0001752724-21-039582.txt : 20210225 0001752724-21-039582.hdr.sgml : 20210225 20210225100427 ACCESSION NUMBER: 0001752724-21-039582 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20201231 FILED AS OF DATE: 20210225 PERIOD START: 20210930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TIMOTHY PLAN CENTRAL INDEX KEY: 0000916490 IRS NUMBER: 597016828 STATE OF INCORPORATION: DE FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08228 FILM NUMBER: 21677141 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 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 NPORT-P 1 primary_doc.xml NPORT-P false 0000916490 XXXXXXXX S000004482 C000012339 C000012341 C000126996 TIMOTHY PLAN 811-08228 0000916490 549300TW26XMX8DL8P98 1055 MAITLAND CENTER COMMONS MAITLAND 32759 407-644-1986 Timothy Plan Aggressive Growth Fund S000004482 549300NTK8733SJRQE22 2021-09-30 2020-12-31 N 40684592.05 63943.07 40620648.98 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 N Trex Company, Inc. 549300ER482WJT9UUX16 TREX CO INC 89531P105 4816.00000000 NS USD 403195.52000000 0.992587588146 Long EC CORP US N 1 N N N Generac Holdings Inc. 529900S2H2AHJHSFFI84 GENERAC HOLDINGS 368736104 2744.00000000 NS USD 624013.04000000 1.536196628240 Long EC CORP US N 1 N N N AVANTOR INC 5493003VM0XB4U8YD238 AVANTOR INC 05352A100 23345.00000000 NS USD 657161.75000000 1.617802192977 Long EC CORP US N 1 N N N Carvana Co 5493003WEAK2PJ5WS063 CARVANA CO 146869102 3585.00000000 NS USD 858750.90000000 2.114074790934 Long EC CORP US N 1 N N N Fortive Corporation 549300MU9YQJYHDQEF63 FORTIVE CORP 34959J108 3686.00000000 NS USD 261042.52000000 0.642635030593 Long EC CORP US N 1 N N N FiServ Inc. 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Ally Arthur D. Ally President & Treasurer XXXX NPORT-EX 2 timothy_nq.htm TIMOTHY AGGRESSIVE
Schedule of Investments | Aggressive Growth Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     COMMON STOCK - 97.2%     
     AEROSPACE & DEFENSE - 1.0%     
 639   TransDigm Group, Inc. *  $395,445 
           
     APPAREL & TEXTILE PRODUCTS - 1.8%     
 2,579   Deckers Outdoor Corp. *   739,606 
           
     BIOTECH & PHARMA - 5.9%     
 18,633   Horizon Therapeutics PLC *   1,363,004 
 6,752   United Therapeutics Corp. *   1,024,886 
         2,387,890 
     CONTAINERS & PACKAGING - 2.7%     
 10,961   Crown Holdings, Inc. *   1,098,292 
           
     ELECTRICAL EQUIPMENT - 3.5%     
 3,686   Fortive Corp.   261,043 
 2,744   Generac Holdings, Inc. *   624,013 
 3,671   Trane Technologies PLC   532,882 
         1,417,938 
     FORESTRY, PAPER & WOOD PRODUCTS - 1.0%     
 4,816   Trex Company, Inc. *   403,196 
           
     HEALTH CARE FACILITIES & SERVICES - 3.6%     
 6,460   Catalent, Inc. *   672,292 
 4,047   ICON PLC *   789,084 
         1,461,376 
     HOUSEHOLD PRODUCTS - 2.0%     
 3,638   Helen of Troy Ltd. *   808,327 
           
     INDUSTRIAL SUPPORT SERVICES - 1.5%     
 2,646   United Rentals, Inc. *   613,634 
           
     LEISURE FACILITIES & SERVICES - 3.8%     
 66,212   Bloomin’ Brands, Inc.   1,285,837 
 692   Domino’s Pizza, Inc.   265,354 
         1,551,191 
     MACHINERY - 2.9%     
 9,435   Oshkosh Corp.   812,070 
 1,376   Parker-Hannifin Corp.   374,836 
         1,186,906 
     MEDICAL EQUIPMENT & DEVICES - 17.7%     
 23,345   Avantor, Inc. *   657,162 
 1,061   DexCom, Inc. *   392,273 
 9,731   Edwards Lifesciences Corp. *   887,759 
 1,694   Insulet Corp. *   433,037 
 14,484   Natera, Inc. *   1,441,448 
 2,963   Novocure Ltd. *   512,718 
 2,694   Quidel Corp. *   483,977 
 3,713   Repligen Corp. *   711,522 
 1,774   STERIS PLC   336,244 
 3,259   Teleflex, Inc.   1,341,307 
         7,197,447 
     RENEWABLE ENERGY - 3.1%     
 4,359   Enphase Energy, Inc. *   764,874 
 7,369   Sunrun, Inc. *   511,261 
         1,276,135 
     RETAIL - CONSUMER STAPLES - 0.8%     
 4,176   Ollie’s Bargain Outlet Holdings, Inc. *   341,472 
           

 

 

Schedule of Investments | Aggressive Growth Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     RETAIL - DISCRETIONARY - 5.5%     
 5,294   Burlington Stores, Inc. *  $1,384,646 
 3,585   Carvana Co. *   858,751 
         2,243,397 
     SEMICONDUCTORS - 12.8%     
 1,932   KLA Corp.   500,214 
 1,855   Lam Research Corp.   876,061 
 35,907   Marvell Technology Group Ltd.   1,707,019 
 4,239   Monolithic Power System, Inc.   1,552,449 
 4,539   Teradyne, Inc.   544,181 
         5,179,924 
     SOFTWARE - 18.1%     
 1,161   ANSYS, Inc. *   422,372 
 5,778   Five9, Inc. *   1,007,683 
 498   HubSpot, Inc. *   197,427 
 17,373   Rapid7, Inc. *   1,566,350 
 3,787   RingCentral, Inc. *   1,435,159 
 1,971   ServiceNow, Inc. *   1,084,898 
 3,055   Twilio, Inc. *   1,034,117 
 3,694   Varonis Systems, Inc. *   604,375 
         7,352,381 
     TECHNOLOGY SERVICES - 9.5%     
 1,127   EPAM Systems, Inc. *   403,860 
 7,181   Fidelity National Information Services, Inc.   1,015,824 
 5,103   Fiserv, Inc. *   581,028 
 1,207   MarketAxess Holdings, Inc.   688,666 
 1,678   MSCI, Inc.   749,277 
 4,020   TransUnion   398,864 
         3,837,519 
           
     TOTAL COMMON STOCK (Cost $26,102,733)   39,492,076 
           
     REITs - 1.7%     
 20,341   Physicians Realty Trust   362,070 
 9,860   STAG Industrial, Inc.   308,815 
     TOTAL REITs (Cost $602,228)   670,885 
           
     MONEY MARKET FUND - 1.1%     
 460,514   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (A)
(Cost $460,514)
   460,514 
           
     TOTAL INVESTMENTS - 100.0% (Cost $27,165,475)  $40,623,475 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.0%   (2,826)
     NET ASSETS - 100.0%  $40,620,649 

 

*Non-income producing securities.

 

PLC - Public Limited Co.

 

REITs - Real Estate Investment Trusts.

 

(A)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | International Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     COMMON STOCK - 98.9%     
     AEROSPACE & DEFENSE - 1.7%     
 48,000   Safran SA (ADR) *  $1,702,080 
           
     AUTOMOTIVE - 4.2%     
 37,300   Magna International, Inc. - Class A   2,640,840 
 76,500   Valeo SA (ADR)   1,499,400 
         4,140,240 
     BANKING - 9.8%     
 33,839   DBS Group Holdings Ltd. (ADR)   2,573,456 
 83,000   DNB ASA (ADR) *   1,627,630 
 21,900   HDFC Bank Ltd. (ADR) *   1,582,494 
 84,100   ICICI Bank Ltd. (ADR) *   1,249,726 
 163,000   Itau Unibanco Holding SA (ADR)   992,670 
 48,600   KBC Group NV (ADR) *   1,695,654 
         9,721,630 
     CHEMICALS - 1.6%     
 13,400   Arkema SA (ADR)   1,553,516 
           
     CONSTRUCTION MATERIALS - 2.1%     
 38,500   Xinyi Glass Holdings Ltd. (ADR)   2,060,520 
           
     CONSUMER SERVICES - 0.5%     
 2,800   New Oriental Education & Technology Group, Inc. (ADR) *   520,268 
           
     E-COMMERCE DISCRETIONARY - 0.8%     
 4,400   Pinduoduo, Inc. (ADR) *   781,748 
           
     ELECTRIC UTILITIES - 2.6%     
 258,000   Enel SpA (ADR)   2,618,700 
           
     ELECTRICAL EQUIPMENT - 1.4%     
 49,200   Schneider Electric SE (ADR)   1,424,340 
           
     ENGINEERING & CONSTRUCTION - 3.0%     
 121,000   Vinci SA (ADR)   3,015,320 
           
     FOOD - 3.6%     
 18,000   Kerry Group PLC (ADR)   2,694,240 
 40,000   Mowi ASA (ADR)   884,800 
         3,579,040 
     HEALTH CARE FACILITIES & SERVICES - 1.2%     
 30,000   Fresenius Medical Care AG & Co. (ADR)   1,246,800 
           
     HOUSEHOLD PRODUCTS - 1.5%     
 100,000   Kao Corp. (ADR)   1,544,000 
           
     INDUSTRIAL SUPPORT SERVICES - 1.7%     
 9,000   Ashtead Group PLC (ADR)   1,705,500 
           
     INSTITUTIONAL FINANCIAL SERVICES - 2.5%     
 146,500   Deutsche Boerse AG (ADR)   2,475,850 
           
     INSURANCE - 7.0%     
 31,100   Ageas (ADR)   1,660,429 
 52,000   AIA Group Ltd. (ADR)   2,554,760 
 52,400   Muenchener Rueckversicherungs AG (ADR)   1,556,804 
 57,600   Sampo Oyj (ADR)   1,240,704 
         7,012,697 

 

 

Schedule of Investments | International Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     INTERNET MEDIA & SERVICES - 4.9%     
 33,000   Naspers Ltd. (ADR)  $1,341,120 
 66,000   Prosus NV (ADR)   1,431,540 
 30,200   Yandex NV *   2,101,316 
         4,873,976 
     LEISURE PRODUCTS - 1.7%     
 71,000   Shimano, Inc. (ADR)   1,670,623 
           
