  Coupon   Maturity   Principal Amount   Fair Value 
FOREIGN AGENCY - 0.7%                    
BNG Bank N.V. (a)(b)   1.500%   10/16/24   $1,500,000   $1,417,434 
BNG Bank N.V. (a)(b)   0.500%   11/24/25    2,000,000    1,772,817 
Kommunalbanken A.S. (a)   2.125%   02/11/25    1,000,000    950,780 
Kommunivest I Sverige AB, Series MTN (a)   0.375%   06/19/24    500,000    466,698 
                   4,607,729 
SUPRANATIONAL - 7.0%                    
African Development Bank   0.750%   04/03/23    5,000,000    4,917,500 
Asian Development Bank   2.125%   03/19/25    1,000,000    946,193 
Asian Development Bank   3.125%   09/26/28    1,000,000    941,069 
Central American Bank for Economic Integration (a)   1.140%   02/09/26    1,200,000    1,058,016 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

FOREIGN GOVERNMENTS - 7.7% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
SUPRANATIONAL - 7.0% (Continued)                    
European Bank for Reconstruction & Development   1.625%   09/27/24   $1,250,000   $1,185,521 
European Bank for Reconstruction & Development   1.500%   02/13/25    200,000    187,199 
European Investment Bank (b)   2.500%   10/15/24    1,000,000    964,701 
European Investment Bank   2.125%   04/13/26    1,000,000    927,673 
European Investment Bank (b)   2.375%   05/24/27    4,000,000    3,697,400 
Inter-American Development Bank   0.875%   04/03/25    3,000,000    2,752,748 
Inter-American Development Bank   4.375%   01/24/44    3,000,000    2,989,148 
International Bank for Reconstruction & Development   0.250%   11/24/23    4,500,000    4,294,362 
International Bank for Reconstruction & Development   0.625%   04/22/25    1,000,000    910,286 
International Bank for Reconstruction & Development   3.125%   11/20/25    1,000,000    964,160 
International Bank for Reconstruction & Development   0.875%   07/15/26    3,000,000    2,640,330 
International Bank for Reconstruction & Development   3.125%   06/15/27    4,000,000    3,818,240 
International Development Association (a)   2.750%   04/24/23    5,000,000    4,958,100 
International Development Association (a)   0.375%   09/23/25    2,000,000    1,776,020 
International Development Association (a)(b)   0.875%   04/28/26    2,000,000    1,778,745 
International Finance Corp., Series GMTN   2.125%   04/07/26    3,000,000    2,782,080 
                   44,489,491 
                     
TOTAL FOREIGN GOVERNMENTS (COST $52,507,855)                 $49,097,220 
                     
COMMERCIAL MORTGAGE-BACKED SECURITIES - 0.0% (e)  Coupon   Maturity   Principal Amount   Fair Value 
Commercial Mortgage Pass-Through Certificates, Class A-3 (Cost $279,946)   2.853%   10/17/45   $274,543   $273,990 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

U.S. GOVERNMENT AGENCIES - 42.7%  Coupon   Maturity   Principal Amount   Fair Value 
DEVELOPMENT FINANCE CORPORATION - 1.6%                    
DFC (PO)   0.000%   06/21/23   $1,000,000   $1,062,440 
DFC (c)   0.130%   09/15/26    666,667    666,667 
DFC   1.590%   04/15/28    2,000,000    1,740,592 
DFC   1.650%   04/15/28    3,500,000    3,074,043 
DFC   3.130%   04/15/28    1,000,000    935,576 
DFC   3.280%   09/15/29    804,865    771,219 
DFC   3.520%   09/20/32    714,286    679,172 
DFC   3.540%   06/15/30    455,894    437,097 
DFC   3.820%   06/01/33    797,576    769,821 
                   10,136,627 
FEDERAL HOME LOAN BANK - 4.5%                    
FHLB   3.250%   11/16/28    8,500,000    8,110,404 
FHLB   5.500%   07/15/36    18,620,000    20,803,732 
                   28,914,136 
FEDERAL HOME LOAN MORTGAGE CORPORATION - 11.0%       
FHLMC   4.000%   11/01/24    36,093    35,199 
FHLMC   0.375%   09/23/25    3,500,000    3,121,496 
FHLMC   4.000%   10/01/25    24,536    23,929 
FHLMC   2.875%   04/25/26    3,000,000    2,835,137 
FHLMC   6.000%   04/01/27    42,960    43,713 
FHLMC   2.500%   10/01/27    232,398    222,549 
FHLMC   2.738%   04/25/29    2,298,523    2,161,662 
FHLMC   2.412%   08/25/29    3,670,000    3,212,068 
FHLMC   7.000%   02/01/30    13,682    13,687 
FHLMC   7.500%   07/01/30    54,139    56,838 
FHLMC   1.487%   11/25/30    2,500,000    1,991,760 
FHLMC   1.878%   01/25/31    1,500,000    1,238,864 
FHLMC   2.000%   01/25/31    3,000,000    2,475,798 
FHLMC   7.000%   03/01/31    22,414    23,387 
FHLMC   1.777%   10/25/31    2,000,000    1,596,310 
FHLMC   2.091%   11/25/31    2,500,000    2,049,775 
FHLMC   6.250%   07/15/32    7,050,000    8,203,219 
FHLMC   3.123%   08/25/32    2,000,000    1,795,828 
FHLMC   3.000%   11/01/32    362,444    334,335 
FHLMC   3.000%   11/01/32    469,372    432,970 
FHLMC   5.500%   11/01/33    28,408    29,294 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

U.S. GOVERNMENT AGENCIES - 42.7% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL HOME LOAN MORTGAGE CORPORATION - 11.0% (Continued)       
FHLMC (H15T1Y + 223.10) (c)   2.356%   05/01/34   $2,078   $2,051 
FHLMC (H15T1Y + 223.10) (c)   3.356%   05/01/34    25,707    26,092 
FHLMC   1.783%   06/25/34    2,084,061    1,587,179 
FHLMC   5.000%   07/01/35    53,995    54,304 
FHLMC   4.500%   10/01/35    73,074    71,494 
FHLMC   2.438%   02/25/36    4,000,000    3,095,612 
FHLMC   5.500%   03/01/36    20,160    20,848 
FHLMC   5.500%   06/01/36    29,903    30,922 
FHLMC   6.000%   06/01/36    21,803    22,227 
FHLMC   5.500%   12/01/36    24,129    24,952 
FHLMC   6.000%   08/01/37    13,643    14,350 
FHLMC   5.000%   03/01/38    123,281    124,391 
FHLMC   4.500%   06/01/39    130,148    127,693 
FHLMC   5.000%   06/01/39    191,469    193,202 
FHLMC   4.500%   07/01/39    123,290    120,977 
FHLMC   4.500%   11/01/39    112,456    110,330 
FHLMC   4.500%   09/01/40    166,471    163,278 
FHLMC   4.500%   05/01/41    325,209    318,960 
FHLMC   4.500%   07/01/41    380,105    372,835 
FHLMC   5.000%   09/01/41    159,096    160,536 
FHLMC   3.500%   10/01/41    184,647    170,496 
FHLMC   4.000%   10/01/41    198,051    188,039 
FHLMC   3.500%   02/01/42    317,011    291,508 
FHLMC   4.000%   02/01/42    88,357    84,319 
FHLMC   3.500%   06/01/42    361,207    332,145 
FHLMC   3.500%   06/01/42    371,234    340,723 
FHLMC   3.500%   08/01/42    425,808    390,660 
FHLMC   3.000%   11/01/42    832,786    747,556 
FHLMC   3.000%   01/01/43    459,001    411,907 
FHLMC   3.000%   05/01/43    633,108    567,319 
FHLMC   3.500%   10/01/44    364,220    334,912 
FHLMC   3.500%   11/01/44    328,353    301,927 
FHLMC   3.500%   04/01/45    407,889    375,056 
FHLMC   3.000%   05/01/46    697,870    621,334 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

U.S. GOVERNMENT AGENCIES - 42.7% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL HOME LOAN MORTGAGE CORPORATION - 11.0% (Continued)       
FHLMC   3.000%   12/01/46   $1,739,798   $1,549,558 
FHLMC   3.500%   03/01/48    1,959,274    1,799,034 
FHLMC   3.500%   03/01/49    536,156    488,588 
FHLMC   3.500%   07/01/49    873,083    794,230 
FHLMC   3.000%   09/01/49    989,057    866,836 
FHLMC   3.000%   07/01/50    2,434,432    2,132,581 
FHLMC   2.000%   08/01/50    3,334,409    2,715,867 
FHLMC   2.000%   01/01/51    8,226,871    6,700,775 
FHLMC   2.500%   04/01/51    8,055,833    6,801,928 
FHLMC   2.500%   09/01/51    3,221,287    2,715,170 
                   70,262,519 
FEDERAL NATIONAL MORTGAGE ASSOCIATION - 25.4%       
FNMA   2.670%   12/01/23    2,236,490    2,203,063 
FNMA (c)   2.620%   07/25/24    2,439,748    2,364,235 
FNMA   2.890%   12/01/24    4,000,000    3,844,508 
FNMA   3.080%   12/01/24    2,133,629    2,079,742 
FNMA   2.710%   01/01/25    4,500,000    4,303,753 
FNMA   5.000%   04/01/25    18,428    18,162 
FNMA   5.000%   07/01/25    16,021    15,711 
FNMA   3.500%   10/01/25    27,398    26,022 
FNMA   5.000%   10/01/25    21,874    21,449 
FNMA   5.500%   11/01/25    6    6 
FNMA   0.500%   11/07/25    12,000,000    10,686,423 
FNMA   4.000%   03/01/26    122,886    119,066 
FNMA   2.910%   04/01/26    3,000,000    2,905,820 
FNMA   2.125%   04/24/26    2,000,000    1,860,582 
FNMA   8.500%   09/01/26    3,850    3,855 
FNMA   2.500%   09/01/27    276,937    265,240 
FNMA   0.750%   10/08/27    10,000,000    8,500,815 
FNMA   2.500%   11/01/27    433,451    414,474 
FNMA   2.500%   01/01/28    283,500    270,819 
FNMA (c)   3.430%   06/25/28    1,818,021    1,706,331 
FNMA   2.522%   08/27/29    5,792,305    5,138,905 
FNMA   0.875%   08/05/30    17,000,000    13,296,428 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

U.S. GOVERNMENT AGENCIES - 42.7% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL NATIONAL MORTGAGE ASSOCIATION - 25.4% (Continued)  
FNMA   6.625%   11/15/30   $12,750,000   $14,890,272 
FNMA (c)   1.561%   11/25/30    3,000,000    2,374,674 
FNMA (c)   1.429%   12/25/30    5,000,000    3,949,560 
FNMA   1.292%   01/25/31    3,000,000    2,324,628 
FNMA   1.376%   03/25/31    1,000,000    781,322 
FNMA   2.000%   01/01/32    1,235,221    1,106,173 
FNMA   3.000%   12/01/32    526,585    485,224 
FNMA   6.000%   10/01/33    19,055    20,019 
FNMA   5.500%   02/01/34    21,112    21,753 
FNMA (H15T1Y + 211.70) (c)   2.795%   05/01/34    25,404    25,747 
FNMA   6.000%   11/01/34    55,526    58,334 
FNMA   5.500%   01/01/35    29,077    30,022 
FNMA   2.500%   02/01/35    1,225,466    1,113,392 
FNMA   5.000%   10/01/35    48,522    48,901 
FNMA   5.500%   10/01/35    60,059    62,037 
FNMA   6.000%   10/01/35    31,464    33,055 
FNMA   5.500%   06/01/36    16,448    16,926 
FNMA   6.000%   06/01/36    14,649    15,391 
FNMA   5.500%   11/01/36    19,421    20,059 
FNMA (12MO LIBOR + 156.50) (c)   2.065%   05/01/37    2,100    2,096 
FNMA   5.625%   07/15/37    7,750,000    8,742,941 
FNMA   4.500%   09/01/40    100,900    98,596 
FNMA   4.500%   10/01/40    100,340    98,312 
FNMA   4.000%   12/01/40    261,640    249,405 
FNMA   4.000%   01/01/41    186,805    178,074 
FNMA   3.500%   02/01/41    271,994    250,939 
FNMA   4.000%   10/01/41    147,476    139,890 
FNMA   4.000%   11/01/41    150,985    143,209 
FNMA   4.000%   12/01/41    194,196    184,188 
FNMA   4.000%   12/01/41    285,057    271,741 
FNMA   4.000%   01/01/42    615,468    586,765 
FNMA   3.500%   05/01/42    313,102    286,931 
FNMA   3.000%   06/01/42    576,136    516,755 
FNMA   3.000%   08/01/42    426,526    382,684 
FNMA   3.000%   08/01/42    468,194    420,066 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

U.S. GOVERNMENT AGENCIES - 42.7% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
FEDERAL NATIONAL MORTGAGE ASSOCIATION - 25.4% (Continued)  
FNMA   3.500%   12/01/42   $655,391   $601,969 
FNMA   3.000%   06/01/43    526,622    471,580 
FNMA   4.000%   12/01/44    739,707    702,829 
FNMA   3.500%   05/01/45    871,466    800,797 
FNMA   3.000%   04/01/46    685,815    610,955 
FNMA   3.500%   11/01/46    1,148,668    1,055,314 
FNMA   4.000%   10/01/48    540,392    510,624 
FNMA   4.000%   11/01/48    1,358,321    1,291,586 
FNMA   3.500%   05/01/49    447,480    407,360 
FNMA   4.000%   06/01/49    692,242    652,919 
FNMA   3.500%   08/01/49    1,810,175    1,645,498 
FNMA   3.000%   09/01/49    943,132    828,720 
FNMA   3.000%   06/01/50    1,952,548    1,712,572 
FNMA   2.500%   07/01/50    3,126,103    2,641,580 
FNMA   2.500%   08/01/50    2,203,056    1,864,863 
FNMA   3.000%   08/01/50    3,446,076    3,023,852 
FNMA   2.000%   11/01/50    5,515,233    4,496,048 
FNMA   2.000%   01/01/51    9,866,385    8,040,840 
FNMA   2.000%   02/01/51    5,826,036    4,748,445 
FNMA   2.500%   04/01/51    16,640,463    14,053,009 
FNMA   2.000%   08/01/51    3,673,320    2,987,980 
FNMA   2.000%   11/01/51    5,678,833    4,609,806 
FNMA   2.500%   05/01/52    5,864,870    4,932,724 
                   162,667,360 
GOVERNMENT NATIONAL MORTGAGE ASSOCIATION - 0.0% (e)                    
GNMA   7.000%   12/20/30    9,089    9,395 
GNMA   7.000%   10/20/31    6,484    6,773 
GNMA   7.000%   03/20/32    27,595    28,890 
GNMA (H15T1Y + 150) (c)   2.625%   01/20/34    18,353    18,197 
GNMA   5.500%   10/20/38    5,147    5,072 
GNMA   6.500%   11/20/38    3,290    3,359 
                   71,686 
SMALL BUSINESS ADMINISTRATION - 0.0% (e)                    
SBA (Prime - 2.65) (c)   2.850%   02/25/32    46,004    45,973 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

U.S. GOVERNMENT AGENCIES - 42.7% (Continued)  Coupon   Maturity   Principal Amount   Fair Value 
UNITED STATES AGENCY OF INTERNATIONAL DEVELOPMENT - 0.2%       
Hashemite Kingdom of Jordan AID Bond   3.000%   06/30/25   $1,450,000   $1,394,286 
                     
TOTAL U.S. GOVERNMENT AGENCIES (COST $313,256,879)                 $273,492,587 
                     
ASSET BACKED SECURITIES - 4.2%  Coupon   Maturity   Principal Amount   Fair Value 
Ahold Finance U.S.A., LLC   8.620%   01/02/25   $207,743   $214,449 
Beacon Container Finance II, LLC (a)   2.250%   10/22/46    944,667    821,280 
Cards II Trust (a)   0.602%   04/15/27    2,250,000    2,115,739 
CLI Funding, LLC (a)   2.720%   01/18/47    1,261,789    1,090,117 
DB Master Finance, LLC (a)   2.493%   11/20/51    2,009,813    1,660,141 
Domino's Pizza Master Issuer, LLC (a)   4.474%   10/25/45    1,413,750    1,351,980 
Iowa Student Loan Liquidity Corp. Rev.   1.730%   08/25/70    1,246,672    1,089,111 
Master Credit Card Trust II (a)   1.990%   09/21/24    4,000,000    3,953,620 
SBA Tower Trust (a)   3.448%   03/15/48    1,250,000    1,238,504 
SBA Tower Trust (a)   2.836%   01/15/50    282,000    263,898 
SolarCity LMC, Series I, LLC (a)(f)   4.800%   12/20/26    310,478    307,812 
Tesla Auto Lease Trust   0.600%   09/22/25    1,200,000    1,125,247 
Textainer Marine Containers VII Ltd. (a)   1.680%   02/20/46    1,310,000    1,115,490 
TIF Funding II, LLC (a)   1.650%   02/20/46    435,417    360,256 
Toyota Auto Receivables Owner Trust   0.260%   11/17/25    3,000,000    2,871,894 
Tribute Rail, LLC (a)   4.760%   05/17/52    1,982,196    1,890,232 
Triton Container Finance VIII, LLC (a)   1.860%   03/20/46    1,526,875    1,281,574 
Triumph Rail, LLC (a)   2.150%   06/19/51    1,933,158    1,663,765 
Vantage Data Centers Issuer, LLC (a)   2.165%   10/15/46    2,000,000    1,735,794 
Wendy's Funding, LLC (a)   3.783%   06/15/49    684,375    629,025 
TOTAL ASSET BACKED SECURITIES (COST $29,301,495)                 $26,779,928 
                     
