0001145549-22-070921.txt : 20221128 0001145549-22-070921.hdr.sgml : 20221128 20221128131504 ACCESSION NUMBER: 0001145549-22-070921 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220930 FILED AS OF DATE: 20221128 DATE AS OF CHANGE: 20221128 PERIOD START: 20221231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TOUCHSTONE VARIABLE SERIES TRUST CENTRAL INDEX KEY: 0000920547 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08416 FILM NUMBER: 221423353 BUSINESS ADDRESS: STREET 1: 303 BROADWAY STREET 2: SUITE 1100 CITY: CINCINNATI STATE: OH ZIP: 45202-4203 BUSINESS PHONE: 513-362-8000 MAIL ADDRESS: STREET 1: 303 BROADWAY STREET 2: SUITE 1100 CITY: CINCINNATI STATE: OH ZIP: 45202-4203 FORMER COMPANY: FORMER CONFORMED NAME: SELECT ADVISORS VARIABLE INSURANCE TRUST DATE OF NAME CHANGE: 19950912 FORMER COMPANY: FORMER CONFORMED NAME: IFS VARIABLE INSURANCE TRUST DATE OF NAME CHANGE: 19940318 0000920547 S000059068 Touchstone Common Stock Fund C000193691 Touchstone Common Stock Fund - Class I C000213076 Class SC NPORT-P 1 primary_doc.xml NPORT-P false 0000920547 XXXXXXXX S000059068 C000213076 C000193691 Touchstone Variable Series Trust 811-08416 0000920547 549300PPYZ5OV9N1T150 303 Broadway Suite 1100 Cincinnati 45202 8006388194 Touchstone Variable Series Trust-Touchstone Common Stock Fund S000059068 549300NV4EOLFQEG2K18 2022-12-31 2022-09-30 N 179780156.970000000000 319666.480000000000 179460490.490000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 0.000000000000 1077.000000000000 N Meta Platforms Inc BQ4BKCS1HXDV9HN80Z93 Meta Platforms Inc COM USD0.000006 CL 'A' 30303M102 35693 NS USD 4842826.24 2.6985473108 Long EC CORP US N 1 N N N Fox Corporation 549300DDU6FDRBIELS05 Fox Corporation COM USD0.01 CL A 35137L105 24139 NS USD 740584.52 0.4126727381 Long EC CORP US N 1 N N N Goldman Sachs Group, Inc. 784F5XWPLTWKTBV3E584 Goldman Sachs Group, Inc. COM USD0.01 38141G104 18676 NS USD 5473001.8 3.0496973373 Long EC CORP US N 1 N N N HCA Healthcare Inc 529900PH4ZGUH2MNEU89 HCA Healthcare Inc COM USD0.01 40412C101 19074 NS USD 3505610.46 1.9534162926 Long EC CORP US N 1 N N N Hilton Worldwide Holdings Inc 549300HVGPK36ICB0B89 Hilton Worldwide Holdings Inc COM USD0.01 43300A203 23358 NS USD 2817441.96 1.5699511086 Long EC CORP US N 1 N N N Markel Corporation 549300SCNO12JLWIK605 Markel Corporation COM NPV 570535104 2590 NS USD 2808129.8 1.5647621336 Long EC CORP US N 1 N N N Microsoft Corporation INR2EJN1ERAN0W5ZP974 Microsoft Corporation COM USD0.00000625 594918104 64348 NS USD 14986649.2 8.3509463053 Long EC CORP US N 1 N N N Monster Beverage Corp 52990090AP0E7HCB6F33 Monster Beverage Corp COM USD0.005 61174X109 41995 NS USD 3651885.2 2.0349243391 Long EC CORP US N 1 N N N Netflix, Inc. 549300Y7VHGU0I7CE873 Netflix, Inc. COM USD0.001 64110L106 7521 NS USD 1770744.24 0.9867042240 Long EC CORP US N 1 N N N Airbnb Inc 549300HMUDNO0RY56D37 Airbnb Inc COM CL A 009066101 16346 NS USD 1716983.84 0.9567475467 Long EC CORP US N 1 N N N Alibaba Group Holding Ltd 5493001NTNQJDH60PM02 Alibaba Group Holding Ltd SPON ADS EACH REP 8 ORD SHS 01609W102 15202 NS USD 1216007.98 0.6775909152 Long EC CORP KY N 1 N N N Alphabet Inc. 5493006MHB84DD0ZWV18 Alphabet Inc. CAP USD0.001 CL C 02079K107 102380 NS USD 9843837 5.4852391037 Long EC CORP US N 1 N N N Amazon.com, Inc. ZXTILKJKG63JELOEG630 Amazon.com, Inc. COM USD0.01 023135106 79560 NS USD 8990280 5.0096151947 Long EC CORP US N 1 N N N AmerisourceBergen Corporation AI8GXW8LG5WK7E9UD086 AmerisourceBergen Corporation COM USD0.01 03073E105 28055 NS USD 3796683.15 2.1156094802 Long EC CORP US N 1 N N N Hubbell Incorporated 54930088VDQ6840Y6597 Hubbell Incorporated COM USD0.001 443510607 24564 NS USD 5477772 3.0523554154 Long EC CORP US N 1 N N N International Business Machines Corporation VGRQXHF3J8VDLUA7XE92 International Business Machines Corporation COM USD0.20 459200101 22843 NS USD 2713976.83 1.5122976777 Long EC CORP US N 1 N N N Johnson & Johnson 549300G0CFPGEF6X2043 Johnson & Johnson COM USD1.00 478160104 41371 NS USD 6758366.56 3.7659356338 Long EC CORP US N 1 N N N Jones Lang LaSalle Incorporated 6SYKCME112RT8TQUO411 Jones Lang LaSalle Incorporated COM USD0.01 48020Q107 20646 NS USD 3118991.22 1.7379821104 Long EC CORP US N 1 N N N Oracle Corporation 1Z4GXXU7ZHVWFCD8TV52 Oracle Corporation COM USD0.01 68389X105 58641 NS USD 3581205.87 1.9955399989 Long EC CORP US N 1 N N N Paypal Holdings Incorporation 5493005X2GO78EFZ3E94 Paypal Holdings Incorporation COM USD0.0001 70450Y103 23434 NS USD 2016964.38 1.1239044173 Long EC CORP US N 1 N N N Philip Morris International Inc. HL3H1H2BGXWVG3BSWR90 Philip Morris International Inc. COM NPV 718172109 46964 NS USD 3898481.64 2.1723342165 Long EC CORP US N 1 N N N Raytheon Technologies Corporation I07WOS4YJ0N7YRFE7309 Raytheon Technologies Corporation COM 75513E101 51457 NS USD 4212270.02 2.3471851707 Long EC CORP US N 1 N N N AT&T Inc 549300Z40J86GGSTL398 AT&T Inc COM USD1 00206R102 88597 NS USD 1359077.98 0.7573131982 Long EC CORP US N 1 N N N Apple Inc. HWUPKR0MPOU8FGXBT394 Apple Inc. COM USD0.00001 037833100 93149 NS USD 12873191.8 7.1732734959 Long EC CORP US N 1 N N N Bank of America Corporation 9DJT3UXIJIZJI4WXO774 Bank of America Corporation COM USD0.01 060505104 150470 NS USD 4544194 2.5321417475 Long EC CORP US N 1 N N N Berkshire Hathaway Inc. 5493000C01ZX7D35SD85 Berkshire Hathaway Inc. COM USD0.0033 CLASS'B' 084670702 32185 NS USD 8594038.7 4.7888193532 Long EC CORP US N 1 N N N Biomarin Pharmaceutical Inc. NSLL8ITTRR0J5HEMR848 Biomarin Pharmaceutical Inc. COM USD0.001 09061G101 41078 NS USD 3482182.06 1.9403613857 Long EC CORP US N 1 N N N The Boeing Company RVHJWBXLJ1RFUBSY1F30 The Boeing Company COM USD5.00 097023105 14362 NS USD 1738950.96 0.9689881908 Long EC CORP US N 1 N N N Bristol-Myers Squibb Company HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Company COM USD0.10 110122108 66160 NS USD 4703314.4 2.6208077261 Long EC CORP US N 1 N N N SS&C Technologies Holdings Inc. 529900POY8H7NPPNKK71 SS&C Technologies Holdings Inc. COM USD0.01 78467J100 41743 NS USD 1993228.25 1.1106780353 Long EC CORP US N 1 N N N Salesforce Inc RCGZFPDMRW58VJ54VR07 Salesforce Inc COM USD0.001 79466L302 27302 NS USD 3927119.68 2.1882920688 Long EC CORP US N 1 N N N Schlumberger Limited 213800ZUA17OK3QLGM62 Schlumberger Limited COM USD0.01 806857108 67838 NS USD 2435384.2 1.3570587004 Long EC CORP CW N 1 N N N Southwest Airlines Co. UDTZ87G0STFETI6HGH41 Southwest Airlines Co. COM USD1 844741108 63607 NS USD 1961639.88 1.0930761833 Long EC CORP US N 1 N N N Comcast Corporation 51M0QTTNCGUN7KFCFZ59 Comcast Corporation COM USD0.01 CL A 20030N101 85993 NS USD 2522174.69 1.4054205932 Long EC CORP US N 1 N N N Starbucks Corporation OQSJ1DU9TAOC51A47K68 Starbucks Corporation COM USD0.001 855244109 25379 NS USD 2138434.54 1.1915907140 Long EC CORP US N 1 N N N Walt Disney Company 549300GZKULIZ0WOW665 Walt Disney Company COM DISNEY USD0.01 254687106 13272 NS USD 1251947.76 0.6976174848 Long EC CORP US N 1 N N N Warner Bros. Discovery Inc. 5493006ZCRFWKF6B1K26 Warner Bros. Discovery Inc. COM SER A 934423104 21433 NS USD 246479.5 0.1373447154 Long EC CORP US N 1 N N N Workday Inc 549300J0DYC0N31V7G13 Workday Inc COM USD0.001 CL A 98138H101 14663 NS USD 2232001.86 1.2437288307 Long EC CORP US N 1 N N N Dreyfus Government Cash Management Funds 549300F7IDB6WRO7VJ11 Dreyfus Government Cash Management Funds SH BEN INT 262006208 159844.37 NS USD 159844.37 0.0890693932 Long STIV RF US N 1 N N N Texas Instruments Incorporated WDJNR2L6D8RWOEB8T652 Texas Instruments Incorporated COM USD1.00 882508104 25987 NS USD 4022267.86 2.2413110814 Long EC CORP US N 1 N N N UnitedHealth Group Inc. 549300GHBMY8T5GXDE41 UnitedHealth Group Inc. COM USD0.01 91324P102 15756 NS USD 7957410.24 4.4340736049 Long EC CORP US N 1 N N N Visa Inc 549300JZ4OKEHW3DPJ59 Visa Inc COM STK USD0.0001 92826C839 22768 NS USD 4044735.2 2.2538304609 Long EC CORP US N 1 N N N Deere & Company PWFTNG3EI0Y73OXWDH08 Deere & Company COM USD1 244199105 4648 NS USD 1551920.72 0.8647701317 Long EC CORP US N 1 N N N Dupont De Nemours Inc 5493004JF0SDFLM8GD76 Dupont De Nemours Inc COM USD0.01 26614N102 50117 NS USD 2525896.8 1.4074946486 Long EC CORP US N 1 N N N Exxon Mobil Corporation J3WHBG0MTS7O8ZVMDC91 Exxon Mobil Corporation COM NPV 30231G102 50133 NS USD 4377112.23 2.4390394889 Long EC CORP US N 1 N N N FedEx Corporation 549300E707U7WNPZN687 FedEx Corporation COM USD0.10 31428X106 7486 NS USD 1111446.42 0.6193265253 Long EC CORP US N 1 N N N 2022-11-25 Touchstone Variable Series Trust Terrie A. Wiedenheft Terrie A. Wiedenheft Controller & Treasurer XXXX NPORT-EX 2 tvstpartf093022.htm PART F
Portfolio of Investments
Touchstone Balanced Fund – September 30, 2022 (Unaudited)
Shares       Market
Value
  Common Stocks — 63.8%  
  Information Technology — 18.8%  
   17,617 Apple, Inc. $ 2,434,670
    4,367 International Business Machines Corp.    518,843
   12,059 Microsoft Corp.  2,808,541
   11,246 Oracle Corp.    686,793
    4,370 PayPal Holdings, Inc.*    376,126
    5,146 salesforce, Inc.*    740,201
    8,036 SS&C Technologies Holdings, Inc.    383,719
    5,122 Texas Instruments, Inc.    792,783
    4,468 Visa, Inc. - Class A    793,740
    2,796 Workday, Inc. - Class A*    425,607
         9,961,023
  Health Care — 10.5%  
    5,185 AmerisourceBergen Corp.    701,686
    8,055 BioMarin Pharmaceutical, Inc.*    682,823
   12,381 Bristol-Myers Squibb Co.    880,165
    3,562 HCA Healthcare, Inc.    654,660
    7,614 Johnson & Johnson  1,243,823
    2,825 UnitedHealth Group, Inc.  1,426,738
         5,589,895
  Communication Services — 7.8%  
   20,000 Alphabet, Inc. - Class C*  1,923,000
    9,870 AT&T, Inc.    151,406
   15,413 Comcast Corp. - Class A    452,063
    3,694 Fox Corp. - Class A    113,332
    6,435 Meta Platforms, Inc. - Class A*    873,101
    1,377 Netflix, Inc.*    324,201
    3,151 Walt Disney Co. (The)*    297,234
    2,387 Warner Bros Discovery, Inc.*     27,450
         4,161,787
  Financials — 7.4%  
   28,524 Bank of America Corp.    861,425
    5,607 Berkshire Hathaway, Inc. - Class B*  1,497,181
    3,522 Goldman Sachs Group, Inc. (The)  1,032,122
      499 Markel Corp.*    541,026
         3,931,754
  Consumer Discretionary — 6.4%  
    3,072 Airbnb, Inc. - Class A*    322,683
    2,793 Alibaba Group Holding Ltd. (China) ADR*    223,412
   14,620 Amazon.com, Inc.*  1,652,060
    6,551 Hilton Worldwide Holdings, Inc.    790,181
    4,787 Starbucks Corp.    403,353
         3,391,689
  Industrials — 5.7%  
    2,807 Boeing Co. (The)*    339,872
      910 Deere & Co.    303,840
    1,118 FedEx Corp.    165,990
    4,447 Hubbell, Inc.    991,681
   10,676 Raytheon Technologies Corp.    873,937
   12,061 Southwest Airlines Co.*    371,961
         3,047,281
  Consumer Staples — 2.7%  
    8,385 Monster Beverage Corp.*    729,160
    8,556 Philip Morris International, Inc.    710,233
         1,439,393
  Energy — 2.5%  
   10,485 Exxon Mobil Corp.    915,445
   11,589 Schlumberger NV    416,045
         1,331,490
Shares       Market
Value
     