     MACHINERY - 9.2%     
 47,500   Atlas Copco AB (ADR)   2,137,975 
 70,000   FANUC Corp. (ADR)   1,728,300 
 74,650   Techtronic Industries Co. (ADR)   5,327,024 
         9,193,299 
     MEDICAL EQUIPMENT & DEVICES - 6.9%     
 39,200   Alcon, Inc. *   2,586,416 
 18,700   Hoya Corp. (ADR)   2,595,373 
 41,400   Smith & Nephew PLC (ADR)   1,745,838 
         6,927,627 
     METALS & MINING - 2.0%     
 26,000   Rio Tinto PLC (ADR)   1,955,720 
           
     OIL & GAS PRODUCERS - 3.3%     
 136,000   Equinor ASA (ADR)   2,233,120 
 194,000   Galp Energia SGPS SA (ADR)   1,018,500 
         3,251,620 
     RETAIL - CONSUMER STAPLES - 1.1%     
 45,948   Pan Pacific International Holdings Corp. (ADR)   1,068,750 
           
     SEMICONDUCTORS - 7.2%     
 6,250   ASML Holding NV (ADR)   3,048,250 
 12,900   NXP Semiconductors NV   2,051,229 
 19,000   Taiwan Semiconductor Manufacturing Co. Ltd. (ADR)   2,071,760 
         7,171,239 
     SOFTWARE - 5.0%     
 11,500   Nice Ltd. (ADR) *   3,260,710 
 37,640   Open Text Corp.   1,711,114 
         4,971,824 
     SPECIALTY FINANCE - 1.6%     
 21,000   ORIX Corp. (ADR)   1,623,930 
           
     TECHNOLOGY HARDWARE - 1.1%     
 21,438   FUJIFILM Holdings Corp. (ADR)   1,135,142 
           
     TECHNOLOGY SERVICES - 4.5%     
 36,400   Amadeus IT Group SA (ADR)   2,735,096 
 31,500   Pagseguro Digital Ltd. *   1,791,720 
         4,526,816 
     TELECOMMUNICATIONS - 2.0%     
 77,300   Nippon Telegraph & Telephone Corp. (ADR)   1,986,610 
           
     TRANSPORTATION & LOGISTICS - 3.2%     
 9,100   Canadian Pacific Railway Ltd.   3,154,879 
           
     TOTAL COMMON STOCK (Cost $66,766,280)   98,614,304 

 

 

Schedule of Investments | International Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     MONEY MARKET FUND - 1.4%     
 1,339,805   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (A)
(Cost $1,339,805)
  $1,339,805 
           
     TOTAL INVESTMENTS - 100.3% (Cost $68,106,085)  $99,954,109 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.3)%   (274,120)
     NET ASSETS - 100.0%  $99,679,989 

 

*Non-income producing securities.

 

ADR - American Depositary Receipt.

 

PLC - Public Limited Co.

 

(A)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

Diversification of Assets   
Country  % of Net Assets
Japan  13.4%
Hong Kong  10.0%
France  9.2%
Canada  7.5%
Netherlands  6.6%
United Kingdom  5.4%
Germany  5.3%
Norway  4.8%
Belgium  3.4%
Israel  3.3%
India  2.8%
Brazil  2.8%
Spain  2.7%
Ireland  2.7%
Italy  2.6%
Switzerland  2.6%
Singapore  2.6%
Sweden  2.1%
Russia  2.1%
Taiwan  2.1%
South Africa  1.4%
China  1.3%
Finland  1.2%
Portugal  1.0%
Total  98.9%
Money Market Fund  1.4%
Other Assets Less Liabilities - Net  (0.3)%
Grand Total  100.0%

 

 

Schedule of Investments | Large/Mid Cap Growth Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     COMMON STOCK - 78.5%     
     AEROSPACE/DEFENSE - 1.1%     
 8,766   General Dynamics Corp.  $1,304,556 
           
     BANKING - 0.6%     
 11,521   Western Alliance Bancorp   690,684 
           
     BIOTECH & PHARMA - 7.4%     
 3,011   Amgen, Inc.   692,289 
 20,034   Horizon Therapeutics PLC *   1,465,487 
 7,027   Neurocrine Biosciences, Inc. *   673,538 
 6,377   Sarepta Therapeutics, Inc. *   1,087,215 
 5,775   Vertex Pharmaceuticals, Inc. *   1,364,863 
 19,987   Zoetis, Inc.   3,307,849 
         8,591,241 
     CHEMICALS - 1.9%     
 11,405   FMC Corp.   1,310,777 
 3,654   Linde PLC   962,866 
         2,273,643 
     CONSUMER SERVICES - 0.5%     
 5,730   Grand Canyon Education, Inc. *   533,520 
           
     DIVERSIFIED INDUSTRIALS - 2.8%     
 17,487   Emerson Electric Co.   1,405,430 
 8,827   Honeywell International, Inc.   1,877,503 
         3,282,933 
     ELECTRIC UTILITIES - 0.8%     
 32,599   PPL Corp.   919,292 
           
     ELECTRICAL EQUIPMENT - 4.0%     
 14,293   Amphenol Corp. - Class A   1,869,096 
 14,752   Fortive Corp.   1,044,737 
 12,495   Trane Technologies PLC   1,813,774 
         4,727,607 
     FOOD - 1.2%     
 14,922   McCormick & Co., Inc.   1,426,543 
           
     HEALTH CARE FACILITIES & SERVICES - 1.2%     
 7,913   IQVIA Holdings, Inc. *   1,417,772 
           
     INSTITUTIONAL FINANCIAL SERVICES - 1.5%     
 15,583   Intercontinental Exchange, Inc.   1,796,564 
           
     INSURANCE - 1.8%     
 16,847   Arthur J. Gallagher & Co.   2,084,142 
           
     LEISURE FACILITIES & SERVICES - 1.5%     
 1,240   Chipotle Mexican Grill, Inc. *   1,719,520 
           
     MACHINERY - 1.6%     
 5,910   Caterpillar, Inc.   1,075,738 
 9,839   Oshkosh Corp.   846,843 
         1,922,581 
     MEDICAL EQUIPMENT & DEVICES - 7.6%     
 11,750   Baxter International, Inc.   942,820 
 5,348   Danaher Corp.   1,188,005 
 17,599   Edwards Lifesciences Corp. *   1,605,557 
 6,345   Insulet Corp. *   1,621,972 
 2,124   Intuitive Surgical, Inc. *   1,737,644 
 4,237   Teleflex, Inc.   1,743,822 
         8,839,820 
     OIL & GAS PRODUCERS - 0.5%     
 14,205   ConocoPhillips   568,058 

 

 

Schedule of Investments | Large/Mid Cap Growth Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     RETAIL - CONSUMER STAPLES - 4.1%     
 6,637   Costco Wholesale Corp.  $2,500,689 
 10,820   Dollar General Corp.   2,275,446 
         4,776,135 
     RETAIL - DISCRETIONARY - 4.7%     
 6,181   Burlington Stores, Inc. *   1,616,641 
 32,984   Foot Locker, Inc.   1,333,873 
 2,595   Lululemon Athletica, Inc. *   903,138 
 3,596   O’Reilly Automotive, Inc. *   1,627,442 
         5,481,094 
     SEMICONDUCTORS - 14.8%     
 35,627   Advanced Micro Devices, Inc. *   3,267,352 
 6,004   Broadcom Ltd.   2,628,851 
 19,091   Maxim Integrated Products, Inc.   1,692,417 
 19,251   Micron Technology, Inc. *   1,447,290 
 5,418   Monolithic Power Systems, Inc.   1,984,234 
 7,358   NVIDIA Corp.   3,842,348 
 15,189   NXP Semiconductors NV   2,415,203 
         17,277,695 
     SOFTWARE - 10.1%     
 2,442   HubSpot, Inc. *   968,106 
 5,355   Palo Alto Networks, Inc. *   1,903,113 
 27,577   Rapid7, Inc. *   2,486,342 
 6,990   ServiceNow, Inc. *   3,847,506 
 10,003   Synopsys, Inc. *   2,593,178 
         11,798,245 
     TECHNOLOGY HARDWARE - 1.1%     
 22,344   Western Digital Corp.   1,237,634 
           
     TECHNOLOGY SERVICES - 6.3%     
 21,562   CDW Corp.   2,841,656 
 5,416   EPAM Systems, Inc. *   1,940,824 
 9,694   Fidelity National Information Services, Inc.   1,371,313 
 2,076   MarketAxess Holdings, Inc.   1,184,483 
         7,338,276 
     TRANSPORTATION & LOGISTICS - 1.4%     
 4,624   Canadian Pacific Railway Ltd.   1,603,095 
           
     TOTAL COMMON STOCK (Cost $58,203,620)   91,610,650 
           
     EXCHANGE TRADED FUND (A) - 19.0%     
 720,000   Timothy Plan US Large/Mid Cap Core ETF (Cost $18,061,200)   22,219,200 
           
     MONEY MARKET FUND - 2.5%     
 2,854,314   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (B)
(Cost $2,854,314)
   2,854,314 
           
     TOTAL INVESTMENTS - 100.0% (Cost $79,119,134)  $116,684,164 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.0%   (24,301)
     NET ASSETS - 100.0%  $116,659,863 

 

*Non-income producing securities.

 

ETF - Exchange Traded Fund.

 

PLC - Public Limited Co.

 

(A)Affiliated Fund.