MONEY MARKET FUNDS - 1.8%            Shares   Fair Value 
First American Government Obligations Fund -
Class X, 2.77% (g) (COST $11,574,915)
             11,574,915   $11,574,915 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Impact Bond Fund                                 

 

INVESTMENT PURCHASED WITH THE CASH PROCEEDS FROM SECURITIES LENDING - 2.6%            Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 3.16% (g)(h)
(COST $16,949,919)
             16,949,919   $16,949,919 
                     
INVESTMENT COMPANIES - 0.5%            Shares   Fair Value 
Pax High Yield Bond Fund - Institutional Class
(COST $4,199,236)
             530,984   $2,957,580 
                     
TOTAL INVESTMENTS - (COST $745,028,730) - 101.9%                 $652,793,386 
                     
LIABILITIES IN EXCESS OF OTHER ASSETS - (1.9%)                  (11,989,794)
                     
NET ASSETS - 100.0%                 $640,803,592 

 

(a) 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, 2022, these securities were valued at $83,319,267 or 13.0% of net assets.
(b) All or a portion of the security is on loan. The total fair value of the securities on loan as of September 30, 2022 was $16,486,848.  
(c) Variable rate security. Interest rate resets periodically. The rate shown is the effective interest rate as of September 30, 2022. 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.   0.400%, 12/15/22  12/15/21  $500,000   $495,743    0.1%
Calvert Social Investment Foundation, Inc.   3.000%, 06/15/23  06/18/18   1,650,000    1,622,460    0.3%
Calvert Social Investment Foundation, Inc.   3.000%, 12/15/23  12/17/18   950,000    922,785    0.1%
Calvert Social Investment Foundation, Inc.   1.000%, 06/14/24  06/15/21   550,000    511,095    0.1%
Calvert Social Investment Foundation, Inc.   3.000%, 06/17/24  06/17/19   980,000    941,433    0.1%
Calvert Social Investment Foundation, Inc.   3.000%, 12/15/24  12/12/19   400,000    380,333    0.1%
Calvert Social Investment Foundation, Inc.   2.500%, 06/13/25  06/12/20   1,400,000    1,301,087    0.2%
Calvert Social Investment Foundation, Inc.   2.500%, 12/15/25  12/15/20   650,000    597,335    0.1%
      $7,080,000   $6,772,271    1.1%

 

 

(e) Percentage rounds to less than 0.1%.
(f) Security value has been determined in good faith pursuant to procedures adopted by the Board of Trustees. The total fair value of such securities was $307,812 as of September 30, 2022, representing 0.0% (e) of net assets.
(g) The rate shown is the 7-day effective yield as of September 30, 2022.
(h) The security was purchased with cash collateral received 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

PO – Principal Only security with a redemption price above par 

SOFR - Secured Overnight Financing Rate 

 

 

Schedule of Portfolio Investments

Praxis International Index Fund  

September 30, 2022 (Unaudited)

 

COMMON STOCKS - 97.7%  Shares   Fair Value 
AUSTRALIA - 4.4%          
ASX Ltd.   3,087   $142,061 
Australia & New Zealand Banking Group Ltd.   40,646    594,954 
Brambles Ltd.   84,413    617,462 
Coles Group Ltd.   20,682    218,017 
Commonwealth Bank of Australia   19,560    1,137,797 
Computershare Ltd.   20,272    323,310 
CSL Ltd. - ADR   7,282    664,446 
CSL Ltd.   3,640    661,935 
Dexus   158,141    786,608 
Fortescue Metals Group Ltd.   63,440    680,988 
Goodman Group   44,189    446,569 
GPT Group (The)   86,547    212,987 
Lendlease Group   22,661    129,544 
Macquarie Group Ltd. - ADR   2,747    275,524 
Macquarie Group Ltd.   2,144    209,150 
Mirvac Group   157,601    196,306 
National Australia Bank Ltd.   36,653    678,592 
Origin Energy Ltd.   41,376    137,272 
REA Group Ltd.   6,602    480,491 
Scentre Group   175,279    286,358 
SEEK Ltd.   49,532    601,944 
Sonic Healthcare Ltd.   7,195    140,327 
South32 Ltd.   255,820    607,237 
Stockland   68,242    142,805 
Transurban Group   200,755    1,585,299 
Vicinity Centres   397,679    443,364 
Wesfarmers Ltd.   32,429    886,479 
Woolworths Group Ltd.   28,598    621,395 
         13,909,221 
AUSTRIA - 0.2%          
Verbund AG   6,899    588,936 
           
BELGIUM - 0.8%          
Elia System Operator S.A./N.V.   4,015    472,383 
Groupe Bruxelles Lambert N.V.   6,989    488,708 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
BELGIUM - 0.8% (Continued)          
KBC Group N.V. - ADR   1,592   $37,316 
KBC Group N.V.   15,375    729,502 
UCB S.A.   7,663    531,721 
Umicore S.A.   3,663    107,521 
         2,367,151 
BERMUDA - 0.6%          
China Gas Holdings Ltd.   115,000    137,546 
Credicorp Ltd.   7,803    958,209 
Hongkong Land Holdings Ltd.   35,400    155,548 
Shenzhen International Holdings Ltd.   799,000    609,062 
         1,860,365 
BRAZIL - 1.7%          
Banco Bradesco S.A. - ADR (a)   268,213    987,024 
Banco do Brasil S.A. - ADR (a)   98,038    706,854 
Banco Santander Brasil S.A. - ADR   143,531    809,515 
BRF S.A. - ADR (a)(b)   58,854    137,718 
Cia Energética de Minas Gerais - ADR (a)   281,777    569,189 
Gerdau S.A. - ADR   79,331    358,576 
Getnet Adquirencia e Servicos para Meios de Pagamento S.A. - ADR   7,516    13,003 
Sendas Distribuidora S.A. - ADR   17,197    277,388 
Suzano S.A. - ADR   78,845    650,471 
Telefónica Brasil S.A. - ADR   91,332    686,817 
TIM S.A. - ADR (a)   24,867    278,013 
         5,474,568 
CANADA - 8.5%          
Bank of Montreal (a)   20,716    1,815,550 
Bank of Nova Scotia (The) (a)   27,062    1,287,339 
BCE, Inc.   11,273    472,790 
Cameco Corp.   22,596    599,020 
Canadian Imperial Bank of Commerce (a)   27,136    1,187,471 
Canadian National Railway Co.   15,841    1,710,670 
Canadian Pacific Railway Ltd. (a)   19,191    1,280,423 
CGI, Inc. (b)   8,100    609,444 
Franco-Nevada Corp.   15,923    1,902,480 
Gildan Activewear, Inc.   18,362    519,094 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
CANADA - 8.5% (Continued)          
Magna International, Inc. (a)   2,707   $128,366 
Manulife Financial Corp. (a)   76,580    1,200,009 
Methanex Corp.   15,712    500,741 
Nutrien Ltd. (a)   13,124    1,094,279 
Open Text Corp.   11,725    310,009 
Restaurant Brands International, Inc.   11,589    616,303 
Ritchie Bros. Auctioneers, Inc.   2,472    154,451 
Royal Bank of Canada (a)   32,068    2,887,403 
Sun Life Financial, Inc.   39,338    1,564,079 
Teck Resources Ltd. - Class B   53,368    1,622,921 
Thomson Reuters Corp.   20,428    2,096,321 
Toronto-Dominion Bank (The) (a)   26,902    1,649,900 
Wheaton Precious Metals Corp.   40,117    1,298,186 
         26,507,249 
CAYMAN ISLANDS - 5.0%          
Alibaba Group Holding Ltd. - ADR (a)(b)   30,148    2,411,539 
Autohome, Inc. - ADR   2,537    72,964 
Baidu, Inc. - ADR (a)(b)   4,552    534,815 
China Literature Ltd. (b)   83,000    233,422 
China Mengniu Dairy Co. Ltd. (b)   98,000    387,403 
ENN Energy Holdings Ltd.   31,800    423,994 
GDS Holdings Ltd. - ADR (a)(b)   6,020    106,313 
Genscript Biotech Corp. (b)   112,000    242,452 
H World Group Ltd. - ADR   6,096    204,460 
Hengan International Group Co. Ltd.   99,000    442,610 
JD.com, Inc. - ADR   11,792    593,138 
KE Holdings, Inc. (b)   7,107    124,515 
Kingdee International Software Group Co. Ltd. (b)   100,000    130,335 
Li Auto, Inc. - Class A (b)   14,389    331,091 
Meituan - ADR (b)   34,299    1,445,703 
NetEase, Inc. - ADR   11,960    904,176 
NIO, Inc. - ADR (b)   28,907    455,863 
Shenzhou International Group Holdings Ltd.   48,000    370,634 
Sunny Optical Technology Group Co. Ltd.   19,200    182,469 
Tencent Holdings Ltd. - ADR (a)   101,986    3,449,167 
Tingyi Cayman Islands Holding Corp.   276,000    475,302 

 

 

Schedule of Portfolio Investments (Continued)    

Praxis International Index Fund    

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
CAYMAN ISLANDS - 5.0% (Continued)          
Trip.com Group Ltd. - ADR (a)(b)   22,788   $622,340 
Vipshop Holdings Ltd. - ADR (b)   21,137    177,762 
VNET Group, Inc. - ADR (a)(b)   23,314    128,227 
WuXi Biologics Cayman, Inc. (b)   122,072    726,674 
Xinyi Solar Holdings Ltd.   100,000    105,013 
ZTO Express Cayman, Inc. - ADR (a)   19,738    474,304 
         15,756,685 
CHILE - 0.3%          
Sociedad Quimica y Minera de Chile S.A. - ADR   10,226    928,009 
           
CHINA - 2.9%          
Agricultural Bank of China Ltd. - H Shares   1,583,000    473,783 
ANTA Sports Products Ltd.   50,400    529,037 
Bank of China Ltd. - H Shares   1,903,000    621,509 
BYD Co. Ltd. - H Shares   23,000    566,617 
China Life Insurance Co. Ltd. - H Shares   376,000    481,065 
China Merchants Bank Co. Ltd. - H Shares   66,820    309,233 
China Minsheng Banking Corp. Ltd. - H Shares   456,500    130,535 
China Pacific Insurance Group Co. Ltd. - H Shares   100,200    184,004 
China Resources Land Ltd.   134,000    524,862 
China Vanke Co. Ltd. - H Shares   168,574    305,078 
COSCO SHIPPING Holdings Co. Ltd. - H Shares   87,500    101,777 
Haier Smart Home Co. Ltd. - H Shares   241,230    734,056 
Huatai Securities Co. Ltd. - H Shares   117,400    128,753 
Industrial & Commercial Bank of China Ltd. - H Shares   1,118,000    524,459 
Jiangsu Expressway Co. Ltd. - H Shares   720,000    540,556 
New World Development Co. Ltd.   72,768    206,667 
PICC Property & Casualty Co. Ltd. - H Shares   146,000    150,976 
Ping An Insurance Group Co. of China Ltd. - H Shares   256,818    1,281,209 
Sinopharm Group Co. Ltd. - H Shares   427,200    852,598 
TravelSky Technology Ltd. - H Shares   217,000    332,134 
         8,978,908 
COLOMBIA - 0.3%          
Bancolombia S.A. - ADR   32,931    802,528 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
DENMARK - 1.7%          
A.P. Moller-Maersk A/S - Series B   67   $121,747 
Chr. Hansen Holding A/S   1,812    89,253 
Coloplast A/S - Series B   2,036    206,895 
DSV A/S   4,551    533,107 
Genmab A/S (b)   932    299,811 
Novo Nordisk A/S - ADR   29,898    2,978,738 
Novozymes A/S - Class B   3,368    169,239 
Orsted A/S   4,694    374,094 
Pandora A/S   1,085    50,738 
Vestas Wind Systems A/S   21,015    386,924 
         5,210,546 
FINLAND - 0.7%          
Neste OYJ   20,268    883,347 
Nokia Corp. - ADR   120,955    516,478 
Sampo plc - A Shares   3,751    160,114 
Stora Enso OYJ - R Shares   11,015    139,909 
UPM-Kymmene OYJ   20,395    647,133 
         2,346,981 
FRANCE - 6.0%          
Accor S.A. (b)   11,801    247,026 
Aeroports de Paris (b)   1,860    214,912 
Air Liquide S.A. - ADR   1,327    30,149 
Air Liquide S.A.   9,728    1,111,745 
Alstom S.A. - ADR   41,500    65,570 
Alstom S.A.   10,037    162,333 
Arkema S.A.   1,887    137,503 
AXA S.A.   33,469    730,623 
BNP Paribas S.A.   3,140    132,613 
Bollore SE   82,440    378,186 
Bureau Veritas S.A.   6,434    143,957 
Capgemini SE - ADR   6,425    205,729 
Capgemini SE   5,024    804,232 
Carrefour S.A.   14,741    204,415 
Cie Generale des Etablissements Michelin SCA - ADR   28,976    322,068 
Cie Generale des Etablissements Michelin SCA   18,076    404,948 
Covivio   5,514    265,592 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
FRANCE - 6.0% (Continued)          
Danone S.A. - ADR   54,195   $510,246 
Danone S.A.   6,488    306,744 
Dassault Systemes SE - ADR   3,725    128,475 
Dassault Systemes SE   9,814    338,781 
EssilorLuxottica S.A.   4,430    602,053 
Eurofins Scientific SE   2,307    136,934 
Getlink SE   77,043    1,194,564 
Henkel AG & Co. KGaA   4,390    248,760 
Hermes International   830    976,042 
Kering S.A.   1,685    747,274 
Klepierre S.A. (b)   22,849    397,180 
Legrand S.A.   10,029    648,375 
L'Oreal S.A. - ADR   21,745    1,385,809 
L'Oreal S.A.   1,380    441,182 
Publicis Groupe S.A. (b)   12,555    594,806 
Sartorius Sedim Biotech   1,319    404,529 
Schneider Electric SE   10,419    1,176,668 
Societe Generale S.A.   23,503    464,732 
Solvay S.A.   809    62,626 
Teleperformance   1,454    368,804 
Unibail-Rodamco-Westfield (b)   6,388    264,298 
Unibail-Rodamco-Westfield - CDI (b)   45,646    89,050 
Valeo   28,541    431,190 
Veolia Environnement S.A.   6,731    128,626 
Vivendi SE - ADR   13,553    104,223 
Vivendi SE   21,180    164,261 
Wendel SE   8,457    605,225 
Worldline S.A. (b)   11,073    437,607 
         18,920,665 
GERMANY - 3.5%          
adidas AG - ADR   2,402    137,899 
adidas AG   1,323    152,072 
Allianz SE - ADR   76,050    1,187,140 
Allianz SE   239    37,645 
BASF SE   3,729    143,093 
Bayerische Motoren Werke AG - ADR   2    45 

 

 

Schedule of Portfolio Investments (Continued) 

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
GERMANY - 3.5% (Continued)          
Bayerische Motoren Werke AG   2,092   $141,771 
Brenntag AG   6,380    385,629 
Commerzbank AG (b)   24,099    171,537 
Continental AG - ADR   7,120    31,399 
Continental AG   6,571    291,536 
Daimler Truck Holding AG (b)   9,334    210,988 
Deutsche Boerse AG   5,965    977,685 
Deutsche Post AG - ADR   14,832    445,850 
Deutsche Post AG   10,161    306,206 
Deutsche Telekom AG - ADR   30,009    511,954 
Deutsche Telekom AG   25,629    436,187 
Fraport AG Frankfurt Airport Services Worldwide (b)   1,961    70,505 
Fresenius Medical Care AG & Co.   4,696    132,282 
Hannover Rueck SE   1,159    173,716 
Infineon Technologies AG - ADR   12,109    265,914 
Mercedes-Benz Group AG   18,669    943,903 
Merck KGaA   2,309    373,730 
Muenchener Rueckversicherungs-Gesellschaft AG - ADR   18,890    455,249 
Muenchener Rueckversicherungs-Gesellschaft AG   1,787    430,107 
RWE AG   13,344    490,403 
Sartorius AG   918    317,495 
Siemens AG   5,494    536,924 
Telefonica Deutschland Holding AG   166,204    335,987 
Vitesco Technologies Group AG (b)   1    49 
Vonovia SE   32,704    705,711 
Zalando SE (b)   6,837    133,528 
         10,934,139 
HONG KONG - 2.2%          
AAC Technologies Holdings, Inc. (b)   92,000    142,988 
AIA Group Ltd. - ADR   44,918    1,485,887 
AIA Group Ltd.   57,569    479,313 
BYD Electronic International Co. Ltd.   86,500    206,704 
Geely Automobile Holdings Ltd.   93,000    127,269 
Hang Seng Bank Ltd.   16,100    244,599 
Hong Kong Exchanges & Clearing Ltd.   26,978    922,171 
Lenovo Group Ltd.   562,000    388,732 
           

 

 

Schedule of Portfolio Investments (Continued) 