  Real Estate — 1.1%  
    3,863 Jones Lang LaSalle, Inc.* $   583,583
  Materials — 0.9%  
    9,297 DuPont de Nemours, Inc.    468,569
  Total Common Stocks $33,906,464
Principal
Amount
       
  Corporate Bonds — 17.0%  
  Financials — 5.6%  
$  150,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Ireland), 2.450%, 10/29/26    126,591
    68,000 Allstate Corp. (The), 1.450%, 12/15/30     51,337
    25,000 Allstate Corp. (The), 5.750%, 8/15/53     23,017
    74,000 American Express Co., 2.250%, 3/4/25     69,361
    60,000 American Financial Group, Inc., 5.250%, 4/2/30     57,512
   112,000 Ares Capital Corp., 3.250%, 7/15/25    102,318
    81,000 Bank of America Corp., 2.687%, 4/22/32     63,094
    82,000 Bank of America Corp., 3.705%, 4/24/28     74,648
   119,000 Bank of America Corp., MTN, 4.000%, 1/22/25    115,194
    94,000 Bank of Montreal (Canada), 3.803%, 12/15/32     81,551
    70,000 Berkshire Hathaway Finance Corp., 4.250%, 1/15/49     58,182
   142,000 Charles Schwab Corp. (The), 1.150%, 5/13/26    124,266
    62,000 Charles Schwab Corp. (The), 5.000%(A)     55,722
   128,000 Citigroup, Inc., 0.981%, 5/1/25    118,625
    77,000 Citigroup, Inc., 3.200%, 10/21/26     70,566
    45,000 Citigroup, Inc., 4.750%, 5/18/46     35,866
   149,000 Corestates Capital III, 144a, (3M LIBOR +0.570%), 3.475%, 2/15/27(B)    140,433
   122,000 Goldman Sachs Group, Inc. (The), 2.615%, 4/22/32     94,685
   105,000 Goldman Sachs Group, Inc. (The), 3.615%, 3/15/28     95,597
    55,000 Goldman Sachs Group, Inc. (The), 3.691%, 6/5/28     49,822
   126,000 Huntington Bancshares, Inc., 2.550%, 2/4/30    101,687
   128,000 JPMorgan Chase & Co., 2.956%, 5/13/31    101,338
   100,000 JPMorgan Chase & Co., 3.509%, 1/23/29     88,500
    66,000 JPMorgan Chase & Co., 5.717%, 9/14/33     62,370
   200,000 Lloyds Banking Group PLC (United Kingdom), 3.574%, 11/7/28    175,485
   112,000 Mastercard, Inc., 2.000%, 11/18/31     88,578
   109,000 Morgan Stanley, 3.950%, 4/23/27    101,337
    66,000 Morgan Stanley, 5.297%, 4/20/37     59,190
   113,000 Northwestern Mutual Life Insurance Co. (The), 144a, 3.850%, 9/30/47     85,147
   121,000 PNC Capital Trust, (3M LIBOR +0.570%), 3.652%, 6/1/28(B)    112,536
    92,000 Prudential Financial, Inc., 5.125%, 3/1/52     79,758
   120,000 Toronto-Dominion Bank (The) (Canada), MTN, 1.150%, 6/12/25    107,863
   185,000 Truist Bank, Ser A, (3M LIBOR +0.670%), 3.580%, 5/15/27(B)    171,588
   22,000 Truist Financial Corp., MTN, 2.850%, 10/26/24     21,146
         2,964,910
  Consumer Discretionary — 1.9%  
   135,000 BAT Capital Corp. (United Kingdom), 3.557%, 8/15/27    118,524
    58,000 Brunswick Corp., 4.400%, 9/15/32     46,885
    21,000 Expedia Group, Inc., 2.950%, 3/15/31     16,284
    60,000 Ford Motor Co., 3.250%, 2/12/32     43,080
   105,000 General Motors Financial Co., Inc., 3.100%, 1/12/32     79,158
    56,000 General Motors Financial Co., Inc., 5.650%, 1/17/29     52,940
    59,000 Home Depot, Inc. (The), 5.950%, 4/1/41     61,448
    94,000 Hyundai Capital America, 144a, 2.650%, 2/10/25     87,606
    33,000 JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 144a, 4.375%, 2/2/52     22,119
  113,000 Lowe's Cos., Inc., 4.500%, 4/15/30     105,499
 