 

(B)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | Small Cap Value Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     COMMON STOCK - 79.1%     
     AEROSPACE/DEFENSE - 3.5%     
 43,167   Kaman Corp.  $2,466,131 
 32,245   Moog, Inc.   2,557,028 
         5,023,159 
     APPAREL & TEXTILE PRODUCTS - 1.8%     
 38,593   Oxford Industries, Inc.   2,528,227 
           
     BANKING - 12.6%     
 35,267   Columbia Banking System, Inc.   1,266,085 
 132,322   Great Western Bancorp, Inc.   2,765,530 
 96,491   Hilltop Holdings, Inc.   2,654,467 
 32,488   International Bancshares Corp.   1,216,351 
 73,500   Provident Financial Services, Inc.   1,320,060 
 76,162   Renasant Corp.   2,565,136 
 81,205   Sandy Spring Bancorp, Inc.   2,613,989 
 42,722   Trustmark Corp.   1,166,738 
 94,360   Washington Federal, Inc.   2,428,826 
         17,997,182 
     CHEMICALS - 4.4%     
 62,638   Avient Corp.   2,523,059 
 14,731   Innospec, Inc.   1,336,544 
 20,372   Stepan Co.   2,430,787 
         6,290,390 
     COMMERCIAL SUPPORT SERVICES - 0.8%     
 5,363   UniFirst Corp.   1,135,293 
           
     E-COMMERCE DISCRETIONARY - 1.2%     
 64,832   1-800-Flowers.com, Inc. *   1,685,632 
           
     ELECTRIC UTILITIES - 4.1%     
 62,134   Avista Corp.   2,494,059 
 41,963   NorthWestern Corp.   2,446,863 
 19,088   PNM Resources, Inc.   926,341 
         5,867,263 
     ELECTRICAL EQUIPMENT - 0.8%     
 9,773   Novanta, Inc. *   1,155,364 
           
     ENGINEERING & CONSTRUCTION - 1.7%     
 47,048   Comfort Systems USA, Inc.   2,477,548 
           
     FOOD - 3.5%     
 172,080   Hostess Brands, Inc. *   2,519,251 
 15,681   J & J Snack Foods Corp.   2,436,357 
         4,955,608 
     FORESTRY, PAPER & WOOD PRODUCTS - 1.7%     
 44,145   UFP Industries, Inc.   2,452,255 
           
     GAS & WATER UTILITIES - 1.8%     
 117,649   South Jersey Industries, Inc.   2,535,336 
           
     HEALTH CARE FACILITIES & SERVICES - 2.6%     
 30,814   Magellan Health, Inc. *   2,552,632 
 40,518   Patterson Companies, Inc.   1,200,548 
         3,753,180 
     HOME & OFFICE PRODUCTS - 1.6%     
 155,623   Knoll, Inc.   2,284,546 
           
     HOME CONSTRUCTION - 3.4%     
 55,250   Century Communities, Inc. *   2,418,845 
 25,615   Masonite International Corp. *   2,518,979 
         4,937,824 
     HOUSEHOLD PRODUCTS - 1.7%     
 68,985   Central Garden & Pet Co. *   2,506,225 

 

 

Schedule of Investments | Small Cap Value Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     INSTITUTIONAL FINANCIAL SERVICES - 3.7%     
 55,147   Moelis & Co.  $2,578,674 
 26,258   Piper Sandler Companies   2,649,432 
         5,228,106 
     INSURANCE - 4.5%     
 55,251   Argo Group International Holdings Ltd.   2,414,469 
 52,784   James River Group Holdings Ltd.   2,594,334 
 28,208   Mercury General Corp.   1,472,740 
         6,481,543 
     LEISURE FACILITIES & SERVICES - 4.5%     
 134,234   Bloomin’ Brands, Inc.   2,606,824 
 13,570   Jack in the Box, Inc.   1,259,296 
 30,082   Papa John’s International, Inc.   2,552,458 
         6,418,578 
     LEISURE PRODUCTS - 1.8%     
 107,512   Callaway Golf Co.   2,581,363 
           
     MACHINERY - 5.2%     
 8,776   Alamo Group, Inc.   1,210,649 
 47,091   Altra Industrial Motion Corp.   2,610,254 
 30,376   Columbus McKinnon Corp.   1,167,653 
 72,438   Federal Signal Corp.   2,402,768 
         7,391,324 
     MEDICAL EQUIPMENT & DEVICES - 3.5%     
 24,071   CONMED Corp.   2,695,952 
 41,770   Merit Medical Systems, Inc. *   2,318,653 
         5,014,605 
     OIL & GAS PRODUCERS - 1.2%     
 82,042   PDC Energy, Inc. *   1,684,322 
           
     RETAIL - DISCRETIONARY - 1.9%     
 50,125   Monro, Inc.   2,671,662 
           
     SEMICONDUCTORS - 1.8%     
 166,945   Amkor Technology, Inc. *   2,517,531 
           
     TECHNOLOGY HARDWARE - 1.9%     
 179,932   Viavi Solutions, Inc. *   2,694,482 
           
     TECHNOLOGY SERVICES - 1.9%     
 97,873   Repay Holdings Corp. *   2,667,039 
           
     TOTAL COMMON STOCK (Cost $97,772,411)   112,935,587 
           
     EXCHANGE TRADED FUND (A) - 11.2%     
 580,000   Timothy Plan US Small Cap Core ETF (Cost $14,834,080)   16,076,034 
           
     REITs - 8.6%     
 144,344   Columbia Property Trust, Inc.   2,069,893 
 101,717   Easterly Government Properties, Inc.   2,303,890 
 69,649   National Storage Affiliates Trust   2,509,453 
 53,289   PotlatchDeltic Corp.   2,665,516 
 173,912   Summit Hotel Properties, Inc.   1,566,947 
 19,159   Terreno Realty Corp.   1,120,993 
     TOTAL REITs (Cost $12,593,022)   12,236,692 

 

 

Schedule of Investments | Small Cap Value Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     MONEY MARKET FUND - 1.3%     
 1,936,521   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (B)
(Cost $1,936,521)
  $1,936,521 
           
     TOTAL INVESTMENTS - 100.2% (Cost $127,136,034)  $143,184,834 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.2)%   (346,735)
     NET ASSETS - 100.0%  $142,838,099 

 

*Non-income producing securities.

 

ETF - Exchange Traded Fund.

 

REITs - Real Estate Investment Trusts.

 

(A)Affiliated Fund.

 

(B)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | Large/Mid Cap Value Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     COMMON STOCK - 68.1%     
     AEROSPACE/DEFENSE - 1.7%     
 23,898   General Dynamics Corp.  $3,556,500 
           
     BANKING - 4.0%     
 55,493   BOK Financial Corp.   3,800,161 
 75,095   Western Alliance Bancorp   4,501,945 
         8,302,106 
     CABLE & SATELLITE - 4.6%     
 2,210   Cable One, Inc.   4,923,261 
 29,725   Liberty Broadband Corp. *   4,707,548 
         9,630,809 
     CHEMICALS - 1.8%     
 5,127   Sherwin-Williams Co.   3,767,884 
           
     DIVERSIFIED INDUSTRIALS - 3.5%     
 24,701   Eaton Corp. PLC   2,967,578 
 20,741   Honeywell International, Inc.   4,411,611 
         7,379,189 
     ELECTRIC UTILITIES - 3.4%     
 52,787   CMS Energy Corp.   3,220,535 
 41,385   WEC Energy Group, Inc.   3,808,662 
         7,029,197 
     ELECTRICAL EQUIPMENT - 2.7%     
 28,997   Amphenol Corp. - Class A   3,791,938 
 11,559   Hubbell, Inc.   1,812,336 
         5,604,274 
     FOOD - 5.3%     
 30,466   JM Smucker Co.   3,521,870 
 51,700   Lamb Weston Holdings, Inc.   4,070,858 
 35,800   McCormick & Co., Inc.   3,422,480 
         11,015,208 
     INSTITUTIONAL FINANCIAL SERVICES - 1.7%     
 31,769   Intercontinental Exchange, Inc.   3,662,648 
           
     INSURANCE - 3.9%     
 29,413   Arthur J. Gallagher & Co.   3,638,682 
 33,255   Assurant, Inc.   4,529,996 
         8,168,678 
     MACHINERY - 1.9%     
 34,530   Curtiss-Wright Corp.   4,017,565 
           
     MEDICAL EQUIPMENT & DEVICES - 5.6%     
 27,155   PerkinElmer, Inc.   3,896,742 
 18,640   STERIS PLC   3,533,026 
 27,589   Zimmer Biomet Holdings, Inc.   4,251,189 
         11,680,957 
     OIL & GAS PRODUCERS - 1.0%     
 44,205   EOG Resources, Inc.   2,204,503 

 

 

Schedule of Investments | Large/Mid Cap Value Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     RETAIL - CONSUMER STAPLES - 2.0%     
 19,459   Dollar General Corp.  $4,092,228 
           
     RETAIL - DISCRETIONARY - 3.4%     
 7,830   O’Reilly Automotive, Inc. *   3,543,623 
 24,858   Tractor Supply Co.   3,494,538 
         7,038,161 
     SEMICONDUCTORS - 6.5%     
 74,045   Micron Technology, Inc. *   5,566,703 
 11,270   Monolithic Power Systems, Inc.   4,127,412 
 7,259   NVIDIA Corp.   3,790,650 
         13,484,765 
     SOFTWARE - 5.7%     
 30,325   Cadence Design Systems, Inc. *   4,137,240 
 15,530   Synopsys, Inc. *   4,025,997 
 8,458   Tyler Technologies, Inc. *   3,692,086 
         11,855,323 
     TECHNOLOGY SERVICES - 5.5%     
 15,401   CACI International, Inc. *   3,839,931 
 33,644   Fiserv, Inc. *   3,830,706 
 91,227   Genpact Ltd.   3,773,149 
         11,443,786 
     TRANSPORTATION & LOGISTICS - 2.0%     
 20,188   Union Pacific Corp.   4,203,545 
           
     TRANSPORTATION EQUIPMENT - 1.9%     
 54,866   Westinghouse Air Brake Technologies Corp.   4,016,191 
           
     TOTAL COMMON STOCK (Cost $102,890,562)   142,153,517 
           
     EXCHANGE TRADED FUNDS (A) - 25.0%     
 920,000   Timothy Plan High Dividend Stock ETF   23,837,200 
 920,000   Timothy Plan US Large/Mid Cap Core ETF   28,391,200 
     TOTAL EXCHANGE TRADED FUNDS (Cost $46,064,400)   52,228,400 
           
     REITs - 4.0%     
 21,454   Crown Castle International Corp.   3,415,262 
 22,205   CyrusOne, Inc.   1,624,296 
 14,653   Public Storage   3,383,817 
     TOTAL REITs (Cost $7,901,737)   8,423,375 
           
     MONEY MARKET FUND - 3.0%     
 6,267,799   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (B)
(Cost $6,267,799)
   6,267,799 
           
     TOTAL INVESTMENTS - 100.1% (Cost $163,124,498)  $209,073,091 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.1)%   (190,555)
     NET ASSETS - 100.0%  $208,882,536 

 

*Non-income producing securities.

 

ETF - Exchange Traded Fund.

 

PLC - Public Limited Co.

 

REITs - Real Estate Investment Trusts.

 

(A)Affiliated Funds.