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
HONG KONG - 2.2% (Continued)          
Link REIT   95,500   $666,637 
Minth Group Ltd.   64,000    140,544 
New China Life Insurance Co. Ltd. - H Shares   87,400    166,450 
Shandong Weigao Group Medical Polymer Co. Ltd. - H Shares   132,000    176,834 
Sino Land Co. Ltd.   144,000    189,407 
Swire Properties Ltd.   206,350    443,914 
Techtronic Industries Co. Ltd.   24,500    233,781 
Wharf Holdings Ltd. (The)   166,000    530,869 
Zhongsheng Group Holdings Ltd.   86,000    341,018 
         6,887,117 
INDIA - 4.1%          
HDFC Bank Ltd. - ADR   30,589    1,787,009 
ICICI Bank Ltd. - ADR   216,049    4,530,548 
Infosys Ltd. - ADR (a)   225,391    3,824,885 
Wipro Ltd. - ADR   577,008    2,717,708 
         12,860,150 
INDONESIA - 0.8%          
Bank Mandiri Persero Tbk PT - ADR   87,101    1,067,850 
Telkom Indonesia Persero Tbk PT - ADR   50,040    1,443,654 
         2,511,504 
IRELAND - 0.4%          
CRH plc - ADR (a)   14,500    467,335 
Kingspan Group plc   2,206    99,377 
Smurfit Kappa Group plc   20,818    595,294 
         1,162,006 
ISRAEL - 0.6%          
Check Point Software Technologies Ltd. (b)   4,473    501,066 
CyberArk Software Ltd. (b)   2,299    344,712 
ICL Group Ltd.   84,780    693,500 
Nice Ltd. - ADR (a)(b)   2,630    495,071 
         2,034,349 
ITALY - 1.5%          
Assicurazioni Generali S.p.A.   24,438    333,637 
Enel S.p.A.   63,194    259,136 
Intesa Sanpaolo S.p.A. - ADR   9,135    90,254 
Intesa Sanpaolo S.p.A.   276,901    457,657 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
ITALY - 1.5% (Continued)          
Mediobanca Banca di Credito Finanziario S.p.A.   49,451   $386,886 
Moncler S.p.A.   7,061    288,221 
Poste Italiane S.p.A.   93,753    708,205 
Telecom Italia S.p.A.   591,414    109,377 
Terna - Rete Elettrica Nazionale S.p.A.   227,512    1,385,473 
UniCredit S.p.A.   52,597    532,422 
         4,551,268 
JAPAN - 14.5%          
Advantest Corp.   4,800    221,667 
Aeon Co. Ltd.   7,900    147,521 
AGC, Inc.   10,000    311,319 
Asahi Intecc Co. Ltd.   11,100    177,026 
Asahi Kasei Corp.   50,000    331,366 
Astellas Pharma, Inc.   34,300    454,382 
Azbil Corp.   10,400    271,098 
Bandai Namco Holdings, Inc.   6,200    404,043 
Bridgestone Corp.   33,456    1,081,998 
Brothers Industries Ltd.   13,900    240,144 
Canon, Inc. - ADR   9,876    215,297 
Canon, Inc.   22,800    498,010 
Chiba Bank Ltd. (The)   28,700    155,420 
CyberAgent, Inc.   13,700    115,356 
Dai Nippon Printing Co. Ltd.   61,318    1,228,459 
Dai-ichi Life Holdings, Inc.   16,346    259,907 
Daiichi Sankyo Co. Ltd. - ADR   5,703    160,026 
Daiichi Sankyo Co. Ltd.   23,430    654,889 
Daiwa House Industry Co. Ltd.   30,000    609,978 
Denso Corp.   10,000    457,232 
Dentsu Group, Inc.   4,300    122,238 
ENEOS Holdings, Inc.   167,700    540,858 
FANUC Corp. - ADR   10,090    141,260 
FANUC Corp.   800    112,332 
Fast Retailing Co. Ltd. - ADR   1,220    64,721 
Fast Retailing Co. Ltd.   1,200    635,933 
FUJIFILM Holdings Corp. - ADR   8,601    391,604 
FUJIFILM Holdings Corp.   1,500    68,512 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
JAPAN - 14.5% (Continued)          
Fujitsu Ltd.   4,868   $533,786 
Hitachi Construction Machinery Co. Ltd.   7,800    144,961 
Honda Motor Co. Ltd.   7,800    169,305 
Hoya Corp. - ADR   1,273    122,554 
Hoya Corp.   6,861    661,116 
Ibiden Co. Ltd.   4,600    125,758 
Idemitsu Kosan Co. Ltd.   13,300    289,052 
Japan Exchange Group, Inc.   20,800    281,113 
Kao Corp.   29,400    1,196,297 
KDDI Corp. - ADR   43,814    642,313 
Keyence Corp.   3,600    1,190,018 
Kintetsu Group Holdings Co. Ltd.   10,728    357,175 
Kubota Corp. - ADR   7,274    506,270 
Kubota Corp.   24,000    333,526 
Lixil Corp.   15,100    221,559 
Mitsubishi Corp.   44,800    1,225,290 
Mitsubishi Estate Co. Ltd.   14,300    188,419 
Mitsubishi UFJ Financial Group, Inc. - ADR   25,008    112,536 
Mitsubishi UFJ Financial Group, Inc.   317,209    1,436,997 
Mitsui & Co. Ltd. - ADR   1,350    579,785 
Mitsui & Co. Ltd.   49,190    1,046,752 
Mitsui Chemicals, Inc.   7,100    138,392 
Mitsui OSK Lines Ltd.   21,700    388,269 
Mizuho Financial Group, Inc.   65,200    705,766 
Murata Manufacturing Co. Ltd. - ADR   916    10,525 
Murata Manufacturing Co. Ltd.   12,900    593,751 
Nexon Co. Ltd.   13,700    242,048 
Nidec Corp. - ADR (a)   34,780    486,572 
Nintendo Co. Ltd. - ADR   14,840    756,395 
Nintendo Co. Ltd.   3,000    121,003 
Nippon Building Fund, Inc.   33    145,216 
Nippon Prologis REIT, Inc.   175    383,673 
Nippon Sanso Holdings Corp.   9,300    147,005 
Nippon Telegraph & Telephone Corp.   5,200    140,256 
Nippon Yusen KK   13,800    234,239 
Nitori Holdings Co. Ltd.   1,100    92,312 

 

 

Schedule of Portfolio Investments (Continued) 

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
JAPAN - 14.5% (Continued)          
Nomura Holdings, Inc. - ADR (a)   47,702   $157,417 
Nomura Real Estate Holdings, Inc.   6,900    155,831 
Nomura Research Institute Ltd.   16,000    390,772 
Odakyu Electric Railway Co. Ltd.   10,400    134,005 
Olympus Corp.   16,400    315,499 
Omron Corp.   2,900    132,870 
Ono Pharmaceutical Co. Ltd.   6,900    161,175 
Oriental Land Co. Ltd.   4,160    564,216 
ORIX Corp.   16,800    235,352 
Pan Pacific International Holdings Corp.   10,900    192,285 
Persol Holdings Co. Ltd.   8,000    147,988 
Pinduoduo, Inc. - ADR (b)   8,211    513,844 
Recruit Holdings Co. Ltd.   28,250    813,760 
Resona Holdings, Inc.   45,300    165,774 
Ricoh Co. Ltd.   25,500    186,716 
Secom Co. Ltd.   2,700    153,952 
Seiko Epson Corp.   30,300    413,730 
Sekisui House Ltd. - ADR   21,690    359,403 
Sekisui House Ltd.   8,000    132,498 
Seven & i Holdings Co. Ltd.   18,900    759,214 
Sharp Corp.   20,600    122,834 
Shimadzu Corp.   17,000    446,017 
Shimano, Inc.   2,084    326,073 
Shin-Etsu Chemical Co. Ltd.   3,400    336,453 
Shionogi & Co. Ltd.   3,400    164,200 
Shiseido Co. Ltd. - ADR   7,565    265,607 
Shiseido Co. Ltd.   2,100    73,599 
SoftBank Corp.   33,205    331,583 
SoftBank Group Corp. - ADR   12,750    214,965 
SoftBank Group Corp.   13,000    440,585 
Sony Group Corp. - ADR   23,139    1,482,053 
Sony Group Corp.   2,000    128,829 
Sumitomo Corp.   23,254    287,289 
Sumitomo Metal Mining Co. Ltd.   8,000    229,252 
Sumitomo Mitsui Trust Holdings, Inc.   19,600    557,418 
Suntory Beverage & Food Ltd.   7,600    270,478 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
JAPAN - 14.5% (Continued)          
Takeda Pharmaceutical Co. Ltd. - ADR (a)   17,704   $229,621 
Takeda Pharmaceutical Co. Ltd.   26,800    695,937 
TDK Corp.   11,700    361,183 
Terumo Corp.   10,972    308,425 
Toho Co. Ltd.   4,100    149,087 
Tokyo Electron Ltd. - ADR   1,464    90,578 
Tokyo Electron Ltd.   1,900    468,150 
Toppan, Inc.   55,900    832,690 
Toray Industries, Inc.   50,000    246,092 
TOTO Ltd.   5,000    166,968 
Toyota Motor Corp. - ADR (a)   12,112    1,578,073 
USS Co. Ltd.   31,120    480,621 
Yamaha Corp.   18,800    668,046 
Yamaha Motor Co. Ltd.   31,100    582,688 
Yokogawa Electric Corp.   36,800    579,753 
Z Holdings Corp.   54,000    143,136 
         45,367,184 
JERSEY - 0.8%          
Experian plc - ADR   11,145    326,103 
Ferguson plc   508    52,702 
Ferguson plc   5,680    584,642 
Glencore plc   248,450    1,305,792 
WPP plc - ADR   1,188    48,934 
WPP plc   34,966    288,692 
         2,606,865 
LUXEMBOURG - 0.0% (c)          
Aroundtown S.A.   34,293    75,081 
           
MEXICO - 1.0%          
Fomento Economico Mexicano S.A.B. de C.V. - ADR   12,776    801,694 
Grupo Aeroportuario del Pacifico S.A.B. de C.V. - ADR   2,661    337,361 
Grupo Aeroportuario del Sureste S.A.B. de C.V. - ADR   3,153    618,524 
Grupo Televisa S.A.B. - ADR   39,194    210,864 
Wal-Mart de Mexico S.A.B. de C.V. - ADR (a)   32,608    1,141,280 
         3,109,723 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
NETHERLANDS - 2.7%          
Adyen N.V. (b)   349   $435,198 
Aegon N.V. (a)   48,989    193,996 
Akzo Nobel N.V. - ADR   9,200    174,616 
Argenx SE - ADR (b)   1,002    353,756 
ASML Holding N.V. - ADR (a)   6,611    2,745,879 
EXOR N.V. (b)   3,298    211,615 
ING Groep N.V. - ADR (a)   40,673    345,721 
ING Groep N.V.   12,870    110,260 
Koninklijke Ahold Delhaize N.V. - ADR   24,466    622,415 
Koninklijke Ahold Delhaize N.V.   5,491    139,844 
Koninklijke DSM N.V.   2,622    298,317 
NN Group N.V.   10,306    400,784 
OCI N.V.   9,087    332,643 
Prosus N.V. (b)   13,725    713,965 
QIAGEN N.V. (b)   7,847    323,924 
Randstad Holding N.V.   3,477    150,049 
Stellantis N.V.   42,053    497,284 
STMicroelectronics N.V. - ADR (a)   7,808    241,580 
Wolters Kluwer N.V.   1,707    166,193 
         8,458,039 
NORWAY - 2.3%          
Aker BP ASA   56,057    1,609,214 
Equinor ASA - ADR (a)   158,981    5,263,861 
Norsk Hydro ASA   79,990    429,254 
         7,302,329 
PORTUGAL - 0.5%          
Galp Energia SGPS S.A.   152,926    1,471,153 
Jeronimo Martins SGPS S.A.   8,104    150,903 
         1,622,056 
RUSSIA - 0.0% (c)          
Mobile TeleSystems PJSC - ADR (d)(e)   86,910    869 
           
SINGAPORE - 1.8%          
BOC Aviation Ltd.   87,700    619,991 
CapitaLand Ascendas REIT   167,800    313,015 
CapitaLand Integrated Commercial Trust   522,925    695,611 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
SINGAPORE - 1.8% (Continued)          
CapitaLand Investment Ltd.   183,000   $440,289 
CDL Hospitality Trusts   28,826    23,324 
City Developments Ltd.   203,900    1,074,616 
DBS Group Holdings Ltd. - ADR   11,392    1,055,070 
Singapore Telecommunications Ltd.   216,000    398,586 
Venture Corp. Ltd.   84,300    957,930 
         5,578,432 
SOUTH AFRICA - 1.1%          
FirstRand Ltd.   201,574    672,947 
Gold Fields Ltd. - ADR (a)   14,088    113,972 
Impala Platinum Holdings Ltd. - ADR   29,987    276,780 
Mr Price Group Ltd.   56,059    534,112 
MTN Group Ltd.   18,970    125,171 
MultiChoice Group Ltd.   72,496    463,201 
Naspers Ltd. - Class N - ADR (a)   32,275    800,420 
Standard Bank Group Ltd.   44,968    355,257 
         3,341,860 
SOUTH KOREA - 4.0%          
Celltrion, Inc.   4,101    493,861 
Hyundai Mobis Co. Ltd.   7,311    957,588 
KB Financial Group, Inc. - ADR   27,719    835,451 
Korea Electric Power Corp. - ADR (b)   13,750    93,500 
KT Corp. - ADR (a)   39,515    482,873 
LG Display Co. Ltd. - ADR   3    12 
NAVER Corp.   8,715    1,151,970 
POSCO Holdings, Inc. - ADR (a)   13,630    498,994 
Samsung Electronics Co. Ltd.   115,093    4,193,332 
Shinhan Financial Group Co. Ltd. - ADR   39,688    912,824 
Shinhan Financial Group Co. Ltd.   29,265    674,525 
SK Hynix, Inc.   15,952    905,377 
SK Telecom Co. Ltd. - ADR (a)   27,863    536,641 
Woori Financial Group, Inc. - ADR   34,279    765,107 
         12,502,055 
SPAIN - 1.8%          
Aena SME S.A. (b)   5,525    573,302 
Amadeus IT Group S.A. (b)   7,348    340,625 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
SPAIN - 1.8% (Continued)          
Cellnex Telecom S.A. - ADR   10,780   $165,904 
Cellnex Telecom S.A.   4,067    125,435 
Grifols S.A. (b)   13,304    81,953 
Iberdrola S.A. - ADR   13,039    485,181 
Iberdrola S.A.   29,928    279,015 
Industria de Diseno Textil S.A.   34,462    711,079 
Naturgy Energy Group S.A.   12,657    292,761 
Repsol S.A.   178,289    2,048,296 
Siemens Gamesa Renewable Energy S.A. (b)   11,865    206,836 
Telefónica S.A.   92,766    306,634 
         5,617,021 
SWEDEN - 1.6%          
Atlas Copco AB   35,688    331,653 
Atlas Copco AB - Class A - ADR   40,296    371,529 
Boliden AB (b)   20,477    632,572 
Essity AB - Series B   7,919    156,433 
H & M Hennes & Mauritz AB - B Shares   19,185    177,344 
Hexagon AB - B Shares   53,748    501,893 
Industrivarden AB   11,816    237,974 
Investor AB - B Shares   119,025    1,736,491 
Svenska Cellulosa AB S.C.A. - Series B   16,418    208,292 
Svenska Handelsbanken AB - A Shares   31,343    257,261 
Telefonaktiebolaget LM Ericsson - B Shares   42,832    250,339 
         4,861,781 
SWITZERLAND - 6.7%          
ABB Ltd. - ADR (a)   39,077    1,002,716 
ABB Ltd.   5,783    149,315 
Adecco Group AG - ADR   4,418    60,350 
Adecco Group AG   14,312    395,009 
Barry Callebaut AG   553    1,042,424 
Clariant AG (b)   10,218    164,658 
Coca-Cola HBC AG (b)   26,042    544,221 
Geberit AG   1,928    826,712 
Givaudan S.A.   223    673,691 
Groupe Bruxelles Lambert N.V.   2,460    172,306 
Holcim Ltd. (b)   8,532    349,649 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
SWITZERLAND - 6.7% (Continued)          
Julius Baer Group Ltd. (b)   3,557   $155,226 
Keuhne + Nagel International AG   643    130,937 
Logitech International S.A. (a)   5,031    231,426 
Lonza Group AG - ADR   1,070    52,077 
Lonza Group AG   2,080    1,012,744 
Nestlé S.A. - ADR   37,439    4,028,811 
Nestlé S.A.   4,022    435,013 
Partners Group Holding AG   570    458,732 
Roche Holding AG - ADR (a)   90,312    3,668,473 
Roche Holding AG   2,204    717,481 
Sika AG   852    171,247 
Sonova Holding AG   1,992    438,366 
Swatch Group AG (The)   707    158,793 
Swiss Life Holding AG   1,691    747,111 
Swiss Re AG   9,611    708,857 
Swisscom AG   981    459,349 
Temenos AG   3,323    224,029 
UBS Group AG (a)   39,428    572,026 
UBS Group AG   9,486    137,642 
Zurich Insurance Group AG - ADR   24,700    982,566 
Zurich Insurance Group AG   492    196,138 
         21,068,095 
TAIWAN - 4.8%          
ASE Technology Holding Co. Ltd. - ADR   126,937    633,416 
AUO Corp. - ADR (a)   144,653    934,458 
Chunghwa Telecom Co. Ltd. - ADR   134,305    4,771,857 
Taiwan Semiconductor Manufacturing Co. Ltd. - ADR   113,683    7,794,106 
United Microelectronics Corp. - ADR (a)(b)   154,753    861,974 
         14,995,811 
TURKEY - 0.0% (c)          
Turkcell Iletisim Hizmetleri A.S. - ADR   58,775    156,341 
           
UNITED KINGDOM - 7.9%          
3i Group plc   68,813    826,384 
Antofagasta plc   47,452    581,287 
Ashtead Group plc   11,037    495,740 

 

 

Schedule of Portfolio Investments (Continued) 

