0001580642-18-001147.txt : 20180228 0001580642-18-001147.hdr.sgml : 20180228 20180228170144 ACCESSION NUMBER: 0001580642-18-001147 CONFORMED SUBMISSION TYPE: N-Q PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20171231 FILED AS OF DATE: 20180228 DATE AS OF CHANGE: 20180228 EFFECTIVENESS DATE: 20180228 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TIMOTHY PLAN CENTRAL INDEX KEY: 0000916490 IRS NUMBER: 597016828 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: N-Q SEC ACT: 1940 Act SEC FILE NUMBER: 811-08228 FILM NUMBER: 18652283 BUSINESS ADDRESS: STREET 1: 1055 MAITLAND CENTER COMMONS CITY: MAITLAND STATE: FL ZIP: 32759 BUSINESS PHONE: 4076441986 MAIL ADDRESS: STREET 1: 1055 MAITLAND CENTER COMMONS CITY: MAITLAND STATE: FL ZIP: 32759 0000916490 S000004479 Timothy Small-Cap Value Fund C000012330 Timothy Small-Cap Value Fund Class A TPLNX C000012332 Timothy Small-Cap Value Fund Class C TSVCX C000126993 Timothy Small-Cap Value Fund Class I TPVIX 0000916490 S000004480 Timothy Large/Mid-Cap Value Fund C000012333 Timothy Large/Mid-Cap Value Fund Class A TLVAX C000012335 Timothy Large/Mid-Cap Value Fund Class C TLVCX C000126994 Timothy Large/Mid-Cap Value Fund Class I TMVIX 0000916490 S000004481 Timothy Fixed Income Fund C000012336 Timothy Fixed Income Fund Class A TFIAX C000012338 Timothy Fixed Income Fund Class C TFICX C000126995 Timothy Fixed Income Fund Class I TPFIX 0000916490 S000004482 Timothy Aggressive Growth Fund C000012339 Timothy Aggressive Growth Fund Class A TAAGX C000012341 Timothy Aggressive Growth Fund Class C TCAGX C000126996 Timothy Aggressive Growth Fund Class I TIAGX 0000916490 S000004483 Timothy Large/Mip-Cap Growth Fund C000012342 Timothy Large/Mip-Cap Growth Fund Class A TLGAX C000012344 Timothy Large/Mip-Cap Growth Fund Class C TLGCX C000126997 Timothy Large/Mip-Cap Growth Fund Class I TPLIX 0000916490 S000004484 Timothy Strategic Growth Fund C000012345 Timothy Strategic Growth Fund Class A TSGAX C000012347 Timothy Strategic Growth Fund Class C TSGCX 0000916490 S000004485 Timothy Conservative Growth Fund C000012348 Timothy Conservative Growth Fund Class A TCGAX C000012350 Timothy Conservative Growth Fund Class C TCVCX 0000916490 S000017790 Timothy Plan International Fund C000049121 Timothy Plan International Fund Class A TPIAX C000065170 TIMOTHY PLAN INTERNATIONAL FUND CLASS C TPICX C000127000 Timothy Plan International Fund Class I TPIIX 0000916490 S000017791 Timothy Plan High Yield Bond Fund C000049122 Timothy Plan High Yield Bond Fund Class A TPHAX C000065171 TIMOTHY PLAN HIGH YIELD Bond FUND CLASS C TPHCX C000127001 Timothy Plan High Yield Bond Fund Class I TPHIX 0000916490 S000026812 Timothy Plan Defensive Strategies Fund C000080683 Class A TPDAX C000080684 Class C TPDCX C000127002 Timothy Plan Defensive Strategies Fund Class I TPDIX 0000916490 S000033751 Timothy Israel Common Values Fund C000104306 Class A TPAIX C000104307 Class C TPCIX C000127003 Timothy Israel Common Values Fund Class I TICIX 0000916490 S000038851 Timothy Plan Emerging Markets Fund C000119586 Class A TPEMX C000119587 Class C TPECX C000127004 Timothy Plan Emerging Markets Fund Class I TIEMX 0000916490 S000042201 Timothy Plan Growth & Income Fund C000130991 Class A TGIAX C000130992 Class C TGCIX C000130993 Class I TIGIX N-Q 1 timothy_nq.htm N-Q Blu Giant, LLC

united states
securities and exchange commission
washington, d.c. 20549

form n-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number 811-08228

 

The Timothy Plan

(Exact name of registrant as specified in charter)

 

1055 Maitland Center Commons, Maitland, FL 32751

(Address of principal executive offices) (Zip code)

 

Gemini Fund Services, LLC., 80 Arkay Drive, Suite 110, Hauppauge, NY 11788

(Name and address of agent for service)

 

Registrant's telephone number, including area code: 1-800-846-7526

 

Date of fiscal year end: 9/30

 

Date of reporting period: 12/31/17

 

Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (§§239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after the close of the first and third fiscal quarters, pursuant to rule 30b1-5 under the Investment Company Act of 1940 (17 CFR 270.30b1-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles.

 

A registrant is required to disclose the information specified by Form N-Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget ("OMB") control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

Item 1. Schedule of Investments.

 

Schedule of Investments |Aggressive Growth Fund
As of December 31, 2017  (Unaudited)
 
Shares       Fair Value
         
    COMMON STOCK - 95.8 %  
    AEROSPACE/DEFENSE - 2.1 %    
 6,262   HEICO Corp.    $590,820
         
    AIRLINES - 1.9 %    
 4,079   Copa Holdings SA - Class A    546,831
         
    AUTO PARTS & EQUIPMENT - 2.3 %    
 6,480   Aptiv PLC    549,698
 2,160   Delphi Automotive PLC *    113,335
         663,033
    BANKS - 2.8 %  
 10,855   CenterState Banks, Inc.    279,299
 8,861   Western Alliance Bancorp *    501,710
       781,009
    BIOTECHNOLOGY - 5.6 %  
 4,019   Charles River Laboratories International, Inc. *    439,880
 7,987   Insmed, Inc. *    249,035
 3,977   Puma Biotechnology, Inc. *    393,126
 1,263   Spark Therapeutics, Inc. *    64,943
 2,852   Vertex Pharmaceuticals, Inc. *    427,401
       1,574,385
    CHEMICALS - 5.5 %  
 7,750   Ablemarle Corp.    991,148
 11,280   Chemours Co.    564,677
         1,555,825
    COMMERCIAL SERVICES - 5.4 %  
 4,581   Grand Canyon Education, Inc. *    410,137
 10,745   On Assignment, Inc. *    690,581
 2,985   WEX, Inc. *    421,572
       1,522,290
    COMPUTERS - 1.7 %  
 9,572   Mercury Systems, Inc. *    491,522
       
    DIVERSIFIED FINANCIAL SERVICES - 0.8 %  
 3,465   WageWorks, Inc. *    214,830
       
    ELECTRICAL COMPONENTS & EQUIPMENT - 2.8 %  
 6,020   Belden, Inc.    464,563
 1,866   Universal Display Corp.    322,165
         786,728
    ELECTRONICS - 12.1 %  
 6,700   Agilent Technologies, Inc.    448,699
 2,084   Coherent, Inc. *    588,146
 7,415   Fortive Corp.    536,475
 10,519   II-VI, Inc. *    493,867
 9,363   Kemet Corp. *    141,007
 7,685   Keysight Technologies, Inc. *    319,696
 875   Mettler-Toledo International, Inc. *    542,080
 8,795   Trimble, Inc. *    357,429
       3,427,399
    ENGINEERING & CONSTRUCTION - 2.9 %  
 10,250   MasTec, Inc. *    501,737
 4,216   TopBuild Corp. *    319,320
         821,057
    ENTERTAINMENT - 2.0 %  
 2,607   Vail Resorts, Inc.    553,909
         
    HAND/MACHINE TOOLS - 1.4 %  
 8,055   Kennametal, Inc.    389,943
         
    HEALTHCARE - PRODUCTS - 5.4 %  
 1,146   Align Technology, Inc. *    254,630
 3,881   Integra LifeSciences Holdings Corp. *    185,745
 1,350   Intuitive Surgical, Inc. *    492,669
 2,378   Teleflex, Inc.    591,694
       1,524,738

 

Schedule of Investments |Aggressive Growth Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    HEALTHCARE - SERVICES - 1.5 %  
 6,559   Envision Healthcare Corp. *    $226,679
 4,260   HealthSouth Corp. *    210,487
         437,166
    HOME BUILDERS - 2.4 %  
 12,649   PulteGroup, Inc.    420,579
 1,803   Thor Industries, Inc.    271,748
         692,327
    INSURANCE - 1.9 %  
 6,754   American Equity Investment Life Holding Co.    207,550
 7,645   Essent Group Ltd. *    331,946
       539,496
    INTERNET - 2.5 %  
 2,095   Proofpoint, Inc. *    186,057
 10,985   RingCentral, Inc. - Class A *    531,674
         717,731
    LODGING - 1.5 %  
 15,189   ILG, Inc.    432,583
       
    MACHINERY - CONSTRUCTION & MINING - 0.7 %  
 2,286   Oshkosh Corp.    207,775
         
    MACHINERY - DIVERSIFIED - 1.2 %  
 3,247   Kadant, Inc.    325,999
         
    OIL & GAS - 1.1 %  
 2,080   Concho Resources, Inc. *    312,458
       
    PACKAGING & CONTAINERS - 1.9 %  
 4,398   Packaging Corporation of America    530,179
         
    PHARMACEUTICALS - 6.2 %  
 2,495   Clovis Oncology, Inc. *    169,660
 13,992   Collegium Pharmaceutical, Inc. *    258,292
 12,202   Ignyta, Inc. *    325,793
 4,108   Neurocrine Biosciences, Inc. *    318,740
 2,502   PRA Health Sciences, Inc. *    227,857
 8,439   Sarepta Therapeutics, Inc. *    469,546
         1,769,888
    RETAIL - 6.9 %  
 2,274   Burlington Stores, Inc. *    279,770
 1,670   Children's Place, Inc.    242,734
 4,429   Dollar Tree, Inc. *    475,276
 12,348   Lumber Liquidators Holdings, Inc. *    387,604
 5,168   Red Robin Gourmet Burgers, Inc. *    291,475
 5,150   Texas Roadhouse, Inc.    271,302
         1,948,161
    SAVINGS & LOANS - 1.0 %  
 6,995   Pacific Premier Bancorp, Inc. *    
        279,800
    SEMICONDUCTORS - 6.6 %  
 27,225   Advanced Micro Devices, Inc. *    279,873
 3,955   Cavium, Inc.  *    331,548
 3,865   Lam Research Corp.    711,431
 2,777   MKS Instruments, Inc.    262,426
 2,559   Monolithic Power System, Inc.    287,529
       1,872,807
    SOFTWARE - 4.0 %  
 10,170   Callidus Software, Inc. *    291,370
 6,969   Fidelity National Information Services, Inc.    655,713
 3,132   InterXion Holding NV *    184,569
       1,131,652
    TELECOMMUNICATIONS - 1.7 %  
 4,200   LogMeIn, Inc.   480,900
         
    TOTAL COMMON STOCK (Cost $22,625,369)  27,123,241

 

Schedule of Investments |Aggressive Growth Fund
 As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    REITs - 0.8 %    
 10,425   Easterly Government Properties, Inc. (Cost $204,117)  $222,469
         
    MONEY MARKET FUND - 3.4 %  
 975,786   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A)  
    (Cost $975,786)  975,786
         
    TOTAL INVESTMENTS - 100.0 % (Cost $23,805,272)  $28,321,496
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.0 %  (8,168)
    NET ASSETS - 100.0 %  $28,313,328
         
* Non-income producing securities.    
REITs - Real Estate Investment Trust.    
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.