 

(B)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | Fixed Income Fund
As of December 31, 2020 (Unaudited)

 

Par Value      Coupon Rate (%)  Maturity  Fair Value 
               
     BONDS & NOTES - 97.6%           
     CORPORATE BONDS - 23.5%           
$1,000,000   ABB Finance USA, Inc.  2.875  5/8/2022  $1,033,984 
 1,000,000   American Electric Power  3.200  11/13/2027   1,120,608 
 500,000   Analog Devices, Inc.  3.900  12/15/2025   570,983 
 1,000,000   Aptiv Corp.  4.150  3/15/2024   1,101,446 
 1,000,000   Canadian Pacific RR Co.  2.900  2/1/2025   1,083,779 
 1,000,000   CBOE Holdings, Inc.  3.650  1/12/2027   1,138,947 
 1,000,000   Columbia Pipeline Group, Inc.  4.500  6/1/2025   1,151,142 
 1,000,000   CSX Corp.  3.250  6/1/2027   1,131,873 
 500,000   Digital Realty Trust LP  3.700  8/15/2027   575,019 
 500,000   Dollar General Corp.  4.125  5/1/2028   590,427 
 750,000   Eaton Corp.  2.750  11/2/2022   782,868 
 1,000,000   Enable Midstream Partners LP  3.900  5/15/2024   1,023,037 
 855,000   European Investment Bank  2.375  6/15/2022   882,341 
 880,000   Healthpeak Properties, Inc.  3.500  7/15/2029   999,670 
 871,187   John Sevier Combined Cycle Generation LLC  4.626  1/15/2042   1,108,041 
 1,000,000   Kennametal, Inc.  3.875  2/15/2022   1,026,831 
 865,000   Kreditanstalt fuer Wiederaufbau  2.125  6/15/2022   889,587 
 800,000   LYB International Finance BV  4.000  7/15/2023   868,463 
 855,000   National Rural Utilities Cooperative Finance Corp.  2.950  2/7/2024   915,389 
 1,500,000   NiSource Finance Corp.  3.490  5/15/2027   1,703,260 
 1,000,000   Nutrien Ltd.  4.000  12/15/2026   1,163,830 
 1,000,000   Phillips 66 Partners LP  3.605  2/15/2025   1,081,925 
 870,000   Province of Ontario Canada  2.500  4/27/2026   955,938 
 865,000   Province of Quebec Canada  2.375  1/31/2022   884,727 
 700,000   Sunoco Logistics Partners LP  4.250  4/1/2024   758,266 
 1,200,000   Ventas Realty LP  3.250  8/15/2022   1,245,397 
 830,000   WEC Energy Group, Inc.  3.550  6/15/2025   926,043 
 1,000,000   Zimmer Biomet Holdings, Inc.  3.700  3/19/2023   1,067,411 
     TOTAL CORPORATE BONDS (Cost $25,479,348)   27,781,232 
                 
     U.S. GOVERNMENT & AGENCY OBLIGATIONS - 74.1%     
     GOVERNMENT MORTGAGE-BACKED SECURITIES - 18.5%        
 194,879   GNMA Pool G2 4520  5.000  8/20/2039   222,907 
 252,079   GNMA Pool G2 4947  5.000  2/20/2041   289,059 
 899,870   GNMA Pool G2 BN2662  3.000  10/20/2049   943,052 
 585,045   GNMA Pool G2 MA3376  3.500  1/20/2046   630,048 
 395,337   GNMA Pool G2 MA3596  3.000  4/20/2046   421,064 
 1,044,518   GNMA Pool G2 MA3663  3.500  5/20/2046   1,131,170 
 381,648   GNMA Pool G2 MA3736  3.500  6/20/2046   415,363 
 634,379   GNMA Pool G2 MA4004  3.500  10/20/2046   684,286 
 424,639   GNMA Pool G2 MA4509  3.000  6/20/2047   451,353 
 572,482   GNMA Pool G2 MA4652  3.500  8/20/2047   613,689 
 729,209   GNMA Pool G2 MA4719  3.500  9/20/2047   787,325 
 745,415   GNMA Pool G2 MA4778  3.500  10/20/2047   801,222 
 607,093   GNMA Pool G2 MA4901  4.000  12/20/2047   655,029 
 547,919   GNMA Pool G2 MA4963  4.000  1/20/2048   591,858 
 617,984   GNMA Pool G2 MA6092  4.500  8/20/2049   666,523 
 704,650   GNMA Pool G2 MA6156  4.500  9/20/2049   763,624 
 636,278   GNMA Pool G2 MA6221  4.500  10/20/2049   688,557 
 1,097,318   GNMA Pool G2 MA6338  3.000  12/20/2049   1,148,250 
 1,071,208   GNMA Pool G2 MA6476  4.000  2/20/2050   1,144,303 
 757,689   GNMA Pool G2 MA6477  4.500  2/20/2050   814,616 
 1,052,871   GNMA Pool G2 MA6478  5.000  2/20/2050   1,152,079 
 1,222,232   GNMA Pool G2 MA6544  4.500  3/20/2050   1,315,316 
 859,396   GNMA Pool G2 MA6545  5.000  3/20/2050   938,147 
 938,246   GNMA Pool G2 MA6600  3.500  4/20/2050   995,576 
 864,661   GNMA Pool G2 MA6601  4.000  4/20/2050   922,229 
 871,176   GNMA Pool G2 MA6603  5.000  4/20/2050   953,048 
 1,054,834   GNMA Pool G2 MA6865  2.500  9/20/2050   1,117,840 
 29,849   GNMA Pool GN 723248  5.000  10/15/2039   34,419 
 403,673   GNMA Pool GN 783060  4.000  8/15/2040   440,208 
 161,707   GNMA Pool GN 783403  3.500  9/15/2041   172,905 
     TOTAL GOVERNMENT MORTGAGE-BACKED SECURITIES (Cost $21,413,829)   21,905,065 

 

 

Schedule of Investments | Fixed Income Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Par Value      Coupon Rate (%)  Maturity  Fair Value 
               
     GOVERNMENT NOTES & BONDS - 55.6%           
$4,280,000   United States Treasury Note  3.125  5/15/2021  $4,326,970 
 7,290,000   United States Treasury Note  2.125  6/30/2022   7,508,700 
 2,895,000   United States Treasury Note  0.250  6/15/2023   2,902,803 
 10,945,000   United States Treasury Note  2.250  11/15/2024   11,794,092 
 14,820,000   United States Treasury Note  2.000  8/15/2025   15,967,392 
 8,260,000   United States Treasury Note  1.625  2/15/2026   8,787,220 
 5,805,000   United States Treasury Note  1.500  2/15/2030   6,142,189 
 4,540,000   United States Treasury Note  4.500  2/15/2036   6,664,401 
 1,215,000   United States Treasury Note  3.000  2/15/2049   1,603,041 
     TOTAL GOVERNMENT NOTES & BONDS (Cost $62,871,689)     65,696,808 
                 
     TOTAL U.S. GOVERNMENT & AGENCY OBLIGATIONS (Cost $84,285,518)   87,601,873 
                 
     TOTAL BONDS AND NOTES (Cost $109,764,866)   115,383,105 
                 
 Shares                
     MONEY MARKET FUND - 2.0%           
 2,374,603   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (A)
(Cost $2,374,603)
   2,374,603 
                 
     TOTAL INVESTMENTS - 99.6% (Cost $112,139,469)     $117,757,708 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.4%      459,039 
     NET ASSETS - 100.0%        $118,216,747 

 

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, 2020.

 

 

Schedule of Investments | High Yield Bond Fund
As of December 31, 2020 (Unaudited)

 

Par Value      Coupon Rate (%)  Maturity  Fair Value 
               
     CORPORATE BONDS - 89.8%           
$500,000   Adient Global Holdings Ltd. (A)  4.875  8/15/2026  $514,375 
 1,000,000   Adient US LLC (A)  7.000  5/15/2026   1,089,350 
 500,000   AerCap Global Aviation Trust, 3 mo. LIBOR + 4.30% (A)(B)  6.500  6/15/2045   511,250 
 1,055,000   Alliance Data Systems Corp. (A)  4.750  12/15/2024   1,067,528 
 1,000,000   Alliance Data Systems Corp. (A)  7.000  1/15/2026   1,059,675 
 1,000,000   Alliance Resource Operating Partners LP (A)  7.500  5/1/2025   855,000 
 1,000,000   Ashtead Capital, Inc. (A)  4.125  8/15/2025   1,029,500 
 1,000,000   Ashton Woods Finance Co. (A)  6.750  8/1/2025   1,043,645 
 293,000   Ashton Woods Finance Co. (A)  9.875  4/1/2027   330,302 
 500,000   Ashton Woods Finance Co. (A)  6.625  1/15/2028   527,500 
 250,000   Bausch Health Cos, Inc. (A)  5.000  1/30/2028   257,947 
 125,000   Bausch Health Cos, Inc. (A)  5.000  2/15/2029   128,759 
 50,000   Bausch Health Cos, Inc. (A)  5.250  2/15/2031   52,330 
 1,000,000   Beazer Homes USA, Inc.  5.875  10/15/2027   1,054,375 
 500,000   BWX Technologies, Inc. (A)  5.375  7/15/2026   521,155 
 500,000   BWX Technologies, Inc. (A)  4.125  6/30/2028   522,187 
 500,000   Cascades, Inc. (A)  5.125  1/15/2026   529,687 
 500,000   Chemours Co.  7.000  5/15/2025   518,785 
 1,500,000   Chemours Co. (A)  5.750  11/15/2028   1,532,812 
 580,000   Clarios Global LP (A)  6.250  5/15/2026   622,775 
 1,080,000   Clarios Global LP (A)  8.500  5/15/2027   1,175,104 
 1,000,000   CommScope, Inc. (A)  8.250  3/1/2027   1,068,755 
 750,000   CommScope, Inc. (A)  7.125  7/1/2028   799,740 
 1,000,000   Compass Minerals International, Inc. (A)  6.750  12/1/2027   1,084,190 
 250,000   Crestwood Midstream Finance Corp.  5.750  4/1/2025   255,000 
 1,000,000   Crestwood Midstream Finance Corp. (A)  5.625  5/1/2027   991,875 
 500,000   DCP Midstream, LLC, 3 mo. LIBOR + 3.85% (A) (B)  5.850  5/21/2043   432,147 
 500,000   Diamond Sports Finance Co. (A)  5.375  8/15/2026   407,187 
 1,000,000   Diversified Healthcare Trust  9.750  6/15/2025   1,137,500 
 500,000   Double Eagle III Midco 1 LLC / Double Eagle Finance Corp. (A)  7.750  12/15/2025   531,440 
 115,000   Freedom Mortgage Corp. (A)  8.125  11/15/2024   120,318 
 1,000,000   Freedom Mortgage Corp. (A)  8.250  4/15/2025   1,047,500 
 500,000   Freedom Mortgage Corp. (A)  7.625  5/1/2026   529,475 
 500,000   Genesis Energy LP  7.750  2/1/2028   479,220 
 294,000   Geo Group, Inc.  5.875  1/15/2022   292,673 
 1,750,000   Geo Group, Inc.  5.125  4/1/2023   1,587,031 
 250,000   GFL Environmental, Inc. (A)  3.750  8/1/2025   256,719 
 400,000   GFL Environmental, Inc. (A)  8.500  5/1/2027   444,750 
 50,000   GFL Environmental, Inc. (A)  4.000  8/1/2028   50,469 
 1,000,000   Global Partners LP  7.000  8/1/2027   1,072,935 
 500,000   Graham Packaging Co., Inc. (A)  7.125  8/15/2028   553,437 
 500,000   Gray Television, Inc. (A)  7.000  5/15/2027   548,125 
 250,000   Gray Television, Inc. (A)  4.750  10/15/2030   255,156 
 1,500,000   Howard Hughes Corp. (A)  5.375  8/1/2028   1,616,062 
 250,000   Icahn Enterprises Finance Corp.  4.750  9/15/2024   260,079 
 1,000,000   Icahn Enterprises Finance Corp.  6.250  5/15/2026   1,061,240 
 2,455,000   ILFC E-Capital Trust I, 1.55% (A)(B)  3.230  12/21/2065   1,657,125 
 1,500,000   iStar, Inc.  5.500  2/15/2026   1,532,812 
 500,000   Itron, Inc. (A)  5.000  1/15/2026   511,875 
 250,000   Jefferies Finance LLC (A)  6.250  6/3/2026   260,079 
 500,000   Ken Garff Automotive LLC (A)  4.875  9/15/2028   520,938 
 1,500,000   Koppers, Inc. (A)  6.000  2/15/2025   1,547,813 
 750,000   Ladder Capital Finance Corp. (A)  4.250  2/1/2027   738,750 
 750,000   Legacy LifePoint Health LLC (A)  4.375  2/15/2027   752,813 
 250,000   LifePoint Health, Inc. (A)  5.375  1/15/2029   249,775 
 500,000   Magnolia Oil Gas (A)  6.000  8/1/2026   511,250 
 1,000,000   MGIC Investment Corp.  5.250  8/15/2028   1,071,875 
 250,000   Michaels Stores, Inc. (A)  4.750  10/1/2027   256,625 
 2,000,000   Midwest Connector Capital Co. LLC (A)  4.625  4/1/2029   2,099,311 
 1,000,000   Millicom International Cellular SA (A)  5.125  1/15/2028   1,064,400 
 500,000   Nationstar Mortgage Holdings, Inc. (A)  6.000  1/15/2027   531,485 
 250,000   Nationstar Mortgage Holdings, Inc. (A)  5.500  8/15/2028   262,969 