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
UNITED KINGDOM - 7.9% (Continued)          
AstraZeneca plc - ADR (a)   51,316   $2,814,169 
Aviva plc   147,903    634,422 
Barratt Developments plc   56,585    213,889 
British Land Co. plc (The)   62,287    241,225 
BT Group plc   130,919    176,019 
Bunzl plc   5,822    177,905 
Burberry Group plc   13,434    268,389 
Coca-Cola Europacific Partners plc (a)   18,549    790,558 
Compass Group plc   35,682    710,615 
GSK plc - ADR (a)   34,149    1,005,005 
GSK plc   27,901    403,023 
Haleon plc - ADR (b)   50,072    304,938 
Halma plc   6,736    151,530 
HSBC Holdings plc - ADR (a)   56,042    1,461,015 
HSBC Holdings plc   27,340    141,583 
Informa plc   99,047    566,222 
InterContinental Hotels Group plc - ADR   2,515    122,254 
J Sainsbury plc   86,209    166,974 
Kingfisher plc   161,921    394,206 
Land Securities Group plc   37,958    219,278 
Legal & General Group plc   210,040    501,432 
Lloyds Banking Group plc   437,921    197,939 
London Stock Exchange Group plc   7,929    669,690 
Mondi plc   24,044    369,426 
National Grid plc - ADR (a)   5,768    297,225 
National Grid plc   49,369    508,281 
NatWest Group plc   160,250    399,194 
PEARSON plc - ADR   42,312    404,080 
PEARSON plc   24,794    236,806 
Prudential plc - ADR   10,228    203,742 
Reckitt Benckiser Group plc - ADR   34,350    456,512 
Reckitt Benckiser Group plc   3,212    212,926 
RELX plc - ADR   19,899    483,745 
RELX plc   61,542    1,504,036 
Rentokil Initial plc   28,495    151,058 
Rio Tinto plc - ADR (a)   9,034    497,412 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

COMMON STOCKS - 97.7% (Continued)  Shares   Fair Value 
UNITED KINGDOM - 7.9% (Continued)          
Sage Group plc (The) - ADR   2,320   $72,245 
Sage Group plc (The)   14,027    108,116 
Segro plc   49,056    409,266 
Severn Trent plc   16,234    424,442 
Taylor Wimpey plc   108,822    105,979 
Tesco plc - ADR   5,503    37,696 
Tesco plc   144,166    330,918 
Unilever plc - ADR   44,516    1,951,581 
United Utilities Group plc   59,321    585,827 
Vodafone Group plc - ADR   40,631    460,349 
Whitbread plc   5,438    137,805 
         24,584,358 
           
TOTAL COMMON STOCKS (Cost $280,471,754)       $305,840,245 

 

CORPORATE NOTES - 1.0%  Coupon   Maturity   Par Value   Fair Value 
COMMUNITY DEVELOPMENT - 1.0%                    
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/15/23   $870,000   $855,479 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/23    480,000    466,249 
Calvert Social Investment Foundation, Inc. (d)   1.000%   06/14/24    450,000    418,169 
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/17/24    290,000    278,587 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/24    120,000    114,100 
Calvert Social Investment Foundation, Inc. (d)   2.500%   06/13/25    500,000    464,674 
Calvert Social Investment Foundation, Inc. (d)   2.500%   12/15/25    400,000    367,591 

TOTAL CORPORATE NOTES (Cost $3,110,000)

                 $2,964,849 

 

MONEY MARKET FUNDS - 1.5%  Shares   Fair Value 
First American Government Obligations Fund - Class X, 2.77% (f) (Cost $4,802,476)   4,802,476   $4,802,476 

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

INVESTMENT PURCHASED WITH THE CASH PROCEEDS FROM SECURITIES LENDING - 13.4%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 3.16% (f)(g) (Cost $42,089,652)   42,089,652   $42,089,652 
           
TOTAL INVESTMENTS - (Cost $330,473,882) - 113.6%       $355,697,222 
           
LIABILITES IN EXESS OF OTHER ASSETS - (13.6%)        (42,570,110)
           
NET ASSETS - 100.0%       $313,127,112 

 

(a) All or a portion of the security is on loan. The total fair value of the securities on loan as of September 30, 2022 was $40,241,235.  
(b) Non-income producing security.
(c) Percentage rounds to less than 0.1%.
(d)

Restricted and/or 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. 3.000%, 06/15/23  06/18/18  $870,000   $855,479    0.3%
Calvert Social Investment Foundation, Inc. 3.000%, 12/15/23  12/17/18   480,000    466,249    0.2%
Calvert Social Investment Foundation, Inc. 1.000%, 06/14/24  06/15/21   450,000    418,169    0.1%
Calvert Social Investment Foundation, Inc. 3.000%, 06/17/24  06/17/19   290,000    278,587    0.1%
Calvert Social Investment Foundation, Inc. 3.000%, 12/15/24  12/12/19   120,000    114,100    0.0%(c)
Calvert Social Investment Foundation, Inc. 2.500%, 06/13/25  06/12/20   500,000    464,674    0.2%
Calvert Social Investment Foundation, Inc. 2.500%, 12/15/25  12/15/20   400,000    367,591    0.1%
Mobile TeleSystems PJSC - ADR  07/19/11   752,376    869    0.0%(c)
      $3,862,376   $2,965,718    1.0%

 

(e) Security value has been determined in good faith pursuant to procedures adopted by the Board of Trustees. The total fair value of such securities was $869 as of September 30, 2022, representing 0.0% (c) of net assets.
(f) The rate shown is the 7-day effective yield as of September 30, 2022.
(g) The security was purchased with cash collateral received 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, 2022 (Unaudited)

 

Common Stocks by Sector/Industry  % of Net Assets 
Communications - 9.5%     
Advertising & Marketing   0.4%
Cable & Satellite   0.2%
Entertainment Content   0.8%
Internet Media & Services   3.2%
Publishing & Broadcasting   0.4%
Telecommunications   4.5%
Consumer Discretionary - 9.1%     
Apparel & Textile Products   1.1%
Automotive   3.0%
E-Commerce Discretionary   1.1%
Home & Office Products   0.1%
Home Construction   0.8%
Leisure Facilities & Services   0.6%
Leisure Products   0.3%
Retail - Discretionary   1.7%
Wholesale - Discretionary   0.4%
Consumer Staples - 7.3%     
Beverages   0.9%
Food   2.2%
Household Products   2.3%
Retail - Consumer Staples   1.5%
Wholesale - Consumer Staples   0.4%
Energy - 4.1%     
Oil & Gas Producers   3.9%
Renewable Energy   0.2%
Financials - 20.6%     
Asset Management   1.3%
Banking   13.2%
Institutional Financial Services   1.1%
Insurance   4.7%
Specialty Finance   0.3%

 

 

Schedule of Portfolio Investments (Continued)

Praxis International Index Fund

 

Common Stocks by Sector/Industry (Continued)  % of Net Assets 
Health Care - 8.1%     
Biotech & Pharma   5.7%
Health Care Facilities & Services   0.9%
Medical Equipment & Devices   1.5%
Industrials - 8.9%     
Commercial Support Services   1.6%
Diversified Industrials   0.3%
Electrical Equipment   1.3%
Engineering & Construction   0.2%
Industrial Support Services   0.5%
Machinery   1.2%
Transportation & Logistics   3.7%
Transportation Equipment   0.1%
Materials - 8.6%     
Chemicals   2.7%
Construction Materials   0.4%
Containers & Packaging   0.5%
Forestry, Paper & Wood Products   0.5%
Metals & Mining   3.7%
Steel   0.8%
Real Estate - 4.0%     
Real Estate Owners & Developers   1.7%
Real Estate Services   0.1%
REITs   2.2%
Technology - 15.0%     
Semiconductors   4.5%
Software   0.9%
Technology Hardware   4.6%
Technology Services   5.0%
Utilities - 2.5%     
Electric & Gas Marketing & Trading   0.2%
Electric Utilities   1.8%
Gas & Water Utilities   0.5%
    97.7%

 

 

Schedule of Portfolio Investments

Praxis Value Index Fund

September 30, 2022 (Unaudited)

 

COMMON STOCKS - 98.5%  Shares   Fair Value 
ADVERTISING & MARKETING - 0.2%          
Omnicom Group, Inc. (a)   10,229   $645,348 
           
AEROSPACE & DEFENSE - 0.1%          
Howmet Aerospace, Inc.   14,090    435,804 
           
APPAREL & TEXTILE PRODUCTS - 0.3%          
NIKE, Inc. - Class B   9,970    828,707 
VF Corp.   7,520    224,923 
         1,053,630 
ASSET MANAGEMENT - 0.4%          
Ameriprise Financial, Inc.   1,540    388,003 
BlackRock, Inc.   742    408,308 
Charles Schwab Corp. (The)   11,220    806,381 
         1,602,692 
AUTOMOTIVE - 0.4%          
BorgWarner, Inc.   14,870    466,918 
Ford Motor Co.   81,853    916,754 
         1,383,672 
BANKING - 5.2%          
Bank of America Corp.   101,100    3,053,220 
Citigroup, Inc.   46,326    1,930,404 
Citizens Financial Group, Inc.   10,900    374,524 
Fifth Third Bancorp   19,490    622,900 
Huntington Bancshares, Inc.   33,170    437,181 
JPMorgan Chase & Co.   49,615    5,184,768 
KeyCorp   21,488    344,238 
M&T Bank Corp.   7,694    1,356,606 
PNC Financial Services Group, Inc. (The)   13,071    1,953,069 
Regions Financial Corp.   24,860    498,940 
Truist Financial Corp.   40,660    1,770,336 
U.S. Bancorp   22,707    915,546 
         18,441,732 
BEVERAGES - 2.9%          
Coca-Cola Co. (The)   106,520    5,967,251 
Keurig Dr Pepper, Inc.   7,520    269,366 
PepsiCo, Inc.   25,859    4,221,740 
         10,458,357 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
BIOTECH & PHARMA - 7.9%          
AbbVie, Inc.   17,386   $2,333,375 
Amgen, Inc.   6,604    1,488,542 
Biogen, Inc. (b)   3,860    1,030,620 
Bristol-Myers Squibb Co.   63,139    4,488,551 
Gilead Sciences, Inc.   23,550    1,452,799 
Johnson & Johnson   64,781    10,582,624 
Merck & Co., Inc.   61,130    5,264,516 
Vertex Pharmaceuticals, Inc. (b)   1,080    312,703 
Viatris, Inc.   40,540    345,401 
Zoetis, Inc.   3,990    591,677 
         27,890,808 
CABLE & SATELLITE - 0.9%          
Charter Communications, Inc. - Class A (a)(b)   560    169,876 
Comcast Corp. - Class A   103,410    3,033,015 
         3,202,891 
CHEMICALS - 4.8%          
Air Products & Chemicals, Inc.   7,697    1,791,323 
Dow, Inc.   19,230    844,774 
DuPont de Nemours, Inc.   12,548    632,419 
Eastman Chemical Co.   3,900    277,095 
Ecolab, Inc.   7,050    1,018,161 
International Flavors & Fragrances, Inc.   12,832    1,165,531 
Linde plc   23,156    6,242,626 
LyondellBasell Industries N.V. - Class A   56,480    4,251,814 
PPG Industries, Inc.   1,080    119,545 
Sherwin-Williams Co. (The)   2,880    589,680 
         16,932,968 
COMMERCIAL SUPPORT SERVICES - 1.9%          
Republic Services, Inc.   11,450    1,557,658 
Robert Half International, Inc.   5,180    396,270 
Rollins, Inc.   25,890    897,865 
Waste Management, Inc.   25,070    4,016,465 
         6,868,258 
CONSTRUCTION MATERIALS - 0.1%          
Martin Marietta Materials, Inc.   1,320    425,159 
           
CONTAINERS & PACKAGING - 0.5%          
Ball Corp. (a)   12,248    591,823 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
CONTAINERS & PACKAGING - 0.5% (Continued)          
International Paper Co.   12,160   $385,472 
Packaging Corp. of America   3,290    369,434 
WestRock Co.   10,430    322,183 
         1,668,912 
DIVERSIFIED INDUSTRIALS - 1.2%          
Dover Corp. (a)   5,253    612,395 
Eaton Corp. plc   3,930    524,105 
Emerson Electric Co.   9,554    699,544 
Illinois Tool Works, Inc.   14,045    2,537,229 
         4,373,273 
ELECTRIC UTILITIES - 5.5%          
AES Corp. (The)   27,234    615,488 
American Electric Power Co., Inc.   16,270    1,406,542 
CenterPoint Energy, Inc.   9,170    258,411 
CMS Energy Corp.   12,530    729,747 
Consolidated Edison, Inc. (a)   26,561    2,277,871 
Constellation Energy Corp.   7,470    621,429 
DTE Energy Co.   4,170    479,759 
Duke Energy Corp.   25,514    2,373,312 
Edison International   11,827    669,172 
Eversource Energy   7,770    605,749 
NextEra Energy, Inc.   49,300    3,865,613 
PPL Corp.   16,050    406,868 
Sempra Energy   15,043    2,255,547 
Southern Co. (The)   31,681    2,154,308 
Xcel Energy, Inc.   14,114    903,296 
         19,623,112 
ELECTRICAL EQUIPMENT - 3.2%          
AMETEK, Inc.   4,630    525,088 
Carrier Global Corp.   22,720    807,923 
Fortive Corp.   9,480    552,684 
Johnson Controls International plc   75,907    3,736,143 
Keysight Technologies, Inc. (b)   6,000    944,160 
Otis Worldwide Corp.   9,260    590,788 
Rockwell Automation, Inc.   8,530    1,834,888 
Roper Technologies, Inc.   3,030    1,089,709 
TE Connectivity Ltd.   4,660    514,278 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
ELECTRICAL EQUIPMENT - 3.2% (Continued)          
Trane Technologies plc (a)   4,150   $600,961 
Trimble, Inc. (b)   3,240    175,835 
         11,372,457 
ENGINEERING & CONSTRUCTION - 0.1%          
Quanta Services, Inc.   2,080    264,971 
           
ENTERTAINMENT CONTENT - 2.5%          
Activision Blizzard, Inc.   18,000    1,338,120 
Electronic Arts, Inc.   8,020    927,994 
Fox Corp. - Class A   15,020    460,814 
Paramount Global - Class B (a)   15,986    304,373 
Walt Disney Co. (The) (b)   43,269    4,081,565 
Warner Bros. Discovery, Inc. (b)   143,987    1,655,850 
         8,768,716 
FOOD - 2.9%          
Campbell Soup Co.   10,070    474,499 
Conagra Brands, Inc.   16,070    524,364 
General Mills, Inc.   31,984    2,450,294 
Hershey Co. (The) (a)   2,830    623,930 
Hormel Foods Corp.   22,750    1,033,760 
J.M. Smucker Co. (The)   3,710    509,791 
Kellogg Co.   5,960    415,174 
Kraft Heinz Co. (The)   26,030    868,101 
McCormick & Co., Inc.   6,090    434,034 
Mondelez International, Inc. - Class A   40,482    2,219,628 
Tyson Foods, Inc. - Class A   9,110    600,622 
         10,154,197 
GAS & WATER UTILITIES - 0.4%          
American Water Works Co., Inc.   6,040    786,167 
NiSource, Inc.   29,770    749,906 
         1,536,073 
HEALTH CARE FACILITIES & SERVICES - 5.7%          
AmerisourceBergen Corp.   8,740    1,182,784 
Cardinal Health, Inc.   11,920    794,826 
Cigna Corp.   15,522    4,306,889 
CVS Health Corp.   25,454    2,427,548 
Elevance Health, Inc.   6,020    2,734,525 
Humana, Inc.   1,410    684,118 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
HEALTH CARE FACILITIES & SERVICES - 5.7% (Continued)          
IQVIA Holdings, Inc. (b)   2,920   $528,929 
Laboratory Corp. of America Holdings   2,120    434,197 
McKesson Corp.   5,714    1,942,017 
UnitedHealth Group, Inc.   10,290    5,196,862 
         20,232,695 
HOME & OFFICE PRODUCTS - 0.1%          
Whirlpool Corp.   3,150    424,651 
           
HOUSEHOLD PRODUCTS - 3.2%          
Church & Dwight Co., Inc.   6,650    475,076 
Colgate-Palmolive Co.   12,670    890,067 
Kimberly-Clark Corp.   14,960    1,683,598 
Procter & Gamble Co. (The)   64,726    8,171,658 
         11,220,399 
INDUSTRIAL SUPPORT SERVICES - 0.3%          
Fastenal Co.   9,800    451,192 
W.W. Grainger, Inc.   1,310    640,839 
         1,092,031 
INSTITUTIONAL FINANCIAL SERVICES - 1.7%          
Bank of New York Mellon Corp. (The)   38,024    1,464,684 
CME Group, Inc.   9,190    1,627,825 
Intercontinental Exchange, Inc.   5,030    454,461 
Morgan Stanley   17,641    1,393,815 
Northern Trust Corp.   6,297    538,771 
State Street Corp.   6,610    401,954 
         5,881,510 
INSURANCE - 5.8%          
Aflac, Inc.   38,140    2,143,468 
Allstate Corp. (The)   10,919    1,359,743 
American International Group, Inc.   22,987    1,091,423 
Arthur J. Gallagher & Co.   2,930    501,675 
Assurant, Inc.   4,170    605,776 
Berkley (W.R.) Corp.   9,825    634,498 
Chubb Ltd.   4,540    825,735 
Cincinnati Financial Corp. (a)   4,172    373,686 
Globe Life, Inc.   10,480    1,044,856 
Hartford Financial Services Group, Inc. (The)   10,830    670,810 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
INSURANCE - 5.8% (Continued)          
Lincoln National Corp.   7,310   $320,982 
Loews Corp.   25,180    1,254,971 
Marsh & McLennan Cos., Inc.   7,150    1,067,424 
MetLife, Inc.   35,413    2,152,402 
Principal Financial Group, Inc.   11,170    805,916 
Progressive Corp. (The)   16,630    1,932,572 
Prudential Financial, Inc. (a)   20,750    1,779,935 
Travelers Cos., Inc. (The)   13,253    2,030,360 
         20,596,232 
INTERNET MEDIA & SERVICES - 0.7%          
Booking Holdings, Inc. (b)   700    1,150,247 
Expedia Group, Inc. (a)(b)   3,040    284,818 
Match Group, Inc. (b)   6,650    317,537 
Meta Platforms, Inc. - Class A (b)   1,700    230,656 
Netflix, Inc. (a)(b)   710    167,162 
Twitter, Inc. (b)   5,690    249,450 
         2,399,870 
LEISURE FACILITIES & SERVICES - 2.1%          
Carnival Corp. (a)(b)   28,663    201,501 
Darden Restaurants, Inc. (a)   4,210    531,807 
Hilton Worldwide Holdings, Inc.   6,420    774,380 
Live Nation Entertainment, Inc. (a)(b)   2,620    199,225 
Marriott International, Inc. - Class A   6,210    870,269 
McDonald's Corp.   12,340    2,847,332 
Starbucks Corp.   16,870    1,421,466 
Yum! Brands, Inc.   5,400    574,236 
         7,420,216 
LEISURE PRODUCTS - 0.1%          
Hasbro, Inc.   6,490    437,556 
           