1

Touchstone Balanced Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Corporate Bonds — 17.0% (Continued)  
  Consumer Discretionary — (Continued)  
$  142,000 Procter & Gamble Co. (The), 1.200%, 10/29/30 $   109,545
   110,000 Toll Brothers Finance Corp., 3.800%, 11/1/29     89,011
    95,000 Walmart, Inc., 2.850%, 7/8/24     92,315
    58,000 Warnermedia Holdings, Inc., 144a, 4.279%, 3/15/32     47,706
   58,000 Warnermedia Holdings, Inc., 144a, 5.141%, 3/15/52     42,082
         1,014,202
  Industrials — 1.7%  
   100,000 Amcor Flexibles North America, Inc., 2.630%, 6/19/30     80,295
    53,000 Boeing Co. (The), 5.805%, 5/1/50     46,164
    81,000 Burlington Northern Santa Fe LLC, 5.750%, 5/1/40     81,880
    54,000 Carrier Global Corp., 3.577%, 4/5/50     37,399
   118,000 CNH Industrial Capital LLC, 1.450%, 7/15/26    102,123
    94,000 FedEx Corp., 5.100%, 1/15/44     79,443
    99,000 John Deere Capital Corp., MTN, 2.450%, 1/9/30     83,531
    88,000 Mohawk Industries, Inc., 3.625%, 5/15/30     73,194
    81,000 Norfolk Southern Corp., 4.837%, 10/1/41     72,103
    96,000 Parker-Hannifin Corp., 4.250%, 9/15/27     91,479
    71,000 Roper Technologies, Inc., 2.950%, 9/15/29     59,749
  117,000 Xylem, Inc., 1.950%, 1/30/28     98,799
           906,159
  Utilities — 1.2%  
    83,000 CMS Energy Corp., 4.750%, 6/1/50     70,135
    74,000 Duke Energy Progress LLC, 4.150%, 12/1/44     59,685
    72,000 Edison International, 4.125%, 3/15/28     64,267
    82,000 FirstEnergy Transmission LLC, 144a, 5.450%, 7/15/44     74,168
   104,000 Ohio Power Co., Ser R, 2.900%, 10/1/51     64,995
   126,000 Pacific Gas and Electric Co., 3.500%, 8/1/50     76,690
    89,000 PacifiCorp., 5.750%, 4/1/37     84,569
  199,000 WEC Energy Group, Inc., (3M LIBOR +2.112%), 5.018%, 5/15/67(B)    165,170
           659,679
  Information Technology — 1.2%  
    67,000 Apple, Inc., 4.650%, 2/23/46     62,175
   116,000 Broadcom, Inc., 4.150%, 11/15/30    100,363
   112,000 Microchip Technology, Inc., 0.983%, 9/1/24    103,122
    54,000 Micron Technology, Inc., 2.703%, 4/15/32     39,220
    49,000 Microsoft Corp., 3.500%, 2/12/35     44,001
    90,000 NXP BV / NXP Funding LLC (China), 5.350%, 3/1/26     88,909
    46,000 Oracle Corp., 2.650%, 7/15/26     41,467
    32,000 Oracle Corp., 3.600%, 4/1/40     21,722
    24,000 Oracle Corp., 4.300%, 7/8/34     19,551
    65,000 Visa, Inc., 4.150%, 12/14/35     59,179
   71,000 VMware, Inc., 1.400%, 8/15/26     60,745
           640,454
  Health Care — 1.2%  
    84,000 AbbVie, Inc., 4.450%, 5/14/46     68,276
    67,000 Becton Dickinson and Co., 4.685%, 12/15/44     57,228
    86,000 CommonSpirit Health, 4.187%, 10/1/49     64,334
    73,000 CVS Health Corp., 5.125%, 7/20/45     63,916
   104,000 DH Europe Finance II Sarl, 3.250%, 11/15/39     78,859
    88,000 HCA Inc., 5.375%, 9/1/26     85,287
    45,000 Johnson & Johnson, 2.900%, 1/15/28     41,457
    93,000 Mylan, Inc., 4.550%, 4/15/28     82,188
  107,000 UnitedHealth Group, Inc., 3.500%, 8/15/39     84,146
           625,691
  Real Estate — 1.1%  
   100,000 Crown Castle International Corp. REIT, 3.650%, 9/1/27     90,544
    84,000 Equinix, Inc. REIT, 2.900%, 11/18/26     75,396
  122,000 Host Hotels & Resorts LP REIT, Ser F, 4.500%, 2/1/26     115,888
Principal
Amount
      MarketValue
     
  Real Estate — (Continued)  
$   88,000 Invitation Homes Operating Partnership LP REIT, 4.150%, 4/15/32 $    74,332
    55,000 Mid-America Apartments LP REIT, 3.750%, 6/15/24     53,787
    74,000 Sabra Health Care LP REIT, 5.125%, 8/15/26     69,453
    37,000 STORE Capital Corp. REIT, 4.500%, 3/15/28     35,244
   63,000 STORE Capital Corp. REIT, 4.625%, 3/15/29     60,210
           574,854
  Energy — 1.1%  
    78,000 Boardwalk Pipelines LP, 4.800%, 5/3/29     71,606
    65,000 Canadian Natural Resources Ltd. (Canada), 6.250%, 3/15/38     62,698
    74,000 Cenovus Energy, Inc. (Canada), 5.250%, 6/15/37     64,794
    60,000 Continental Resources, Inc., 144a, 5.750%, 1/15/31     54,231
   115,000 Energy Transfer LP, 4.150%, 9/15/29    100,361
    66,000 Midwest Connector Capital Co. LLC, 144a, 3.900%, 4/1/24     63,774
    67,000 MPLX LP, 4.950%, 3/14/52     52,439
    81,000 NGPL PipeCo LLC, 144a, 7.768%, 12/15/37     81,827
   20,000 Sabine Pass Liquefaction LLC, 5.000%, 3/15/27     19,182
           570,912
  Communication Services — 0.9%  
    54,000 AT&T, Inc., 4.500%, 5/15/35     46,679
    79,000 Charter Communications Operating LLC / Charter Communications Operating Capital, 6.484%, 10/23/45     69,435
    74,000 Comcast Corp., 4.000%, 3/1/48     56,582
   122,000 Netflix, Inc., 6.375%, 5/15/29    121,087
    51,000 Paramount Global, 4.950%, 5/19/50     36,248
   118,000 T-Mobile USA, Inc., 3.875%, 4/15/30    104,627
   98,000 Verizon Communications, Inc., 2.987%, 10/30/56     58,263
           492,921
  Consumer Staples — 0.8%  
   127,000 7-Eleven, Inc., 144a, 0.950%, 2/10/26    109,568
   121,000 Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc. (Belgium), 4.900%, 2/1/46    104,865
    64,000 Kroger Co. (The), 5.000%, 4/15/42     56,484
    96,000 Mars, Inc., 144a, 3.875%, 4/1/39     79,174
    55,000 PepsiCo, Inc., 1.625%, 5/1/30     44,066
   65,000 Starbucks Corp., 3.350%, 3/12/50     44,322
           438,479
  Materials — 0.3%  
    90,000 Celanese US Holdings LLC, 6.165%, 7/15/27     84,911
   83,000 Sherwin-Williams Co. (The), 4.500%, 6/1/47     67,332
           152,243
  Total Corporate Bonds  $9,040,504
  U.S. Treasury Obligations — 5.9%
   300,000 U.S. Treasury Bond, 1.750%, 8/15/41        205,219
   332,000 U.S. Treasury Bond, 2.250%, 2/15/52        241,167
   250,000 U.S. Treasury Bond, 2.875%, 5/15/52        209,687
   360,000 U.S. Treasury Bond, 3.250%, 5/15/42        319,556
1,420,000 U.S. Treasury Note, 0.125%, 4/30/23      1,388,161
  845,000 U.S. Treasury Note, 2.750%, 8/15/32        772,251
  Total U.S. Treasury Obligations  $3,136,041
  U.S. Government Mortgage-Backed Obligations — 4.0%
   109,849 FHLMC, Pool #G05624, 4.500%, 9/1/39        107,801
    79,087 FHLMC, Pool #Q29260, 4.000%, 10/1/44         75,250
   314,698 FHLMC REMIC, Pool #QE9228, 4.500%, 9/1/52        300,736
   314,027 FHLMC REMIC, Pool #SD1436, 4.500%, 8/1/52        300,094
   313,543 FHLMC REMIC, Pool #SD1515, 4.500%, 8/1/52        299,632
   305,000 FHLMC REMIC, Pool #SD1620, 5.000%, 9/1/52        297,808
  315,000 FHLMC REMIC, Pool #SD1638, 5.000%, 9/1/52         307,903
 
2

Touchstone Balanced Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  U.S. Government Mortgage-Backed Obligations — 4.0%
(Continued)
$   47,390 FNMA, Pool #725423, 5.500%, 5/1/34     $    48,831
    43,070 FNMA, Pool #725610, 5.500%, 7/1/34         44,413
     8,845 FNMA, Pool #890310, 4.500%, 12/1/40          8,668
    31,684 FNMA, Pool #AD9193, 5.000%, 9/1/40         31,972
  305,000 FNMA, Pool #FS2906, 5.000%, 9/1/52        298,185
  Total U.S. Government Mortgage-Backed Obligations  $2,121,293
  Commercial Mortgage-Backed Securities — 3.8%
    60,000 BANK, Ser 2020-BN26, Class A4, 2.403%, 3/15/63         49,448
   145,000 BANK, Ser 2021-BN36, Class A5, 2.470%, 9/15/64        116,479
   280,000 BANK, Ser 2021-BN37, Class A5, 2.618%, 11/15/64(B)(C)        227,446
    75,000 BANK, Ser 2022-BNK39, Class A4, 2.928%, 2/15/55         62,409
    55,000 BBCMS Mortgage Trust, Ser 2021-C11, Class A5, 2.322%, 9/15/54         43,722
   165,000 BBCMS Mortgage Trust, Ser 2021-C12, Class A5, 2.689%, 11/15/54        134,896
    45,000 BBCMS Mortgage Trust, Ser 2022-C14, Class A5, 2.946%, 2/15/55(B)(C)         37,528
   140,000 BBCMS Mortgage Trust, Ser 2022-C16, Class A5, 4.600%, 6/15/55(B)(C)        133,553
   160,000 Benchmark Mortgage Trust, Ser 2018-B8, Class A5, 4.232%, 1/15/52        150,577
   255,000 Citigroup Commercial Mortgage Trust, Ser 2020-GC46, Class A5, 2.717%, 2/15/53        213,780
    80,000 COMM Mortgage Trust, Ser 2015-DC1, Class A5, 3.350%, 2/10/48         76,399
    80,000 GS Mortgage Securities Trust, Ser 2020-GC47, Class A5, 2.377%, 5/12/53         65,434
   235,000 JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2016-JP2, Class A4, 2.822%, 8/15/49        214,534
   170,000 JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2017-JP7, Class A5, 3.454%, 9/15/50        156,543
    75,000 Morgan Stanley Capital I Trust, Ser 2018-H3, Class AS, 4.177%, 7/15/51         70,518
   170,000 Wells Fargo Commercial Mortgage Trust, Ser 2019-C51, Class A4, 3.311%, 6/15/52        149,752
  145,000 Wells Fargo Commercial Mortgage Trust, Ser 2019-C53, Class A4, 3.040%, 10/15/52        124,988
  Total Commercial Mortgage-Backed Securities  $2,028,006
Shares        
  Exchange-Traded Fund — 2.2%  
   14,788 iShares JP Morgan USD Emerging Markets Bond ETF  1,174,167
Principal
Amount
       