 

 

Schedule of Investments | High Yield Bond Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Par Value      Coupon Rate (%)  Maturity  Fair Value 
               
     CORPORATE BONDS - 89.8% (Cont.)           
$500,000   Navient Corp.  7.250  9/25/2023  $548,928 
 1,500,000   New Residential Investment Corp. (A)  6.250  10/15/2025   1,510,313 
 1,500,000   Newmark Group, Inc.  6.125  11/15/2023   1,632,500 
 1,500,000   NGL Energy Partners LP  6.125  3/1/2025   954,375 
 250,000   NRG Energy, Inc. (A)  3.375  2/15/2029   256,419 
 250,000   NRG Energy, Inc. (A)  3.625  2/15/2031   257,669 
 1,000,000   NuStar Logistics LP  5.625  4/28/2027   1,067,315 
 1,500,000   Occidental Petroleum Corp.  6.125  1/1/2031   1,609,050 
 1,000,000   Olin Corp.  5.625  8/1/2029   1,087,505 
 1,000,000   PBF Holding Co. LLC (A)  9.250  5/15/2025   987,325 
 775,000   PBF Holding Co. LLC  7.250  6/15/2025   503,835 
 1,000,000   PBF Holding Co. LLC  6.000  2/15/2028   573,125 
 1,500,000   Plastipak Holdings, Inc. (A)  6.250  10/15/2025   1,547,813 
 1,500,000   SeaWorld Parks & Entertainment, Inc. (A)  9.500  8/1/2025   1,631,250 
 1,250,000   Service Properties Trust  7.500  9/15/2025   1,441,505 
 500,000   Service Properties Trust  5.500  12/15/2027   547,142 
 750,000   Signature Aviation US Holdings, Inc. (A)  5.375  5/1/2026   770,625 
 1,000,000   Signature Aviation US Holdings, Inc. (A)  4.000  3/1/2028   1,008,340 
 500,000   Spirit AeroSystems, Inc. (A)  5.500  1/15/2025   528,075 
 1,000,000   Standard Industries, Inc. (A)  5.000  2/15/2027   1,046,875 
 1,000,000   STL Holding Co. LLC (A)  7.500  2/15/2026   1,037,500 
 1,000,000   Suburban Propane Partners LP  5.875  3/1/2027   1,048,125 
 1,250,000   Targa Resources Partners LP  5.500  3/1/2030   1,358,300 
 500,000   TEGNA, Inc. (A)  4.750  3/15/2026   534,525 
 390,000   Tenet Healthcare Corp. (A)  4.625  9/1/2024   403,042 
 1,000,000   Tenet Healthcare Corp. (A)  6.250  2/1/2027   1,061,395 
 500,000   Trinity Industries, Inc.  4.550  10/1/2024   523,165 
 1,000,000   TTM Technologies, Inc. (A)  5.625  10/1/2025   1,027,395 
 1,500,000   United Natural Foods, Inc. (A)  6.750  10/15/2028   1,571,220 
 750,000   Vistra Operations Co. LLC (A)  5.625  2/15/2027   798,825 
 1,185,000   Vizient, Inc. (A)  6.250  5/15/2027   1,278,094 
 1,500,000   Waste Pro USA, Inc. (A)  5.500  2/15/2026   1,538,108 
 500,000   Weekley Finance Corp. (A)  4.875  9/15/2028   523,750 
 1,750,000   Welbilt, Inc.  9.500  2/15/2024   1,811,976 
     TOTAL CORPORATE BONDS (Cost $76,142,984)     79,422,363 
                 
     CONVERTIBLE BONDS - 3.2%           
     OIL & GAS PRODUCERS - 2.6%           
 2,879,000   Cheniere Energy, Inc.  4.250  3/15/2045   2,278,068 
                 
     SPECIALTY FINANCE - 0.6%           
 500,000   Arbor Realty Trust, Inc.  4.750  11/1/2022   502,955 
                 
     TOTAL CONVERTIBLE BONDS (Cost $2,427,121)     2,781,023 
                 
Shares               
     PREFERRED STOCK - 0.6%           
     INDUSTRIAL SUPPORT SERVICES - 0.6%        
 17,500   WESCO International, Inc., 0.625% (Cost $463,059)     546,875 
                 
     MONEY MARKET FUND - 5.1%           
 4,527,152   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (C)
(Cost $4,527,152)
   4,527,152 
                 
     TOTAL INVESTMENTS - 98.7% (Cost $83,560,316)    $87,277,413 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 1.3%     1,145,815 
     NET ASSETS - 100.0%        $88,423,228 

 

LIBOR - London Interbank Offered Rate. The 3 month U.S. LIBOR rate as of December 31, 2020 is 0.24%.

 

LLC - Limited Liability Company.

 

LP - Limited Partnership.

 

(A)144A Security - Security exempt from registration under Rule 144A of the Securities Act of 1933. The 144A securities had a fair value of $54,391,992 and represent 61.5% 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 interest rate shown reflects the effective rate at December 31, 2020.

 

(C)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | Israel Common Values Fund
 As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     COMMON STOCK - 97.4%     
     AEROSPACE & DEFENSE - 3.2%     
 18,301   Elbit Systems Ltd.  $2,393,771 
 22,670   Ituran Location and Control Ltd.   431,863 
         2,825,634 
     APPAREL & TEXTILE PRODUCTS - 3.1%     
 24,063   Delta Galil Industries Ltd.   609,744 
 21,392   Fox Wizel Ltd.   2,147,994 
         2,757,738 
     AUTOMOTIVE - 0.4%     
 4,461   Electreon Wireless Ltd. *   372,352 
           
     BANKING - 14.3%     
 96,500   Bank Hapoalim BM (ADR)   3,184,500 
 589,000   Bank Leumi Le-Israel BM   3,467,080 
 58,300   First International Bank Of Israel Ltd.   1,545,927 
 532,000   Israel Discount Bank Ltd.   2,047,938 
 105,000   Mizrahi Tefahot Bank Ltd.   2,428,133 
         12,673,578 
     BIOTECH & PHARMA - 1.7%     
 48,000   Compugen Ltd. *   581,280 
 450,000   Enlight Renewable Energy Ltd. *   939,018 
         1,520,298 
     CHEMICALS - 1.6%     
 277,902   ICL Group Ltd.   1,403,405 
 1   International Flavors & Fragrances, Inc.   99 
         1,403,504 
     CONSTRUCTION MATERIALS - 1.0%     
 178,000   Inrom Construction Industries Ltd.   867,603 
           
     ELECTRIC UTILITIES - 2.0%     
 19,400   Ormat Technologies, Inc.   1,751,464 
           
     FOOD - 1.8%     
    Mehadrin Ltd. *   5 
 54,500   Strauss Group Ltd.   1,635,951 
         1,635,956 
     HEALTH CARE FACILITIES & SERVICES - 4.4%     
 14,769   Danel Adir Yeoshua Ltd.   2,435,128 
 1,575,013   Novolog Ltd.   1,505,945 
         3,941,073 
     HOME & OFFICE PRODUCTS - 2.0%     
 116,585   Maytronics Ltd.   1,753,060 
           
     INSTITUTIONAL FINANCIAL SERVICES - 2.4%     
 415,685   Tel Aviv Stock Exchange Ltd.   2,116,747 
           
     INSURANCE - 4.9%     
 184,000   Harel Insurance Investments & Financial Services Ltd. *   1,696,275 
 1,230,000   Migdal Insurance & Financial Holding Ltd. *   1,417,404 
 167,400   Phoenix Holdings Ltd. *   1,273,174 
         4,386,853 
     LEISURE FACILITIES & SERVICES - 0.5%     
 4,000   Fattal Holdings 1998 Ltd. *   430,671 
           
     MEDICAL EQUIPMENT & DEVICES - 0.9%     
 4,700   Novocure Ltd. *   813,288 

 