MACHINERY - 1.1%          
Deere & Co. (a)   5,057    1,688,482 
IDEX Corp.   2,840    567,574 
Ingersoll-Rand, Inc.   13,050    564,543 
Stanley Black & Decker, Inc.   5,070    381,315 
Xylem, Inc.   7,010    612,393 
         3,814,307 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
MEDICAL EQUIPMENT & DEVICES - 4.0%          
Abbott Laboratories   23,170   $2,241,929 
Baxter International, Inc.   17,182    925,423 
Becton, Dickinson and Co.   8,310    1,851,717 
Boston Scientific Corp. (b)   29,180    1,130,141 
Cooper Cos., Inc. (The)   1,170    308,763 
Danaher Corp.   7,520    1,942,341 
DENTSPLY SIRONA, Inc.   8,810    249,764 
Edwards Lifesciences Corp. (b)   5,460    451,160 
Illumina, Inc. (b)   3,590    684,936 
Intuitive Surgical, Inc. (b)   1,460    273,662 
Medtronic plc   9,340    754,205 
Mettler-Toledo International, Inc. (b)   400    433,648 
ResMed, Inc.   980    213,934 
Stryker Corp.   3,720    753,449 
Teleflex, Inc.   1,370    276,000 
Thermo Fisher Scientific, Inc.   3,154    1,599,677 
         14,090,749 
METALS & MINING - 0.0% (c)          
Newmont Corp.   3,280    137,858 
           
OIL & GAS PRODUCERS - 4.8%          
ConocoPhillips   118,777    12,155,638 
Pioneer Natural Resources Co.   6,310    1,366,304 
Valero Energy Corp.   34,350    3,670,298 
         17,192,240 
OIL & GAS SERVICES & EQUIPMENT - 1.4%          
Baker Hughes Co.   65,320    1,369,107 
Schlumberger Ltd.   105,016    3,770,075 
         5,139,182 
REAL ESTATE SERVICES - 1.2%          
CBRE Group, Inc. - Class A (b)   60,690    4,097,182 
           
REITS - 3.3%          
American Tower Corp.   4,760    1,021,972 
AvalonBay Communities, Inc.   5,900    1,086,721 
Boston Properties, Inc.   3,190    239,154 
Crown Castle, Inc.   4,160    601,328 
Digital Realty Trust, Inc.   5,980    593,097 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
REITS - 3.3% (Continued)          
Equinix, Inc.   910   $517,644 
Equity Residential   17,370    1,167,611 
Federal Realty Investment Trust   1,600    144,192 
Healthpeak Properties, Inc.   20,530    470,548 
Host Hotels & Resorts, Inc.   49,590    787,489 
Iron Mountain, Inc.   10    440 
Kimco Realty Corp.   22,420    412,752 
Prologis, Inc.   15,540    1,578,864 
Public Storage (a)   1,920    562,195 
Realty Income Corp. (a)   9,490    552,318 
Regency Centers Corp.   9,230    497,036 
SBA Communications Corp. - Class A   1,660    472,519 
Simon Property Group, Inc.   2,089    187,488 
VICI Properties, Inc (a)   8,700    259,695 
Welltower, Inc. (a)   9,100    585,312 
         11,738,375 
RENEWABLE ENERGY - 0.0% (c)          
SolarEdge Technologies, Inc. (b)   580    134,247 
           
RETAIL - CONSUMER STAPLES - 2.5%          
Costco Wholesale Corp.   3,700    1,747,399 
Dollar General Corp.   2,630    630,832 
Dollar Tree, Inc. (b)   4,010    545,761 
Kroger Co. (The) (a)   20,514    897,487 
Target Corp.   4,850    719,692 
Walgreen Boots Alliance, Inc.   14,940    469,116 
Walmart, Inc.   30,750    3,988,275 
         8,998,562 
RETAIL - DISCRETIONARY - 1.4%          
Genuine Parts Co.   4,570    682,393 
Home Depot, Inc. (The)   6,312    1,741,733 
Lowe's Cos., Inc. - Class B   1,910    358,717 
Ross Stores, Inc.   5,160    434,833 
TJX Cos., Inc. (The)   29,130    1,809,556 
         5,027,232 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
SEMICONDUCTORS - 2.5%          
Analog Devices, Inc.   10,630   $1,481,184 
Broadcom, Inc.   3,640    1,616,196 
Intel Corp.   83,908    2,162,309 
Micron Technology, Inc.   29,590    1,482,459 
Qorvo, Inc. (b)   4,610    366,080 
Texas Instruments, Inc.   12,020    1,860,456 
         8,968,684 
SOFTWARE - 1.3%          
Autodesk, Inc. (b)   2,650    495,020 
Microsoft Corp.   4,950    1,152,855 
NortonLifeLock, Inc.   15,800    318,212 
Oracle Corp.   8,432    514,942 
Salesforce.com, Inc. (b)   10,040    1,444,154 
Synopsys, Inc. (b)   2,040    623,240 
         4,548,423 
SPECIALTY FINANCE - 0.6%          
American Express Co.   9,754    1,315,912 
Capital One Financial Corp.   6,200    571,454 
Synchrony Financial   10,350    291,767 
         2,179,133 
TECHNOLOGY HARDWARE - 1.3%          
Cisco Systems, Inc.   73,730    2,949,200 
Corning, Inc.   14,610    423,982 
HP, Inc.   26,820    668,354 
Western Digital Corp. (b)   11,965    389,461 
Zebra Technologies Corp. - Class A (b)   690    180,787 
         4,611,784 
TECHNOLOGY SERVICES - 5.7%          
Accenture plc - Class A   16,780    4,317,494 
Automatic Data Processing, Inc.   5,210    1,178,450 
Cognizant Technology Solutions Corp. - Class A   10,200    585,888 
DXC Technology Co. (b)   15,380    376,502 
EPAM Systems, Inc. (b)   1,050    380,299 
Fidelity National Information Services, Inc.   16,860    1,274,110 
Fiserv, Inc. (b)   13,840    1,295,009 
Global Payments, Inc.   2,200    237,710 
International Business Machines Corp.   17,092    2,030,701 
Mastercard, Inc. - Class A   8,590    2,442,481 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
TECHNOLOGY SERVICES - 5.7% (Continued)          
MSCI, Inc.   1,140   $480,841 
Paychex, Inc.   3,334    374,108 
PayPal Holdings, Inc. (b)   17,170    1,477,822 
S&P Global, Inc.   2,450    748,107 
Visa, Inc. - Class A (a)   17,730    3,149,735 
         20,349,257 
TELECOMMUNICATIONS - 2.2%          
AT&T, Inc.   204,646    3,139,270 
T-Mobile US, Inc. (b)   13,480    1,808,611 
Verizon Communications, Inc.   73,160    2,777,885 
         7,725,766 
TRANSPORTATION & LOGISTICS - 3.5%          
Alaska Air Group, Inc. (b)   9,130    357,439 
American Airlines Group, Inc. (a)(b)   43,070    518,563 
C.H. Robinson Worldwide, Inc. (a)   6,070    584,602 
CSX Corp.   57,110    1,521,410 
Delta Air Lines, Inc. (b)   29,020    814,301 
FedEx Corp.   5,380    798,769 
J.B. Hunt Transport Services, Inc.   4,690    733,610 
Norfolk Southern Corp.   7,190    1,507,383 
Southwest Airlines Co. (b)   34,690    1,069,840 
Union Pacific Corp.   10,450    2,035,869 
United Airlines Holdings, Inc. (b)   13,060    424,842 
United Parcel Service, Inc. - Class B (a)   11,880    1,919,095 
         12,285,723 
TRANSPORTATION EQUIPMENT - 0.2%          
PACCAR, Inc.   5,090    425,982 
Westinghouse Air Brake Technologies Corp. (a)   3,110    252,999 
         678,981 
WHOLESALE - CONSUMER STAPLES - 0.4%          
Sysco Corp.   18,180    1,285,508 
           
TOTAL COMMON STOCKS (COST $316,066,184)       $349,811,383 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

CORPORATE NOTES - 1.0%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 1.0%                    
Calvert Social Investment Foundation, Inc. (d)   0.400%   12/15/22   $400,000   $396,594 
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/15/23    450,000    442,489 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/23    720,000    699,374 
Calvert Social Investment Foundation, Inc. (d)   1.000%   06/14/24    750,000    696,948 
Calvert Social Investment Foundation, Inc. (d)   3.000%   06/17/24    280,000    268,981 
Calvert Social Investment Foundation, Inc. (d)   3.000%   12/15/24    250,000    237,708 
Calvert Social Investment Foundation, Inc. (d)   2.500%   06/13/25    280,000    260,217 
Calvert Social Investment Foundation, Inc. (d)   2.500%   12/15/25    450,000    413,540 
TOTAL CORPORATE NOTES (COST $3,580,000)                 $3,415,851 

 

MONEY MARKET FUNDS - 0.8%  Shares   Fair Value 
First American Government Obligations Fund -
Class X, 2.77% (e) (COST $2,785,567)
   2,785,567   $2,785,567 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Value Index Fund

 

INVESTMENT PURCHASED WITH THE CASH PROCEEDS FROM SECURITIES LENDING - 4.9%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 3.16% (e)(f)
(COST $17,450,133)
   17,450,133   $17,450,133 
           
TOTAL INVESTMENTS - (COST $339,881,884) - 105.2%       $373,462,934 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (5.2%)        (18,385,730)
           
NET ASSETS - 100.0%       $355,077,204 

 

(a) All or a portion of the security is on loan. The total fair value of the securities on loan as of September 30, 2022 was $16,770,386.
(b) Non-income producing security.
(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   Current   Fair   % of Net 
   Date   Cost   Value   Assets 
Calvert Social Investment Foundation, Inc.  0.400%, 12/15/22  12/15/21   $400,000   $396,594    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/15/23  06/18/18    450,000    442,489    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/23  12/17/18    720,000    699,374    0.2%
Calvert Social Investment Foundation, Inc.  1.000%, 06/14/24  06/15/21    750,000    696,948    0.2%
Calvert Social Investment Foundation, Inc.  3.000%, 06/17/24  06/17/19    280,000    268,981    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/24  12/12/19    250,000    237,708    0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 06/13/25  06/12/20    280,000    260,217    0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 12/15/25  12/15/20    450,000    413,540    0.1%
       $3,580,000   $3,415,851    1.0%

 

(e) The rate shown is the 7-day effective yield as of September 30, 2022.
(f) The security was purchased with cash collateral received from securities on loan.

 

plc - Public Liability Company

 

 

Schedule of Portfolio Investments

Praxis Growth Index Fund

September 30, 2022 (Unaudited)

 

COMMON STOCKS - 98.5%  Shares   Fair Value 
APPAREL & TEXTILE PRODUCTS - 0.4%          
NIKE, Inc. - Class B   15,817   $1,314,709 
Ralph Lauren Corp. - Class A   3,730    316,789 
         1,631,498 
ASSET MANAGEMENT - 1.3%          
Ameriprise Financial, Inc.   2,880    725,616 
BlackRock, Inc.   2,233    1,228,775 
Charles Schwab Corp. (The)   32,260    2,318,526 
Raymond James Financial, Inc.   7,440    735,221 
T. Rowe Price Group, Inc.   5,840    613,259 
         5,621,397 
AUTOMOTIVE - 4.5%          
Aptiv plc (a)   3,770    294,852 
Tesla, Inc. (a)   73,050    19,376,512 
         19,671,364 
BANKING - 1.9%          
Bank of America Corp.   88,350    2,668,170 
Fifth Third Bancorp   13,820    441,687 
First Republic Bank   2,280    297,654 
JPMorgan Chase & Co.   31,880    3,331,460 
Regions Financial Corp.   35,280    708,070 
Signature Bank   2,090    315,590 
SVB Financial Group (a)   1,590    533,890 
         8,296,521 
BEVERAGES - 0.9%          
PepsiCo, Inc.   23,220    3,790,897 
           
BIOTECH & PHARMA - 4.9%          
AbbVie, Inc.   22,951    3,080,254 
Amgen, Inc.   12,054    2,716,972 
Bristol-Myers Squibb Co.   6,116    434,786 
Eli Lilly & Co.   21,800    7,049,030 
Johnson & Johnson   4,488    733,160 
Merck & Co., Inc.   5,571    479,774 
Moderna, Inc. (a)(b)   10,580    1,251,085 
Regeneron Pharmaceuticals, Inc. (a)(b)   3,671    2,528,842 
Vertex Pharmaceuticals, Inc. (a)   5,704    1,651,536 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
BIOTECH & PHARMA - 4.9% (Continued)          
Zoetis, Inc.   9,730   $1,442,862 
         21,368,301 
CHEMICALS - 0.9%          
Linde plc   11,878    3,202,190 
LyondellBasell Industries N.V. - Class A   1,090    82,055 
Sherwin-Williams Co. (The)   3,471    710,688 
         3,994,933 
COMMERCIAL SUPPORT SERVICES - 0.4%          
Cintas Corp.   900    349,371 
Republic Services, Inc.   2,660    361,866 
Waste Management, Inc.   6,464    1,035,598 
         1,746,835 
CONTAINERS & PACKAGING - 0.1%          
Ball Corp. (b)   5,170    249,814 
           
DIVERSIFIED INDUSTRIALS - 0.2%          
Illinois Tool Works, Inc.   3,694    667,321 
           
E-COMMERCE DISCRETIONARY - 5.6%          
Amazon.com, Inc. (a)   203,600    23,006,800 
eBay, Inc.   24,585    904,974 
Etsy, Inc. (a)(b)   5,590    559,727 
         24,471,501 
ELECTRIC UTILITIES - 0.2%          
NextEra Energy, Inc.   8,874    695,810 
           
ELECTRICAL EQUIPMENT - 0.9%          
Amphenol Corp. - Class A   10,642    712,588 
Generac Holdings, Inc. (a)   1,790    318,871 
Johnson Controls International plc   7,170    352,907 
Keysight Technologies, Inc. (a)   6,221    978,937 
Otis Worldwide Corp.   9,630    614,394 
Rockwell Automation, Inc.   2,298    494,323 
Trimble, Inc. (a)   11,490    623,562 
         4,095,582 
ENTERTAINMENT CONTENT - 0.4%          
Activision Blizzard, Inc.   6,560    487,670 
Electronic Arts, Inc.   7,895    913,531 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
ENTERTAINMENT CONTENT - 0.4% (Continued)          
Walt Disney Co. (The) (a)   5,103   $481,366 
         1,882,567 
GAS & WATER UTILITIES - 0.1%          
American Water Works Co., Inc.   3,780    492,005 
           