 

Schedule of Investments | International Fund
As of December 31, 2017 (Unaudited)
         
Shares       Fair Value
         
    COMMON STOCK - 98.6 %  
    AIRLINES - 1.2 %  
 58,100   Japan Airlines Co. Ltd. (ADR)  $1,138,179
         
    AUTO PARTS & EQUIPMENT - 9.7 %  
 41,400   Continental AG (ADR)   2,230,632
 63,500   Magna International, Inc. - Class A   3,598,545
 91,800   Valeo SA (ADR)   3,427,353
      9,256,530
    BANKS - 12.7 %  
 15,500   Banco Macro SA - Cl. B (ADR)   1,796,140
 40,339   DBS Group Holdings Ltd. (ADR)   3,011,710
 122,000   DNB ASA (ADR)   2,264,930
 63,000   KBC Group NV (ADR)   2,693,880
 349,000   Mizuho Financial Group, Inc. (ADR)   1,270,360
 44,100   Swedbank AB (ADR)   1,060,384
        12,097,404
    BUILDING MATERIALS - 3.0 %  
 175,000   Asahi Glass Co. Ltd. (ADR)   1,522,500
 52,600   Xinyi Glass Holdings Ltd. (ADR)   1,368,126
        2,890,626
    CHEMICALS - 3.9 %  
 22,700   Arkema SA (ADR)   2,769,400
 71,000   Brenntag AG (ADR)   894,600
        3,664,000
    COMMERCIAL SERVICES - 1.2 %  
 21,000   AerCap Holdings NV *   1,104,810
       
    DIVERSIFIED FINANCIAL SERVICES - 3.8 %  
 42,800   ORIX Corp. (ADR)   3,628,584
       
    ELECTRIC - 0.8 %  
 93,900   Power Assets Holdings Ltd. (ADR)   795,333
       
    ELECTRONICS - 2.4 %    
 19,600   Alps Electric Co. Ltd. (ADR)   1,124,354
 23,000   Orbotech Ltd. *   1,155,520
      2,279,874
    ENGINEERING & CONSTRUCTION - 3.4 %  
 127,000   Vinci SA (ADR)   3,238,500
       
    FOOD - 4.4 %  
 18,000   Kerry Group PLC (ADR)   2,088,000
 125,000   Marine Harvest ASA (ADR)   2,118,750
      4,206,750
    HAND/MACHINE TOOLS - 3.2 %  
 92,650   Techtronic Industries Co. (ADR)   3,022,243
       
    HEALTHCARE - PRODUCTS - 2.4 %  
 65,000   Smith & Nephew PLC (ADR)   2,275,650
       
    HEALTHCARE - SERVICES - 3.2 %  
 57,000   Fresenius Medical Care AG & Co. (ADR)   2,995,350
       
    HOME BUILDERS - 1.1 %  
 58,000   Sekisui House Ltd. (ADR)   1,049,800
         

 

Schedule of Investments | International Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    INSURANCE - 5.5 %  
 36,000   AIA Group Ltd. (ADR)    $1,232,460
 57,100   Ageas (ADR)   2,787,051
 57,200   Muenchener Rueckversicherungs AG (ADR)   1,237,808
      5,257,319
    INTERNET - 5.1 %    
 22,400   SINA Corp. *   2,246,944
 29,300   Tencent Holdings Ltd. (ADR)   1,521,256
 32,000   Yandex NV *   1,048,000
      4,816,200
    MACHINERY - CONSTRUCTION & MINING - 1.9 %    
 46,000   Atlas Copco AB (ADR)   1,768,240
         
    MACHINERY - DIVERSIFIED - 0.8 %    
 58,000   CNH Industrial NV   777,200
         
    MINING - 1.2 %    
 21,000   Rio Tinto PLC (ADR)   1,111,530
         
    MISCELLANEOUS MANUFACTURING - 1.5 %  
 35,538   FUJIFILM Holdings Corp. (ADR)   1,455,281
       
    OIL & GAS - 4.4 %  
 49,100   Eni SpA (ADR)   1,629,629
 120,000   Statoil ASA (ADR)   2,570,400
      4,200,029
    OIL & GAS SERVICES - 1.1 %  
 32,100   Technip SA *   1,005,051
         
    PHARMACEUTICALS - 3.5 %  
 47,000   Ipsen SA (ADR)   1,400,835
 12,500   Shire PLC (ADR)   1,939,000
      3,339,835
    RETAIL - 2.7 %  
 123,400   Arcos Dorados Holdings, Inc. *   1,277,190
 133,600   Kingfisher PLC (ADR)   1,258,512
        2,535,702
    SEMICONDUCTORS - 2.5 %    
 21,000   Infineon Technologies AG (ADR)   572,775
 15,000   NXP Semiconductors NV *   1,756,350
      2,329,125
    SOFTWARE - 4.0 %  
 31,000   Amadeus IT Holdings SA (ADR)   2,242,230
 44,940   Open Text Corp. 1,603,010
        3,845,240
    TELECOMMUNICATIONS - 4.5 %  
 18,600   Nice Ltd. (ADR)   1,709,526
 54,500   Nippon Telegraph & Telephone Corp. (ADR)   2,574,580
      4,284,106
    TRANSPORTATION - 2.3 %  
 6,500   Canadian Pacific Railway Ltd.   1,187,940
 61,000   East Japan Railway Co. (ADR)   992,470
        2,180,410
    WATER - 1.2 %  
 112,000   Cia de Saneamento Basico do Estado de Sao Paulo (ADR) 1,170,400
         
    TOTAL COMMON STOCK (Cost $77,012,945) 93,719,301

 

Schedule of Investments | International Fund
As of December 31, 2017 (Unaudited) (Continued)
 
Shares       Fair Value
         
    MONEY MARKET FUND - 1.3 %  
 1,246,904   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A)  $1,246,904
    (Cost $1,246,904)  
         
    TOTAL INVESTMENTS - 99.9 % (Cost $78,259,849)  $94,966,205
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.1 %  75,299
    NET ASSETS - 100.0 %  $95,041,504

 

*Non-income producing securities.    
ADR - American Depositary Receipt.    
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.  
         
Diversification of Assets    
Country       % of Net Assets
Japan       15.5%
France       11.4%
Germany       8.3%
Norway       7.3%
Britain       6.8%
Hong Kong       6.8%
Canada       6.7%
Belgium       5.8%
China       4.0%
Ireland       3.4%
Singapore       3.2%
Israel       3.0%
Sweden       3.0%
Spain       2.4%
United States       2.0%
Argentina       1.9%
Netherlands       1.8%
Italy       1.7%
Uruguay       1.3%
Brazil       1.2%
Russia       1.1%
Total       98.6%
Money Market Fund   1.3%
Other Assets Less Liabilities - Net   0.1%
Grand Total       100.0%

 

Schedule of Investments | Large/Mid Cap Growth Fund
As of December 31, 2017 (Unaudited)
         
Shares     Fair Value
         
    COMMON STOCK - 91.9 %    
    AEROSPACE/DEFENSE - 2.2 %    
 9,596   General Dynamics Corp.    $1,952,306
         
    AIRLINES - 0.8 %    
 5,590   Copa Holdings SA - Class A    749,395
         
    AUTO PARTS & EQUIPMENT - 1.1 %    
 7,615   Aptiv PLC    645,980
 6,743   Delphi Automotive PLC *    353,823
         999,803
    BANKS - 3.2 %    
 42,278   PacWest Bancorp    2,130,811
 13,298   Western Alliance Bancorp *    752,933
         2,883,744
    BIOTECHNOLOGY - 5.0 %    
 23,031   Celgene Corp. *    2,403,515
 5,921   Charles River Laboratories International, Inc. *    648,053
 4,939   Puma Biotechnology, Inc. *    488,220
 2,791   Sage Therapeutics, Inc. *    459,706
 3,542   Vertex Pharmaceuticals, Inc. *    530,804
         4,530,298
    CHEMICALS - 5.8 %    
 9,505   Albemarle Corp.    1,215,594
 6,404   Chemours Co.    320,584
 8,965   FMC Corp.    848,627
 11,161   LyondellBasell Industries NV    1,231,282
 3,959   Sherwin-Williams Co.    1,623,348
         5,239,435
    COMMERCIAL SERVICES - 1.2 %    
 2,273   MarketAxess Holdings, Inc.    458,578
 4,262   WEX, Inc. *    601,922
         1,060,500
    COMPUTERS - 3.1 %    
 20,717   Check Point Software Technologies Ltd. *    2,146,696
 13,534   Mercury Systems, Inc. *    694,971
         2,841,667
    DIVERSIFIED FINANCIAL SERVICES - 4.1 %    
 26,415   Intercontinental Exchange, Inc.    1,863,842
 50,725   Invesco Ltd.    1,853,492
         3,717,334
    ELECTRICAL COMPONENTS & EQUIPMENT - 0.5 %    
 5,472   Belden, Inc.    422,274
         
    ELECTRONICS - 11.5 %    
 13,302   Agilent Technologies, Inc. - Class A    890,835
 18,298   Amphenol Corp. - Cl. A    1,606,564
 3,210   Coherent, Inc. *    905,926
 11,383   Fortive Corp.    823,560
 17,459   Honeywell International, Inc.    2,677,512
 1,164   Mettler-Toledo International, Inc. *    721,121
 24,695   TE Connectivity Ltd.    2,347,013
 11,762   Trimble, Inc. *    478,008
         10,450,539
    ENGINEERING & CONSTRUCTION - 0.8 %    
 14,826   MasTec, Inc. *    725,733
         
    ENTERTAINMENT - 1.6 %    
 6,749   Vail Resorts, Inc.    1,433,960
         

 

Schedule of Investments | Large/Mid Cap Growth Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares     Fair Value
         
    FOOD - 2.6 %    
 23,083   McCormick & Co., Inc.    $2,352,389
         
    HEALTHCARE - PRODUCTS - 3.3 %    
 1,424   Align Technology, Inc. *    316,399
 4,680   Edwards Lifesciences Corp. *    527,483
 9,282   Henry Schein, Inc. *    648,626
 951   Intuitive Surgical, Inc. *    347,058
 4,647   Teleflex, Inc.    1,156,267
         2,995,833
    HEALTHCARE - SERVICES - 0.2 %    
 1,984   Centene Corp. *    200,146
         
    HOME BUILDERS - 1.6 %    
 26,917   PulteGroup, Inc.    894,990
 3,927   Thor Industries, Inc.    591,877
         1,486,867
    INSURANCE - 1.3 %    
 19,052   Arthur J. Gallagher & Co.    1,205,611
         
    INTERNET - 1.8 %    
 22,754   CDW Corp.    1,581,175
         
    MACHINERY - CONSRTUCTION & MINING - 4.0 %    
 5,772   BWX Technologies, Inc.    349,148
 15,131   Caterpillar, Inc.    2,384,343
 10,039   Oshkosh Corp.    912,445
         3,645,936
    MISCELLANEOUS MANUFACTURER - 2.6 %    
 14,049   Illinois Tool Works, Inc.    2,344,076
         
    OIL & GAS - 3.3 %    
 3,172   Concho Resources, Inc. *    476,498
 32,071   ConocoPhillips    1,760,377
 5,956   Diamondback Energy, Inc. *    751,945
         2,988,820
    PACKAGING & CONTAINERS - 0.7 %    
 5,602   Packaging Corporation of America    675,321
         
    PHARMACEUTICALS - 6.4 %    
 34,265   AbbVie, Inc.    3,313,768
 4,020   Clovis Oncology, Inc. *    273,360
 7,694   Neurocrine Biosciences, Inc. *    596,977
 21,888   Zoetis, Inc.    1,576,812
         5,760,917
    RETAIL - 8.1 %    
 6,770   Burlington Stores, Inc. *    832,913
 8,452   Costco Wholesale Corp.    1,573,086
 8,333   Dollar Tree, Inc. *    894,214
 38,298   Lowe's Cos, Inc.    3,559,416
 8,541   Texas Roadhouse, Inc.    449,940
         7,309,569
    SEMICONDUCTORS - 11.0 %    
 8,172   Broadcom Ltd.    2,099,387
 10,448   Cavium, Inc. *    875,856
 3,411   IPG Photonics Corp. *    730,397
 2,860   Lam Research Corp.    526,440
 44,641   Maxim Integrated Products, Inc.    2,333,831
 5,332   MKS Instruments, Inc.    503,874
 5,929   Monolithic Power Systems, Inc.    666,182
 11,415   NVIDIA Corp.    2,208,803
         9,944,770

 

Schedule of Investments | Large/Mid Cap Growth Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares     Fair Value
         
    SOFTWARE - 3.6 %    
 19,711   Callidus Software, Inc. *    $564,720
 10,619   Fidelity National Information Services, Inc.    999,142
 6,307   InterXion Holding NV *    371,673
 8,062   PTC, Inc. *    489,928
 3,107   ServiceNow, Inc. *    405,122
 2,122   Ultimate Software Group, Inc. *    463,084
         3,293,669
    TELECOMMUNICATIONS - 0.5 %    
 4,298   LogMeIn, Inc.    492,121
         
    TOTAL COMMON STOCK (Cost $67,123,167)    83,284,208
         
    MONEY MARKET FUND - 8.1 %    
 7,304,251   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A)  7,304,251
    (Cost $7,304,251)    
         
    TOTAL INVESTMENTS - 100.0 % (Cost $74,427,418)    $90,588,459
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.0 %  (28,953)
    NET ASSETS - 100.0 %  $90,559,506
         
*Non-income producing securities.    
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.  