  Sovereign Government Obligations — 0.2%
$  146,000 Peruvian Government International Bond, 2.780%, 12/1/60     79,219
Shares        
  Preferred Stocks — 0.1%  
  Financials — 0.1%  
      337 Bank of America Corp., Ser NN, 4.375%(A)      6,160
      301 US Bancorp, Ser L, 3.750%(A)      4,837
      658 Wells Fargo & Co., Ser AA, 4.700%(A)     12,193
      984 Wells Fargo & Co., Ser DD, 4.250%(A)     16,915
  Total Preferred Stocks     $40,105
Shares       MarketValue
  Short-Term Investment Fund — 5.3%  
2,826,843 Dreyfus Government Cash Management, Institutional Shares, 2.75%∞Ω $ 2,826,843
  Total Investment Securities—102.3%
(Cost $57,479,107)
$54,352,642
  Liabilities in Excess of Other Assets — (2.3%) (1,209,582)
  Net Assets — 100.0% $53,143,060
(A) Perpetual Bond - A bond or preferred stock with no definite maturity date.
(B) Variable rate security - Rate reflected is the rate in effect as of September 30, 2022.
(C) Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2022.
Portfolio Abbreviations:
ADR – American Depositary Receipt
DAC – Designated Activity Company
ETF – Exchange-Traded Fund
FHLMC – Federal Home Loan Mortgage Corporation
FNMA – Federal National Mortgage Association
LIBOR – London Interbank Offered Rate
LLC – Limited Liability Company
LP – Limited Partnership
MTN – Medium Term Note
PLC – Public Limited Company
REIT – Real Estate Investment Trust
REMIC – Real Estate Mortgage Investment Conduit
144a - This is a restricted security that was sold in a transaction qualifying for the exemption under Rule 144a of the Securities Act of 1933. This security may be sold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2022, these securities were valued at $887,835 or 1.7% of net assets. These securities were deemed liquid pursuant to procedures approved by the Board of Trustees.
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $33,906,464 $$— $33,906,464
Corporate Bonds 9,040,504 9,040,504
U.S. Treasury Obligations 3,136,041 3,136,041
U.S. Government Mortgage-Backed Obligations 2,121,293 2,121,293
Commercial Mortgage-Backed Securities 2,028,006 2,028,006
Exchange-Traded Fund 1,174,167 1,174,167
Sovereign Government Obligations 79,219 79,219
Preferred Stocks 40,105 40,105
Short-Term Investment Fund 2,826,843 2,826,843
Total $37,947,579 $16,405,063 $— $54,352,642
See accompanying Notes to Portfolios of Investments.
 
3

Portfolio of Investments
Touchstone Bond Fund – September 30, 2022 (Unaudited)
Principal
Amount
      Market
Value
  Corporate Bonds — 37.6%  
  Financials — 12.7%  
$  400,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Ireland), 2.450%, 10/29/26 $   337,576
   198,000 Allstate Corp. (The), 1.450%, 12/15/30    149,480
    95,000 Allstate Corp. (The), 5.750%, 8/15/53     87,465
   280,000 American Express Co., 2.250%, 3/4/25    262,448
   572,579 American Financial Group, Inc., 5.250%, 4/2/30    548,837
   283,000 Ares Capital Corp., 3.250%, 7/15/25    258,537
   200,000 Bank of America Corp., 2.687%, 4/22/32    155,787
   250,000 Bank of America Corp., 3.705%, 4/24/28    227,586
   401,000 Bank of America Corp., MTN, 4.000%, 1/22/25    388,175
   335,000 Bank of Montreal (Canada), 3.803%, 12/15/32    290,632
   416,000 Bank of Nova Scotia (The) (Canada), 3.625%, 10/27/81    301,600
   377,000 Barclays PLC (United Kingdom), 2.894%, 11/24/32    272,431
   176,000 Berkshire Hathaway Finance Corp., 4.250%, 1/15/49    146,286
   134,000 BNP Paribas SA (France), 144a, 4.625%, 3/13/27    123,872
   464,000 Charles Schwab Corp. (The), 1.150%, 5/13/26    406,053
   230,000 Charles Schwab Corp. (The), 5.000%(A)    206,713
   323,000 Citigroup, Inc., 0.981%, 5/1/25    299,342
   225,000 Citigroup, Inc., 3.200%, 10/21/26    206,199
   141,000 Citigroup, Inc., 4.750%, 5/18/46    112,381
   314,000 Citizens Bank NA, 4.575%, 8/9/28    298,967
   318,000 Cooperatieve Rabobank UA (Netherlands), 144a, 1.106%, 2/24/27    272,320
   393,000 Corestates Capital III, 144a, (3M LIBOR +0.570%), 3.475%, 2/15/27(B)    370,403
   250,000 Credit Suisse AG (Switzerland), 3.700%, 2/21/25    234,689
   352,000 Goldman Sachs Group, Inc. (The), 2.615%, 4/22/32    273,189
   510,000 Goldman Sachs Group, Inc. (The), 3.615%, 3/15/28    464,328
   182,000 Goldman Sachs Group, Inc. (The), 3.691%, 6/5/28    164,866
   205,000 HSBC Holdings PLC (United Kingdom), 3.900%, 5/25/26    192,199
   349,000 Huntington Bancshares, Inc., 2.550%, 2/4/30    281,658
   256,000 JPMorgan Chase & Co., 2.956%, 5/13/31    202,676
   336,000 JPMorgan Chase & Co., 3.509%, 1/23/29    297,358
   246,000 JPMorgan Chase & Co., 5.717%, 9/14/33    232,468
   343,000 Lloyds Banking Group PLC (United Kingdom), 3.574%, 11/7/28    300,957
   374,000 Mastercard, Inc., 2.000%, 11/18/31    295,789
   311,000 Morgan Stanley, 3.950%, 4/23/27    289,135
   252,000 Morgan Stanley, 5.297%, 4/20/37    225,996
   395,000 Northwestern Mutual Life Insurance Co. (The), 144a, 3.850%, 9/30/47    297,638
   326,000 PNC Capital Trust, (3M LIBOR +0.570%), 3.652%, 6/1/28(B)    303,197
   345,000 Prudential Financial, Inc., 5.125%, 3/1/52    299,094
   304,000 Toronto-Dominion Bank (The) (Canada), MTN, 1.150%, 6/12/25    273,252
   518,000 Truist Bank, Ser A, (3M LIBOR +0.670%), 3.580%, 5/15/27(B)    480,445
  210,000 Truist Financial Corp., MTN, 2.850%, 10/26/24    201,850
        11,033,874
  Consumer Discretionary — 4.3%  
   464,000 BAT Capital Corp. (United Kingdom), 3.557%, 8/15/27    407,372
   218,000 Brunswick Corp., 4.400%, 9/15/32    176,224
    73,000 Expedia Group, Inc., 2.950%, 3/15/31     56,607
   202,000 Ford Motor Co., 3.250%, 2/12/32    145,036
   505,000 General Motors Financial Co., Inc., 3.100%, 1/12/32    380,711
   169,000 General Motors Financial Co., Inc., 5.650%, 1/17/29    159,764
   227,000 Home Depot, Inc. (The), 5.950%, 4/1/41    236,419
   316,000 Hyundai Capital America, 144a, 2.650%, 2/10/25    294,504
   227,000 Imperial Brands Finance PLC (United Kingdom), 144a, 6.125%, 7/27/27    223,777
  374,000 JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 144a, 2.500%, 1/15/27     320,548
Principal
Amount
      Market
Value
     