HEALTH CARE FACILITIES & SERVICES - 2.7%          
AmerisourceBergen Corp.   4,700    636,051 
Cardinal Health, Inc.   6,400    426,752 
Catalent, Inc. (a)   5,970    431,989 
Charles River Laboratories International, Inc. (a)   2,140    421,152 
Elevance Health, Inc.   1,300    590,512 
HCA Healthcare, Inc.   2,590    476,016 
Humana, Inc.   1,060    514,301 
IQVIA Holdings, Inc. (a)   4,968    899,903 
Laboratory Corp. of America Holdings   2,060    421,909 
McKesson Corp.   2,780    944,839 
UnitedHealth Group, Inc.   12,240    6,181,690 
         11,945,114 
HOME CONSTRUCTION - 0.2%          
D.R. Horton, Inc.   6,078    409,353 
Masco Corp.   8,006    373,800 
NVR, Inc. (a)   60    239,225 
         1,022,378 
HOUSEHOLD PRODUCTS - 0.2%          
Colgate-Palmolive Co.   5,297    372,114 
Estée Lauder Cos., Inc. (The) - Class A   1,380    297,942 
         670,056 
INDUSTRIAL SUPPORT SERVICES - 0.3%          
Fastenal Co.   11,534    531,025 
United Rentals, Inc. (a)   2,830    764,440 
         1,295,465 
INSTITUTIONAL FINANCIAL SERVICES - 1.2%          
CME Group, Inc.   2,190    387,915 
Goldman Sachs Group, Inc. (The)   8,620    2,526,091 
Intercontinental Exchange, Inc.   5,221    471,717 
Morgan Stanley   19,100    1,509,091 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
INSTITUTIONAL FINANCIAL SERVICES - 1.2% (Continued)          
Nasdaq, Inc.   8,490   $481,213 
         5,376,027 
INSURANCE - 0.2%          
Aon plc - Class A   1,260    337,516 
Marsh & McLennan Cos., Inc.   2,240    334,410 
         671,926 
INTERNET MEDIA & SERVICES - 7.3%          
Alphabet, Inc. - Class A (a)   113,100    10,818,015 
Alphabet, Inc. - Class C (a)   97,320    9,357,318 
Booking Holdings, Inc. (a)   355    583,340 
Meta Platforms, Inc. - Class A (a)   48,805    6,621,862 
Netflix, Inc. (a)(b)   13,262    3,122,405 
Twitter, Inc. (a)   18,670    818,493 
VeriSign, Inc. (a)   3,410    592,317 
         31,913,750 
LEISURE FACILITIES & SERVICES - 1.2%          
Chipotle Mexican Grill, Inc. (a)(b)   617    927,203 
Hilton Worldwide Holdings, Inc.   5,360    646,523 
McDonald's Corp.   8,917    2,057,509 
Starbucks Corp.   14,692    1,237,948 
Yum! Brands, Inc.   5,234    556,583 
         5,425,766 
MACHINERY - 0.5%          
Deere & Co.   4,096    1,367,614 
Xylem, Inc.   7,650    668,304 
         2,035,918 
MEDICAL EQUIPMENT & DEVICES - 4.7%          
Abbott Laboratories   27,456    2,656,643 
Agilent Technologies, Inc.   8,185    994,887 
Align Technology, Inc. (a)   1,711    354,365 
Bio-Rad Laboratories, Inc. - Class A (a)   610    254,455 
Bio-Techne Corp.   1,340    380,560 
Cooper Cos., Inc. (The)   1,161    306,388 
Danaher Corp.   14,164    3,658,420 
DexCom, Inc. (a)   4,440    357,598 
Edwards Lifesciences Corp. (a)   12,250    1,012,218 
IDEXX Laboratories, Inc. (a)   2,060    671,148 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
MEDICAL EQUIPMENT & DEVICES - 4.7% (Continued)          
Illumina, Inc. (a)   2,758   $526,199 
Intuitive Surgical, Inc. (a)   6,310    1,182,746 
Mettler-Toledo International, Inc. (a)   960    1,040,755 
PerkinElmer, Inc.   4,400    529,452 
ResMed, Inc.   3,038    663,195 
Thermo Fisher Scientific, Inc.   9,555    4,846,200 
Waters Corp. (a)   1,646    443,646 
West Pharmaceutical Services, Inc.   2,490    612,739 
         20,491,614 
OIL & GAS PRODUCERS - 0.1%          
Valero Energy Corp.   5,530    590,881 
           
OIL & GAS SERVICES & EQUIPMENT - 0.4%          
Baker Hughes Co.   23,030    482,709 
Schlumberger Ltd.   35,490    1,274,091 
         1,756,800 
REAL ESTATE SERVICES - 0.9%          
CBRE Group, Inc. - Class A (a)   54,953    3,709,877 
           
REITS - 2.3%          
American Tower Corp.   6,962    1,494,741 
AvalonBay Communities, Inc.   3,650    672,293 
Camden Property Trust   5,050    603,223 
Crown Castle, Inc.   5,259    760,188 
Duke Realty Corp.   12,150    585,630 
Equinix, Inc.   2,277    1,295,249 
Extra Space Storage, Inc.   2,700    466,317 
Mid-America Apartment Communities, Inc.   2,290    355,110 
Prologis, Inc.   18,467    1,876,247 
Public Storage (b)   2,570    752,522 
SBA Communications Corp. - Class A   1,668    474,796 
Simon Property Group, Inc.   3,670    329,383 
Weyerhaeuser Co.   18,700    534,072 
         10,199,771 
RENEWABLE ENERGY - 0.4%          
Enphase Energy, Inc. (a)   4,120    1,143,176 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
RENEWABLE ENERGY - 0.4% (Continued)          
SolarEdge Technologies, Inc. (a)   1,750   $405,055 
         1,548,231 
RETAIL - CONSUMER STAPLES - 1.5%          
Costco Wholesale Corp.   6,543    3,090,063 
Dollar General Corp.   3,453    828,237 
Dollar Tree, Inc. (a)   3,140    427,354 
Kroger Co. (The) (b)   6,970    304,937 
Target Corp.   8,164    1,211,456 
Walmart, Inc.   5,410    701,677 
         6,563,724 
RETAIL - DISCRETIONARY - 3.8%          
Advance Auto Parts, Inc. (b)   2,420    378,343 
AutoZone, Inc. (a)   659    1,411,532 
Bath & Body Works, Inc. (b)   23,140    754,364 
CarMax, Inc. (a)   5,870    387,537 
Home Depot, Inc. (The)   24,156    6,665,607 
Lowe's Cos., Inc. - Class B   19,889    3,735,353 
O'Reilly Automotive, Inc. (a)   1,810    1,273,063 
Ross Stores, Inc.   6,195    522,053 
TJX Cos., Inc. (The)   6,093    378,497 
Tractor Supply Co. (b)   3,700    687,756 
Ulta Beauty, Inc. (a)   1,070    429,273 
         16,623,378 
SEMICONDUCTORS - 7.0%          
Advanced Micro Devices, Inc. (a)   54,826    3,473,775 
Analog Devices, Inc.   2,264    315,466 
Applied Materials, Inc.   28,006    2,294,532 
Broadcom, Inc.   5,539    2,459,371 
Intel Corp.   8,710    224,457 
KLA Corp.   5,142    1,556,124 
Lam Research Corp.   4,223    1,545,618 
Microchip Technology, Inc.   11,300    689,639 
Monolithic Power Systems, Inc.   1,810    657,754 
NVIDIA Corp.   77,516    9,409,667 
NXP Semiconductors N.V.   6,240    920,462 
ON Semiconductor Corp. (a)(b)   12,610    785,981 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
SEMICONDUCTORS - 7.0% (Continued)          
QUALCOMM, Inc.   33,080   $3,737,378 
Teradyne, Inc.   4,990    374,999 
Texas Instruments, Inc.   13,417    2,076,683 
         30,521,906 
SOFTWARE - 16.8%          
Adobe, Inc. (a)   15,567    4,284,038 
Akamai Technologies, Inc. (a)   6,400    514,048 
ANSYS, Inc. (a)   2,738    607,015 
Autodesk, Inc. (a)   6,486    1,211,585 
Cadence Design Systems, Inc. (a)   10,624    1,736,280 
Ceridian HCM Holding, Inc. (a)   13,140    734,263 
Citrix Systems, Inc.   5,442    565,968 
Fortinet, Inc. (a)   26,840    1,318,649 
Intuit, Inc.   5,590    2,165,119 
Microsoft Corp.   204,638    47,660,190 
NortonLifeLock, Inc.   11,260    226,776 
Oracle Corp.   56,130    3,427,859 
Paycom Software, Inc. (a)   1,910    630,281 
PTC, Inc. (a)   6,510    680,946 
Salesforce.com, Inc. (a)   16,047    2,308,201 
ServiceNow, Inc. (a)   7,153    2,701,044 
Synopsys, Inc. (a)   6,460    1,973,595 
Tyler Technologies, Inc. (a)   1,360    472,600 
         73,218,457 
SPECIALTY FINANCE - 0.7%          
American Express Co.   10,000    1,349,100 
Capital One Financial Corp.   3,200    294,944 
Discover Financial Services   9,570    870,104 
Synchrony Financial   21,640    610,032 
         3,124,180 
STEEL - 0.1%          
Nucor Corp.   3,250    347,718 
           
TECHNOLOGY HARDWARE - 15.2%          
Apple, Inc.   427,358    59,060,876 
Arista Networks, Inc. (a)   7,440    839,902 
Cisco Systems, Inc.   67,820    2,712,800 
F5, Inc. (a)   4,350    629,575 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
TECHNOLOGY HARDWARE - 15.2% (Continued)          
HP, Inc.   30,430   $758,316 
Juniper Networks, Inc.   16,400    428,368 
NetApp, Inc.   5,260    325,331 
Seagate Technology plc   8,980    478,005 
Western Digital Corp. (a)   13,080    425,754 
Zebra Technologies Corp. - Class A (a)   2,137    559,915 
         66,218,842 
TECHNOLOGY SERVICES - 6.5%          
Accenture plc - Class A   18,389    4,731,490 
Automatic Data Processing, Inc.   13,460    3,044,517 
Broadridge Financial Solutions, Inc.   2,596    374,655 
Cognizant Technology Solutions Corp. - Class A   8,540    490,538 
EPAM Systems, Inc. (a)   1,680    608,479 
Equifax, Inc.   2,580    442,289 
FactSet Research Systems, Inc.   1,810    724,199 
Fidelity National Information Services, Inc.   7,200    544,104 
Fiserv, Inc. (a)   7,526    704,208 
Gartner, Inc. (a)   4,040    1,117,828 
International Business Machines Corp.   5,700    677,217 
Jack Henry & Associates, Inc.   3,810    694,449 
MarketAxess Holdings, Inc.   1,320    293,687 
Mastercard, Inc. - Class A   11,736    3,337,014 
Moody's Corp.   3,375    820,496 
MSCI, Inc.   1,797    757,957 
Paychex, Inc.   2,990    335,508 
PayPal Holdings, Inc. (a)   22,317    1,920,824 
S&P Global, Inc.   6,854    2,092,869 
Verisk Analytics, Inc.   3,035    517,558 
Visa, Inc. - Class A (b)   24,203    4,299,663 
         28,529,549 
TRANSPORTATION & LOGISTICS - 1.4%          
American Airlines Group, Inc. (a)(b)   20,190    243,088 
CSX Corp.   22,471    598,628 
Delta Air Lines, Inc. (a)   11,420    320,445 
Expeditors International of Washington, Inc.   4,770    421,239 
J.B. Hunt Transport Services, Inc.   2,270    355,073 
Old Dominion Freight Line, Inc.   4,700    1,169,219 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

COMMON STOCKS - 98.5% (Continued)  Shares   Fair Value 
TRANSPORTATION & LOGISTICS - 1.4% (Continued)          
Union Pacific Corp.   6,771   $1,319,126 
United Airlines Holdings, Inc. (a)   8,760    284,963 
United Parcel Service, Inc. - Class B (b)   9,065    1,464,360 
         6,176,141 
WHOLESALE - DISCRETIONARY - 0.2%          
Copart, Inc. (a)   5,108    543,491 
Pool Corp.   1,190    378,670 
         922,161 
           
TOTAL COMMON STOCKS (COST $285,424,250)       $429,575,976 

 

CORPORATE NOTES - 0.9%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 0.9%                    
Calvert Social Investment Foundation, Inc. (c)   0.400%   12/15/22   $750,000   $743,614 
Calvert Social Investment Foundation, Inc. (c)   3.000%   06/15/23    900,000    884,978 
Calvert Social Investment Foundation, Inc. (c)   3.000%   12/15/23    200,000    194,271 
Calvert Social Investment Foundation, Inc. (c)   1.000%   06/14/24    520,000    483,217 
Calvert Social Investment Foundation, Inc. (c)   3.000%   06/17/24    550,000    528,356 
Calvert Social Investment Foundation, Inc. (c)   3.000%   12/15/24    150,000    142,625 
Calvert Social Investment Foundation, Inc. (c)   2.500%   06/13/25    670,000    622,663 
Calvert Social Investment Foundation, Inc. (c)   2.500%   12/15/25    500,000    459,488 
TOTAL CORPORATE NOTES (COST $4,240,000)                 $4,059,212 

 

MONEY MARKET FUNDS - 0.5%  Shares   Fair Value 
First American Government Obligations Fund -
Class X, 2.77% (d) (COST $2,316,053)
   2,316,053   $2,316,053 

 

 

Schedule of Portfolio Investments (Continued)

Praxis Growth Index Fund

 

INVESTMENT PURCHASED WITH THE CASH PROCEEDS FROM SECURITIES LENDING - 4.2%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 3.16% (d)(e)
(COST $18,314,204)
   18,314,204   $18,314,204 
           
TOTAL INVESTMENTS - (COST $310,294,507) - 104.1%       $454,265,445 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (4.1%)        (17,942,165)
           
NET ASSETS - 100.0%       $436,323,280 

 

(a) Non-income producing security.
(b) All or a portion of the security is on loan. The total fair value of the securities on loan as of September 30, 2022 was $17,636,613.
(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.  0.400%, 12/15/22   12/15/21   $750,000   $743,614    0.2%
Calvert Social Investment Foundation, Inc.  3.000%, 06/15/23   06/18/18    900,000    884,978    0.2%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/23   12/17/18    200,000    194,271    0.1%
Calvert Social Investment Foundation, Inc.  1.000%, 06/14/24   06/15/21    520,000    483,217    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 06/17/24   06/17/19    550,000    528,356    0.1%
Calvert Social Investment Foundation, Inc.  3.000%, 12/15/24   12/12/19    150,000    142,625    0.0%(f)
Calvert Social Investment Foundation, Inc.  2.500%, 06/13/25   06/12/20    670,000    622,663    0.1%
Calvert Social Investment Foundation, Inc.  2.500%, 12/15/25   12/15/20    500,000    459,488    0.1%
        $4,240,000   $4,059,212    0.9%

 

(d) The rate shown is the 7-day effective yield as of September 30, 2022.
(e) The security was purchased with cash collateral received 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, 2022 (Unaudited)         

 

COMMON STOCKS - 98.2%  Shares   Fair Value 
ADVERTISING & MARKETING - 0.1%          
QuinStreet, Inc. (a)   15,700   $164,850 
           
AEROSPACE & DEFENSE - 0.2%          
Barnes Group, Inc.   6,060    175,013 
Park Aerospace Corp.   12,250    135,240 
         310,253 
APPAREL & TEXTILE PRODUCTS - 0.9%          
Kontoor Brands, Inc.   7,330    246,361 
Movado Group, Inc.   6,810    191,906 
Oxford Industries, Inc.   3,465    311,088 
Steven Madden Ltd.   11,935    318,306 
Wolverine World Wide, Inc.   13,500    207,765 
         1,275,426 
ASSET MANAGEMENT - 0.7%          
B. Riley Financial, Inc.   3,350    149,142 
Blucora, Inc. (a)   15,340    296,676 
BrightSphere Investment Group, Inc.   7,030    104,817 
Virtus Investment Partners, Inc.   920    146,758 
WisdomTree Investments, Inc. (b)   39,470    184,720 
         882,113 
AUTOMOTIVE - 1.0%          
American Axle & Manufacturing Holdings, Inc. (a)   25,710    175,599 
Dorman Products, Inc. (a)   4,390    360,507 
Gentherm, Inc. (a)   6,580    327,223 
Methode Electronics, Inc.   8,170    303,516 
XPEL, Inc. (a)   2,280    146,923 
         1,313,768 
BANKING - 12.1%          
Allegiance Bancshares, Inc.   6,260    260,604 
Ameris Bancorp   10,274    459,350 
Axos Financial, Inc. (a)   8,590    294,036 
Banc of California, Inc.   16,350    261,109 
BancFirst Corp.   6,310    564,556 
Bancorp, Inc. (The) (a)   14,120    310,358 
BankUnited, Inc. (b)   6,000    205,020 
Banner Corp.   6,070    358,616 
Berkshire Hills Bancorp, Inc.   14,650    399,945 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
BANKING - 12.1% (Continued)          
Brookline Bancorp, Inc.   15,670   $182,555 
Capitol Federal Financial, Inc.   21,140    175,462 
Central Pacific Financial Corp.   5,870    121,450 
City Holding Co.   2,750    243,897 
Columbia Banking System, Inc.   14,740    425,839 
Community Bank System, Inc.   5,920    355,674 
Customers Bancorp, Inc. (a)   4,860    143,273 
CVB Financial Corp.   26,090    660,599 
Dime Community Bancshares, Inc.   11,619    340,204 
Eagle Bancorp, Inc.   2,540    113,843 
FB Financial Corp.   6,486    247,830 
First BanCorp.   38,970    533,110 
First Bancorp/NC   5,760    210,701 
First Commonwealth Financial Corp.   16,550    212,502 
First Financial Bancorp   10,000    210,800 
First Hawaiian, Inc.   28,320    697,522 
Flagstar Bancorp, Inc.   9,250    308,950 
Hanmi Financial Corp.   9,870    233,722 
Heritage Financial Corp.   8,730    231,083 
HomeStreet, Inc.   5,810    167,386 
Hope Bancorp, Inc.   22,210    280,734 
Independent Bank Corp.   6,900    514,257 
Independent Bank Group, Inc.   6,540    401,491 
Lakeland Financial Corp.   5,160    375,700 
National Bank Holdings Corp. - Class A   6,570    243,024 
NBT Bancorp, Inc.   3,260    123,717 
Northwest Bancshares, Inc.   8,470    114,430 
OFG Bancorp   11,530    289,749 
Pacific Premier Bancorp, Inc.   11,826    366,133 
Park National Corp.   2,050    255,184 
Pathward Financial, Inc.   6,750    222,480 
Preferred Bank   2,910    189,819 
Provident Financial Services, Inc.   14,360    280,020 
Renasant Corp.   9,410    294,345 
Seacoast Banking Corp. of Florida   8,510    257,257 
ServisFirst Bancshares, Inc. (b)   10,670    853,600 
Simmons First National Corp. - Class A   20,420    444,952 
SiriusPoint Ltd. (a)   790    3,910 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
BANKING - 12.1% (Continued)          
Southside Bancshares, Inc.   4,987   $176,340 
Triumph Bancorp, Inc. (a)   5,040    273,924 
Trustmark Corp.   7,370    225,743 
United Community Banks, Inc.   15,290    506,099 
Veritex Holdings, Inc.   13,050    346,999 
Westamerica BanCorp.   4,060    212,297 
WSFS Financial Corp.   10,230    475,286 
         16,657,486 
BEVERAGES - 0.1%          
National Beverage Corp.   4,440    171,118 
           