 

Schedule of Investments | Small Cap Value Fund
As of December 31, 2017 (Unaudited)
 
Shares       Fair Value
         
    COMMON STOCK - 85.3 %    
    AEROSPACE/DEFENSE - 3.0 %    
 19,560   Esterline Technologies Corp. *    $1,461,132
 49,900   Kaman Corp.   2,936,116
        4,397,248
    APPAREL - 2.1 %    
 40,988   Oxford Industries, Inc.   3,081,888
         
    AUTO PARTS & EQUIPMENT - 1.8 %    
 67,061   Douglas Dynamics, Inc.   2,534,906
         
    BANKS - 16.1 %    
 68,063   Columbia Banking System, Inc.   2,956,657
 38,825   Glacier Bancorp, Inc.   1,529,317
 75,830   Great Western Bancorp, Inc.   3,018,034
 96,150   Hanmi Financial Corp.   2,918,152
 99,244   Heritage Commerce Corp.   1,520,418
 67,304   Legacy Texas Financial Group, Inc.   2,840,902
 66,900   Renasant Corp.   2,735,541
 73,100   ServisFirst Bancshares, Inc.   3,033,650
 32,925   South State Corp.   2,869,414
        23,422,085
    BUILDING MATERIALS - 10.6 %    
 68,186   Apogee Enterprises, Inc.   3,118,146
 111,596   Continental Building Products, Inc. *   3,141,427
 46,820   Gibraltar Industries, Inc. *   1,545,060
 96,644   Summit Materials, Inc. - Class A *   3,038,487
 16,176   Trex Co., Inc. *   1,753,317
 77,175   Universal Forest Products, Inc.   2,903,324
        15,499,761
    CHEMICALS - 2.1 %    
 43,831   Innospec, Inc.   3,094,469
         
    COMMERCIAL SERVICES - 1.1 %    
 62,785   Carriage Services, Inc.   1,614,202
         
    ELECTRICAL COMPONENTS & EQUIPMENT - 2.1 %    
 61,936   Novanta, Inc. *   3,096,800
         
    ELECTRONICS - 3.5 %    
 75,244   Methode Electronics, Inc.   3,017,284
 32,575   OSI Systems, Inc. *   2,097,178
        5,114,462
    ENGINEERING & CONSTRUCTION - 2.1 %    
 69,775   Comfort Systems USA, Inc.   3,045,679
         
    ENTERTAINMENT - 1.0 %    
 37,342   International Speedway Corp.   1,488,079
         
    FOOD - 5.3 %    
 197,875   Hostess Brands, Inc. *   2,930,529
 19,583   J & J Snack Foods Corp.   2,973,287
 104,100   Nomad Foods Ltd. *   1,760,331
        7,664,147
    HEALTHCARE - PRODUCTS - 1.5 %    
 42,356   CONMED Corp.   2,158,885
         

 

Schedule of Investments | Small Cap Value Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    INSURANCE - 5.0 %    
 64,486   Employers Holdings, Inc.    $2,863,178
 42,897   Kemper Corp.   2,955,603
 17,897   Safety Insurance Group, Inc.   1,438,919
        7,257,700
    MACHINERY - 3.6 %    
 13,612   Alamo Group, Inc.   1,536,386
 49,749   Albany International Corp. - Class A   3,057,076
 18,000   Columbus McKinnon Corp.   719,640
        5,313,102
    MISCELLANEOUS MANUFACTURER - 1.2 %    
 34,569   Lydall, Inc. *   1,754,377
         
    OFFICE FURNISHINGS - 2.1 %    
 59,395   Interface, Inc.   1,493,784
 67,949   Knoll, Inc.   1,565,545
        3,059,329
    OIL & GAS - 6.4 %    
 240,535   Callon Petroleum Co. *   2,922,500
 101,260   Resolute Energy Corp. *   3,186,652
 36,558   Rosehill Resources, Inc. *   287,346
 342,032   SRC Energy, Inc. *   2,917,533
        9,314,031
    OIL & GAS SERVICES - 1.0 %    
 75,550   ProPetro Holding Corp. *   1,523,088
         
    PACKAGING & CONTAINERS - 1.7 %    
 109,190   KapStone Paper and Packaging Corp.   2,477,521
         
    RETAIL - 3.9 %    
 25,610   Lithia Motors, Inc. - Class A   2,909,040
 103,650   Sonic Corp.   2,848,302
        5,757,342
    SAVINGS & LOANS - 3.0 %    
 67,800   Banc of California, Inc.   1,400,070
 81,323   Berkshire Hills Bancorp, Inc.   2,976,422
        4,376,492
    SEMICONDUCTORS - 1.8 %    
 110,750   Brooks Automation, Inc.   2,641,388
         
    SOFTWARE - 2.0 %    
 58,893   Omnicell, Inc. *   2,856,311
         
    WATER - 1.3 %    
 33,715   Connecticut Water Service, Inc.   1,935,578
         
    TOTAL COMMON STOCK (Cost $105,467,849)   124,478,870
         
    REITs - 11.2 %    
 144,319   Easterly Government Properties, Inc.   3,079,767
 42,650   Potlatch Corp.   2,128,235
 152,975   Ramco-Gershenson Properties Trust   2,253,322
 106,605   STAG Industrial, Inc.   2,913,515
 201,547   Summit Hotel Properties, Inc.   3,069,561
 81,408   Terreno Realty Corp.   2,854,164
    TOTAL REITs (Cost $14,142,595)   16,298,564
         

 

Schedule of Investments | Small Cap Value Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    MONEY MARKET FUND - 3.0 %    
4,440,488   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A)  $4,440,488
    (Cost $4,440,488)    
         
    TOTAL INVESTMENTS - 99.5 % (Cost $124,050,932)    $145,217,922
    OTHER ASSETS IN EXCESS OF LIABILITIES  - NET - 0.5 %   728,074
    NET ASSETS - 100.0 %    $145,945,996
         
* Non-income producing securities.    
REITs - Real Estate Investment Trust.    
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.  

 

Schedule of Investments | Large/Mid Cap Value Fund
As of December 31, 2017 (Unaudited)
         
Shares       Fair Value
         
    COMMON STOCK - 93.3 %    
    AEROSPACE/DEFENSE - 5.0 %    
 44,050   Curtiss-Wright Corp.    $5,367,493
 27,300   General Dynamics Corp.    5,554,185
         10,921,678
    APPAREL - 3.2 %    
 94,665   VF Corp.    7,005,210
         
    BANKS - 4.6 %    
 53,900   East West Bancorp, Inc.    3,278,737
 16,986   SVB Financial Group *    3,970,817
 48,315   Western Alliance Bancorp *    2,735,595
         9,985,149
    BEVERAGES - 2.3 %    
 52,460   Dr. Pepper Snapple Group, Inc.    5,091,768
         
    CHEMICALS - 3.3 %    
 17,350   Sherwin-Williams Co.    7,114,194
         
    COMPUTERS - 2.4 %    
 80,785   Amdocs Ltd.    5,289,802
         
    DIVERSIFIED FINANCIAL SERVICES - 2.8 %    
 84,870   Intercontinental Exchange, Inc.    5,988,427
         
    ELECTRIC - 3.6 %    
 48,050   DTE Energy Co.    5,259,553
 41,465   NorthWestern Corp.  2,475,461
         7,735,014
    ELECTRIC COMPONENTS & EQUIPMENT - 2.5 %    
 40,500   Hubbell, Inc.  5,481,270
         
    ELECTRONICS - 14.8 %    
 70,740   Amphenol Corp. - Cl. A    6,210,972
 96,800   Avnet, Inc.    3,835,216
 126,300   FLIR Systems, Inc.    5,888,106
 34,900   Honeywell International, Inc.    5,352,264
 75,900   PerkinElmer, Inc.    5,549,808
 57,100   TE Connectivity, Ltd.    5,426,784
         32,263,150
    FOOD - 6.5 %    
 140,500   Flowers Foods, Inc.    2,713,055
 49,990   JM Smucker Co.    6,210,758
 52,300   McCormick & Co., Inc.    5,329,893
         14,253,706
    HEALTHCARE - PRODUCTS - 6.7 %    
 79,800   DENTSPLY SIRONA, Inc.    5,253,234
 114,800   Patterson Companies, Inc.    4,147,724
 59,550   STERIS PLC    5,208,838
         14,609,796
    INSURANCE 4.5 %    
 86,500   Arthur J. Gallagher & Co.    5,473,720
 120,100   XL Group Ltd.    4,222,716
         9,696,436
    MEDIA - 2.2 %    
 6,682   Cable One, Inc.    4,699,785
         
    MISCELLANEOUS MANUFACTURING - 3.8 %    
 34,750   Eaton Corp. PLC    2,745,597
 78,500   Pentair PLC    5,543,670
         8,289,267
Schedule of Investments | Large/Mid Cap Value Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    OIL & NATURAL GAS - 5.0 %    
 50,585   EOG Resources, Inc.    $5,458,627
 42,100   Marathon Petroleum Corp.    2,777,758
 63,140   RSP Permian, Inc. *    2,568,535
         10,804,920
    OIL & GAS SERVICES - 1.0 %    
 46,305   Halliburton Co.    2,262,925
         
    PHARMACEUTICALS - 2.7 %    
 78,900   Express Scripts Holding Co. *    5,889,096
         
    RETAIL - 3.4 %    
 25,675   Advance Auto Parts, Inc.    2,559,541
 49,900   Genuine Parts Co.    4,740,999
         7,300,540
    SEMICONDUCTORS - 6.5 %    
 22,600   Broadcom Ltd.    5,805,940
 51,200   KLA - Tencor Corp.    5,379,584
 16,500   Lam Research Corp.    3,037,155
         14,222,679
    SOFTWARE - 1.2 %    
 29,650   Broadridge Financial Solutions, Inc.    2,685,697
         
    TEXTILES - 2.4 %    
 18,800   Mohawk Industries, Inc. *    5,186,920
         
    TRANSPORTATION - 2.9 %    
 47,900   Union Pacific Corp.    6,423,390
         
    TOTAL COMMON STOCK (Cost $156,430,465)    203,200,819
         
    REITs - 4.3 %    
 21,900   Public Storage    4,577,100
 27,800   Simon Property Group, Inc.    4,774,372
    TOTAL REITs (Cost $10,697,386)    9,351,472
         
    MONEY MARKET FUND - 2.4 %    
 5,254,684   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A) 5,254,684
    (Cost $5,254,684)    
         
    TOTAL INVESTMENTS - 100.0 % (Cost $172,382,535)    $217,806,975
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.0 %  40,353
    NET ASSETS - 100.0 %  $217,847,328
         
* Non-income producing securities.    
PLC - Public Limited Co.    
REITs - Real Estate Investment Trust.    
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.  

 

Schedule of Investments | Fixed Income Fund
As of December 31, 2017 (Unaudited)
             
Par Value       Coupon Rate (%) Maturity Fair Value
             
    BONDS & NOTES - 95.7 %      
    CORPORATE BONDS - 31.6 %        
 $1,000,000   ABB Finance USA, Inc.   2.875 5/8/2022  $1,017,350
 1,000,000   Abbvie, Inc.   3.200 5/14/2026  998,864
 1,000,000   American Electric Power   3.200 11/13/2027  994,981
 1,000,000   Boardwalk Pipelines LP   5.750 9/15/2019  1,048,612
 1,000,000   Broadridge Financial Solutions, Inc.   3.400 6/27/2026  993,632
 1,000,000   Buckeye Partners LP   3.950 12/1/2026  984,740
 1,000,000   Canadian Pacific RR Co.   2.900 2/1/2025  993,693
 1,000,000   CBOE Holdings, Inc.   3.650 1/12/2027  1,031,905
 1,000,000   Celgene Corp.   3.875 8/15/2025  1,036,744
 1,000,000   Columbia Pipeline Group, Inc.   4.500 6/1/2025  1,066,375
 1,000,000   CSX Corp.   3.250 6/1/2027  1,001,040
 1,000,000   Delphi Automotive Systems Corp.   4.150 3/15/2024  1,057,412
 325,000   Eaton Corp.   5.600 5/15/2018  329,289
 750,000   Eaton Corp.   2.750 11/2/2022  753,041
 1,000,000   Enable Midstream Partners LP   3.900 5/15/2024  1,007,472
 500,000   Energy Transfer Partners LP   6.700 7/1/2018  511,105
 750,000   Husky Energy, Inc.   3.950 4/15/2022  776,689
 922,360   John Sevier Combined Cycle Generation LLC 4.626 1/15/2042  1,019,240
 750,000   Johnson Controls, Inc.   5.000 3/30/2020  791,457
 1,000,000   Kennametal, Inc.   3.875 2/15/2022  1,007,651
 800,000   LYB International Finance BV   4.000 7/15/2023  838,468
 1,500,000   NiSource Finance Corp.   3.490 5/15/2027  1,529,735
 1,000,000   Phillips 66   3.605 2/15/2025  1,009,025
 1,000,000   Potash Corp.   4.000 12/15/2026  1,042,277
 128,000   Rio Tinto Finance USA PLC   2.875 8/21/2022  129,699
 1,000,000   Stanley Black & Decker, Inc.   2.900 11/1/2022  1,010,802
 700,000   Sunoco Logistics Partners LP   4.250 4/1/2024  714,573
 1,200,000   Ventas Realty LP/CAP Corp.   3.250 8/15/2022  1,215,524
 1,000,000   Zimmer Biomet Holdings, Inc.   2.700 4/1/2020  1,001,008
    TOTAL CORPORATE BONDS (Cost $26,601,785)      26,912,403
             
    U.S. GOVERNMENT & AGENCY OBLIGATIONS - 64.1 %      
    GOVERNMENT NOTES & BONDS - 36.3 %        
 5,000,000   United States Treasury Note   3.125 5/15/2021  5,174,511
 12,025,000   United States Treasury Note   2.125 6/30/2022  12,004,802
 6,750,000   United States Treasury Note   2.250 11/15/2024  6,716,382
 3,000,000   United States Treasury Note   2.000 8/15/2025  2,925,293
 1,000,000   United States Treasury Note   1.625 2/15/2026  944,551
 2,500,000   United States Treasury Note   4.500 2/15/2036  3,219,287
    TOTAL GOVERNMENT NOTES & BONDS (Cost $31,308,107)      30,984,826
           