  Consumer Discretionary — (Continued)  
$  120,000 JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 144a, 4.375%, 2/2/52 $    80,431
   308,000 Lowe's Cos., Inc., 4.500%, 4/15/30    287,555
   490,000 Procter & Gamble Co. (The), 1.200%, 10/29/30    378,007
   358,000 Toll Brothers Finance Corp., 3.800%, 11/1/29    289,691
   218,000 Warnermedia Holdings, Inc., 144a, 4.279%, 3/15/32    179,311
  218,000 Warnermedia Holdings, Inc., 144a, 5.141%, 3/15/52    158,170
         3,774,127
  Industrials — 3.4%  
   272,000 Amcor Flexibles North America, Inc., 2.630%, 6/19/30    218,401
   153,000 Boeing Co. (The), 5.805%, 5/1/50    133,267
   272,000 Burlington Northern Santa Fe LLC, 5.750%, 5/1/40    274,955
   200,000 Carrier Global Corp., 3.577%, 4/5/50    138,516
   384,000 CNH Industrial Capital LLC, 1.450%, 7/15/26    332,333
   340,000 FedEx Corp., 5.100%, 1/15/44    287,347
   298,000 John Deere Capital Corp., MTN, 2.450%, 1/9/30    251,436
   272,000 Mohawk Industries, Inc., 3.625%, 5/15/30    226,234
   243,000 Norfolk Southern Corp., 4.837%, 10/1/41    216,309
   334,000 Parker-Hannifin Corp., 4.250%, 9/15/27    318,271
   197,000 Roper Technologies, Inc., 2.950%, 9/15/29    165,784
  423,000 Weir Group PLC (The) (United Kingdom), 144a, 2.200%, 5/13/26    355,516
         2,918,369
  Information Technology — 2.7%  
   344,000 Apple, Inc., 2.750%, 1/13/25    330,707
   234,000 Apple, Inc., 4.650%, 2/23/46    217,148
   432,000 Broadcom, Inc., 4.150%, 11/15/30    373,765
   370,000 Microchip Technology, Inc., 0.983%, 9/1/24    340,672
   202,000 Micron Technology, Inc., 2.703%, 4/15/32    146,710
   148,000 Microsoft Corp., 3.500%, 2/12/35    132,901
   328,000 NXP BV / NXP Funding LLC (China), 5.350%, 3/1/26    324,024
   174,000 Oracle Corp., 2.650%, 7/15/26    156,854
   120,000 Oracle Corp., 3.600%, 4/1/40     81,457
    94,000 Oracle Corp., 4.300%, 7/8/34     76,573
  220,000 Visa, Inc., 4.150%, 12/14/35    200,300
         2,381,111
  Energy — 2.6%  
   333,000 Boardwalk Pipelines LP, 4.800%, 5/3/29    305,702
   227,000 Canadian Natural Resources Ltd. (Canada), 6.250%, 3/15/38    218,961
   207,000 Cenovus Energy, Inc. (Canada), 5.250%, 6/15/37    181,248
   200,000 Continental Resources, Inc., 144a, 5.750%, 1/15/31    180,772
   395,000 Energy Transfer LP, 4.150%, 9/15/29    344,718
   193,000 MC Brazil Downstream Trading SARL (Brazil), 144a, 7.250%, 6/30/31    145,233
   248,000 Midwest Connector Capital Co. LLC, 144a, 3.900%, 4/1/24    239,634
   251,000 MPLX LP, 4.950%, 3/14/52    196,452
   295,000 NGPL PipeCo LLC, 144a, 7.768%, 12/15/37    298,012
  206,000 Petroleos Mexicanos (Mexico), 6.625%, 6/15/35    131,634
         2,242,366
  Utilities — 2.4%  
   315,000 CMS Energy Corp., 4.750%, 6/1/50    266,175
    93,000 Duke Energy Progress LLC, 4.150%, 12/1/44     75,010
   207,000 Edison International, 4.125%, 3/15/28    184,770
   224,000 Electricite de France SA (France), 144a, 4.875%, 9/21/38    184,007
   278,000 FirstEnergy Transmission LLC, 144a, 5.450%, 7/15/44    251,447
    85,000 Fortis, Inc. (Canada), 3.055%, 10/4/26     77,336
   338,000 Ohio Power Co., Ser R, 2.900%, 10/1/51    211,233
  372,000 Pacific Gas and Electric Co., 3.500%, 8/1/50     226,417
 
4

Touchstone Bond Fund (Unaudited) (Continued)
Principal
Amount
      Market
Value
  Corporate Bonds — 37.6% (Continued)  
  Utilities — (Continued)  
$  127,000 PacifiCorp., 5.750%, 4/1/37 $   120,677
  562,000 WEC Energy Group, Inc., (3M LIBOR +2.112%), 5.018%, 5/15/67(B)    466,460
         2,063,532
  Real Estate — 2.4%  
   361,000 Crown Castle International Corp. REIT, 3.650%, 9/1/27    326,864
   236,000 Equinix, Inc. REIT, 2.900%, 11/18/26    211,825
   338,000 Host Hotels & Resorts LP REIT, Ser F, 4.500%, 2/1/26    321,067
   256,000 Invitation Homes Operating Partnership LP REIT, 4.150%, 4/15/32    216,238
   186,000 Mid-America Apartments LP REIT, 3.750%, 6/15/24    181,899
   250,000 Realty Income Corp. REIT, 4.600%, 2/6/24    249,260
   290,000 Sabra Health Care LP REIT, 5.125%, 8/15/26    272,182
    96,000 STORE Capital Corp. REIT, 4.500%, 3/15/28     91,445
  188,000 STORE Capital Corp. REIT, 4.625%, 3/15/29    179,673
         2,050,453
  Health Care — 2.2%  
   283,000 AbbVie, Inc., 4.450%, 5/14/46    230,024
   232,000 Alcon Finance Corp. (Switzerland), 144a, 3.800%, 9/23/49    166,142
   194,000 Becton Dickinson and Co., 4.685%, 12/15/44    165,706
   263,000 CommonSpirit Health, 4.187%, 10/1/49    196,742
   240,000 CVS Health Corp., 5.125%, 7/20/45    210,135
   293,000 DH Europe Finance II Sarl, 3.250%, 11/15/39    222,170
   322,000 HCA Inc., 5.375%, 9/1/26    312,072
   234,000 Mylan, Inc., 4.550%, 4/15/28    206,796
  312,000 UnitedHealth Group, Inc., 3.500%, 8/15/39    245,360
         1,955,147
  Communication Services — 2.2%  
   238,000 AT&T, Inc., 4.500%, 5/15/35    205,733
   355,000 British Telecommunications PLC (United Kingdom), 144a, 3.250%, 11/8/29    289,491
   293,000 Charter Communications Operating LLC / Charter Communications Operating Capital, 6.484%, 10/23/45    257,525
   243,000 Comcast Corp., 4.000%, 3/1/48    185,804
   434,000 Netflix, Inc., 6.375%, 5/15/29    430,751
   100,000 Paramount Global, 4.950%, 5/19/50     71,074
   335,000 T-Mobile USA, Inc., 3.875%, 4/15/30    297,036
  339,000 Verizon Communications, Inc., 2.987%, 10/30/56    201,543
         1,938,957
  Consumer Staples — 1.8%  
   380,000 7-Eleven, Inc., 144a, 0.950%, 2/10/26    327,840
   439,000 Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc. (Belgium), 4.900%, 2/1/46    380,461
   306,000 Ashtead Capital, Inc. (United Kingdom), 144a, 4.000%, 5/1/28    267,531
   213,000 Kroger Co. (The), 5.000%, 4/15/42    187,987
   336,000 Mars, Inc., 144a, 3.875%, 4/1/39    277,109
  164,000 Starbucks Corp., 3.350%, 3/12/50    111,829
         1,552,757
  Materials — 0.9%  
    83,000 Braskem America Finance Co. (Brazil), 144a, 7.125%, 7/22/41     72,660
   176,000 Braskem Netherlands Finance BV (Brazil), 144a, 5.875%, 1/31/50    124,696
   328,000 Celanese US Holdings LLC, 6.165%, 7/15/27    309,454
  301,000 Sherwin-Williams Co. (The), 4.500%, 6/1/47    244,181
           750,991
  Total Corporate Bonds $32,661,684
Principal
Amount
      Market
Value
  U.S. Treasury Obligations — 26.6%
$1,695,000 U.S. Treasury Bond, 1.750%, 8/15/41     $ 1,159,486
1,236,000 U.S. Treasury Bond, 2.250%, 2/15/52        897,838
1,995,000 U.S. Treasury Bond, 2.375%, 2/15/42      1,528,980
1,650,000 U.S. Treasury Bond, 3.250%, 5/15/42      1,464,633
3,685,000 U.S. Treasury Note, 0.750%, 5/31/26      3,255,323
3,670,000 U.S. Treasury Note, 1.625%, 1/31/27      3,291,388
4,545,000 U.S. Treasury Note, 1.875%, 2/15/32      3,850,467
8,400,000 U.S. Treasury Note, 2.750%, 8/15/32      7,676,813
  Total U.S. Treasury Obligations $23,124,928
  Commercial Mortgage-Backed Securities — 9.2%
   675,000 BANK, Ser 2018-BN14, Class A3, 3.966%, 9/15/60        629,429
   285,000 BANK, Ser 2020-BN26, Class A4, 2.403%, 3/15/63        234,876
   365,000 BANK, Ser 2022-BNK39, Class A4, 2.928%, 2/15/55        303,722
   275,000 BBCMS Mortgage Trust, Ser 2021-C11, Class A5, 2.322%, 9/15/54        218,608
   810,000 BBCMS Mortgage Trust, Ser 2021-C12, Class A5, 2.689%, 11/15/54        662,218
   210,000 BBCMS Mortgage Trust, Ser 2022-C14, Class A5, 2.946%, 2/15/55(B)(C)        175,133
   500,000 BPR Trust, Ser 2021-KEN, Class B, 144a, (1M LIBOR +1.950%), 4.768%, 2/15/29(B)        484,897
   250,000 Citigroup Commercial Mortgage Trust, Ser 2020-GC46, Class A5, 2.717%, 2/15/53        209,588
   333,876 COMM Mortgage Trust, Ser 2014-CR14, Class A2, 3.147%, 2/10/47        330,256
   390,000 COMM Mortgage Trust, Ser 2015-DC1, Class A5, 3.350%, 2/10/48        372,447
   360,000 DBUBS Mortgage Trust, Ser 2017-BRBK, Class B, 144a, 3.648%, 10/10/34(B)(C)        337,660
   375,000 GS Mortgage Securities Corp. II, Ser 2017-SLP, Class B, 144a, 3.772%, 10/10/32        374,399
   250,000 GS Mortgage Securities Trust, Ser 2017-FARM, Class B, 144a, 3.659%, 1/10/43(B)(C)        213,185
   390,000 GS Mortgage Securities Trust, Ser 2020-GC47, Class A5, 2.377%, 5/12/53        318,992
   210,000 HONO Mortgage Trust, Ser 2021-LULU, Class B, 144a, (1M LIBOR +1.450%), 4.268%, 10/15/36(B)        199,502
   805,000 JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2017-JP7, Class A5, 3.454%, 9/15/50        741,275
   350,000 JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2018-MINN, Class A, 144a, (1M LIBOR +1.27%), 4.088%, 11/15/35(B)        335,603
   355,000 Morgan Stanley Capital I Trust, Ser 2018-H3, Class AS, 4.177%, 7/15/51        333,784
   320,000 New York City Housing Development Corp., Ser 2014-8SPR, Class B, 3.864%, 2/15/48        306,515
   675,000 SG Commercial Mortgage Securities Trust, Ser 2019-787E, Class A, 144a, 4.163%, 2/15/41        598,681
  700,000 Wells Fargo Commercial Mortgage Trust, Ser 2019-C53, Class A4, 3.040%, 10/15/52        603,391
  Total Commercial Mortgage-Backed Securities  $7,984,161
  U.S. Government Mortgage-Backed Obligations — 7.4%
    42,635 FHLMC, Pool #A95946, 4.000%, 1/1/41         40,696
    30,612 FHLMC, Pool #A96485, 4.500%, 1/1/41         29,953
    10,449 FHLMC, Pool #G03217, 5.500%, 9/1/37         10,521
     5,261 FHLMC, Pool #G03781, 6.000%, 1/1/38          5,557
   205,967 FHLMC, Pool #G05624, 4.500%, 9/1/39        202,127
   268,716 FHLMC, Pool #Q29056, 4.000%, 10/1/44        255,678
   129,615 FHLMC, Pool #Q29260, 4.000%, 10/1/44        123,326
   573,915 FHLMC REMIC, Pool #QD2143, 2.000%, 12/1/51        466,618
   629,349 FHLMC REMIC, Pool #SD0881, 2.500%, 2/1/52        531,126
     2,845 FNMA, Pool #561741, 7.500%, 1/1/31           2,941
 