 

Schedule of Investments | Israel Common Values Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     OIL & GAS PRODUCERS - 3.7%     
 62,968   Energean Oil & Gas PLC *  $620,767 
 5,600   Israel Corp. Ltd. *   1,068,793 
 1,995,000   Oil Refineries Ltd. *   452,336 
 7,000   Paz Oil Co. Ltd.   751,059 
 1,012,500   Ratio Oil Exploration 1992 LP *   384,717 
         3,277,672 
     REAL ESTATE OWNERS & DEVELOPERS - 11.5%     
 105,000   Alony Hetz Properties & Investments Ltd.   1,468,326 
 176,000   Amot Investments Ltd.   986,122 
 31,000   Azrieli Group Ltd.   1,970,568 
 45,000   Elco Ltd.   2,280,273 
 160,000   Gev-Yam Land Corp Ltd   1,304,597 
 12,580   Melisron Ltd.   683,670 
 593,430   Mivne Real Estate KD Ltd.   1,530,335 
         10,223,891 
     RENEWABLE ENERGY - 2.4%     
 216,360   Energix-Renewable Energies Ltd.   987,864 
 3,600   SolarEdge Technologies, Inc. *   1,148,832 
         2,136,696 
     RETAIL - CONSUMER STAPLES - 4.4%     
 23,700   Rami Levy Chain Stores Hashikma Marketing 2006 Ltd.   1,660,801 
 210,000   Shufersal Ltd.   1,622,026 
 27,315   Victory Supermarket Chain Ltd.   623,920 
         3,906,747 
     SEMICONDUCTORS - 6.3%     
 10,000   CEVA, Inc. *   455,000 
 45,000   Nova Measuring Instruments Ltd. *   3,177,000 
 1   Tower Semiconductor Ltd. *   16 
 76,923   Tower Semiconductor Ltd. *   1,986,152 
         5,618,168 
     SOFTWARE - 18.7%     
 18,100   CyberArk Software Ltd. *   2,924,779 
 33,435   Hilan Ltd.   1,586,986 
 23,400   Nice Ltd. (ADR) *   6,634,836 
 6,000   One Software Technologies Ltd.   794,008 
 45,300   Sapiens International Corp. NV   1,386,633 
 11,400   Varonis Systems, Inc. *   1,865,154 
 21,500   Verint Systems, Inc. *   1,444,370 
         16,636,766 
     TECHNOLOGY HARDWARE - 1.1%     
 17,800   AudioCodes Ltd.   490,390 
 4,900   Kornit Digital Ltd. *   436,737 
         927,127 
     TECHNOLOGY SERVICES - 2.8%     
 78,783   Magic Software Enterprises Ltd.   1,232,954 
 56,210   Matrix IT Ltd.   1,272,550 
         2,505,504 
     WHOLESALE - DISCRETIONARY - 2.3%     
 27,300   Tadiran Holdings Ltd.   2,015,956 
           
     TOTAL COMMON STOCK (Cost $49,819,994)   86,498,346 

 

 

Schedule of Investments | Israel Common Values Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     REITs - 1.4%     
 259,000   Reit 1 Ltd. * (Cost $1,256,747)  $1,297,904 
           
     MONEY MARKET FUND - 1.6%     
 1,416,623   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (A)
(Cost $1,416,623)
   1,416,623 
           
     TOTAL INVESTMENTS - 100.4% (Cost $52,493,364)  $89,212,873 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.4)%   (377,116)
     NET ASSETS - 100.0%  $88,835,757 

 

*Non-income producing securities.

 

ADR - American Depositary Receipt.

 

LP - Limited Partnership.

 

PLC - Public Limited Co.

 

REITs - Real Estate Investment Trusts.

 

(A)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

Diversification of Assets   
Country  % of Net Assets  
Israel  91.0%  
United States  6.2%  
Jersey  0.9%  
United Kingdom  0.7%  
Iceland  0.0% *
Total  98.8%  
Money Market Fund  1.6%  
Other Assets Less Liabilities - Net  (0.4)%  
Grand Total  100.0%  

 

*Amount is less than 0.05%

 

 

Schedule of Investments | Defensive Strategies Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     COMMON STOCK - 21.2%     
     CHEMICALS - 2.9%     
 6,006   CF Industries Holdings, Inc.  $232,492 
 7,077   Corteva, Inc.   274,021 
 1,448   FMC Corp.   166,419 
 6,123   Mosaic Co.   140,890 
 4,567   Nutrien Ltd   219,947 
 1,463   Sasol Ltd. (ADR) *   12,962 
 1,807   Sociedad Quimica Y Minera de Chile, SA (ADR)   88,706 
         1,135,437 
     COMMERCIAL SUPPORT SERVICES - 0.0% **     
 1,043   Harsco Corp. *   18,753 
           
     DIVERSIFIED INDUSTRIALS - 0.1%     
 515   Pentair PLC   27,341 
           
     FOOD - 0.8%     
 5,133   BRF SA (ADR) *   21,559 
 545   Cal-Maine Foods, Inc. *   20,459 
 948   Darling Ingredients, Inc. *   54,681 
 743   Fresh Del Monte Produce, Inc.   17,884 
 815   Ingredion, Inc.   64,116 
 1,100   Maple Leaf Foods, Inc.   24,366 
 800   Maruha Nichiro Corp.   17,202 
 200   Megmilk Snow Brand Co. Ltd.   4,275 
 600   Morinaga Milk Industry Co. Ltd.   29,522 
 4,700   Nippon Suisan Kaisha Ltd.   19,393 
 1,279   Pilgrim’s Pride Corp. *   25,081 
 255   Sanderson Farms, Inc.   33,711 
         332,249 
     FORESTRY, PAPER & WOOD PRODUCTS - 0.0% **     
 900   Sumitomo Forestry Co. Ltd.   18,777 
           
     GAS & WATER UTILITIES - 0.6%     
 7   American States Water Co.   557 
 179   American Water Works Co., Inc.   27,471 
 437   California Water Service Group   23,611 
 5,672   Cia de Saneamento Basico do Estado de Sao Paulo (ADR)   48,722 
 188   Essential Utilities, Inc.   8,891 
 1,154   Severn Trent PLC   36,108 
 1,944   United Utilities Group PLC   23,783 
 3,434   Veolia Environnement SA   84,075 
         253,218 
     HEALTH CARE FACILITIES & SERVICES - 0.6%     
 48,754   Brookdale Senior Living, Inc. *   215,980 
           
     MACHINERY - 1.3%     
 976   AGCO Corp.   100,616 
 4,046   CNH Industrial NV *   51,951 
 745   Deere & Co.   200,442 
 1,351   Evoqua Water Technologies Corp. *   36,450 
 4,000   Kubota Corp.   87,210 
 700   Kurita Water Industries Ltd.   26,747 
         503,416 
     METALS & MINING - 5.2%     
 139   Agnico Eagle Mines Ltd.   9,801 
 2,243   Anglo American PLC   74,337 
 1,574   AngloGold Ashanti Ltd. (ADR)   35,604 
 1,391   Antofagasta PLC   27,390 
 3,044   BHP Group Ltd. (ADR)   198,895 
 234   BHP Group PLC (ADR)   12,409 
 2,352   Cameco Corp.   31,517 
 3,247   Cia De Minas Buenaventura (ADR) *   39,581 
 964   Cleveland-Cliffs, Inc.   14,036 
 817   Compass Minerals International, Inc.   50,425 
 137   First Majestic Silver Corp. *   1,841 
 7,500   First Quantum Minerals Ltd.   134,517 
 3,675   Freeport-McMoRan, Inc   95,623 

 

 

Schedule of Investments | Defensive Strategies Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     METALS & MINING - 5.2% (Continued)     
 21,528   Glencore PLC *  $68,567 
 5,729   IAMGOLD Corp. *   21,025 
 1,412   KAZ Minerals PLC   12,739 
 6,656   Kinross Gold Corp.   48,855 
 1,002   Kirkland Lake Gold Ltd.   41,370 
 4,347   Livent Corp. *   81,897 
 13,400   Lundin Mining Corp.   118,854 
 3,539   MMC Norilsk Nickel PJSC (ADR)   110,417 
 1,109   Newmont Corp.   66,418 
 525   Pan American Silver Corp.   18,118 
 3,600   Pretium Resources, Inc. *   41,328 
 2,900   Rio Tinto PLC (ADR)   218,138 
 213   Royal Gold, Inc.   22,655 
 1,212   Southern Copper Corp.   78,925 
 835   SSR Mining, Inc. *   16,792 
 2,400   Sumitomo Metal Mining Co. Ltd.   106,442 
 2,943   Teck Resources Ltd.   53,362 
 10,645   Vale SA (ADR)   178,410 
 1,249   Vedanta Ltd. (ADR)   10,966 
         2,041,254 
     OIL & GAS PRODUCERS - 5.3%     
 2,495   Apache Corp.   35,404 
 4,200   ARC Resources Ltd   19,780 
 3,554   Cabot Oil & Gas Corp.   57,859 
 4,087   Canadian Natural Resources Ltd.   98,292 
 7,566   Cenovus Energy, Inc.   46,026 
 1,242   Cimarex Energy Co.   46,587 
 4,818   CNX Resources Corp. *   52,034 
 1,432   Concho Resources, Inc.   83,557 
 4,556   ConocoPhillips   182,194 
 2,893   Continental Resources, Inc.   47,156 
 8,700   Crescent Point Energy Corp.   20,282 
 918   Devon Energy Corp.   14,514 
 1,466   Diamondback Energy, Inc.   70,954 
 1,026   Ecopetrol SA (ADR)   13,246 
 819   Eni SpA (ADR)   16,871 
 3,202   EOG Resources, Inc.   159,684 
 127   EQT Corp.   1,614 
 2,337   Equinor ASA (ADR)   38,374 
 463   Hess Corp.   24,442 
 3,600   Husky Energy, Inc.   17,802 
 20,700   Inpex Corp.   111,475 
 2,222   Lukoil PJSC (ADR)   151,540 
 12,534   Marathon Oil Corp.   83,602 
 2,235   Murphy Oil Corp.   27,044 
 306   Novatek OJSC (GDR)   50,000 
 197   Occidental Petroleum Corp.   3,410 
 4,458   Ovintiv, Inc.   64,017 
 2,800   Parex Resources, Inc. *   38,505 
 779   Parsley Energy, Inc.   11,062 
 2,996   PDC Energy, Inc. *   61,508 
 3,018   Petroleo Brasileiro SA (ADR)   33,892 
 1,276   Pioneer Natural Resources Co.   145,324 
 3,059   PrairieSky Royalty Ltd.   24,227 
 8,242   Rosneft Oil Company (GDR)   46,485 
 5,800   Suncor Energy, Inc.   97,198 
 3,831   Surgutneftegas PJSC (ADR)   17,692 
 1,500   Tourmaline Oil Corp.   20,204 
 4,166   WPX Energy, Inc. *   33,953 
 504   YPF SA (ADR) *   2,369 
         2,070,179 
     OIL & GAS SERVICES & EQUIPMENT - 1.2%     
 3,554   Baker Hughes, Inc.   74,101 
 3,819   ChampionX Corp. *   58,431 
 463   Dril-Quip, Inc. *   13,714 
 4,810   Halliburton Co.   90,909 
 4,008   Helmerich & Payne, Inc.   92,825 