    GOVERNMENT MORTGAGE-BACKED SECURITIES - 27.8 %      
 4   GNMA Pool 585180   5.000 2/15/2018  4
 69   GNMA Pool 592492   5.000 3/15/2018  70
 638,512   GNMA Pool 783060   4.000 8/15/2040  670,433
 310,508   GNMA Pool 783403   3.500 9/15/2041  321,420
 391,891   GNMA Pool G2 4520   5.000 8/20/2039  426,241
 484,217   GNMA Pool G2 4947   5.000 2/20/2041  526,591
 1,291,540   GNMA Pool G2 AL 9364   3.500 3/20/2045  1,339,657
 1,284,107   GNMA Pool G2 MA3376   3.500 1/20/2046  1,329,708
 2,313,687   GNMA Pool G2 MA3663   3.500 5/20/2046  2,395,318
 1,050,108   GNMA Pool G2 MA3735   3.000 6/20/2046  1,060,984
 842,039   GNMA Pool G2 MA3736   3.500 6/20/2046  871,619
 1,386,378   GNMA Pool G2 MA3803   3.500 7/20/2046  1,435,044
 1,359,358   GNMA Pool G2 MA4004   3.500 10/20/2046  1,407,075
             
             

 

Schedule of Investments | Fixed Income Fund
As of December 31, 2017 (Unaudited) (Continued)
             
Par Value       Coupon Rate (%) Maturity Fair Value
             
    GOVERNMENT MORTGAGE-BACKED SECURITIES - 27.8 % (Cont.)      
 $905,067   GNMA Pool G2 MA4509   3.000 6/20/2047  $914,442
 1,208,987   GNMA Pool G2 MA4652   3.500 8/20/2047  1,251,425
 1,850,893   GNMA Pool G2 MA4653   4.000 8/20/2047  1,939,197
 1,636,286   GNMA Pool G2 MA4719   3.500 9/20/2047  1,693,724
 1,637,043   GNMA Pool G2 MA4778   3.500 10/20/2047  1,694,507
 1,173,605   GNMA Pool G2 MA4779   4.000 10/20/2047  1,229,104
 1,559,438   GNMA Pool G2 MA4780   4.500 10/20/2047  1,649,703
 1,495,000   GNMA Pool G2 MA4901   4.000 12/20/2047  1,567,179
    TOTAL GOVERNMENT MORTGAGE-BACKED SECURITIES (Cost $23,945,015)    23,723,445
             
    TOTAL U.S. GOVERNMENT & AGENCY OBLIGATIONS (Cost $55,253,122)    54,708,271
             
    TOTAL BONDS AND NOTES (Cost $81,854,907)      81,620,674
             
Shares            
    MONEY MARKET FUND - 3.7 %      
 3,128,007   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A)    3,128,007
    (Cost $3,128,007)      
             
    TOTAL INVESTMENTS - 99.4 % (Cost $84,982,914)      $84,748,681
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.6 %      498,357
    NET ASSETS - 100.0 %      $85,247,038

 

GNMA - Government National Mortgage Association.        
LLC - Limited Liability Company.        
LP - Limited Partnership.        
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.

 

Schedule of Investments | High Yield Bond Fund
As of December 31, 2017 (Unaudited)
             
Par Value       Coupon Rate (%) Maturity Fair Value
             
    CORPORATE BONDS - 95.8 %        
 $1,250,000   AerCap Ireland Capital Ltd.   4.625 7/1/2022  $1,325,581
 1,000,000   Alliance Resource Finance Corp. (A)   7.500 5/1/2025  1,066,250
 500,000   Amsted Industries, Inc. (A)   5.000 3/15/2022  513,125
 500,000   Amsted Industries, Inc. (A)   5.375 9/15/2024  522,500
 500,000   Anixter, Inc.   5.625 5/1/2019  517,500
 1,000,000   Ashtead Capital, Inc. (A)   4.125 8/15/2025  1,011,250
 950,000   B&G Foods, Inc.   5.250 4/1/2025  968,668
 1,000,000   Berry Plastics Corp.   5.125 7/15/2023  1,043,750
 750,000   Bombardier, Inc. (A)   6.125 1/15/2023  738,750
 500,000   Braskem Finance, Ltd.   6.450 2/3/2024  562,505
 250,000   Calpine Corp.   5.750 1/15/2025  236,875
 500,000   Cascades, Inc. (A)   5.500 7/15/2022  516,250
 500,000   Cemex Finance LLC (A)   6.000 4/1/2024  527,500
 500,000   Centene Corp.   4.750 1/15/2025  510,000
 750,000   CommScope, Inc. (A)   5.000 6/15/2021  766,875
 600,000   Community Health Systems, Inc.   6.250 3/31/2023  543,000
 750,000   Covanta Holding Corp.   5.875 3/1/2024  763,125
 250,000   Crestwood Midstream Finance Corp.   5.750 4/1/2025  259,063
 500,000   CyrusOne Finance Corp. (A)   5.000 3/15/2024  520,000
 500,000   CyrusOne Finance Corp. (A)   5.000 3/15/2024  520,000
 1,000,000   Dana, Inc.   5.500 12/15/2024  1,061,250
 750,000   DaVita HealthCare Partners, Inc.   5.000 5/1/2025  751,650
 500,000   DCP Midstream, LLC (A) (B)   5.850 5/21/2043  467,500
 1,000,000   Delphi Jersey Holdings PLC (A)   5.000 10/1/2025  1,015,000
 500,000   Dollar Tree, Inc.   5.750 3/1/2023  524,688
 1,000,000   Eagle Materials, Inc.   4.500 8/1/2026  1,047,500
 500,000   Eldorado Gold Corp. (A)   6.125 12/15/2020  496,250
 1,000,000   Energy Transfer Equity LP   5.875 1/15/2024  1,055,000
 1,000,000   Equinix, Inc.   5.375 5/15/2027  1,072,500
 500,000   Ferrellgas LP   6.750 1/15/2022  465,000
 750,000   FMG Resources (A)   5.125 5/15/2024  762,188
 500,000   FTI Consulting, Inc.   6.000 11/15/2022  517,150
 750,000   Gartner, Inc. (A)   5.125 4/1/2025  785,625
 500,000   Genesis Energy LP   6.750 8/1/2022  521,250
 500,000   Geo Group, Inc.   5.125 4/1/2023  502,500
 500,000   Gibraltar Industries, Inc.   6.250 2/1/2021  509,000
 500,000   Global Partners LP/ Global Finance Corp.   6.250 7/15/2022  516,250
 1,000,000   Goodyear Tire & Rubber Co.   4.875 3/15/2027  1,026,250
 500,000   Group 1 Automotive, Inc.   5.000 6/1/2022  517,500
 750,000   HCA, Inc.   5.250 4/15/2025  795,000
 500,000   IHS Markit Ltd. (A)   4.750 2/15/2025  528,750
 100,000   Itron, Inc. (A)   5.000 1/15/2026  100,625
 500,000   Kaiser Aluminum Corp.   5.875 5/15/2024  532,500
 1,000,000   Koppers, Inc. (A)   6.000 2/15/2025  1,062,500
 500,000   Land O' Lakes, Inc. (A)   6.000 11/15/2022  560,000
 625,000   LKQ Corp.   4.750 5/15/2023  642,187
 1,000,000   Millicom International Cellular SA (A)   5.125 1/15/2028  1,005,000
 1,000,000   MPT Operating Partnership LP   5.250 8/1/2026  1,040,000
 750,000   Navient Corp.   4.875 6/17/2019  764,550
 500,000   New Gold, Inc. (A)   6.375 5/15/2025  531,250
 500,000   NGL Energy Partners LP   6.875 10/15/2021  512,500
 500,000   NGL Energy Partners LP   6.125 3/1/2025  490,000
 1,000,000   Nova Chemicals Corp. (A)   5.250 6/1/2027  1,000,000
 250,000   NRG Energy, Inc.   7.250 5/15/2026  273,435
 1,000,000   NuStar Logistics LP   5.625 4/28/2027  1,020,000
 500,000   NXP BV / NXP Funding, LLC (A)   4.625 6/1/2023  524,250
 850,000   Olin Corp.   5.125 9/15/2027  896,750
 500,000   Omega Healthcare Investors, Inc.   4.375 8/1/2023  507,721
 500,000   Oshkosh Corp.   5.375 3/1/2025  533,125

 

Schedule of Investments | High Yield Bond Fund
As of December 31, 2017 (Unaudited) (Continued)
             
Par Value       Coupon Rate (%) Maturity Fair Value
             
    CORPORATE BONDS - 95.8 % (Cont.)        
 $250,000   Parker Drilling Co.   7.500 8/1/2020  $228,750
 250,000   Parker Drilling Co.   6.750 7/15/2022  206,250
 500,000   Parsley Finance Corp. (A)   5.250 8/15/2025  503,750
 1,000,000   PBF Finance Corp.   7.250 6/15/2025  1,052,500
 500,000   QTS LP (A)   4.750 11/15/2025  507,500
 1,000,000   Reynolds Group Issuer, Inc. (A)   5.125 7/15/2023  1,036,250
 500,000   Rose Rock Midstream LP   5.625 7/15/2022  496,250
 500,000   RSP Permian, Inc.   5.250 1/15/2025  515,000
 750,000   Scotts Miracle-Gro Co.   5.250 12/15/2026  787,500
 1,000,000   Sealed Air Corp. (A)   5.250 4/1/2023  1,070,000
 500,000   SemGroup LP (A)   6.375 3/15/2025  495,000
 1,000,000   Standard Industries, Inc. (A)   5.000 2/15/2027  1,025,000
 500,000   Steel Dynamics, Inc.   5.250 4/15/2023  517,500
 1,000,000   Suburban Propane Partners LP   5.875 3/1/2027  982,500
 1,000,000   Summit Midstream Holdings LLC   5.750 4/15/2025  1,013,390
 100,000   Sunoco LP Finance Corp.   6.375 4/1/2023  105,625
 1,000,000   Tallgrass Energy Finance Corp. (A)   5.500 1/15/2028  1,013,450
 500,000   Targa Resources Partners LP   4.250 11/15/2023  496,250
 500,000   Targa Resources Partners LP   5.375 2/1/2027  515,000
 500,000   Teleflex, Inc.   4.875 6/1/2026  518,750
 500,000   Tempur Sealy International, Inc.   5.625 10/15/2023  522,500
 750,000   Tenet Healthcare Corp.   4.375 10/1/2021  751,875
 1,000,000   Tim Technologies, Inc. (A)   5.625 10/1/2025  1,027,500
 750,000   Toll Brothers Finance Corp.   4.875 11/15/2025  785,625
 500,000   TreeHouse Foods, Inc. (A)   6.000 2/15/2024  522,500
 750,000   TRI Pointe Group, Inc.   5.875 6/15/2024  804,375
 500,000   Tullow Oil PLC (A)   6.000 11/1/2020  506,900
 500,000   United Rentals North America, Inc.   4.625 7/15/2023  518,810
 500,000   United Rentals North America, Inc.   4.875 1/15/2028  503,750
 500,000   Valvoline, Inc.   5.500 7/15/2024  532,500
 500,000   Valvoline, Inc.   4.375 8/15/2025  505,625
 1,000,000   VeriSign, Inc.   4.625 5/1/2023  1,031,250
 250,000   Whiting Petroleum Corp. (A)   6.625 1/15/2026  255,312
 500,000   WPX Energy, Inc.   5.250 9/15/2024  500,775
 750,000   WR Grace & Co. (A)   5.125 10/1/2021  790,312
    TOTAL BONDS (Cost $61,766,490)        63,012,585
             
Shares            
    MONEY MARKET FUND - 2.8 %        
1,856,937   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (B)  
    (Cost $1,856,937)        1,856,937
             
    TOTAL INVESTMENTS - 98.6 % (Cost $63,623,427)      $64,869,522
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 1.4 %      922,923
    NET ASSETS - 100.0 %      $65,792,445
             
LP - Limited Partnership.        
(A) 144A Security - Security exempt from registration under Rule 144A of the Securities Act of 1933. The 144A securities represent 36.9% of total net assets. The securities may be resold in transactions exempt from registration typically only to qualified institutional buyers. Unless otherwise indicated, these securities are not considered to be illiquid.
(B) Variable rate security; the rate shown represents the yield at December 31, 2017.    