5

Touchstone Bond Fund (Unaudited) (Continued)
Principal
Amount
      Market
Value
  U.S. Government Mortgage-Backed Obligations — 7.4%
(Continued)
$  178,336 FNMA, Pool #725423, 5.500%, 5/1/34     $   183,759
   159,517 FNMA, Pool #725610, 5.500%, 7/1/34        164,491
     3,788 FNMA, Pool #889734, 5.500%, 6/1/37          3,916
    24,664 FNMA, Pool #AB1149, 5.000%, 6/1/40         24,890
    24,299 FNMA, Pool #AB1800, 4.000%, 11/1/40         23,168
    40,370 FNMA, Pool #AD3795, 4.500%, 4/1/40         39,456
    50,826 FNMA, Pool #AD9150, 5.000%, 8/1/40         51,291
   105,614 FNMA, Pool #AD9193, 5.000%, 9/1/40        106,574
    68,314 FNMA, Pool #AE0548, 4.500%, 11/1/40         66,944
    61,267 FNMA, Pool #AE4429, 4.000%, 10/1/40         58,426
     2,287 FNMA, Pool #AH2666, 4.000%, 1/1/26          2,221
     4,500 FNMA, Pool #AH3493, 4.000%, 2/1/26          4,368
    91,507 FNMA, Pool #AL0054, 4.500%, 2/1/41         89,671
   250,705 FNMA, Pool #AR9195, 3.000%, 3/1/43        224,885
   206,408 FNMA, Pool #AT2016, 3.000%, 4/1/43        184,901
   161,914 FNMA, Pool #BC1158, 3.500%, 2/1/46        148,472
   612,127 FNMA, Pool #BV4148, 3.000%, 3/1/52        535,774
   331,687 FNMA, Pool #FM4996, 2.000%, 12/1/50        270,832
   308,939 FNMA, Pool #FM5166, 3.000%, 12/1/50        271,303
   257,232 FNMA, Pool #FM5279, 3.500%, 11/1/50        233,806
   218,815 FNMA, Pool #FM5468, 2.500%, 1/1/36        199,005
   298,328 FNMA, Pool #FM5682, 2.500%, 1/1/51        252,887
    94,569 FNMA, Pool #MA1175, 3.000%, 9/1/42         84,887
    61,003 FNMA, Pool #MA2177, 4.000%, 2/1/35         58,216
   364,645 FNMA, Pool #MA4166, 3.000%, 10/1/40        322,723
   662,231 FNMA, Pool #MA4571, 2.500%, 3/1/42        567,727
    76,095 GNMA, Pool #4853, 4.000%, 11/20/40         72,671
    57,032 GNMA, Pool #4883, 4.500%, 12/20/40         56,349
   229,507 GNMA, Pool #5175, 4.500%, 9/20/41        226,762
    17,634 GNMA, Pool #736696, 4.500%, 5/15/40         17,340
   143,136 GNMA, Pool #AD1745, 3.000%, 2/20/43        127,350
   85,075 GNMA, Pool #MA1157, 3.500%, 7/20/43         78,866
  Total U.S. Government Mortgage-Backed Obligations  $6,422,474
  Asset-Backed Securities — 4.7%
   230,126 CF Hippolyta Issuer LLC, Ser 2020-1, Class A1, 144a, 1.690%, 7/15/60        204,452
   699,625 Driven Brands Funding LLC, Ser 2019-1A, Class A2, 144a, 4.641%, 4/20/49        648,697
   347,375 Driven Brands Funding LLC, Ser 2021-1A, Class A2, 144a, 2.791%, 10/20/51        274,306
   291,973 Elara HGV Timeshare Issuer LLC, Ser 2019-A, Class B, 144a, 2.910%, 1/25/34        267,307
   297,000 Jack in the Box Funding LLC, Ser 2022-1A, Class A2I, 144a, 3.445%, 2/26/52        258,054
   265,990 Jersey Mike's Funding, Ser 2019-1A, Class A2, 144a, 4.433%, 2/15/50        241,779
   152,500 Jimmy Johns Funding LLC, Ser 2017-1A, Class A2II, 144a, 4.846%, 7/30/47        142,782
   299,250 Jimmy Johns Funding LLC, Ser 2022-1A, Class A2I, 144a, 4.077%, 4/30/52        271,383
   375,000 Madison Park Funding XLIX Ltd. (Cayman Islands), Ser 2021-49A, Class B1, 144a, (3M LIBOR +1.700%), 4.438%, 10/19/34(B)        352,463
   289,383 Mill City Mortgage Loan Trust, Ser 2018-3, Class M3, 144a, 3.250%, 8/25/58(B)(C)        240,859
   350,000 New Mountain CLO 1 Ltd. (Cayman Islands), Ser CLO-1A, Class AR, 144a, (3M LIBOR +1.200%), 3.712%, 10/15/34(B)        333,421
  412,800 Planet Fitness Master Issuer LLC, Ser 2018-1A, Class A2II, 144a, 4.666%, 9/5/48         389,371
Principal
Amount
      Market
Value
  Asset-Backed Securities — 4.7% (Continued)
$  298,500 Planet Fitness Master Issuer LLC, Ser 2022-1A, Class A2I, 144a, 3.251%, 12/5/51     $   260,349
  260,700 TAL Advantage VII LLC, Ser 2020-1A, Class A, 144a, 2.050%, 9/20/45        228,367
  Total Asset-Backed Securities  $4,113,590
  Non-Agency Collateralized Mortgage Obligations — 4.4%
    61,467 Agate Bay Mortgage Trust, Ser 2013-1, Class B3, 144a, 3.564%, 7/25/43(B)(C)         59,694
   302,555 Agate Bay Mortgage Trust, Ser 2015-4, Class B2, 144a, 3.522%, 6/25/45(B)(C)        286,224
   299,160 Agate Bay Mortgage Trust, Ser 2015-7, Class B1, 144a, 3.651%, 10/25/45(B)(C)        271,847
   172,478 CSMC Trust, Ser 2013-IVR3, Class B2, 144a, 3.406%, 5/25/43(B)(C)        165,804
   223,014 CSMC Trust, Ser 2015-1, Class B3, 144a, 3.914%, 1/25/45(B)(C)        205,282
   138,535 CSMC Trust, Ser 2015-WIN1, Class B3, 144a, 3.781%, 12/25/44(B)(C)        127,652
   370,511 Deephaven Residential Mortgage Trust, Ser 2022-2, Class A1, 144a, 4.300%, 3/25/67(B)(C)        351,700
       220 Deutsche ALT-A Securities, Inc. ALT, Ser 2003-2XS, Class A6, 5.470%, 9/25/33(B)(C)            212
    41,234 EverBank Mortgage Loan Trust, Ser 2013-1, Class B1, 144a, 3.476%, 3/25/43(B)(C)         40,365
   415,819 EverBank Mortgage Loan Trust, Ser 2018-1, Class B2, 144a, 3.577%, 2/25/48(B)(C)        350,834
   286,753 GS Mortgage-Backed Securities Trust, Ser 2021-PJ6, Class A2, 144a, 2.500%, 11/25/51(B)(C)        228,338
   484,560 JP Morgan Mortgage Trust, Ser 2017-1, Class B2, 144a, 3.450%, 1/25/47(B)(C)        405,964
   429,812 JP Morgan Mortgage Trust, Ser 2022-2, Class A25A, 144a, 2.500%, 8/25/52(B)(C)        337,956
    76,629 Residential Asset Securitization Trust, Ser 2006-A1, Class 1A3, 6.000%, 4/25/36         37,868
    57,670 Sequoia Mortgage Trust, Ser 2013-10, Class B2, 144a, 3.532%, 8/25/43(B)(C)         54,439
    82,405 Sequoia Mortgage Trust, Ser 2013-5, Class B1, 144a, 3.497%, 5/25/43(B)(C)         76,682
   447,144 Sequoia Mortgage Trust, Ser 2018-CH3, Class B1B, 144a, 4.770%, 8/25/48(B)(C)        427,586
   405,225 Sequoia Mortgage Trust, Ser 2018-CH3, Class B2B, 144a, 4.770%, 8/25/48(B)(C)        387,499
   22,779 Washington Mutual Mortgage Pass-Through Certificates, Ser 2005-9, Class 2A4, 5.500%, 11/25/35         20,063
  Total Non-Agency Collateralized Mortgage Obligations  $3,836,009
Shares        
  Exchange-Traded Fund — 4.1%  
   45,431 iShares JP Morgan USD Emerging Markets Bond ETF  3,607,221
Principal
Amount
       