 

 

Schedule of Investments | Defensive Strategies Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares      Fair Value 
         
     OIL & GAS SERVICES & EQUIPMENT - 1.2% (Continued)     
 409   National Oilwell Varco, Inc.  $5,616 
 5,615   Schlumberger Ltd.   122,575 
 733   TechnipFMC PLC (France)   6,935 
 1,311   TechnipFMC PLC   12,323 
         477,429 
     REAL ESTATE OWNERS & DEVELOPERS - 0.5%     
 4,500   CTO Realty Growth, Inc.   189,720 
           
     RENEWABLE ENERGY- 1.2%     
 2,772   Ballard Power Systems, Inc. *   64,865 
 1,074   Canadian Solar, Inc. *   55,032 
 278   Enphase Energy, Inc. *   48,781 
 438   First Solar, Inc. *   43,327 
 1,300   GS Yuasa Corp.   37,321 
 2,163   Plug Power, Inc. *   73,347 
 778   Renewable Energy Group, Inc. *   55,098 
 183   SolarEdge Technologies, Inc. *   58,399 
 259   Varta AG *   37,458 
         473,628 
     STEEL - 0.9%     
 365   Allegheny Technologies, Inc. *   6,121 
 2,522   ArcelorMittal (ADR) *   57,754 
 2,371   Commercial Metals Co.   48,700 
 2,427   Gerdau SA (ADR)   11,334 
 2,300   Hitachi Metals Ltd.   34,886 
 3,100   Kobe Steel Ltd. *   16,544 
 2,200   Nippon Steel & Sumitomo Metal Corp. *   28,298 
 1,020   Steel Dynamics, Inc.   37,607 
 3,529   Tenaris SA (ADR)   56,288 
 841   Ternium SA (ADR) *   24,456 
 2,893   United States Steel Corp.   48,516 
         370,504 
     TELECOMMUNICATIONS - 0.3%     
 7,020   Switch, Inc.   114,917 
           
     WHOLESALE - CONSUMER STAPLES - 0.3%     
 1,639   Bunge Ltd.   107,486 
           
     TOTAL COMMON STOCK (Cost $6,855,930)   8,350,288 
           
     REITs - 19.5%     
 14,000   Alexander & Baldwin, Inc.   240,520 
 3,500   American Campus Communities, Inc.   149,695 
 11,000   American Homes 4 Rent   330,000 
 2,500   American Tower Corp.   561,150 
 9,000   Americold Realty Trust   335,970 
 1,600   AvalonBay Communities, Inc.   256,688 
 2,300   Boston Properties, Inc.   217,419 
 4,000   Camden Property Trust   399,680 
 8,000   Cousins Properties, Inc.   268,000 
 3,700   Crown Castle International Corp.   589,003 
 1,500   Digital Realty Trust, Inc.   209,265 
 750   Equinix, Inc.   535,635 
 800   Essex Property Trust, Inc.   189,936 
 7,000   Getty Realty Corp.   192,780 
 11,000   Invitation Homes, Inc.   326,700 
 2,000   Life Storage, Inc.   238,780 
 12,500   Plymouth Industrial REIT, Inc.   187,500 
 998   PotlatchDeltic Corp.   49,920 
 6,000   Prologis, Inc.   597,960 
 3,110   QTS Realty Trust, Inc.   192,447 
 690   Rayonier, Inc.   20,272 
 4,500   Rexford Industrial Realty, Inc.   220,995 

 

 

Schedule of Investments | Defensive Strategies Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Shares            Fair Value 
               
     REITs - 19.5% (Continued)           
 1,950   SBA Communications Corp.        $550,153 
 1,800   Sun Communities, Inc.         273,510 
 5,500   Ventas, Inc.         269,720 
 3,800   Welltower, Inc.         245,556 
 1,726   Weyerhaeuser Co.         57,873 
     TOTAL REITS (Cost $7,329,229)         7,707,127 
                 
 Principal       Coupon Rate %   Maturity     
     TREASURY INFLATION PROTECTED SECURITIES (TIPS) - 28.6%     
$565,000   TIPS  0.125  4/15/2021   622,900 
 1,095,000   TIPS  0.125  4/15/2022   1,197,153 
 975,000   TIPS  0.625  1/15/2024   1,168,079 
 700,000   TIPS  2.375  1/15/2025   1,130,315 
 645,000   TIPS  2.000  1/15/2026   1,006,559 
 640,000   TIPS  2.375  1/15/2027   1,027,883 
 685,000   TIPS  1.750  1/15/2028   1,044,955 
 610,000   TIPS  2.500  1/15/2029   972,467 
 1,205,000   TIPS  0.875  1/15/2029   1,461,368 
 880,000   TIPS  2.125  2/15/2041   1,643,333 
     TOTAL TREASURY INFLATION PROTECTED SECURITIES (TIPS) (Cost $10,312,189)   11,275,012 
                 
Ounces                
     ALTERNATIVE INVESTMENTS - 29.6%           
 6,143   Gold Bars * (Cost $7,240,875)         11,661,039 
                 
Shares    MONEY MARKET FUND - 1.0%           
 411,731   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (A)
(Cost $411,731)
   411,731 
                 
     TOTAL INVESTMENTS - 99.9% (Cost $32,149,954)  $39,405,197 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.1%   34,214 
     NET ASSETS - 100.0%        $39,439,411 

 

*Non-income producing securities/investments.

 

**Less than 0.05%.

 

ADR - American Depositary Receipt.

 

GDR - Global Depositary Receipt.

 

LP - Limited Partnership.

 

PLC - Public Limited Co.

 

REITs - Real Estate Investment Trusts.

 

(A)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | Strategic Growth Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     EXCHANGE TRADED FUNDS (A) - 59.3%     
 156,633   Timothy Plan High Dividend Stock ETF  $4,058,361 
 332,461   Timothy Plan International ETF   8,978,209 
 212,569   Timothy Plan US Large/Mid Cap Core ETF   6,559,879 
 109,131   Timothy Plan US Small Cap Core ETF   3,024,817 
     TOTAL EXCHANGE TRADED FUNDS (Cost $19,689,211)   22,621,266 
           
     MUTUAL FUNDS - 38.9% (B)     
 212,054   Timothy Plan Defensive Strategies Fund   2,693,081 
 681,750   Timothy Plan Fixed Income Fund   7,321,998 
 213,443   Timothy Plan High Yield Bond Fund   2,070,399 
 233,174   Timothy Plan International Fund   2,784,097 
     TOTAL MUTUAL FUNDS (Cost $13,470,359)   14,869,575 
           
     MONEY MARKET FUND - 2.1%     
 787,567   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (C)
(Cost $787,567)
   787,567 
           
     TOTAL INVESTMENTS - 100.3% (Cost $33,947,137)  $38,278,408 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.3)%   (111,856)
     NET ASSETS - 100.0%  $38,166,552 

 

ETF - Exchange Traded Fund.

 

(A)Affiliated Funds.

 

(B)Affiliated Funds - Class A.

 

(C)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | Conservative Growth Fund
As of December 31, 2020 (Unaudited)

 

Shares      Fair Value 
         
     EXCHANGE TRADED FUNDS (A) - 42.4%     
 147,162   Timothy Plan High Dividend Stock ETF  $3,812,967 
 266,144   Timothy Plan International ETF   7,187,299 
 230,221   Timothy Plan US Large/Mid Cap Core ETF   7,104,620 
 102,523   Timothy Plan US Small Cap Core ETF   2,841,661 
     TOTAL EXCHANGE FUNDS (Cost $17,912,833)   20,946,547 
           
     MUTUAL FUNDS - 54.6% (B)     
 237,658   Timothy Plan Defensive Strategies Fund   3,018,260 
 1,760,305   Timothy Plan Fixed Income Fund   18,905,678 
 279,048   Timothy Plan High Yield Bond Fund   2,706,758 
 195,959   Timothy Plan International Fund   2,339,744 
     TOTAL MUTUAL FUNDS (Cost $25,137,452)   26,970,440 
           
     MONEY MARKET FUND - 3.1%     
 1,532,673   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (C)
(Cost $1,532,673)
   1,532,673 
           
     TOTAL INVESTMENTS - 100.1% (Cost $44,582,958)  $49,449,660 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - (0.1)%   (58,180)
     NET ASSETS - 100.0%  $49,391,480 

 

ETF - Exchange Traded Fund.

 

(A)Affiliated Funds.

 

(B)Affiliated Funds - Class A.