 

Schedule of Investments | Israel Common Values Fund
As of December 31, 2017 (Unaudited)
         
Shares       Fair Value
         
    COMMON STOCK - 96.6 %    
    AEROSPACE/DEFENSE - 3.4 %    
 12,501   Elbit Systems Ltd.    $1,666,258
         
    APPAREL - 1.4 %    
 19,500   Delta-Galil Industries Ltd.    675,716
         
    BANKS - 14.1 %    
 44,500   Bank Hapoalim BM (ADR)    1,646,496
 313,000   Bank Leumi Le-Israel BM    1,890,631
 44,300   First International Bank Of Israel Ltd.    920,798
 412,000   Israel Discount Bank Ltd. *      1,199,810
 69,000   Mizrahi Tefahot Bank Ltd. *    1,274,999
         6,932,734
    CHEMICALS - 1.0 %    
 116,000   Israel Chemicals Ltd.    468,640
         
    COMPUTERS - 5.2 %    
 12,100   Check Point Software Technologies Ltd. *    1,253,802
 42,266   Kornit Digital Ltd. *    682,596
 49,210   Matrix IT Ltd.    620,715
         2,557,113
    ELECTRIC - 2.2 %    
 16,700   Ormat Technologies, Inc.    1,068,155
         
    ELECTRONICS - 4.3 %    
 27,896   Ituran Location and Control Ltd.    954,043
 23,400   Orbotech Ltd.  *      1,175,616
         2,129,659
    ENERGY-ALTERNATE SOURCES - 0.0 %    
 6,360   Energix-Renewable Energies Ltd. *    6,243
         
    ENGINEERING & CONSTRUCTION - 0.9 %    
 190,000   Shikun & Binui Ltd. *    424,095
         
    FOOD - 10.0 %    
 21,000   Frutarom Industries Ltd.    1,974,998
 15,700   Rami Levi Chain Stores Hashikma Marketing 2006 Ltd.  834,825
 160,000   Shufersal Ltd.    1,064,624
 47,500   Strauss Group Ltd.    1,020,149
         4,894,596
    HOLDING COMPANIES - DIVERSIFIED - 2.5 %    
 24,000   Elco Ltd.    482,330
 159,400   Inrom Construction Industries Ltd.    757,135
         1,239,465
    HOME BUILDERS - 1.8 %    
 1,800   Bayside Land Corp.    899,054
         
    INSURANCE - 6.0 %    
 47,600   Clal Insurance Enterprises Holdings Ltd. *    858,998
 147,000   Harel Insurance Investments & Financial Services Ltd.  1,079,323
 880,000   Migdal Insurance & Financial Holding Ltd.    988,325
         2,926,646

 

Schedule of Investments | Israel Common Values Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    OIL & NATURAL GAS - 7.7 %    
 245,541   Delek Drilling LP    $682,521
 1,900   Israel Corp. Ltd. *    322,299
 2,961,664   Isramco Negev 2 LP    400,104
 28,700   Noble Energy, Inc.    836,318
 1,345,000   Oil Refineries Ltd.    644,673
 2,500   Paz Oil Co. Ltd.    433,511
 737,500   Ratio Oil Exploration 1992 LP *    479,891
         3,799,317
    PHARMACEUTICALS - 1.2 %    
 5,500   Taro Pharmaceutical Industries Ltd. *    575,905
         
    REAL ESTATE - 8.8 %    
 80,000   Alony Hetz Properties & Investments Ltd.    860,686
 136,000   Amot Investments Ltd.    816,787
 14,000   Azrieli Group Ltd.    783,547
 40,000   Gazit-Globe Ltd.    425,389
 332,522   Jerusalem Economy Ltd. *    920,083
 11,366   Melisron Ltd.    538,214
         4,344,706
    RETAIL - 3.0 %    
 63,000   Delek Automotive Systems Ltd. *    471,277
 32,300   Tadiran Holdings Ltd.    1,000,173
         1,471,450
    SEMICONDUCTORS - 4.9 %    
 9,500   Mellanox Technologies Ltd. *    614,650
 32,800   Nova Measuring Instruments Ltd. *    849,848
 1   Tower Semiconductor Ltd. *      21
 27,100   Tower Semiconductor Ltd. *      923,568
         2,388,087
    SOFTWARE - 5.6 %    
 17,000   CyberArk Software Ltd. *    703,630
 79,783   Magic Software Enterprises Ltd.    674,166
 14,455   Pointer Telocation Ltd. *    268,863
 22,500   Radware Ltd. *    436,500
 56,600   Sapiens International Corp. NV    652,032
         2,735,191
    TELECOMMUNICATIONS - 9.4 %    
 86,000   AudioCodes Ltd. *    632,960
 75,000   Cellcom Israel Ltd. *    766,500
 98,000   Ceragon Networks Ltd. *    194,040
 20,900   Nice Ltd. (ADR)    1,920,919
 73,600   Partner Communications Co. Ltd. *    460,258
 9,117   Silicom Ltd.    639,193
         4,613,870
    TEXTILES - 1.8 %    
 42,300   Fox Wizel Ltd.    898,722
         
    TRANSPORTATION - 1.4 %    
 1,490,000   Novolog Ltd.    702,156
         
    TOTAL COMMON STOCK (Cost $35,183,770)    47,417,778
         

 

Schedule of Investments | Israel Common Values Fund
 As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    MONEY MARKET FUND - 4.1 %    
 2,023,808   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A)  $2,023,808
    (Cost $2,023,808)    
         
    TOTAL INVESTMENTS - 100.7 % (Cost $37,207,578)    $49,441,586
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.7) %  (322,690)
    NET ASSETS - 100.0 %    $49,118,896
         
*Non-income producing securities.    
ADR American Depositary Receipt.    
LP - Limited Partnership.    
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.  
         
Diversification of Assets    
Country     % of Net Assets
Israel       92.7%
United States       3.9%
Total       96.6%
Money Market Fund   4.1%
Other Assets Less Liabilities - Net   (0.7)%
Grand Total       100.0%

 

Schedule of Investments | Defensive Strategies Fund
As of December 31, 2017 (Unaudited)
         
Shares       Fair Value
         
    COMMON STOCK - 22.5 %    
    AGRICULTURE - 0.3 %    
 559   Andersons, Inc.    $17,413
 1,967   Bunge Ltd.    131,946
         149,359
    CHEMICALS - 1.8 %    
 528   Agrium, Inc.    60,720
 3,500   CF Industries Holdings, Inc.    148,890
 274   FMC Corp.    25,937
 264   K+S AG    6,580
 12,182   Mosaic Co.    312,590
 13,605   Potash Corp. of Saskatchewan, Inc.    280,943
 2,969   Sociedad Quimica Y Minera de Chile, SA (ADR)    176,270
         1,011,930
    ENVIRONMENTAL CONTROL - 0.1 %    
 1,300   Kurita Water Industries Ltd.    42,237
         
    FOOD - 1.1 %    
 5,133   BRF SA (ADR) *    57,798
 403   Darling Ingredients, Inc. *    7,306
 1,040   Ingredion, Inc.    145,392
 1,900   Megmilk Snow Brand Co. Ltd.    56,249
 12,300   Nippon Suisan Kaisha Ltd.    64,312
 2,091   Pilgrim's Pride Corp. *    64,946
 1,420   Sanderson Farms, Inc.    197,068
         593,071
    HEALTHCARE - SERVICES - 0.8 %    
 45,400   Brookdale Senior Living, Inc. *    440,380
         
    IRON/STEEL - 1.9 %    
 26,806   AK Steel Holding Corp. *    151,722
 1,178   Allegheny Technologies, Inc. *    28,437
 1,052   ArcelorMittal (ADR) *    33,990
 7,145   Cleveland-Cliffs, Inc. *    51,515
 5,045   Commercial Metals Co.    107,559
 36,258   Gerdau SA (ADR)    134,880
 4,300   Hitachi Metals Ltd.    61,761
 762   POSCO (ADR) *    59,535
 3,654   Severstal PAO (GDR)    56,199
 1,975   Steel Dynamics, Inc.    85,182
 7,000   Tokyo Steel Manufacturing Co. Ltd.    62,885
 760   United States Steel Corp.    26,744
 15,556   Vale SA (ADR)    190,250
         1,050,659
    MACHINERY - DIVERSIFIED - 1.3 %    
 1,442   AGCO Corp.    103,002
 4,046   CNH Industrial NV    54,216
 2,144   Deere & Co.    335,557
 12,300   Kubota Corp.    241,250
         734,025
    METAL FABRICATE/HARDWARE - 0.0 %    
 507   Tenaris SA (ADR)    16,153
         
    MINING - 5.4 %    
 3,452   Agnico Eagle Mines Ltd.    159,413
 2,967   Alamos Gold, Inc.    19,315
 5,540   Anglo American PLC    116,123
 1,345   AngloGold Ashanti Ltd. (ADR)    13,706
 318   BHP Billiton Ltd. (ADR)    14,625
 234   BHP Billiton PLC (ADR)    9,430
 451   Cameco Corp. *    4,163
 3,247   Cia De Minas Buenaventura (ADR)    45,718
 817   Compass Minerals International, Inc.    59,028

 

Schedule of Investments | Defensive Strategies Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    MINING - 5.4 % (Continued)    
 3,000   Detour Gold Corp. *    $35,389
 298   First Quantum Minerals Ltd.    4,188
 1,932   Franco-Nevada Corp.    154,463
 24,174   Glencore PLC    127,535
 45,562   Gold Fields Ltd. (ADR)    195,917
 2,494   Goldcorp, Inc.    31,848
 37,129   Hecla Mining Co.    147,402
 202   Kaiser Aluminum Corp.    21,584
 1,139   Kinross Gold Corp. *      4,921
 47,800   Lundin Mining Corp.    318,934
 3,400   Mitsubishi Materials Corp.    121,030
 15,644   MMC Norilsk Nickel PJSC (ADR)    293,169
 10,533   Pan American Silver Corp.    163,894
 1,163   Randgold Resources Ltd. (ADR)    115,009
 5,274   Rio Tinto PLC (ADR)    279,153
 145   Royal Gold, Inc.    11,907
 2,824   Southern Copper Corp.    133,999
 900   Sumitomo Metal Mining Co. Ltd.    41,369
 14,900   Tahoe Resources, Inc.    71,708
 7,443   Teck Resources Ltd.    195,260
 15,894   Turquoise Hill Resources Ltd. *    54,516
 556   Wheaton Precious Metals Corp.    12,304
         2,977,020
    OIL & GAS - 8.0 %    
 268   Anadarko Petroleum Corp.    14,376
 4,506   Antero Resources Corp. *    85,614
 331   Apache Corp.    13,975
 7,000   ARC Resources Ltd    82,406
 2,514   Cabot Oil & Gas Corp.    71,900
 2,358   Callon Petroleum Co. *    28,650
 797   Canadian Natural Resources Ltd.    28,469
 1,437   Carrizo Oil & Gas, Inc. *    30,579
 13,966   Cenovus Energy, Inc.    127,962
 901   Chesapeake Energy Corp. *    3,568
 132   Cimarex Energy Co.    16,105
 268   ConocoPhillips    14,711
 2,245   Continental Resources, Inc. *    118,918
 18,100   Crescent Point Energy Corp.    138,392
 543   Devon Energy Corp.    22,480
 107   Diamondback Energy, Inc. *    13,509
 1,026   Ecopetrol SA (ADR)    15,010
 1,870   Encana Corp.    24,927
 236   Energen Corp. *    13,587
 9,700   Enerplus Corp.    95,301
 1,233   Ensco PLC - Cl. A    7,287
 239   EOG Resources, Inc.    25,790
 1,575   EQT Corp.    89,649
 1,280   Gulfport Energy Corp. *    16,333
 587   Helmerich & Payne, Inc.    37,944
 628   Hess Corp.    29,811
 1,700   Husky Energy, Inc. *    24,083
 17,000   Inpex Corp.    212,632
 6,881   Lukoil PJSC  (ADR)    393,731
 7,511   Marathon Oil Corp.    127,161
 2,350   Matador Resources Co. *    73,155
 484   Murphy Oil Corp.    15,028
 3,891   Newfield Exploration Co. *    122,683
 4,564   Noble Energy, Inc.    132,995
 876   Novatek OJSC (GDR)    105,295
 13,089   Oasis Petroleum, Inc. *    110,078
 435   Occidental Petroleum Corp.    32,042

 

Schedule of Investments | Defensive Strategies Fund
 As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    OIL & GAS - 8.0 % (Continued)    
 656   Parsley Energy, Inc. *    $19,313
 1,939   PDC Energy, Inc. *    99,936
 3,018   Petroleo Brasileiro SA (ADR) *    31,055
 12,300   Peyto Exploration & Development Corp.    147,547
 1,450   Pioneer Natural Resources Co.    250,632
 3,059   PrairieSky Royalty Ltd.    78,273
 2,659   QEP Resources, Inc. *    25,447
 3,069   Range Resources Corp.    52,357
 33,810   Rosneft Oil Company  (GDR) *    168,712
 3,678   Rowan Cos PLC *    57,597
 2,417   RSP Permian, Inc. *    98,324
 1,463   Sasol Ltd. (ADR)    50,049
 7,200   Seven Generations Energy Ltd. *    102,172
 1,829   Southwestern Energy Co.  *      10,206
 7,415   Statoil ASA  (ADR)    158,829
 4,800   Suncor Energy, Inc.    176,799
 4,900   Tourmaline Oil Corp. *    89,087
 5,810   Transocean Ltd. *    62,051
 2,400   Vermillion Energy, Inc.    87,499
 17,000   Whitecap Resources, Inc.    121,433
 1,925   WPX Energy, Inc. *    27,085
 504   YPF SA (ADR)    11,547
         4,442,086
    OIL & GAS SERVICES - 1.4 %    
 3,199   Baker Hughes, Inc.    101,216
 682   Core Laboratories NV    74,713
 1,006   Dril-Quip, Inc. *    47,986
 294   Halliburton Co.    14,368
 10,261   McDermott International, Inc. *    67,517
 409   National Oilwell Varco, Inc.    14,732
 3,327   Oceaneering International, Inc.    70,333
 1,315   Oil States International, Inc. *    37,215
 3,541   Schlumberger Ltd.    238,628
 733   TechnipFMC PLC (France) *    22,753
 3,683   TechnipFMC PLC *    115,315
         804,776
    WATER - 0.4 %    
 821   American Water Works Co.    75,113
 8,680   Cia de Saneamento Basico do Estado de Sao Paulo (ADR)  90,706
 2,493   Veolia Environnement SA    63,689
         229,508
         