  Agency Collateralized Mortgage Obligations — 2.1%
$  230,000 FHLMC REMIC, Ser 4991, Class HB, 2.000%, 7/25/50        167,278
   725,000 FHLMC REMIC, Ser 5178, Class CV, 2.000%, 11/25/40        542,567
    12,641 FNMA REMIC, Ser 2015-51, Class KC, 3.000%, 6/25/45         11,826
   234,897 FNMA REMIC, Ser 2017-90, Class KA, 3.000%, 11/25/47        219,480
   450,000 FNMA REMIC, Ser 2019-35, Class KB, 3.000%, 7/25/49        365,694
  675,000 FNMA REMIC, Ser 2022-16, Class KB, 2.500%, 11/25/49        509,408
  Total Agency Collateralized Mortgage Obligations  $1,816,253
 
6

Touchstone Bond Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Sovereign Government Obligations — 1.3%
$  210,000 Bahamas Government International Bond, 144a, 6.000%, 11/21/28     $   126,003
   202,000 Chile Government International Bond, 3.100%, 5/7/41        137,282
   306,000 Chile Government International Bond, 3.100%, 1/22/61        178,775
   206,000 Colombia Government International Bond, 3.250%, 4/22/32        139,222
   226,000 Ecuador Government International Bond, 144a, 5.500%, 7/31/30        106,405
   210,000 Egypt Government International Bond, 144a, 7.625%, 5/29/32        126,355
   210,000 Ghana Government International Bond, 144a, 7.625%, 5/16/29         79,800
   205,000 Nigeria Government International Bond, 144a, 7.625%, 11/28/47        113,775
  200,000 Republic of Uzbekistan International Bond, 144a, 3.700%, 11/25/30        142,632
  Total Sovereign Government Obligations  $1,150,249
Shares        
  Preferred Stocks — 0.2%  
  Financials — 0.2%  
    1,256 Bank of America Corp., Ser NN, 4.375%(A)     22,960
    1,120 US Bancorp, Ser L, 3.750%(A)     17,998
    2,450 Wells Fargo & Co., Ser AA, 4.700%(A)     45,399
    3,663 Wells Fargo & Co., Ser DD, 4.250%(A)     62,967
  Total Preferred Stocks    $149,324
  Short-Term Investment Fund — 2.0%  
1,718,183 Dreyfus Government Cash Management, Institutional Shares, 2.75%∞Ω  1,718,183
  Total Investment Securities—99.6%
(Cost $99,324,173)
$86,584,076
  Other Assets in Excess of Liabilities — 0.4%    391,145
  Net Assets — 100.0% $86,975,221
(A) Perpetual Bond - A bond or preferred stock with no definite maturity date.
(B) Variable rate security - Rate reflected is the rate in effect as of September 30, 2022.
(C) Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2022.
Portfolio Abbreviations:
CLO – Collateralized Loan Obligation
DAC – Designated Activity Company
ETF – Exchange-Traded Fund
FHLMC – Federal Home Loan Mortgage Corporation
FNMA – Federal National Mortgage Association
GNMA – Government National Mortgage Association
LIBOR – London Interbank Offered Rate
LLC – Limited Liability Company
LP – Limited Partnership
MTN – Medium Term Note
PLC – Public Limited Company
REIT – Real Estate Investment Trust
REMIC – Real Estate Mortgage Investment Conduit
144a - This is a restricted security that was sold in a transaction qualifying for the exemption under Rule 144a of the Securities Act of 1933. This security may be sold in transactions exempt from registration, normally to qualified institutional buyers. At September 30, 2022, these securities were valued at $16,631,417 or 19.1% of net assets. These securities were deemed liquid pursuant to procedures approved by the Board of Trustees.
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Assets:        
Corporate Bonds $$32,661,684 $— $32,661,684
U.S. Treasury Obligations 23,124,928 23,124,928
Commercial Mortgage-Backed Securities 7,984,161 7,984,161
U.S. Government Mortgage-Backed Obligations 6,422,474 6,422,474
Asset-Backed Securities 4,113,590 4,113,590
Non-Agency Collateralized Mortgage Obligations 3,836,009 3,836,009
Exchange-Traded Fund 3,607,221 3,607,221
Agency Collateralized Mortgage Obligations 1,816,253 1,816,253
Sovereign Government Obligations 1,150,249 1,150,249
Preferred Stocks 149,324 149,324
Short-Term Investment Fund 1,718,183 1,718,183
Other Financial Instruments        
Futures        
Interest rate contracts 54,912 54,912
Total Assets $5,529,640 $81,109,348 $— $86,638,988
Liabilities:        
Other Financial Instruments        
Futures        
Interest rate contracts $(54,022) $$— $(54,022)
Total Liabilities $(54,022) $$— $(54,022)
Total $5,475,618 $81,109,348 $— $86,584,966
 
7

Touchstone Bond Fund (Unaudited) (Continued)
Futures Contracts
At September 30, 2022, $84,675 was segregated with the broker as collateral for futures contracts. The Fund had the following futures contracts, brokered by Wells Fargo, open at September 30, 2022
Description Expiration Date Number of
Contracts
Notional Value Unrealized
Appreciation/
(Depreciation)
Short Futures:        
30-Year U.S. Ultra Treasury Bond 12/20/2022 9 $1,287,912 $54,912
Long Futures:        
2-Year U.S. Treasury Note 12/30/2022 56 11,555,897 (54,022)
        $890
See accompanying Notes to Portfolios of Investments.
8

Portfolio of Investments
Touchstone Common Stock Fund – September 30, 2022 (Unaudited)
Shares       Market
Value
  Common Stocks — 100.1%  
  Information Technology — 29.2%  
 93,149 Apple, Inc. $ 12,873,192
 22,843 International Business Machines Corp.   2,713,977
 64,348 Microsoft Corp.  14,986,649
 58,641 Oracle Corp.   3,581,206
 23,434 PayPal Holdings, Inc.*   2,016,964
 27,302 salesforce, Inc.*   3,927,120
 41,743 SS&C Technologies Holdings, Inc.   1,993,228
 25,987 Texas Instruments, Inc.   4,022,268
 22,768 Visa, Inc. - Class A   4,044,735
 14,663 Workday, Inc. - Class A*   2,232,002
         52,391,341
  Health Care — 16.8%  
 28,055 AmerisourceBergen Corp.   3,796,683
 41,078 BioMarin Pharmaceutical, Inc.*   3,482,182
 66,160 Bristol-Myers Squibb Co.   4,703,314
 19,074 HCA Healthcare, Inc.   3,505,611
 41,371 Johnson & Johnson   6,758,367
 15,756 UnitedHealth Group, Inc.   7,957,410
         30,203,567
  Communication Services — 12.6%  
102,380 Alphabet, Inc. - Class C*   9,843,837
 88,597 AT&T, Inc.   1,359,078
 85,993 Comcast Corp. - Class A   2,522,175
 24,139 Fox Corp. - Class A     740,585
 35,693 Meta Platforms, Inc. - Class A*   4,842,826
  7,521 Netflix, Inc.*   1,770,744
 13,272 Walt Disney Co. (The)*   1,251,948
 21,433 Warner Bros Discovery, Inc.*     246,479
         22,577,672
  Financials — 12.0%  
150,470 Bank of America Corp.   4,544,194
 32,185 Berkshire Hathaway, Inc. - Class B*   8,594,038
 18,676 Goldman Sachs Group, Inc. (The)   5,473,002
  2,590 Markel Corp.*   2,808,130
         21,419,364
  Consumer Discretionary — 9.4%  
 16,346 Airbnb, Inc. - Class A*   1,716,984
 15,202 Alibaba Group Holding Ltd. (China) ADR*   1,216,008
 79,560 Amazon.com, Inc.*   8,990,280
 23,358 Hilton Worldwide Holdings, Inc.   2,817,442
 25,379 Starbucks Corp.   2,138,434
         16,879,148
  Industrials — 9.0%  
 14,362 Boeing Co. (The)*   1,738,951
  4,648 Deere & Co.   1,551,921
  7,486 FedEx Corp.   1,111,446
Shares       Market
Value
     
  Industrials — (Continued)  
 24,564 Hubbell, Inc. $  5,477,772
 51,457 Raytheon Technologies Corp.   4,212,270
 63,607 Southwest Airlines Co.*   1,961,640
         16,054,000
  Consumer Staples — 4.2%  
 41,995 Monster Beverage Corp.*   3,651,885
 46,964 Philip Morris International, Inc.   3,898,482
          7,550,367
  Energy — 3.8%  
 50,133 Exxon Mobil Corp.   4,377,112
 67,838 Schlumberger NV   2,435,384
          6,812,496
  Real Estate — 1.7%  
 20,646 Jones Lang LaSalle, Inc.*   3,118,991
  Materials — 1.4%  
 50,117 DuPont de Nemours, Inc.   2,525,897
  Total Common Stocks $179,532,843
  Short-Term Investment Fund — 0.1%  
161,699 Dreyfus Government Cash Management, Institutional Shares, 2.75%∞Ω     161,699
  Total Investment Securities—100.2%
(Cost $118,849,348)
$179,694,542
  Liabilities in Excess of Other Assets — (0.2%)    (283,013)
  Net Assets — 100.0% $179,411,529
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2022.
Portfolio Abbreviations:
ADR – American Depositary Receipt
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $179,532,843 $— $— $179,532,843
Short-Term Investment Fund 161,699 161,699
Total $179,694,542 $— $— $179,694,542
See accompanying Notes to Portfolios of Investments.
 
