0001580642-22-006439.txt : 20221227 0001580642-22-006439.hdr.sgml : 20221227 20221227125726 ACCESSION NUMBER: 0001580642-22-006439 CONFORMED SUBMISSION TYPE: 24F-2NT PUBLIC DOCUMENT COUNT: 1 CONFORMED PERIOD OF REPORT: 20220930 FILED AS OF DATE: 20221227 DATE AS OF CHANGE: 20221227 EFFECTIVENESS DATE: 20221227 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TIMOTHY PLAN CENTRAL INDEX KEY: 0000916490 IRS NUMBER: 597016828 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: 24F-2NT SEC ACT: 1933 Act SEC FILE NUMBER: 033-73248 FILM NUMBER: 221488307 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 Plan Small Cap Value Fund C000012330 Timothy Plan Small Cap Value Fund Class A TPLNX C000012332 Timothy Plan Small Cap Value Fund Class C TSVCX C000126993 Timothy Plan Small Cap Value Fund Class I TPVIX 0000916490 S000004480 Timothy Plan Large/Mid Cap Value Fund C000012333 Timothy Plan Large/Mid Cap Value Fund Class A TLVAX C000012335 Timothy Plan Large/Mid Cap Value Fund Class C TLVCX C000126994 Timothy Plan Large/Mid Cap Value Fund Class I TMVIX 0000916490 S000004481 Timothy Plan Fixed Income Fund C000012336 Timothy Plan Fixed Income Fund Class A TFIAX C000012338 Timothy Plan Fixed Income Fund Class C TFICX C000126995 Timothy Plan Fixed Income Fund Class I TPFIX 0000916490 S000004482 Timothy Plan Aggressive Growth Fund C000012339 Timothy Plan Aggressive Growth Fund Class A TAAGX C000012341 Timothy Plan Aggressive Growth Fund Class C TCAGX C000126996 Timothy Plan Aggressive Growth Fund Class I TIAGX 0000916490 S000004483 Timothy Plan Large/Mid Cap Growth Fund C000012342 Timothy Plan Large/Mid Cap Growth Fund Class A TLGAX C000012344 Timothy Plan Large/Mid Cap Growth Fund Class C TLGCX C000126997 Timothy Plan Large/Mid Cap Growth Fund Class I TPLIX 0000916490 S000004484 Timothy Plan Strategic Growth Fund C000012345 Timothy Plan Strategic Growth Fund Class A TSGAX C000012347 Timothy Plan Strategic Growth Fund Class C TSGCX 0000916490 S000004485 Timothy Plan Conservative Growth Fund C000012348 Timothy Plan Conservative Growth Fund Class A TCGAX C000012350 Timothy Plan 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 Timothy Plan Defensive Strategies Fund Class A TPDAX C000080684 Timothy Plan Defensive Strategies Fund Class C TPDCX C000127002 Timothy Plan Defensive Strategies Fund Class I TPDIX 0000916490 S000033751 Timothy Plan Israel Common Values Fund C000104306 Timothy Plan Israel Common Values Fund Class A TPAIX C000104307 Timothy Plan Israel Common Values Fund Class C TPCIX C000127003 Timothy Plan Israel Common Values Fund Class I TICIX 0000916490 S000042201 Timothy Plan Growth & Income Fund C000130991 Timothy Plan Growth & Income Fund Class A TGIAX C000130992 Timothy Plan Growth & Income Fund Class C TGCIX C000130993 Timothy Plan Growth & Income Fund Class I TIGIX 24F-2NT 1 primary_doc.xml X0101 24F-2NT LIVE 0000916490 XXXXXXXX false false N-1A Timothy Plan 1055 Maitland Center Commons Maitland FL X1 32751 Timothy Plan International Fund S000017790 Timothy Plan International Fund Class A C000049121 Timothy Plan International Fund Class C C000065170 Timothy Plan International Fund Class I C000127000 Timothy Plan High Yield Bond Fund S000017791 Timothy Plan High Yield Bond Fund Class A C000049122 Timothy Plan High Yield Bond Fund Class C C000065171 Timothy Plan High Yield Bond Fund Class I C000127001 Timothy Plan Defensive Strategies Fund S000026812 Timothy Plan Defensive Strategies Fund Class A C000080683 Timothy Plan Defensive Strategies Fund Class C C000080684 Timothy Plan Defensive Strategies Fund Class I C000127002 Timothy Plan Israel Common Values Fund S000033751 Timothy Plan Israel Common Values Fund Class A C000104306 Timothy Plan Israel Common Values Fund Class C C000104307 Timothy Plan Israel Common Values Fund Class I C000127003 Timothy Plan Growth & Income Fund S000042201 Timothy Plan Growth & Income Fund Class A C000130991 Timothy Plan Growth & Income Fund Class C C000130992 Timothy Plan Growth & Income Fund Class I C000130993 Timothy Plan Small Cap Value Fund S000004479 Timothy Plan Small Cap Value Fund Class A C000012330 Timothy Plan Small Cap Value Fund Class C C000012332 Timothy Plan Small Cap Value Fund Class I C000126993 Timothy Plan Large/Mid Cap Value Fund S000004480 Timothy Plan Large/Mid Cap Value Fund Class A C000012333 Timothy Plan Large/Mid Cap Value Fund Class C C000012335 Timothy Plan Large/Mid Cap Value Fund Class I C000126994 Timothy Plan Fixed Income Fund S000004481 Timothy Plan Fixed Income Fund Class A C000012336 Timothy Plan Fixed Income Fund Class C C000012338 Timothy Plan Fixed Income Fund Class I C000126995 Timothy Plan Aggressive Growth Fund S000004482 Timothy Plan Aggressive Growth Fund Class A C000012339 Timothy Plan Aggressive Growth Fund Class C C000012341 Timothy Plan Aggressive Growth Fund Class I C000126996 Timothy Plan Large/Mid Cap Growth Fund S000004483 Timothy Plan Large/Mid Cap Growth Fund Class A C000012342 Timothy Plan Large/Mid Cap Growth Fund Class C C000012344 Timothy Plan Large/Mid Cap Growth Fund Class I C000126997 Timothy Plan Strategic Growth Fund S000004484 Timothy Plan Strategic Growth Fund Class A C000012345 Timothy Plan Strategic Growth Fund Class C C000012347 Timothy Plan Conservative Growth Fund S000004485 Timothy Plan Conservative Growth Fund Class A C000012348 Timothy Plan Conservative Growth Fund Class C C000012350 811-08228 033-73248 09/30/2022 571041381.00 425980236.00 0.00 425980236.00 145061145.00 0.00 0.000110200 15985.74 0.00 15985.74 /s/ Dawn Borelli Dawn Borelli 12/27/2022