    TOTAL COMMON STOCK (Cost $11,870,668)    12,491,204
         
    REITs - 22.0 %    
 2,800   Alexandria Real Estate Equities, Inc.    365,652
 7,500   Apartment Investment & Management Co. - Class A    327,825
 2,950   AvalonBay Communities, Inc.    526,310
 2,600   Boston Properties, Inc.    338,078
 9,400   Brandywine Realty Trust    170,986
 10,000   Brixmor Property Group, Inc.    186,600
 8,500   Columbia Property Trust, Inc.    195,075
 2,600   Crown Castle International Corp.    288,626
 8,500   CubeSmart    245,820
 7,400   DCT Industrial Trust, Inc.    434,972
 4,200   Douglas Emmett, Inc.    172,452
 2,800   EPR Properties    183,288
 1,500   Equinix, Inc.    679,830
 3,000   Equity Lifestyle Properties, Inc.    267,060
 7,700   Equity Residential    491,029
 1,154   Essex Property Trust, Inc.    278,541
 2,300   Federal Realty Investment Trust    305,463

 

Schedule of Investments | Defensive Strategies Fund
 As of December 31, 2017 (Unaudited) (Continued)
 
Shares           Fair Value
             
    REITs - 22.0 % (Continued)        
 17,000   HCP, Inc.        $443,360
 9,000   Hospitality Properties Trust        268,650
 5,300   Invitation Homes, Inc. *        124,921
 3,700   Kilroy Realty Corp.        276,205
 4,063   Macerich Co.        266,858
 1,308   Mid-America Apartment Communities, Inc.        131,532
 1,700   National Health Investors, Inc.        128,146
 4,700   National Retail Properties, Inc.        202,711
 8,994   Prologis, Inc.        580,203
 2,400   PS Business Parks, Inc.        300,216
 2,200   Public Storage        459,800
 2,233   Rayonier, Inc.        70,630
 5,300   Regency Centers Corp.        366,654
 12,852   RLJ Lodging Trust        282,358
 6,129   Simon Property Group, Inc.        1,052,594
 2,050   SL Green Realty Corp.        206,907
 15,800   Spirit Realty Capital, Inc.        135,564
 8,900   Store Capital Corp.        231,756
 11,400   UDR, Inc.        439,128
 4,900   Vornado Realty Trust        383,082
 7,000   Weingarten Realty Investors        230,090
 1,800   Welltower, Inc.        114,786
 1,726   Weyerhaeuser Co.        60,859
    TOTAL REITS (Cost $10,742,827)        12,214,617
             
Par Value     Coupon Rate %   Maturity  
    BONDS & NOTES - 32.4 %        
    COPORATE BONDS - 2.4 %        
 $400,000   Energy Transfer Partners LP 6.700   7/1/2018  408,883
 400,000   LYB International Finance BV 4.000   7/15/2023  419,234
 500,000   Welltower, Inc. 3.750   3/15/2023  518,713
    TOTAL CORPORATE BONDS (Cost $1,299,921)        1,346,830
             
    TREASURY INFLATION PROTECTED SECURITIES (TIPS) - 30.0 %      
 2,350,000   TIPS 0.125   4/15/2019  2,468,748
 1,600,000   TIPS 0.125   4/15/2021  1,658,858
 500,000   TIPS 0.125   4/15/2022  503,670
 1,320,000   TIPS 0.625   1/15/2024  1,420,276
 1,260,000   TIPS 2.375   1/15/2025  1,879,473
 1,550,000   TIPS 2.000   1/15/2026  2,167,429
 1,285,000   TIPS 2.375   1/15/2027  1,839,499
 950,000   TIPS 1.750   1/15/2028  1,257,955
 850,000   TIPS 2.500   1/15/2029  1,185,294
 1,535,000   TIPS 2.125   2/15/2041  2,267,844
    TOTAL TREASURY INFLATION PROTECTED SECURITIES (TIPS) (Cost $16,544,783)  16,649,046
             
    TOTAL BONDS AND NOTES (Cost $17,844,704)        17,995,876
             
Ounces            
    ALTERNATIVE INVESTMENTS - 17.6 %        
 6,744   Gold Bars *        8,795,911
 57,827   Silver Bars *        978,892
    TOTAL ALTERNATIVE INVESTMENTS (Cost $8,900,255)      9,774,803
             

 

Schedule of Investments | Defensive Strategies Fund
 As of December 31, 2017 (Unaudited) (Continued)
 
Shares       Fair Value
         
    MONEY MARKET FUND - 3.1 %    
 1,684,434   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A)  $1,684,434
    (Cost $1,684,434)    
         
    TOTAL INVESTMENTS - 97.6 % (Cost $51,042,888)    $54,160,934
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 2.4 %    1,332,142
    NET ASSETS - 100.0 %    $55,493,076
         
ADR - American Depositary Receipt.    
GDR - Global Depositary Receipt.    
REITs - Real Estate Investment Trust.    
* Non-income producing securities/investments.    
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.    

 

Schedule of Investments | Strategic Growth Fund
As of December 31, 2017 (Unaudited)
         
Shares       Fair Value
         
    MUTUAL FUNDS - 97.1 % (A)    
268,895   Timothy Plan Aggressive Growth Fund *    $2,245,274
419,543   Timothy Plan Defensive Strategies Fund      4,904,453
295,375   Timothy Plan Emerging Markets Fund    2,924,216
196,356   Timothy Plan Fixed Income Fund    1,993,010
341,269   Timothy Plan Growth & Income Fund    3,829,038
278,345   Timothy Plan High Yield Bond Fund    2,599,746
791,733   Timothy Plan International Fund    7,972,747
133,696   Timothy Plan Israel Common Values Fund    2,069,610
465,783   Timothy Plan Large/Mid Cap Growth Fund *    4,056,972
233,252   Timothy Plan Large/Mid Cap Value Fund    4,473,777
125,553   Timothy Plan Small Cap Value Fund    2,442,013
    TOTAL MUTUAL FUNDS (Cost $36,164,073)   39,510,856
         
    MONEY MARKET FUND - 3.0 %    
1,225,398   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (B) 1,225,398
     (Cost $1,225,398)    
         
    TOTAL INVESTMENTS - 100.1 % (Cost $37,389,471)  $40,736,254
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.1) % (31,886)
    NET ASSETS - 100.0 %  $40,704,368
         
* Non-income producing securities.    
(A) Affiliated Funds - Class A.    
(B) Variable rate security; the rate shown represents the yield at December 31, 2017.  

 

 

Schedule of Investments | Conservative Growth Fund
As of December 31, 2017 (Unaudited)
         
Shares       Fair Value
         
    MUTUAL FUNDS - 94.8 % (A)  
 265,231   Timothy Plan Aggressive Growth Fund *    $2,214,681
 520,982   Timothy Plan Defensive Strategies Fund   6,090,274
 257,238   Timothy Plan Emerging Markets Fund   2,546,660
 1,303,387   Timothy Plan Fixed Income Fund   13,229,378
 462,318   Timothy Plan Growth & Income Fund   5,187,211
 377,062   Timothy Plan High Yield Bond Fund   3,521,756
 577,521   Timothy Plan International Fund   5,815,637
 126,710   Timothy Plan Israel Common Values Fund   1,961,477
 473,188   Timothy Plan Large/Mid Cap Growth Fund *   4,121,464
 243,979   Timothy Plan Large/Mid Cap Value Fund   4,679,521
 141,710   Timothy Plan Small Cap Value Fund   2,756,262
    TOTAL MUTUAL FUNDS (Cost $48,836,916) 52,124,321
         
    MONEY MARKET FUND - 5.3 %  
2,919,620   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (B) 2,919,620
    (Cost $2,919,620)    
         
    TOTAL INVESTMENTS - 100.1 % (Cost $51,756,536)  $55,043,941
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.1) %  (37,256)
    NET ASSETS - 100.0 %  $55,006,685

 

* Non-income producing securities.    
(A) Affiliated Funds - Class A.    
(B) Variable rate security; the rate shown represents the yield at December 31, 2017.  

 

Schedule of Investments | Emerging Markets Fund
As of December 31, 2017 (Unaudited)
         
Shares       Fair Value
         
    COMMON STOCK - 70.2 %  
    AEROSPACE/DEFENSE - 3.0 %  
 26,974   Embraer SA (ADR)    $645,488
       
    AGRICULTURE - 0.4 %  
 9,259   Adecoagro SA  *      95,738
       
    APPAREL - 1.0 %    
 54,000   Yue Yuen Industrial Holdings Ltd.    212,068
         
    AUTO MANUFACTURERS - 1.9 %  
 12,870   Kia Motors Corp.    402,732
       
    AUTO PARTS & EQUIPMENT - 2.9 %    
 2,268   China Yuchai International Ltd.    54,432
 2,345   Hyundai Mobis Co. Ltd.    576,092
         630,524
    BANKS - 16.2 %  
 117,974   AkBank TAS *    306,479
 96,366   Banco del Bajio SA (A) *    176,720
 63,300   Bangkok Bank PCL (NVDR)    392,347
 53,733   Barclays Africa Group Ltd.    789,892
 18,990   Grupo Aval Acciones y Valores SA (ADR)    161,415
 105,712   Sberbank of Russia    413,125
 3,653   Sberbank of Russia (ADR) *    62,211
 56,600   Siam Commercial Bank Public Company Limited    260,509
 12,061   TBC Bank Group PLC    285,522
 72,989   Turkiye Garanti Bankasi AS    206,362
 268,431   Turkiye Vakiflar Bankasi Tao *    479,290
       3,533,872
    BUILDING MATERIALS - 3.2 %  
 88,979   Cemex SAB de CV (ADR) *    667,342
 85,571   Urbi Desarrollos Urbanos SAB de CV *    25,367
       692,709
    COMMERCIAL SERVICES - 7.6 %    
 50,800   Estacio Participacoes SA *    503,161
 108,526   ITE Group PLC    266,825
 55,800   Kroton Educacional SA    308,766
 55,500   Mills Estruturas e Servicos de Engenharia SA *    69,185
 5,064   S-1 Corp. *    506,140
       1,654,077
    COMPUTERS - 3.1 %    
 19,197   DataTec Ltd. *    88,588
 36,291   Infosys Ltd. (ADR)    588,640
       677,228
    DIVERSIFIED FINANCIAL SERVICES - 0.6 %  
 2,939   Shinhan Financial Group Co. Ltd. *    135,619
       
    ELECTRIC - 5.3 %  
 63,900   AES Tiete Energia SA    246,192
 8,600   Cia Paranaense de Energia *    55,586
 3,260,992   Enel Chile SA    386,082
 17,912   Reliance Infrastructure Ltd. (GDR)    465,712
       1,153,572
    FOOD - 4.6 %  
 3,855   Binggrae Co. Ltd. *    227,220
 460,000   First Pacific Co. Ltd.    311,872
 211,100   Marfrig Global Foods SA  *      465,526
       1,004,618
    HOLDING COMPANIES - 0.9 %    
 549,800   Jasmine Broadband Internet Infrastructure Fund    205,817

 

Schedule of Investments | Emerging Markets Fund
As of December 31, 2017 (Unaudited) (Continued)
         
Shares       Fair Value
         
    IRON/STEEL - 1.3 %  
 939   POSCO    $291,642
         
    MULTI-NATIONAL - 1.7 %  
 13,587   Banco Latinoamericano de Comercio Exterior SA    365,490
         
    OIL & GAS - 7.4 %  
 12,316   Lukoil PJSC (ADR)    710,017
 44,500   Petrobras Distribuidora SA *    227,725
 8,501   Petroleo Brasileiro SA (ADR) *    83,565
 25,621   YPF SA (ADR)    586,977
       1,608,284
    RETAIL - 3.1 %  
 1,828,000   Bosideng International Holdings Ltd.    159,011
 157,500   Lifestyle China Group Ltd. *    48,556
 186,500   Lifestyle International Holdings Ltd.    247,639
 51,000   Luk Fook Holdings International Ltd.    218,880
       674,086
    SEMICONDUCTORS - 0.9 %  
 79   Samsung Electronics Co., Ltd.    188,027
       
    TELECOMMUNICATIONS - 4.8 %  
 15,708   Empresa Nacional de Telecomunicaciones SA *    176,582
 1,404   Mobile TeleSystems PJSC (ADR)    14,307
 97,017   Mobile TeleSystems PJSC *    465,105
 1,824,975   XL Axiata TBK PT *    398,152
         1,054,146
    TEXTILES - 0.3 %  
 119,500   Weiqiao Textile Co. *    67,873
       