BIOTECH & PHARMA - 4.2%          
Amphastar Pharmaceuticals, Inc. (a)   6,470    181,807 
Anika Therapeutics, Inc. (a)   4,520    107,576 
Arcus Biosciences, Inc. (a)   10,060    263,170 
Avid Bioservices, Inc. (a)   5,910    112,999 
Catalyst Pharmaceutical Partners, Inc. (a)   17,120    219,650 
Coherus Biosciences, Inc. (a)   28,080    269,849 
Cytokinetics, Inc. (a)(b)   16,450    797,002 
Dynavax Technologies Corp. (a)(b)   20,100    209,844 
Eagle Pharmaceuticals, Inc. (a)   4,970    131,307 
Emergent BioSolutions, Inc. (a)   8,680    182,193 
Enanta Pharmaceuticals, Inc. (a)   4,260    220,966 
Harmony Biosciences Holdings, Inc. (a)   4,600    203,734 
Heska Corp. (a)(b)   1,950    142,194 
Innoviva, Inc. (a)(b)   11,970    138,972 
Ironwood Pharmaceuticals, Inc. (a)(b)   54,490    564,516 
Ligand Pharmaceuticals, Inc. (a)   2,760    237,664 
Nektar Therapeutics (a)   47,670    152,544 
Pacira BioSciences, Inc. (a)   6,110    324,991 
Prestige Consumer Healthcare, Inc. (a)   6,630    330,373 
REGENXBIO, Inc. (a)   5,140    135,850 
Supernus Pharmaceuticals, Inc. (a)   7,570    256,245 
Vanda Pharmaceuticals, Inc. (a)   10,890    107,593 
Vir Biotechnology, Inc. (a)(b)   10,170    196,078 
Xencor, Inc. (a)   8,400    218,232 
         5,705,349 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
CHEMICALS - 3.2%          
AdvanSix, Inc.   10,540   $338,334 
Balchem Corp.   6,460    785,407 
H.B. Fuller Co.   10,240    615,424 
Innospec, Inc.   4,330    370,951 
Materion Corp.   5,040    403,200 
Quaker Chemical Corp. (b)   1,420    205,020 
Rogers Corp. (a)   3,610    873,187 
Stepan Co.   3,960    370,933 
Trinseo plc   1,160    21,251 
WD-40 Co.   2,500    439,350 
         4,423,057 
COMMERCIAL SUPPORT SERVICES - 3.4%          
ABM Industries, Inc.   13,350    510,370 
AMN Healthcare Services, Inc. (a)   9,180    972,713 
Brady Corp. - Class A   19,830    827,506 
CorVel Corp. (a)   2,390    330,848 
Cross Country Healthcare, Inc. (a)(b)   5,410    153,482 
Harsco Corp. (a)   29,190    109,170 
Healthcare Services Group, Inc.   6,440    77,860 
Heidrick & Struggles International, Inc.   6,300    163,737 
Kelly Services, Inc. - Class A   11,930    162,129 
Korn Ferry   8,880    416,916 
TrueBlue, Inc. (a)   22,230    424,148 
UniFirst Corp.   1,790    301,132 
Viad Corp. (a)   5,500    173,690 
         4,623,701 
CONSTRUCTION MATERIALS - 0.1%          
Apogee Enterprises, Inc.   4,720    180,398 
           
CONSUMER SERVICES - 1.2%          
Adtalem Global Education, Inc. (a)   12,630    460,363 
Medifast, Inc.   1,780    192,881 
Perdoceo Education Corp. (a)   16,740    172,422 
Strategic Education, Inc.   5,770    354,336 
Stride, Inc. (a)(b)   8,120    341,283 
WW International, Inc. (a)   29,160    114,599 
         1,635,884 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
CONTAINERS & PACKAGING - 0.3%          
Myers Industries, Inc.   10,120   $166,676 
O-I Glass, Inc. (a)   22,780    295,001 
         461,677 
E-COMMERCE DISCRETIONARY - 0.1%          
PetMed Express, Inc.   8,210    160,259 
           
ELECTRIC UTILITIES - 1.0%          
Avista Corp.   18,490    685,055 
Unitil Corp.   15,560    722,762 
         1,407,817 
ELECTRICAL EQUIPMENT - 2.6%          
AAON, Inc. (b)   11,030    594,296 
Advanced Energy Industries, Inc. (b)   6,290    486,909 
Alarm.com Holdings, Inc. (a)   7,330    475,424 
Badger Meter, Inc.   6,300    582,057 
FARO Technologies, Inc. (a)   5,290    145,158 
Itron, Inc. (a)   8,320    350,355 
Mesa Laboratories, Inc. (b)   1,460    205,612 
OSI Systems, Inc. (a)   2,550    183,753 
SPX Technologies, Inc. (a)   9,870    545,021 
         3,568,585 
ENGINEERING & CONSTRUCTION - 2.0%          
Arcosa, Inc.   7,940    454,009 
Comfort Systems USA, Inc.   5,920    576,194 
Exponent, Inc.   8,470    742,565 
Frontdoor, Inc. (a)   8,360    170,460 
Granite Construction, Inc.   7,530    191,187 
Installed Building Products, Inc.   3,410    276,176 
MYR Group, Inc. (a)   1,260    106,760 
NV5 Global, Inc. (a)   2,110    261,260 
         2,778,611 
FOOD - 1.6%          
B&G Foods, Inc. (b)   10,010    165,065 
Cal-Maine Foods, Inc.   6,880    382,459 
Hostess Brands, Inc. (a)   28,140    653,974 
Simply Good Foods Co. (The) (a)   16,280    520,797 
TreeHouse Foods, Inc. (a)   9,670    410,201 
         2,132,496 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
FORESTRY, PAPER & WOOD PRODUCTS - 0.9%          
Boise Cascade Co.   7,010   $416,815 
Sylvamo Corp.   2,480    84,072 
UFP Industries, Inc.   9,070    654,491 
         1,155,378 
GAS & WATER UTILITIES - 1.8%          
American States Water Co.   8,490    661,795 
California Water Service Group (b)   18,230    960,539 
Middlesex Water Co. (b)   10,930    843,796 
         2,466,130 
HEALTH CARE FACILITIES & SERVICES - 2.6%          
AdaptHealth Corp. (a)   5,320    99,910 
Addus HomeCare Corp. (a)   2,750    261,910 
Community Health Systems, Inc. (a)   9,500    20,425 
Covetrus, Inc. (a)   21,810    455,393 
Ensign Group, Inc. (The)   8,010    636,795 
Fulgent Genetics, Inc. (a)(b)   2,920    111,311 
Joint Corp. (The) (a)   12,140    190,719 
ModivCare, Inc. (a)   2,130    212,318 
NeoGenomics, Inc. (a)   17,840    153,602 
Owens & Minor, Inc.   12,410    299,081 
Pediatrix Medical Group, Inc. (a)   14,540    240,055 
Pennant Group, Inc. (The) (a)   10,440    108,680 
RadNet, Inc. (a)   11,320    230,362 
Select Medical Holdings Corp. (b)   16,840    372,164 
U.S. Physical Therapy, Inc. (b)   2,080    158,122 
         3,550,847 
HOME & OFFICE PRODUCTS - 0.5%          
HNI Corp. (b)   11,550    306,190 
iRobot Corp. (a)   3,560    200,535 
Tupperware Brands Corp. (a)   24,740    162,047 
         668,772 
HOME CONSTRUCTION - 1.9%          
American Woodmark Corp. (a)   2,170    95,176 
Cavco Industries, Inc. (a)(b)   1,500    308,640 
Century Communities, Inc.   4,430    189,515 
Green Brick Partners, Inc. (a)   4,260    91,079 
Interface, Inc.   24,150    217,108 
LGI Homes, Inc. (a)   3,980    323,853 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
HOME CONSTRUCTION - 1.9% (Continued)          
M/I Homes, Inc. (a)   3,510   $127,167 
MDC Holdings, Inc.   10,555    289,418 
Meritage Homes Corp. (a)   6,110    429,350 
Patrick Industries, Inc.   2,420    106,093 
PGT Innovations, Inc. (a)   9,950    208,552 
TRI Pointe Homes, Inc. (a)   14,490    218,944 
         2,604,895 
HOUSEHOLD PRODUCTS - 0.7%          
Clearwater Paper Corp. (a)   1,910    71,816 
e.l.f. Beauty, Inc. (a)   8,410    316,384 
Edgewell Personal Care Co.   5,910    221,034 
Inter Parfums, Inc.   2,400    181,104 
Quanex Building Products Corp.   11,930    216,649 
         1,006,987 
INDUSTRIAL INTERMEDIATE PRODUCTS - 1.4%          
AZZ, Inc.   4,910    179,264 
EnPro Industries, Inc.   6,060    514,979 
Gibraltar Industries, Inc. (a)   5,860    239,850 
Insteel Industries, Inc.   8,650    229,484 
Mueller Industries, Inc. (b)   8,500    505,240 
Proto Labs, Inc. (a)   1,050    38,251 
Standex International Corp.   2,030    165,750 
         1,872,818 
INDUSTRIAL SUPPORT SERVICES - 1.1%          
Applied Industrial Technologies, Inc.   8,380    861,296 
DXP Enterprises, Inc. (a)   5,460    129,293 
Resideo Technologies, Inc. (a)   24,870    474,022 
         1,464,611 
INSTITUTIONAL FINANCIAL SERVICES - 0.4%          
Piper Sandler Cos.   3,730    390,680 
StoneX Group, Inc. (a)   2,410    199,886 
         590,566 
INSURANCE - 1.9%          
Ambac Financial Group, Inc. (a)(b)   10,910    139,102 
American Equity Investment Life Holding Co.   15,500    577,995 
Assured Guaranty Ltd.   8,310    402,619 
Employers Holdings, Inc.   3,240    111,748 
Genworth Financial, Inc. - Class A (a)   116,460    407,610 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
INSURANCE - 1.9% (Continued)          
NMI Holdings, Inc. - Class A (a)   9,380   $191,071 
Palomar Holdings, Inc. (a)   3,850    322,322 
Safety Insurance Group, Inc.   610    49,752 
SelectQuote, Inc. (a)   40,340    29,448 
Trupanion, Inc. (a)(b)   6,280    373,220 
         2,604,887 
INTERNET MEDIA & SERVICES - 0.6%          
Cars.com, Inc. (a)   16,270    187,105 
Shutterstock, Inc. (b)   3,610    181,114 
TechTarget, Inc. (a)   4,120    243,904 
Yelp, Inc. (a)   7,330    248,560 
         860,683 
LEISURE FACILITIES & SERVICES - 2.3%          
Bloomin' Brands, Inc. (b)   18,470    338,555 
Brinker International, Inc. (a)   11,120    277,777 
Cheesecake Factory, Inc. (The) (b)   12,560    367,757 
Chuy's Holdings, Inc. (a)   6,950    161,101 
Cinemark Holdings, Inc. (a)(b)   24,860    301,054 
Dave & Buster's Entertainment, Inc. (a)(b)   9,190    285,166 
Dine Brands Global, Inc.   3,280    208,477 
El Pollo Loco Holdings, Inc. (a)   21,940    195,705 
Jack in the Box, Inc.   4,400    325,908 
Marcus Corp. (The)   14,120    196,127 
Shake Shack, Inc. - Class A (a)   8,440    379,631 
Six Flags Entertainment Corp. (a)   4,850    85,845 
         3,123,103 
LEISURE PRODUCTS - 0.5%          
LCI Industries   4,750    481,935 
Winnebago Industries, Inc. (b)   3,720    197,941 
         679,876 
MACHINERY - 2.3%          
Alamo Group, Inc.   1,800    220,086 
Astec Industries, Inc.   4,830    150,648 
Enerpac Tool Group Corp.   19,940    355,530 
ESCO Technologies, Inc.   1,640    120,442 
Franklin Electric Co., Inc.   6,300    514,773 
Hillenbrand, Inc.   4,920    180,662 
Ichor Holdings Ltd. (a)   3,980    96,356 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
MACHINERY - 2.3% (Continued)          
John Bean Technologies Corp.   5,325   $457,950 
Lindsay Corp.   3,140    449,899 
Tennant Co.   3,800    214,928 
Titan International, Inc. (a)   33,750    409,725 
         3,170,999 
MEDICAL EQUIPMENT & DEVICES - 3.6%          
AngioDynamics, Inc. (a)   10,480    214,421 
Avanos Medical, Inc. (a)   4,050    88,209 
BioLife Solutions, Inc. (a)(b)   7,490    170,398 
CONMED Corp.   3,920    314,267 
Cutera, Inc. (a)(b)   4,980    227,088 
Embecta Corp.   9,350    269,187 
Glaukos Corp. (a)   7,100    378,004 
Inogen, Inc. (a)   2,390    58,029 
Integer Holdings Corp. (a)   4,160    258,877 
Lantheus Holdings, Inc. (a)   13,813    971,468 
LeMaitre Vascular, Inc.   5,530    280,260 
Meridian Bioscience, Inc. (a)   8,520    268,636 
Merit Medical Systems, Inc. (a)   10,140    573,011 
Myriad Genetics, Inc. (a)   13,280    253,382 
OraSure Technologies, Inc. (a)   51,910    196,739 
Varex Imaging Corp. (a)   8,210    173,559 
Vericel Corp. (a)   8,820    204,624 
Zimvie, Inc. (a)   9,430    93,074 
         4,993,233 
METALS & MINING - 1.7%          
Arconic Corp. (a)   18,740    319,330 
Century Aluminum Co. (a)   22,250    117,480 
Encore Wire Corp. (b)   3,620    418,255 
Kaiser Aluminum Corp.   4,330    265,645 
Livent Corp. (a)(b)   35,680    1,093,592 
SunCoke Energy, Inc.   30,440    176,856 
         2,391,158 
OIL & GAS PRODUCERS - 0.3%          
Ranger Oil Corp. - Class A   10,960    344,692 
           
OIL & GAS SERVICES & EQUIPMENT - 0.9%          
Core Laboratories N.V. (b)   62,440    841,691 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
OIL & GAS SERVICES & EQUIPMENT - 0.9% (Continued)          
DMC Global, Inc. (a)   9,380   $149,892 
U.S. Silica Holdings, Inc. (a)   17,890    195,896 
         1,187,479 
PUBLISHING & BROADCASTING - 0.3%          
E.W. Scripps Co. (The) - Class A (a)   9,180    103,458 
Gannett Co., Inc. (a)   44,487    68,065 
Scholastic Corp.   8,410    258,692 
         430,215 
REAL ESTATE OWNERS & DEVELOPERS - 0.1%          
St. Joe Co. (The)   5,140    164,634 
           