 

(C)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

Schedule of Investments | Growth & Income Fund
As of December 31, 2020 (Unaudited)

 

Par Value      Coupon Rate (%)  Maturity  Fair Value 
               
     BONDS & NOTES - 34.3%           
     CORPORATE BONDS - 18.9%           
$160,000   ABB Finance USA, Inc.  2.875  5/8/2022  $165,383 
 160,000   American Electric Power Company, Inc.  3.200  11/13/2027   179,190 
 160,000   Aptiv Corp.  4.150  3/15/2024   176,059 
 160,000   Canadian Pacific RR Co.  2.900  2/1/2025   173,215 
 160,000   CBOE Holdings, Inc.  3.650  1/12/2027   181,992 
 160,000   CSX Corp.  3.250  6/1/2027   180,845 
 80,000   Digital Realty Trust LP  3.700  8/15/2027   91,950 
 80,000   Dollar General Corp.  4.125  5/1/2028   94,350 
 120,000   Eaton Corp.  2.750  11/2/2022   125,214 
 120,000   European Investment Bank  2.375  6/15/2022   123,793 
 120,000   Healthpeak Properties, Inc.  3.500  7/15/2029   136,120 
 120,000   Kreditanstalt fuer Wiederaufbau  2.125  6/15/2022   123,384 
 130,000   LYB International Finance BV  4.000  7/15/2023   140,988 
 120,000   National Rural Utilities Cooperative Finance Corp.  2.950  2/7/2024   128,349 
 240,000   NiSource Finance Corp.  3.490  5/15/2027   272,143 
 160,000   Nutrien Ltd.  4.000  12/15/2026   185,972 
 160,000   Phillips 66 Partners LP  3.605  2/15/2025   172,920 
 120,000   Province of Ontario Canada  2.500  4/27/2026   131,656 
 120,000   Province of Quebec Canada  2.375  1/31/2022   122,698 
 110,000   Sunoco Logistics Partners LP  4.250  4/1/2024   119,106 
 190,000   Ventas Capital Corp.  3.250  8/15/2022   197,135 
 115,000   WEC Energy Group, Inc.  3.550  6/15/2025   128,181 
     TOTAL CORPORATE BONDS (Cost $3,093,670)   3,350,643 
                 
     U.S. GOVERNMENT & AGENCY OBLIGATIONS - 15.4%  
     GOVERNMENT MORTGAGE-BACKED SECURITIES - 9.5%  
 62,991   GNMA Pool G2 BN2662  3.000  10/20/2049   65,994 
 104,076   GNMA Pool G2 MA3376  3.500  1/20/2046   112,050 
 82,216   GNMA Pool G2 MA3596  3.000  4/20/2046   87,541 
 69,635   GNMA Pool G2 MA3663  3.500  5/20/2046   75,390 
 91,885   GNMA Pool G2 MA3736  3.500  6/20/2046   99,973 
 30,099   GNMA Pool G2 MA4509  3.000  6/20/2047   31,983 
 95,037   GNMA Pool G2 MA4652  3.500  8/20/2047   101,847 
 92,808   GNMA Pool G2 MA4719  3.500  9/20/2047   100,176 
 84,873   GNMA Pool G2 MA6092  4.500  8/20/2049   91,513 
 69,336   GNMA Pool G2 MA6156  4.500  9/20/2049   75,117 
 73,526   GNMA Pool G2 MA6221  4.500  10/20/2049   79,544 
 95,266   GNMA Pool G2 MA6338  3.000  12/20/2049   99,658 
 77,039   GNMA Pool G2 MA6476  4.000  2/20/2050   82,272 
 68,043   GNMA Pool G2 MA6478  5.000  2/20/2050   74,422 
 94,624   GNMA Pool G2 MA6544  4.500  3/20/2050   101,801 
 60,574   GNMA Pool G2 MA6545  5.000  3/20/2050   66,096 
 72,873   GNMA Pool G2 MA6600  3.500  4/20/2050   77,304 
 72,055   GNMA Pool G2 MA6601  4.000  4/20/2050   76,830 
 104,021   GNMA Pool G2 MA6603  5.000  4/20/2050   113,748 
 59,427   GNMA Pool G2 MA6865  2.500  9/20/2050   62,958 
 4,814   GNMA Pool GN 723248  5.000  10/15/2039   5,549 
     TOTAL GOVERNMENT MORTGAGE-BACKED SECURITIES (Cost $1,638,850)   1,681,766 

 

 

Schedule of Investments | Growth & Income Fund
As of December 31, 2020 (Unaudited) (Continued)

 

Par Value      Coupon Rate (%)  Maturity  Fair Value 
               
     GOVERNMENT NOTES, BONDS & AGENCIES - 5.9%           
$15,000   United States Treasury Note  0.250  6/15/2023  $15,039 
 290,000   United States Treasury Note  2.000  8/15/2025   312,362 
 230,000   United States Treasury Note  1.500  2/15/2030   243,324 
 250,000   United States Treasury Note  4.500  2/15/2036   366,904 
 85,000   United States Treasury Note  3.000  2/15/2049   112,120 
     TOTAL GOVERNMENT NOTES, BONDS & AGENCIES (Cost $991,444)   1,049,749 
                 
     TOTAL U.S. GOVERNMENT & AGENCY OBLIGATIONS (Cost $2,630,294)   2,731,515 
                 
     TOTAL BONDS & NOTES (Cost $5,723,964)         6,082,158 
                 
Shares               
     EXCHANGE TRADED FUND (A) - 65.4%           
 448,000   Timothy Plan High Dividend Stock ETF (Cost $11,015,311)   11,607,680 
                 
     MONEY MARKET FUND - 0.2%           
 36,809   Fidelity Institutional Money Market Funds - Government Portfolio - Class I, 0.01% (B)
(Cost $36,809)
   36,809 
                 
     TOTAL INVESTMENTS - 99.9% (Cost $16,776,084)  $17,726,647 
     OTHER ASSETS IN EXCESS OF LIABILITIES - NET - 0.1%   15,473 
     NET ASSETS - 100.0%        $17,742,120 

 

ETF - Exchange Traded Fund.

 

GNMA - Government National Mortgage Association.

 

LP - Limited Partnership.

 

(A)Affiliated Fund.

 

(B)Variable rate security; the rate shown represents the yield at December 31, 2020.

 

 

SCHEDULE OF INVESTMENTS I The Timothy Plan
December 31, 2020 (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.

 

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, 2020 (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, 2020:

 

Aggressive Growth Fund                
                 
Assets  Level 1   Level 2   Level 3   Total 
Common Stock  $39,492,076   $   $   $39,492,076 
REITs   670,885            670,885 
Money Market Fund   460,514            460,514 
Total  $40,623,475   $   $   $40,623,475 
                     
International Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Common Stock  $98,614,304   $   $   $98,614,304 
Money Market Fund   1,339,805            1,339,805 
Total  $99,954,109   $   $   $99,954,109 
                     
Large/Mid Cap Growth Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Common Stock  $91,610,650   $   $   $91,610,650 
Exchange Traded Fund   22,219,200            22,219,200 
Money Market Fund   2,854,314            2,854,314 
Total  $116,684,164   $   $   $116,684,164 
                     
Small Cap Value Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Common Stock  $112,935,587   $   $   $112,935,587 
Exchange Traded Fund   16,076,034            16,076,034 
REITs   12,236,692            12,236,692 
Money Market Fund   1,936,521            1,936,521 
Total  $143,184,834   $   $   $143,184,834 

 

 

SCHEDULE OF INVESTMENTS I The Timothy Plan
December 31, 2020 (Unaudited) (Continued)

 

Large/Mid Cap Value Fund                
                 
Assets  Level 1   Level 2   Level 3   Total 
Common Stock  $142,153,517   $   $   $142,153,517 
Exchange Traded Funds   52,228,400            52,228,400 
REITs   8,423,375            8,423,375 
Money Market Fund   6,267,799            6,267,799 
Total  $209,073,091   $   $   $209,073,091 
                     
Fixed Income Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Corporate Bonds  $   $27,781,232   $   $27,781,232 
Government Mortage-Backed Securities       21,905,065        21,905,065 
Government Notes & Bonds       65,696,808        65,696,808 
Money Market Fund   2,374,603            2,374,603 
Total  $2,374,603   $115,383,105   $   $117,757,708 
                     
High Yield Bond Fund                    
                     
Assets   Level 1    Level 2    Level 3    Total 
Corporate Bonds  $   $79,422,363   $   $79,422,363 
Convertible Bonds       2,781,023        2,781,023 
Preferred Stock   546,875            546,875 
Money Market Fund   4,527,152            4,527,152 
Total  $5,074,027   $82,203,386   $   $87,277,413 
                     
Israel Common Values Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Common Stock  $86,498,346   $   $   $86,498,346 
REITs   1,297,904            1,297,904 
Money Market Fund   1,416,623            1,416,623 
Total  $89,212,873   $   $   $89,212,873 
                     
Defensive Strategies Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Common Stock  $8,350,288   $   $   $8,350,288 
REITs   7,707,127            7,707,127 
Treasury Inflation Protected Securities (TIPS)       11,275,012        11,275,012 
Alternative Investments *   11,661,039            11,661,039 
Money Market Fund   411,731            411,731 
Total  $28,130,185   $11,275,012   $   $39,405,197 
                     
*    Reflects the fund’s investment in gold.  
                     
Strategic Growth Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Exchange Traded Funds  $22,621,266   $   $   $22,621,266 
Mutual Funds   14,869,575            14,869,575 
Money Market Fund   787,567            787,567 
Total  $38,278,408   $   $   $38,278,408 

 

 

SCHEDULE OF INVESTMENTS I The Timothy Plan
December 31, 2020 (Unaudited) (Continued)

 

Conservative Growth Fund                
                 
Assets  Level 1   Level 2   Level 3   Total 
Exchange Traded Funds  $20,946,547   $   $   $20,946,547 
Mutual Funds   26,970,440            26,970,440 
Money Market Fund   1,532,673            1,532,673 
Total  $49,449,660   $   $   $49,449,660 
                     
Growth & Income Fund                    
                     
Assets  Level 1   Level 2   Level 3   Total 
Corporate Bonds  $   $3,350,643   $   $3,350,643 
Government Mortage-Backed Securities       1,681,766        1,681,766 
Government Notes & Bonds       1,049,749        1,049,749 
Exchange Traded Fund   11,607,680            11,607,680 
Money Market Fund   36,809            36,809 
Total  $11,644,489   $6,082,158   $   $17,726,647 

 

The Funds did not hold any Level 3 securities during the period presented.

 

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, 2020, were as follows:

 

               Net Unrealized 
       Gross Unrealized   Gross Unrealized   Appreciation/ 
Fund  Tax Cost   Appreciation   Depreciation   (Depreciation) 
Aggressive Growth  $27,174,182   $13,522,698   $(73,405)  $13,449,293 
International   68,144,719    32,012,457    (203,067)   31,809,390 
Large/Mid Cap Growth   79,240,352    38,536,317    (1,092,505)   37,443,812 
Small Cap Value   128,506,771    21,370,735    (6,692,672)   14,678,063 
Large/Mid Cap Value   163,046,046    48,135,218    (2,108,173)   46,027,045 
Fixed Income   112,203,337    5,672,774    (118,403)   5,554,371 
High Yield Bond   83,560,597    4,744,746    (1,027,930)   3,716,816 
Israel Common Values   53,665,263    37,918,945    (2,371,335)   35,547,610 
Defensive Strategies   32,825,526    8,015,125    (1,435,454)   6,579,671 
Strategic Growth   33,997,695    4,329,484    (48,771)   4,280,713 
Conservative Growth   44,687,469    4,864,546    (102,355)   4,762,191 
Growth & Income   16,788,721    952,950    (15,024)   937,926