    TOTAL COMMON STOCK (Cost $14,008,968)  15,293,610
         
    PREFERRED STOCK - 10.2 %    
 13,530   Banco Bradesco SA *    137,907
 27,300   Cia Brasileira de Distribuicao    649,065
 34,881   Cia Paranaense de Energia *    262,099
 464,063   Grupo Aval Acciones y Valores SA    200,584
 3,737   Hyundai Motor Co.    327,081
 73,200   Petroleo Brasileiro SA *    355,176
 586,463   Surgutneftegas OJSC *    286,438
    TOTAL PREFERRED STOCK (Cost $1,905,160)  2,218,350
         
    REITs - 8.8 %  
 845,230   Emlak Konut Gayrimenkul Yatirim Ortakligi AS *    626,410
 313,678   Fibra Uno Administracion SA de CV    466,377
 310,193   Macquarie Mexico Real Estate Management SA de CV (A)  328,655
 326,511   PLA Administradora Industrial S de RL de CV    497,472
    TOTAL REITs (Cost $2,119,237)  1,918,914
         
    MONEY MARKET FUND - 10.5 %  
2,291,652   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (B)  
    (Cost $2,291,652)  2,291,652
         
    TOTAL INVESTMENTS - 99.7 % (Cost $20,325,017)  $21,722,526
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.3 %  73,169
    NET ASSETS - 100.0 %  $21,795,695

 

 

Schedule of Investments | Emerging Markets Fund
As of December 31, 2017 (Unaudited) (Continued)
         
* Non-income producing securities.    
ADR - American Depositary Receipt.    
GDR - Global Depositary Receipt.    
NVDR - Non-Voting Depositary Receipt.    
REITs - Real Estate Investment Trust.    
(A) 144A Security - Security exempt from registration under Rule 144A of the Securities Act of 1933. The 144A securities represent 2.3% of total net assets. The securities may be resold in transactions exempt from registration typically only to qualified institutional buyers. Unless otherwise indicated, these securities are not considered to be illiquid.
(B) Variable rate security; the rate shown represents the yield at December 31, 2017.  
         
Diversification of Assets    
Country     % of Net Assets
Brazil       18.4%
South Korea       12.2%
Mexico       9.9%
Russia       9.0%
Turkey       7.4%
Hong Kong       5.5%
India       4.9%
South Africa       4.0%
Thailand       3.9%
Argentina       3.1%
Chile       2.6%
Indonesia       1.8%
Panama       1.7%
Colombia       1.7%
Georgia       1.3%
Britain       1.2%
China       0.3%
Singapore       0.3%
Total       89.2%
Money Market Fund   10.5%
Other Assets in Excess of Liabilities - Net   0.3%
Grand Total       100.0%

 

Schedule of Investments | Growth & Income Fund
As of December 31, 2017 (Unaudited)
               
Shares             Fair Value
               
    COMMON STOCK - 40.3 %          
    AIRLINES - 0.5 %          
 3,075   SkyWest, Inc.          $163,283
               
    APPAREL - 0.5 %          
 2,210   Deckers Outdoor Corp. *          177,353
               
    AUTO PARTS & EQUIPMENT - 3.5 %          
 3,260   Allison Transmission Holdings, Inc.          140,408
 7,980   American Axle & Manufacturing Holdings, Inc. *        135,899
 1,470   Aptiv PLC          124,700
 2,730   BorgWarner, Inc.          139,476
 4,635   Dana, Inc.          148,366
 490   Delphi Automotive PLC *          25,710
 820   Lear Corp.          144,861
 5,435   Meritor, Inc. *          127,505
 2,545   Tenneco, Inc.          148,984
 1,135   Visteon Corp. *          142,034
               1,277,943
    BIOTECHNOLOGY - 0.5 %          
 5,375   Exelixis, Inc. *          163,400
               
    BUILDING MATERIALS - 1.7 %          
 3,910   Boise Cascade Co.          156,009
 8,195   Builders FirstSource, Inc. *          178,569
 5,345   Louisiana-Pacific Corp. *          140,360
 4,000   Norbord, Inc.          135,240
               610,178
    CHEMICALS - 1.2 %          
 5,940   Ferro Corp. *          140,125
 4,515   Huntsman Corp.          150,304
 2,905   Kraton Corp. *          139,934
               430,363
    COMMERCIAL SERVICES - 1.7 %          
 2,740   AerCap Holdings NV *          144,151
 2,370   On Assignment, Inc. *          152,320
 970   United Rentals, Inc. *          166,753
 7,460   Western Union Co.          141,815
               605,039
    COMPUTERS - 1.6 %          
 1,545   DXC Technology Co.          146,621
 3,850   Seagate Technology PLC          161,084
 6,110   Syntel, Inc. *          140,469
 1,660   Western Digital Corp.          132,020
               580,194
    DIVERSIFIED FINANCIAL SERVICES - 3.0 %          
 9,370   BGC Partners, Inc.          141,581
 2,980   Encore Capital Group, Inc. *          125,458
 4,625   Federated Investors, Inc.          166,870
 3,495   Houlihan Lokey, Inc.          158,778
 3,735   Legg Mason, Inc.          156,795
 3,415   Moelis & Co.          165,628
 8,600   Santander Consumer USA Holdings, Inc.          160,132
               1,075,242
    ELECTRIC - 1.4 %          
 2,080   Entergy Corp.          169,291
 6,560   NRG Energy, Inc.          186,829
 3,865   PNM Resources, Inc.          156,339
               512,459

 

Schedule of Investments | Growth & Income Fund
As of December 31, 2017 (Unaudited) (Continued)
               
Shares             Fair Value
               
    ELECTRICAL COMPONENTS & EQUIPMENT - 0.8 %        
 2,895   Generac Holdings, Inc. *          $143,360
 4,625   SPX Corp. *          145,179
               288,539
    ELECTRONICS - 1.5 %          
 7,840   Flex Ltd. *          141,042
 5,165   Jabil, Inc.          135,581
 1,535   TE Connectivity Ltd.          145,886
 6,755   Vishay Intertechnology, Inc.          140,166
               562,675
    ENERGY - ALTERNATE SOURCES - 0.4 %          
 2,345   First Solar, Inc. *          158,334
               
    FOOD - 0.8 %          
 4,690   Pilgrim's Pride Corp. *          145,671
 980   Sanderson Farms, Inc.          136,004
               281,675
    HAND/MACHINE TOOLS - 0.4 %          
 3,150   Kennametal, Inc.          152,492
               
    HEALTHCARE - PRODUCTS - 0.4 %          
 1,790   LivaNova PLC *          143,057
               
    HEALTHCARE - SERVICES - 1.3 %          
 1,720   Magellan Health, Inc. *          166,066
 4,425   Tivity Health, Inc. *          161,734
 705   WellCare Health Plans, Inc. *          141,783
               469,583
    HOME BUILDERS - 2.6 %          
 2,195   LGI Homes, Inc. *          164,691
 4,768   MDC Holdings, Inc.          152,004
 1,115   Thor Industries, Inc.          168,053
 3,150   Toll Brothers, Inc.          151,263
 8,165   TRI Pointe Group, Inc. *          146,317
 3,020   Winnebago Industries, Inc.          167,912
               950,240
    HOUSEHOLD PRODUCTS/WARES - 0.8 %          
 11,120   ACCO Brands Corp. *          135,664
 2,255   SodaStream International Ltd. *          158,617
               294,281
    INSURANCE - 2.4 %          
 4,845   American Equity Investment Life Holding Co.          148,887
 6,005   CNO Financial Group, Inc.          148,263
 10,720   MGIC Investment Corp. *          151,259
 7,135   Radian Group, Inc.          147,052
 945   Reinsurance Group of America, Inc.          147,354
 2,710   Unum Group          148,752
               891,567
    IRON/STEEL - 1.4 %          
 2,925   Carpenter Technology Corp.          149,146
 23,125   Cleveland-Cliffs, Inc. *          166,731
 5,305   United States Steel Corp.          186,683
               502,560
    MACHINERY - CONSTRUCTION & MINING - 0.8 %        
 1,030   Caterpillar, Inc.          162,307
 1,635   Oshkosh Corp.          148,605
               310,912
    MINING - 0.9 %          
 9,825   Freeport-McMoRan, Inc. *          186,282
 17,975   Hudbay Minerals, Inc.          158,180
               344,462

 

Schedule of Investments | Growth & Income Fund
As of December 31, 2017 (Unaudited) (Continued)
               
Shares             Fair Value
               
    MISCELLANEOUS MANUFACTURER - 0.9 %          
 4,445   Trinity Industries, Inc.          $166,510
 2,005   Trinseo SA          145,563
               312,073
    OFFICE FURNISHINGS - 0.4 %          
 6,265   Interface, Inc.          157,565
               
    OIL & GAS - 2.1 %          
 12,750   Cenovus Energy, Inc.          116,408
 8,550   Diamond Offshores Drilling, Inc. *          158,945
 3,375   HollyFrontier Corp.          172,867
 2,265   Marathon Petroleum Corp.          149,445
 1,745   Valero Energy Corp.          160,383
               758,048
    OIL & GAS SERVICES - 0.3 %          
 19,155   McDermott International, Inc. *          126,040
               
    PACKAGING & CONTAINERS - 0.4 %          
 5,990   Owens-Illinois, Inc. *          132,798
               
    PHARMACEUTICALS - 0.5 %          
 2,360   Express Scripts Holding Co. *          176,150
               
    RETAIL - 2.2 %          
 2,750   Big Lots, Inc.          154,412
 1,290   Children's Place, Inc.          187,501
 1,805   Group 1 Automotive, Inc.          128,101
 7,845   Michaels Companies, Inc. *          189,771
 2,835   Rush Enterprises, Inc. *          144,046
               803,831
    SEMICONDUCTORS - 2.6 %          
 4,390   Entegris, Inc.          133,675
 1,330   KLA-Tencor Corp.          139,743
 685   Lam Research Corp.          126,088
 3,250   Micron Technology, Inc. *          133,640
 1,340   MKS Instruments, Inc.          126,630
 3,285   Teradyne, Inc.          137,543
 4,440   Tower Semiconductor Ltd. *          151,315
               948,634
    TRANSPORTATION - 0.4 %          
 2,550   Atlas Air Worldwide Holdings, Inc. *          149,557
               
    TRUCKING & LEASING - 0.4 %          
 2,840   Greenbrier Companies, Inc.          151,372
               
    TOTAL COMMON STOCK (Cost $13,027,637)          14,661,899
               
    REITs - 1.2 %          
 5,720   CoreCivic, Inc.          128,700
 8,150   New Residential Investment Corp.          145,722
 6,730   Xenia Hotels & Resorts, Inc.          145,301
    TOTAL REITs (Cost $423,615)          419,723
               
Par Value       Coupon Rate (%)   Maturity  
               
    BONDS & NOTES - 55.3 %          
    CORPORATE BONDS - 0.7 %          
 $250,000   ConocoPhillips Co. (Cost $254,446)    3.350   11/15/2024  257,768
               

 

Schedule of Investments | Growth & Income Fund
As of December 31, 2017 (Unaudited) (Continued)
               
Par Value       Coupon Rate (%)   Maturity Fair Value
               
    GOVERNMENT NOTES, BONDS & AGENCIES - 46.7 %        
 $314,815   Federal Home Loan Banks    3.000   4/18/2031  $310,830
 3,000,000   United States Treasury Note    1.000   3/15/2018  2,997,953
 2,000,000   United States Treasury Note    1.250   10/31/2018  1,992,187
 3,000,000   United States Treasury Note    1.580   1/31/2019  3,005,123
 1,500,000   United States Treasury Note    1.250   4/30/2019  1,488,340
 1,500,000   United States Treasury Note    1.625   8/15/2022  1,465,166
 3,000,000   United States Treasury Note    1.750   5/15/2023  2,926,758
 1,000,000   United States Treasury Note    3.125   11/15/2041  1,075,312
 1,000,000   United States Treasury Note    3.125   2/15/2042  1,075,254
 750,000   United States Treasury Note    2.250   8/15/2046  676,582
    TOTAL GOVERNMENT NOTES, BONDS & AGENCIES (Cost $17,015,664)   17,013,505
               
    TREASURY INFLATION PROTECTED SECURITIES (TIPS) - 7.9 %      
2,000,000   United States Treasury Note TIPS (Cost $2,857,224)  2.375   1/15/2027 2,863,033
               
    TOTAL BONDS & NOTES (Cost $20,127,334)         20,134,306
Shares              
    MONEY MARKET FUND - 3.0 %          
1,093,153   Fidelity Institutional Money Market Funds - Government Portfolio, 1.14% (A) 1,093,153
    (Cost $1,093,153)          
               
    TOTAL INVESTMENTS - 99.8 % (Cost $34,671,739)        $36,309,081
    OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.2 %      83,104
    NET ASSETS - 100.0 %          $36,392,185
               
PLC - Public Limited Company.          
REITs - Real Estate Investment Trust.          
* Non-income producing securities.          
(A) Variable rate security; the rate shown represents the yield at December 31, 2017.    