REAL ESTATE SERVICES - 0.4%          
Anywhere Real Estate, Inc. (a)   32,310    262,034 
Marcus & Millichap, Inc.   3,450    113,091 
RE/MAX Holdings, Inc. - Class A   4,840    91,525 
         466,650 
REITS - 6.5%          
Acadia Realty Trust   17,540    221,355 
Agree Realty Corp. (b)   14,010    946,796 
Alexander & Baldwin, Inc.   7,290    120,868 
American Assets Trust, Inc.   6,220    159,978 
Armada Hoffler Properties, Inc.   12,440    129,127 
Brandywine Realty Trust   55,840    376,920 
CareTrust REIT, Inc.   12,440    225,288 
Centerspace   3,050    205,326 
Chatham Lodging Trust (a)   14,320    141,338 
DiamondRock Hospitality Co.   41,780    313,768 
Diversified Healthcare Trust   107,560    106,495 
Easterly Government Properties, Inc. (b)   9,670    152,496 
Essential Properties Realty Trust, Inc.   9,360    182,052 
Four Corners Property Trust, Inc.   4,460    107,887 
Franklin BSP Realty Trust, Inc. (b)   17,852    192,266 
Franklin Street Properties Corp.   32,340    85,054 
Getty Realty Corp.   8,140    218,885 
Hersha Hospitality Trust   18,960    151,301 
Industrial Logistics Properties Trust   9,270    50,985 
Innovative Industrial Properties, Inc.   4,430    392,055 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
REITS - 6.5% (Continued)          
iStar, Inc.   14,210   $131,585 
LTC Properties, Inc.   7,200    269,640 
LXP Industrial Trust   32,120    294,219 
NexPoint Residential Trust, Inc.   3,250    150,182 
Office Properties Income Trust   8,060    113,243 
Orion Office REIT, Inc.   2,870    25,113 
Outfront Media, Inc.   5,670    86,127 
Retail Opportunity Investments Corp.   15,690    215,894 
RPT Realty   19,470    147,193 
Safehold, Inc. (b)   3,430    90,758 
Saul Centers, Inc.   3,420    128,250 
SITE Centers Corp.   33,690    360,820 
Summit Hotel Properties, Inc.   23,710    159,331 
Sunstone Hotel Investors, Inc.   10,630    100,135 
Tanger Factory Outlet Centers, Inc.   23,000    314,640 
Uniti Group, Inc.   35,680    247,976 
Urban Edge Properties   13,970    186,360 
Urstadt Biddle Properties, Inc. - Class A   6,520    101,125 
Veris Residential, Inc. (a)   20,870    237,292 
Washington Real Estate Investment Trust   21,530    378,067 
Whitestone REIT   58,810    497,533 
Xenia Hotel & Resorts, Inc.   18,240    251,530 
         8,967,253 
RENEWABLE ENERGY - 0.3%          
FutureFuel Corp.   18,910    114,216 
Green Plains, Inc. (a)   10,370    301,456 
         415,672 
RETAIL - CONSUMER STAPLES - 0.9%          
Big Lots, Inc. (b)   5,570    86,948 
OptimizeRx, Corp. (a)   4,280    63,430 
PriceSmart, Inc. (b)   2,690    154,917 
SpartanNash Co.   32,510    943,440 
         1,248,735 
RETAIL - DISCRETIONARY - 5.2%          
Abercrombie & Fitch Co. - Class A (a)(b)   13,550    210,702 
Academy Sports & Outdoors, Inc. (b)   16,030    676,145 
America's Car-Mart, Inc. (a)   1,440    87,869 
Asbury Automotive Group, Inc. (a)(b)   3,100    468,410 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
RETAIL - DISCRETIONARY - 5.2% (Continued)          
Bed Bath & Beyond, Inc. (a)(b)   42,460   $258,581 
Boot Barn Holdings, Inc. (a)   4,560    266,578 
Buckle, Inc. (The) (b)   5,380    170,331 
Caleres, Inc.   10,210    247,286 
Chico's FAS, Inc. (a)(b)   40,780    197,375 
Children's Place, Inc. (The) (a)(b)   4,250    131,283 
Conn's, Inc. (a)   22,140    156,751 
Designer Brands, Inc. - Class A   11,180    171,166 
Ethan Allen Interiors, Inc.   16,450    347,753 
Genesco, Inc. (a)   3,300    129,756 
GMS, Inc. (a)   7,050    282,071 
Group 1 Automotive, Inc.   3,050    435,754 
Guess?, Inc.   9,260    135,844 
Hibbett, Inc.   5,140    256,023 
La-Z-Boy, Inc. (b)   6,970    157,313 
LL Flooring Holdings, Inc. (a)   19,180    132,917 
MarineMax, Inc. (a)(b)   10,070    299,985 
Monro, Inc.   6,250    271,625 
National Vision Holdings, Inc. (a)(b)   7,720    252,058 
ODP Corp. (The) (a)   7,677    269,847 
Sally Beauty Holdings, Inc. (a)   15,060    189,756 
Shoe Carnival, Inc. (b)   4,710    100,982 
Signet Jewelers Ltd. (b)   5,440    311,114 
Sleep Number Corp. (a)   4,070    137,607 
Urban Outfitters, Inc. (a)   10,750    211,238 
Zumiez, Inc. (a)   8,440    181,713 
         7,145,833 
SEMICONDUCTORS - 3.9%          
Alpha & Omega Semiconductor Ltd. (a)(b)   6,060    186,406 
Axcelis Technologies, Inc. (a)   16,000    968,960 
CEVA, Inc. (a)   4,260    111,740 
Cohu, Inc. (a)(b)   7,270    187,421 
CTS Corp.   6,010    250,316 
Diodes, Inc. (a)   6,230    404,389 
FormFactor, Inc. (a)   11,450    286,822 
Kulicke & Soffa Industries, Inc. (b)   9,850    379,521 
MaxLinear, Inc. (a)(b)   12,360    403,183 
Onto Innovation, Inc. (a)   15,157    970,806 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
SEMICONDUCTORS - 3.9% (Continued)          
Photronics, Inc. (a)   16,690   $244,008 
Rambus, Inc. (a)   18,385    467,347 
SMART Global Holdings, Inc. (a)   11,870    188,377 
Ultra Clean Holdings, Inc. (a)   3,800    97,850 
Veeco Instruments, Inc. (a)(b)   8,620    157,918 
         5,305,064 
SOFTWARE - 3.0%          
Agilysys, Inc. (a)   6,190    342,616 
Allscripts Healthcare Solutions, Inc. (a)(b)   23,320    355,164 
Apollo Medical Holdings, Inc. (a)(b)   6,870    267,930 
Cerence, Inc. (a)   6,700    105,525 
Consensus Cloud Solutions, Inc. (a)   4,440    210,012 
Digi International, Inc. (a)   11,930    412,420 
Digital Turbine, Inc. (a)   5,720    82,425 
Donnelley Financial Solutions, Inc. (a)   6,550    242,153 
Ebix, Inc. (b)   7,800    147,966 
LivePerson, Inc. (a)   9,500    89,490 
NextGen Healthcare, Inc. (a)   7,250    128,325 
PDF Solutions, Inc. (a)   9,190    225,431 
Progress Software Corp. (b)   6,410    272,746 
Simulations Plus, Inc.   2,410    116,981 
SPS Commerce, Inc. (a)   5,620    698,173 
Thryv Holdings, Inc. (a)   9,180    209,579 
Xperi, Inc. (a)   14,711    208,014 
         4,114,950 
SPECIALTY FINANCE - 2.8%          
Apollo Commercial Real Estate Finance, Inc.   31,690    263,027 
ARMOUR Residential REIT, Inc. (b)   33,710    164,168 
Deluxe Corp.   18,520    308,358 
Ellington Financial, Inc. (b)   15,050    171,119 
Encore Capital Group, Inc. (a)(b)   7,690    349,741 
Enova International, Inc. (a)   7,260    212,500 
Granite Point Mortgage Trust, Inc.   14,530    93,573 
Invesco Mortgage Capital, Inc.   18,696    207,526 
KKR Real Estate Finance Trust, Inc. (b)   6,670    108,388 
LendingTree, Inc. (a)   1,570    37,460 
Mr. Cooper Group, Inc. (a)   12,660    512,730 
New York Mortgage Trust, Inc.   44,650    104,481 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
SPECIALTY FINANCE - 2.8% (Continued)          
PennyMac Mortgage Investment Trust (b)   23,960   $282,249 
PRA Group, Inc. (a)(b)   3,170    104,166 
Redwood Trust, Inc.   19,810    113,709 
Stewart Information Services Corp. (b)   3,830    167,141 
Two Harbors Investment Corp. (b)   41,120    136,518 
Walker & Dunlop, Inc.   6,340    530,848 
         3,867,702 
STEEL - 0.7%          
ATI, Inc. (a)(b)   17,890    476,053 
Carpenter Technology Corp.   6,590    205,213 
TimkenSteel Corp. (a)   17,280    259,027 
         940,293 
TECHNOLOGY HARDWARE - 4.8%          
3D Systems Corp. (a)(b)   16,470    131,431 
A10 Networks, Inc.   15,080    200,112 
ADTRAN, Inc. (b)   14,390    281,756 
Arlo Technologies, Inc. (a)   31,600    146,624 
Benchmark Electronics, Inc.   7,800    193,284 
Clearfield, Inc. (a)   2,410    252,183 
Comtech Telecommunications Corp.   18,530    185,485 
Corsair Gaming, Inc. (a)   10,890    123,602 
Diebold Nixdorf, Inc. (a)   58,700    143,228 
Extreme Networks, Inc. (a)   29,990    391,969 
Fabrinet (a)(b)   9,090    867,641 
Harmonic, Inc. (a)   29,630    387,264 
InterDigital, Inc.   6,470    261,517 
Knowles Corp. (a)   18,120    220,520 
NetScout Systems, Inc. (a)   14,920    467,294 
Pitney Bowes, Inc.   38,260    89,146 
Plexus Corp. (a)   4,900    429,044 
Sanmina Corp. (a)(b)   13,090    603,187 
Sonos, Inc. (a)   18,690    259,791 
TTM Technologies, Inc. (a)   28,760    379,057 
Viavi Solutions, Inc. (a)   44,640    582,552 
         6,596,687 
TECHNOLOGY SERVICES - 2.4%          
CSG Systems International, Inc.   5,650    298,772 
EVERTEC, Inc.   10,810    338,893 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
TECHNOLOGY SERVICES - 2.4% (Continued)          
ExlService Holdings, Inc. (a)(b)   7,000   $1,031,520 
Green Dot Corp. - Class A (a)   12,060    228,899 
Insight Enterprises, Inc. (a)(b)   8,860    730,153 
LiveRamp Holdings, Inc. (a)   2,650    48,124 
Perficient, Inc. (a)   6,350    412,877 
TTEC Holdings, Inc.   3,630    160,845 
Unisys Corp. (a)   10,560    79,728 
         3,329,811 
TELECOMMUNICATIONS - 0.7%          
8x8, Inc. (a)   26,120    90,114 
ATN International, Inc.   1,330    51,298 
Cogent Communications Holdings, Inc.   5,100    266,016 
Consolidated Communications Holdings, Inc. (a)   29,970    124,676 
Gogo, Inc. (a)   13,810    167,377 
Shenandoah Telecommunications Co.   3,360    57,187 
Telephone and Data Systems, Inc.   17,960    249,644 
         1,006,312 
TRANSPORTATION & LOGISTICS - 3.2%          
Allegiant Travel Co. (a)(b)   3,490    254,700 
ArcBest Corp. (b)   6,890    501,110 
Atlas Air Worldwide Holdings, Inc. (a)(b)   7,090    677,591 
Bristow Group, Inc. (a)   8,623    202,554 
Forward Air Corp.   5,730    517,190 
Hawaiian Holdings, Inc. (a)(b)   17,650    232,098 
Hub Group, Inc. - Class A (a)   10,840    747,743 
Marten Transport Ltd.   18,180    348,329 
Matson, Inc.   10,720    659,494 
SkyWest, Inc. (a)   13,750    223,575 
Sun Country Airlines Holdings, Inc. (a)(b)   5,780    78,666 
         4,443,050 
TRANSPORTATION EQUIPMENT - 0.4%          
Greenbrier Cos., Inc. (The)   6,020    146,105 
Trinity Industries, Inc.   10,110    215,849 
Wabash National Corp.   15,190    236,356 
         598,310 
WHOLESALE - CONSUMER STAPLES - 1.1%          
Andersons, Inc. (The)   27,150    842,465 
Chefs' Warehouse, Inc. (The) (a)   5,800    168,026 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund         

 

COMMON STOCKS - 98.2% (Continued)  Shares   Fair Value 
WHOLESALE - CONSUMER STAPLES - 1.1% (Continued)          
United Natural Foods, Inc. (a)   14,890   $511,769 
         1,522,260 
WHOLESALE - DISCRETIONARY - 1.3%          
ePlus, Inc. (a)   4,560    189,423 
G-III Apparel Group Ltd. (a)   9,060    135,447 
KAR Auction Services, Inc. (a)   29,360    327,951 
PC Connection, Inc.   2,970    133,917 
ScanSource, Inc. (a)   23,700    625,917 
Veritiv Corp. (a)(b)   3,640    355,883 
         1,768,538 
           
TOTAL COMMON STOCKS (COST $126,170,776)       $134,921,931 

 

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

 

CORPORATE NOTES - 1.0%  Coupon   Maturity   Principal Amount   Fair Value 
COMMUNITY DEVELOPMENT - 1.0%                    
Calvert Social Investment Foundation, Inc. (e)   0.400%   12/15/22   $110,000   $109,063 
Calvert Social Investment Foundation, Inc. (e)   3.000%   06/15/23    330,000    324,492 
Calvert Social Investment Foundation, Inc. (e)   3.000%   12/15/23    330,000    320,547 
Calvert Social Investment Foundation, Inc. (e)   1.000%   06/14/24    100,000    92,926 
Calvert Social Investment Foundation, Inc. (e)   3.000%   06/17/24    60,000    57,639 
Calvert Social Investment Foundation, Inc. (e)   3.000%   12/15/24    90,000    85,575 
Calvert Social Investment Foundation, Inc. (e)   2.500%   06/13/25    150,000    139,402 
Calvert Social Investment Foundation, Inc. (e)   2.500%   12/15/25    280,000    257,314 
TOTAL CORPORATE NOTES (COST $1,450,000)                 $1,386,958 

 

MONEY MARKET FUNDS - 0.7%  Shares   Fair Value 
First American Government Obligations Fund - Class X, 2.77% (f)
(COST $928,394)
   928,394   $928,394 

 

 

Schedule of Portfolio Investments (Continued)  

Praxis Small Cap Index Fund        

 

INVESTMENT PURCHASED WITH THE CASH PROCEEDS FROM SECURITIES LENDING - 19.0%  Shares   Fair Value 
Mount Vernon Liquid Assets Portfolio, LLC, 3.16% (f)(g) (COST $26,176,923)   26,176,923   $26,176,923 
           
TOTAL INVESTMENTS - (COST $154,726,093) - 118.9%       $163,416,814 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (18.9%)        (25,977,352)
           
NET ASSETS - 100.0%       $137,439,462 

 

(a) Non-income producing security.
(b) All or a portion of the security is on loan. The total fair value of the securities on loan as of September 30, 2022 was $24,868,058.
(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 fair value of such securities was $2,608 as of September 30, 2022, representing 0.0% (c) of net assets.
(e)

Restricted and/or 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. 0.400%, 12/15/22  12/15/21  $110,000   $109,063    0.1%
Calvert Social Investment Foundation, Inc. 3.000%, 06/15/23  06/18/18   330,000    324,492    0.2%
Calvert Social Investment Foundation, Inc. 3.000%, 12/15/23  12/17/18   330,000    320,547    0.2%
Calvert Social Investment Foundation, Inc. 1.000%, 06/14/24  06/15/21   100,000    92,926    0.1%
Calvert Social Investment Foundation, Inc. 3.000%, 06/17/24  06/17/19   60,000    57,639    0.0%(c)
Calvert Social Investment Foundation, Inc. 3.000%, 12/15/24  12/12/19   90,000    85,575    0.1%
Calvert Social Investment Foundation, Inc. 2.500%, 06/13/25  06/12/20   150,000    139,402    0.1%
Calvert Social Investment Foundation, Inc. 2.500%, 12/15/25  12/15/20   280,000    257,314    0.2%
Lantheus Holdings, Inc., CVR  06/22/20   -    2,608    0.0%(c)
      $1,450,000   $1,389,566    1.0%

 

(f) The rate shown is the 7-day effective yield as of September 30, 2022.
(g) The security was purchased with cash collateral received 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, 2022 (Unaudited)         

 

AFFILIATED MUTUAL FUNDS - 100.0%  Shares   Fair Value 
DEBT FUND - 70.3%          
Praxis Impact Bond Fund - Class I   1,805,453   $16,375,461 
           
EQUITY FUND - 29.7%          
Praxis Growth Index Fund - Class I   69,825    2,112,207 
Praxis International Index Fund - Class I   212,063    2,093,059 
Praxis Small Cap Index Fund - Class I   64,741    583,321 
Praxis Value Index Fund - Class I   151,060    2,134,476 
         6,923,063 
           
TOTAL AFFILIATED MUTUAL FUNDS (COST $23,116,785)       $23,298,524 

 

MONEY MARKET FUNDS - 0.0% (a)  Shares   Fair Value 
First American Government Obligations Fund - Class X, 2.77% (b) (COST $6,116)   6,116   $6,116 
           
TOTAL INVESTMENTS - (COST $23,122,901) - 100.0%       $23,304,640 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (0.0%) (a)        (7,739)
           
NET ASSETS - 100.0%       $23,296,901 

 

(a) Percentage rounds to less than 0.1%.
(b) The rate shown is the 7-day effective yield as of September 30, 2022.

 

 

Schedule of Portfolio Investments  

Praxis Genesis Balanced Portfolio  

September 30, 2022 (Unaudited)        

 

AFFILIATED MUTUAL FUNDS - 100.0%  Shares   Fair Value 
DEBT FUND - 40.3%          
Praxis Impact Bond Fund - Class I   3,340,192   $30,295,543 
           
EQUITY FUND - 59.7%          
Praxis Growth Index Fund - Class I   391,190    11,833,490 
Praxis International Index Fund - Class I   1,372,259    13,544,191 
Praxis Small Cap Index Fund - Class I   837,933    7,549,775 
Praxis Value Index Fund - Class I   846,185    11,956,593 
         44,884,049 
           
TOTAL AFFILIATED MUTUAL FUNDS (COST $66,082,972)       $75,179,592 

 

MONEY MARKET FUNDS - 0.0% (a)  Shares   Fair Value 
First American Government Obligations Fund - Class X, 2.77% (b) (COST $1,252)   1,252   $1,252 
           
TOTAL INVESTMENTS - (COST $66,084,224) - 100.0%       $75,180,844 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (0.0%) (a)        (35,219)
           
NET ASSETS - 100.0%       $75,145,625 

 

(a) Percentage rounds to less than 0.1%.
(b) The rate shown is the 7-day effective yield as of September 30, 2022.

 

 

Schedule of Portfolio Investments  

Praxis Genesis Growth Portfolio  

September 30, 2022 (Unaudited)         

 

AFFILIATED MUTUAL FUNDS - 100.0%  Shares   Fair Value 
DEBT FUND - 20.2%          
Praxis Impact Bond Fund - Class I   1,785,444   $16,193,979 
           
EQUITY FUND - 79.8%          
Praxis Growth Index Fund - Class I   535,713    16,205,328 
Praxis International Index Fund - Class I   1,956,644    19,312,079 
Praxis Small Cap Index Fund - Class I   1,343,717    12,106,887 
Praxis Value Index Fund - Class I   1,158,947    16,375,923 
         64,000,217 
           
TOTAL AFFILIATED MUTUAL FUNDS (COST $67,323,567)       $80,194,196 

 

MONEY MARKET FUNDS - 0.0% (a)  Shares   Fair Value 
First American Government Obligations Fund - Class X, 2.77% (b) (COST $893)   893   $893 
           
TOTAL INVESTMENTS - (COST $67,324,460) - 100.0%       $80,195,089 
           
LIABILITIES IN EXCESS OF OTHER ASSETS - (0.0%) (a)        (37,949)
           
NET ASSETS - 100.0%       $80,157,140 

 

(a) Percentage rounds to less than 0.1%.
(b) The rate shown is the 7-day effective yield as of September 30, 2022.