9

Portfolio of Investments
Touchstone Small Company Fund – September 30, 2022 (Unaudited)
Shares       Market
Value
  Common Stocks — 99.6%  
  Industrials — 20.5%  
    6,327 ASGN, Inc.* $   571,771
   13,909 Clean Harbors, Inc. *  1,529,712
    6,538 Crane Holdings Co.    572,337
    6,640 Curtiss-Wright Corp.    924,022
    6,950 EMCOR Group, Inc.    802,586
    7,679 ESCO Technologies, Inc.    563,946
   22,100 Federal Signal Corp.    824,772
    8,820 Forward Air Corp.    796,093
   48,159 Great Lakes Dredge & Dock Corp.*    365,045
    8,738 ITT, Inc.    570,941
    6,220 John Bean Technologies Corp.    534,920
   25,880 KBR, Inc.  1,118,534
    4,673 Quanta Services, Inc.    595,293
    5,677 Regal Rexnord Corp.    796,824
   30,210 Zurn Elkay Water Solutions Corp.    740,145
        11,306,941
  Health Care — 19.7%  
   51,960 Allscripts Healthcare Solutions, Inc.*    791,351
    5,700 Amedisys, Inc.*    551,703
   23,297 Anika Therapeutics, Inc.*    554,468
    1,816 Bio-Techne Corp.    515,744
    1,320 Chemed Corp.    576,259
   16,393 Encompass Health Corp.    741,455
    9,730 Ensign Group, Inc. (The)    773,535
   13,748 Globus Medical, Inc. - Class A*    818,968
   11,666 Integra LifeSciences Holdings Corp.*    494,172
   13,733 Merit Medical Systems, Inc.*    776,052
   36,560 NextGen Healthcare, Inc.*    647,112
   13,317 NuVasive, Inc.*    583,418
    6,691 Omnicell, Inc.*    582,318
   40,738 Premier, Inc. - Class A  1,382,648
   14,730 Progyny, Inc.*    545,894
   23,320 Vericel Corp.*    541,024
        10,876,121
  Consumer Discretionary — 16.8%  
   55,120 American Eagle Outfitters, Inc.    536,318
   17,992 Aritzia, Inc. (Canada)*    591,202
    9,660 Fox Factory Holding Corp.*    763,913
   26,346 Frontdoor, Inc.*    537,195
    7,760 Grand Canyon Education, Inc.*    638,260
   44,930 Leslie's, Inc.*    660,920
   23,561 Malibu Boats, Inc. - Class A*  1,130,692
    7,330 Oxford Industries, Inc.    658,087
   15,910 Skyline Champion Corp.*    841,162
   39,072 Steven Madden Ltd.  1,042,050
    9,058 Texas Roadhouse, Inc.    790,401
    3,520 TopBuild Corp.*    580,026
   24,488 Zumiez, Inc.*    527,227
         9,297,453
  Information Technology — 15.0%  
    9,562 Advanced Energy Industries, Inc.    740,195
   46,280 Box, Inc. - Class A*  1,128,769
   11,330 CommVault Systems, Inc.*    600,943
   18,565 Digi International, Inc.*    641,792
    4,067 ExlService Holdings, Inc.*    599,313
   40,939 KnowBe4, Inc. - Class A*    851,941
   10,137 MAXIMUS, Inc.    586,628
   17,262 Onto Innovation, Inc.*  1,105,631
    4,994 SPS Commerce, Inc.*     620,405
Shares       Market
Value
     
  Information Technology — (Continued)  
   16,611 Verint Systems, Inc.* $   557,797
   10,220 WNS Holdings Ltd. (India) ADR*    836,405
         8,269,819
  Financials — 12.3%  
   13,810 Banner Corp.    815,895
    7,216 Evercore, Inc. - Class A    593,516
   76,270 FNB Corp.    884,732
   35,770 Home BancShares, Inc.    805,183
   26,470 Pacific Premier Bancorp, Inc.    819,511
   10,323 Pinnacle Financial Partners, Inc.    837,195
   28,943 Webster Financial Corp.  1,308,223
   11,197 Western Alliance Bancorp    736,091
         6,800,346
  Real Estate — 7.7%  
   12,190 Agree Realty Corp. REIT    823,800
   58,605 Corporate Office Properties Trust REIT  1,361,394
   27,710 Healthcare Realty Trust, Inc. REIT    577,754
   43,030 Kite Realty Group Trust REIT    740,977
   27,450 STAG Industrial, Inc. REIT    780,403
         4,284,328
  Materials — 4.3%  
    6,249 Ashland, Inc.    593,468
    5,041 Eagle Materials, Inc.    540,294
   29,471 Silgan Holdings, Inc.  1,238,961
         2,372,723
  Communication Services — 2.0%  
   38,404 Cargurus, Inc.*    544,184
    8,089 Ziff Davis, Inc.*    553,935
         1,098,119
  Energy — 1.3%  
   37,890 ChampionX Corp.    741,507
  Total Common Stocks $55,047,357
  Short-Term Investment Funds — 3.0%  
  378,946 Dreyfus Government Cash Management, Institutional Shares, 2.75%∞Ω    378,946
1,296,285 Invesco Government & Agency Portfolio, Institutional Class, 2.88%∞Ω**  1,296,285
  Total Short-Term Investment Funds  $1,675,231
  Total Investment Securities—102.6%
(Cost $49,220,201)
$56,722,588
  Liabilities in Excess of Other Assets — (2.6%) (1,427,544)
  Net Assets — 100.0% $55,295,044
* Non-income producing security.
** Represents collateral for securities loaned.
All or a portion of the security is on loan. The total market value of the securities on loan as of September 30, 2022 was $1,183,857.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of September 30, 2022.
Portfolio Abbreviations:
ADR – American Depositary Receipt
REIT – Real Estate Investment Trust
 
10

Touchstone Small Company Fund (Unaudited) (Continued)
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $55,047,357 $— $— $55,047,357
Short-Term Investment Funds 1,675,231 1,675,231
Total $56,722,588 $— $— $56,722,588
See accompanying Notes to Portfolios of Investments.
11

Notes to Portfolio of Investments
September 30, 2022 (Unaudited)
Security valuation and fair value measurements — U.S. generally accepted accounting principles (“U.S. GAAP”) defines fair value as the price the Funds would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date.  All investments in securities are recorded at their fair value. The Funds define the term “market value”, as used throughout this report, as the estimated fair value. The Funds use various methods to measure fair value of their portfolio securities on a recurring basis. U.S. GAAP fair value measurement standards require disclosure of a hierarchy that prioritizes inputs to valuation methods. These inputs are summarized in the three broad levels listed below:
•  Level 1 − quoted prices in active markets for identical securities
•  Level 2 − other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
•  Level 3 − significant unobservable inputs (including a Fund’s own assumptions in determining the fair value of investments)
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
The aggregate value by input level, as of September 30, 2022, for each Fund’s investments, is included in each Fund’s Portfolio of Investments, which also includes a breakdown of the Fund’s investments by portfolio or sector allocation. The Funds did not hold or transfer any Level 3 categorized securities during the period ended September 30, 2022.
Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the hierarchy.
The Funds' portfolio securities are valued as of the close of the regular session of trading on the New York Stock Exchange (“NYSE”) (currently 4:00 p.m., Eastern Time or at the time as of which the NYSE establishes official closing prices). Portfolio securities traded on stock exchanges are valued at the last reported sale price, official close price, or last bid price if no sales are reported. Portfolio securities quoted by NASDAQ are valued at the NASDAQ Official Closing Price (“NOCP”) or from the primary exchange on which the security trades. To the extent these securities are actively traded, they are categorized in Level 1 of the fair value hierarchy. Options and futures are valued at the last quoted sales price. If there is no such reported sale on the valuation date, long option positions are valued at the most recent bid price, and short option positions are valued at the most recent ask price on the valuation date and are categorized in Level 1. Shares of mutual funds in which the Funds invest are valued at their respective net asset value (“NAV”) as reported by the underlying funds and are categorized in Level 1.
Debt securities held by the Funds are valued at their evaluated bid by an independent pricing service or at their last broker-quoted bid prices as obtained from one or more of the major market makers for such securities. Independent pricing services use information provided by market makers or estimates of market values through accepted market modeling conventions. Observable inputs to the models may include prepayment speeds, pricing spread, yield, trade information, dealer quotes, market color, cash flow models, the securities’ terms and conditions, among others, and are generally categorized in Level 2. Investments in asset-backed and mortgage-backed securities are valued by independent pricing services using models that consider estimated cash flows of each tranche of the security, establish a benchmark yield and develop an estimated tranche specific spread to the benchmark yield based on the unique attributes of the tranche, and are generally categorized in Level 2. Debt securities with remaining maturities of 60 days or less may be valued at amortized cost, provided such amount approximates market value and are categorized in Level 2. While this method provides consistency in valuation (and may only be used if it approximates market value), it may result in periods during which fair value, as determined by amortized cost, is higher or lower than the price that would be received if the Fund sold the investment.
Securities mainly traded on a non-U.S. exchange or denominated in foreign currencies are generally valued according to the preceding closing values on that exchange, translated to U.S. dollars using currency exchange rates as of the close of regular trading on the NYSE, and are generally categorized in Level 1. However, if an event that may change the value of a security occurs after the time that the closing value on the non-U.S. exchange was determined, but before the close of regular trading on the NYSE, the security may be priced based on fair value and is generally categorized in Level 2. This may cause the value of the security, if held on the books of a Fund, to be different from the closing value on the non-U.S. exchange and may affect the calculation of that Fund’s NAV. The Funds may use fair value pricing under the following circumstances, among others:
•  If the value of a security has been materially affected by events occurring before the Funds' pricing time but after the close of the primary markets on which the security is traded.
•  If the exchange on which a portfolio security is principally traded closes early or if trading in a particular portfolio security was halted during the day and did not resume prior to the Funds' NAV calculation.
•  If a security is so thinly traded that reliable market quotations are unavailable due to infrequent trading.
•  If the validity of market quotations is not reliable.
Securities held by the Funds that do not have readily available market quotations, significant observable inputs, or securities for which the available market quotations are not reliable, are priced at their estimated fair value using procedures approved by the Funds’ Board of Trustees and are generally categorized in Level 3.
12

Notes to Portfolio of Investments (Unaudited) (Continued)
Each Fund is an investment company that follows the accounting and reporting guidance of Accounting Standards Codification Topic 946 applicable to investment companies.
Security transactions—Security transactions are reflected for financial reporting purposes as of the trade date.
13