 

SCHEDULE OF INVESTMENTS I The Timothy Plan
December 31, 2017 (Unaudited)
 
         
Fair value is defined as the price that a Fund would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market of the investment. GAAP established a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes.
 
Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk (the risk inherent in a particular valuation technique used to measure fair value including such a pricing model and/or the risk inherent in the inputs to the valuation technique). Inputs may be observable or unobservable.  Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability developed based on the best information available in the circumstances.
 
VALUATION OF FUND OF FUNDS
A Fund may invest in portfolios of open-end or closed-end investment companies (the “Underlying Funds”).  The Underlying Funds value securities in their portfolios for which market quotations are readily available at their market values (generally the last reported sale price) and all other securities and assets at their fair value based upon methods established by the board of directors of the Underlying Funds. Open-ended funds are valued at their respective net asset values as reported by such investment companies. The shares of many closed-end investment companies, after their initial public offering, frequently trade at a price per share, which is different than the net asset value per share. The difference represents a market premium or market discount of such shares. There can be no assurances that the market discount or market premium on shares of any closed-end investment company purchased by the Fund will not change.
The Trust utilizes various methods to measure the fair value of all of its investments on a recurring basis.  GAAP establishes a hierarchy that prioritizes inputs to valuation methods. The three levels of input are:
 

•Level 1 – Unadjusted quoted prices in active markets for identical assets and liabilities that the Fund has the ability to access.
•Level 2 – Observable inputs other than quoted prices included in Level 1 that are observable for the asset or liability, either directly or indirectly. These inputs may include quoted prices for the identical instrument in an inactive market, prices for similar instruments, interest rates, prepayment speeds, credit risk, yield curves, default rates and similar data.

•Level 3 – Unobservable inputs for the asset or liability, to the extent relevant observable inputs are not available, representing the Fund’s own assumptions about the assumptions a market participant would use in valuing the asset or liability, and would be based on the best information available.

 

The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the level in the fair value hierarchy within which the fair value measurement falls in its entirety is determined based on the lowest level input that is significant to the fair value measurement in its entirety.

 

Each Fund generally determines the total value of each class of its shares by using market prices for the securities comprising its portfolio. Equity securities, including common stock, ADRs, REITs, MLPs, ETFs and warrants are generally valued by using market quotations, but may be valued on the basis of prices furnished by a pricing service when the Advisor or Sub-Advisor believes such prices more accurately reflect the fair value of such securities. Securities that are traded on any stock exchange are generally valued by the pricing service at the last quoted sale price. Lacking a last sale price, an exchange traded security is generally valued by the pricing service at its last bid price. Securities traded in the NASDAQ over-the-counter market are generally valued by the pricing service at the NASDAQ Official Closing Price. When using the market quotations or close prices provided by the pricing service and when the market is considered active, the security will be classified as a Level 1 security. When market quotations are not readily available, when the Advisor or Sub-Advisor determines that the market quotation or the price provided by the pricing service does not accurately reflect the current fair value, or when restricted or illiquid securities are being valued, such securities are valued as determined in good faith by the Advisor or Sub-Advisor, in conformity with guidelines adopted by and subject to review by the Board. These securities will generally be categorized as Level 3 securities.

         
Commodities (such as physical metal) are valued at the spot price at 4:00 p.m. E.S.T., as provided by an independent pricing source.
         
Investments in mutual funds, including money market mutual funds, are generally priced at the ending NAV provided by the service agent of the funds. These securities will be categorized as Level 1 securities.

 

SCHEDULE OF INVESTMENTS I The Timothy Plan
December 31, 2017 (Unaudited) (Continued)
 
         
Fixed income securities such as corporate bonds, restricted corporate bonds, asset-backed securities, mortgage-backed securities, U.S. government securities, U.S. government agency securities and treasury inflation protected securities, when valued using market quotations in an active market, will be categorized as Level 1 securities. However, they may be valued on the basis of prices furnished by a pricing service when the Advisor or Sub-Advisor believes such prices more accurately reflect the fair value of such securities. A pricing service utilizes electronic data processing techniques based on yield spreads relating to securities with similar characteristics to determine prices for normal institutional-size trading units of debt securities without regard to sale or bid prices. These securities will generally be categorized as Level 2 securities. If the Advisor or Sub-Advisor decides that a price provided by the pricing service does not accurately reflect the fair value of the securities, when prices are not readily available from a pricing service, or when restricted or illiquid securities are being valued, securities are valued at fair value as determined in good faith by the Advisor or Sub-Advisor, in conformity with guidelines adopted by and subject to review of the Board. These securities will be categorized as Level 3 securities.
 

Short-term investments in fixed income securities (those with maturities of less than 60 days when acquired, or which subsequently are within 60 days of maturity) may be valued by using the amortized cost method of valuation, which the Board has determined will represent fair value. These securities will be classified as Level 2 securities.


The Board has delegated to the Advisor and/or Sub-Advisors responsibility for determining the value of Fund portfolio securities under certain circumstances. Under such circumstances, the Advisor or Sub-Advisor will use its best efforts to arrive at the fair value of a security held by the Fund under all reasonably ascertainable facts and circumstances. The Advisor must prepare a report for the Board not less than quarterly containing a complete listing of any securities for which fair value pricing was employed and detailing the specific reasons for such fair value pricing. The Board has adopted written policies and procedures to guide the Advisor and Sub-Advisors with respect to the circumstances under which, and the methods to be used, in fair valuing securities.


The following is a summary of the inputs used to value each Fund’s investments as of December 31, 2017:

Aggressive Growth Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $27,123,241  $              -     $              -     $27,123,241
REITS  222,469  -     -     222,469
Money Market Fund  975,786  -     -     975,786
Total  $28,321,496  $              -     $              -     $28,321,496
         
International Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $93,719,301  $              -     $              -     $93,719,301
Money Market Fund  1,246,904  -     -     1,246,904
Total  $94,966,205  $              -     $              -     $94,966,205
         
Large/Mid Cap Growth Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $83,284,208  $              -     $              -     $83,284,208
Money Market Fund  7,304,251  -     -     7,304,251
Total  $90,588,459  $              -     $              -     $90,588,459
         
Small Cap Value Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $124,478,870  $              -     $              -     $124,478,870
REITS  16,298,564  -     -     16,298,564
Money Market Fund  4,440,488  -     -     4,440,488
Total  $145,217,922  $              -     $              -     $145,217,922

 

SCHEDULE OF INVESTMENTS I The Timothy Plan
December 31, 2017 (Unaudited) (Continued)
 
         
Large/Mid Cap Value Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $203,200,819  $              -     $              -     $203,200,819
REITS  9,351,472  -     -     9,351,472
Money Market Fund  5,254,684  -     -     5,254,684
Total  $217,806,975  $              -     $              -     $217,806,975
         
Fixed Income Fund        
Assets Level 1 Level 2 Level 3 Total
Corporate Bonds  $              -     $26,912,403  $              -     $26,912,403
Government Notes & Bonds  -     30,984,826  -     30,984,826
Government Mortage-Backed Securities  -     23,723,445  -     23,723,445
Money Market Fund  3,128,007  -     -     3,128,007
Total  $3,128,007  $81,620,674  $              -     $84,748,681
         
High Yield Bond Fund        
Assets Level 1 Level 2 Level 3 Total
Corporate Bonds  $              -     $63,012,585  $              -     $63,012,585
Money Market Fund  1,856,937  -     -     1,856,937
Total  $1,856,937  $63,012,585  $              -     $64,869,522
         
Israel Common Values Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $47,417,778  $              -     $              -     $47,417,778
Money Market Fund  2,023,808  -     -     2,023,808
Total  $49,441,586  $              -     $              -     $49,441,586
         
Defensive Strategies Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $12,491,204  $              -     $              -     $12,491,204
REITS  12,214,617  -     -     12,214,617
Corporate Bonds  -     1,346,830  -     1,346,830
Treasury Inflation Protected Securities (TIPS)  -     16,649,046  -     16,649,046
Alternative Investments *  9,774,803  -     -     9,774,803
Money Market Fund  1,684,434  -     -     1,684,434
Total  $36,165,058  $17,995,876  $              -     $54,160,934
* Reflects the fund's investment in gold and silver.        
         
Strategic Growth Fund        
Assets Level 1 Level 2 Level 3 Total
Mutual Funds  $39,510,856  $              -     $              -     $39,510,856
Money Market Fund  1,225,398  -     -     1,225,398
Total  $40,736,254  $              -     $              -     $40,736,254

 

SCHEDULE OF INVESTMENTS I The Timothy Plan
December 31, 2017 (Unaudited) (Continued)
 
         
Conservative Growth Fund        
Assets Level 1 Level 2 Level 3 Total
Mutual Funds  $52,124,321  $              -     $              -     $52,124,321
Money Market Fund  2,919,620  -     -     2,919,620
Total  $55,043,941  $              -     $              -     $55,043,941
         
Emerging Markets Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $15,033,101  $260,509  $              -     $15,293,610
Preferred Stock  2,218,350  -     -     2,218,350
REITs  1,918,914  -     -     1,918,914
Money Market Fund  2,291,652  -     -     2,291,652
Total  $21,462,017  $260,509  $              -     $21,722,526
         
Growth & Income Fund        
Assets Level 1 Level 2 Level 3 Total
Common Stock  $14,661,899  $              -     $              -     $14,661,899
REITS  419,723  -     -     419,723
Corporate Bonds  -     257,768  -     257,768
Government Notes & Bonds  -     17,013,505  -     17,013,505
Treasury Inflation Protected Securities (TIPS)  -     2,863,033  -     2,863,033
Money Market Fund  1,093,153  -     -     1,093,153
Total  $16,174,775  $20,134,306  $              -     $36,309,081
         
The Funds did not hold any Level 3 securities during the period presented. There were no transfers into Level 1 during the current period presented. It is the Trust's policy to record transfers between Level 1 and Level 2 at the end of the reporting period.

 

Emerging Markets Fund    
  Common Stock Total    
Transfer into Level 2 from Level 1  $260,509  $260,509    
         
Transfer was due to the lack of available pricing from an approved pricing source.    
         
The identified cost of investments in securities (including written options and short sales) owned by each Fund for federal income tax purposes, and their respective gross unrealized appreciation and depreciation at December 31 2017, were as follows:
         
Fund Tax Cost Gross Unrealized Appreciation Gross Unrealized Depreciation Net Unrealized Appreciation/ (Depreciation)
Aggressive Growth  $23,818,162  $4,952,978  $(422,644)  $4,530,334
International  80,156,980  17,483,668  (2,674,443)  14,809,225
Large/Mid Cap Growth  74,436,802  16,686,760  (535,103)  16,151,657
Small Cap Value  124,965,210  22,421,801  (2,169,089)  20,252,712
Large/Mid Cap Value  172,385,061  50,957,416  (5,535,502)  45,421,914
Fixed Income  84,982,914  464,827  (699,060)  (234,233)
High Yield Bond  63,623,427  1,520,655  (274,560)  1,246,095
Israel Common Values  38,833,258  12,978,203  (2,369,875)  10,608,328
Defensive Strategies  51,131,503  4,452,433  (1,423,002)  3,029,431
Strategic Growth  37,495,133  3,383,698  (142,577)  3,241,121
Conservative Growth  51,882,092  3,712,189  (550,340)  3,161,849
Emerging Markets  20,447,870  2,414,419  (1,139,763)  1,274,656
Growth & Income  34,671,739  1,887,528  (250,186)  1,637,342

 

 

Item 2. Controls and Procedures.

 

(a)       The Registrant’s principal executive officer and principal financial officers, or persons performing similar functions, have concluded that the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “Act”) (17 CFR 270.30a-3(c)) are effective, as of a date within 90 days of the filing date of this report that includes the disclosure required by this paragraph, based on their evaluation of the effectiveness of the Registrant’s disclosure controls and procedures as required by Rule 30a-3(b) under the Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)).

 

(b)       There were no changes to the Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Act) that occurred during the Registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the Registrant’s internal control over financial reporting.

 

Item 3. Exhibits.

 

Certifications required by Rule 30a-2(a) under the Investment Company Act of 1940 (17 CFR 270.30a-2(a)) (and Item 3 of Form N-Q) are filed herewith.

 

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

Timothy Plan Funds

 

By

*/s/ Arthur D. Ally

Arthur D. Ally, President / Principal Executive Officer, Treasurer / Principal Financial Officer

 

Date 2/26/18

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By

*/s/ Arthur D. Ally

Arthur D. Ally, President / Principal Executive Officer, Treasurer / Principal Financial Officer

 

Date 2/26/18

 

 

 

 

 

 

 

 

 

 

 

EX-99.CERT 2 cert.htm Blu Giant, LLC

CERTIFICATIONS

 

 

CERTIFICATION PURSUANT TO SECTION 302 OF THE SARBANES-OXLEY ACT OF 2002:

 

I, Arthur D. Ally, certify that:

 

1. I have reviewed this report on Form N-Q of The Timothy Plan;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the schedules of investments included in this report fairly present in all material respects the investments of the registrant as of the end of the fiscal quarter for which the report is filed;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

 

By /s/ Arthur D. Ally    
  Arthur D. Ally, President / Principal Executive Officer, Treasurer / Principal Financial Officer

 

 

Date:

 

 

2/26/18