0001398344-22-005429.txt : 20220308 0001398344-22-005429.hdr.sgml : 20220308 20220307174140 ACCESSION NUMBER: 0001398344-22-005429 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 14 CONFORMED PERIOD OF REPORT: 20211231 FILED AS OF DATE: 20220308 DATE AS OF CHANGE: 20220307 EFFECTIVENESS DATE: 20220308 FILER: COMPANY DATA: COMPANY CONFORMED NAME: JAMES ADVANTAGE FUNDS CENTRAL INDEX KEY: 0001045487 IRS NUMBER: 000000000 STATE OF INCORPORATION: OH FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-08411 FILM NUMBER: 22719502 BUSINESS ADDRESS: STREET 1: 1349 FAIRGROUND RD CITY: BEAVERCREEK STATE: OH ZIP: 45385 BUSINESS PHONE: 9374267640 MAIL ADDRESS: STREET 1: 1349 FAIRGROUND RD CITY: BEAVERCREEK STATE: OH ZIP: 45385 FORMER COMPANY: FORMER CONFORMED NAME: JAMES FUNDS DATE OF NAME CHANGE: 19970904 0001045487 S000003560 James Balanced: Golden Rainbow Fund C000009900 Retail Class GLRBX C000075008 Institutional Class GLRIX 0001045487 S000003563 James Small Cap Fund C000009903 James Small Cap Fund JASCX 0001045487 S000029269 JAMES MICRO CAP FUND C000090023 JAMES MICRO CAP FUND JMCRX 0001045487 S000049901 James Aggressive Allocation Fund C000157576 James Aggressive Allocation Fund JAVAX N-CSRS 1 fp0073782_ncsrs.htm

 

UNITED STATES 

SECURITIES AND EXCHANGE COMMISSION 

WASHINGTON, D.C.  20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED 

MANAGEMENT INVESTMENT COMPANIES

 

811-08411

(Investment Company Act file number)

 

The James Advantage Funds

(Exact name of registrant as specified in charter)

 

1349 Fairground Road 

Xenia, Ohio 45385 

(Address of principal executive offices)   (Zip code)

 

Barry R. James 

P.O. Box 8 

Alpha, Ohio 45301

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: (937) 426-7640

 

Date of fiscal year end: June 30

 

Date of reporting period: July 1, 2021 – December 31, 2021

 

 

Item 1. Reports to Stockholders.

 

(a)

 

(GRAPHIC) 

 

 

TABLE OF CONTENTS

 

Shareholder Letter 1
Growth of $10,000 or $50,000 Charts 4
Representation of Schedules of Investments 7
Disclosure of Fund Expenses 8
Schedule of Investments  
James Balanced: Golden Rainbow Fund 9
James Small Cap Fund 14
James Micro Cap Fund 17
James Aggressive Allocation Fund 20
Statements of Assets and Liabilities 24
Statements of Operations 25
Statements of Changes in Net Assets 26
Financial Highlights  
James Balanced: Golden Rainbow Fund - Retail Class 31
James Balanced: Golden Rainbow Fund - Institutional Class 32
James Small Cap Fund 33
James Micro Cap Fund 34
James Aggressive Allocation Fund 35
Notes to Financial Statements 36
Additional Information 43
Privacy Policy 44

 

 

James Advantage Funds Shareholder Letter

 

December 31, 2021 (Unaudited)

 

LETTER TO THE SHAREHOLDERS 

OF THE JAMES ADVANTAGE FUNDS

 

Who knew that Greek was going to be this important? Alpha Delta Omicron sounds like a college sorority or fraternity, but as we all now know, are variants of the Covid-19 virus. Just as it seems we have a handle on Covid-19, a new variant pops up. For the better part of the past 2 years, this cycle seems to be repeating itself and the stock market has followed in step. A new variant pops up, the market pulls back. Once case numbers begin to fall back, stocks have generally advanced. This repititous dance may be how we get to herd immunity, however it has caused volatitily in the stock market.

 

The Markets Over the Past Six Months

 

The months of July and August saw a modest move upwards in stocks, especially for larger companies. As August ended so did much of the upward momentum as news of the Delta variant circulated. Fears of a second shutdown caused a temporary pullback in stocks only to see them advance once again as the number of cases and hospitalizations improved. We saw a similar situation the day after Thanksgiving with regards to the Omicron variant, a pull back, only to see a follow up rebound. This cycle has permeated the markets with a buy the dip mentality. In the second half of calendar year 2021, the Russell 1000® Index increased 10.01% and the NASDAQ advanced by 8.23%. The Russell 2000® Index, which is comprised of small capitalization stocks, was the market laggard in the second half of the year, declining 2.31%%.

 

While stocks were advancing, fixed income investments (bonds) did not do very much. One area of concern for investors has been higher levels of inflation. Due to supply chain disuptions across the globe, costs for goods and services have increased dramatically. It is important to remember, higher levels of inflation erode purchasing power of the U.S. dollar and fixed income payments, harming the value of bonds. Case in point, the Bloomberg U.S. Intermediate Government/Credit Bond Index, a broad based benchmark of treasuries, government related notes and corporate issues, posted a return of -0.55% over the same timeframe.

 

Investment Goals and Objectives

 

The James Balanced: Golden Rainbow Fund (the “Golden Rainbow Fund”) seeks to provide total return through a combination of growth and income and preservation of capital in declining markets. The Golden Rainbow Fund will generally hold positions in common stocks that in aggregate constitute between 35 percent and 55 percent of the Fund’s net assets. Bonds held in the Fund will generally be rated at or above Baa2 by Moody’s or BBB by S&P at the time of purchase. The Golden Rainbow Fund may hold municipal bonds, but generally buys them when they are attractively priced compared with taxable bonds.

 

The Golden Rainbow Fund’s benchmark is a blend of 25% Russell 1000® Index, 25% Russell 2000® Index and 50% Bloomberg U.S. Intermediate Government/Credit Bond Index. The benchmark is the same for all share classes of the Golden Rainbow Fund. We believe this index to be an appropriate benchmark for the Fund as it provides representation from both large, mid and small capitalization stocks as well as a fixed income component.

 

The James Aggressive Allocation Fund (the “Aggressive Allocation Fund”) seeks to provide total return through a combination of growth and income, but preservation of capital in declining markets is a secondary objective. Shareholders should be aware this Fund will likely have a higher level of volatility than the Golden Rainbow Fund. The Aggressive Allocation Fund’s benchmark is a blend of 65% Russell 3000® Index and 35% Bloomberg U.S. Aggregate Government/Credit Bond Index.

 

The James Small Cap Fund (the “Small Cap Fund”) and the James Micro Cap Fund (the “Micro Cap Fund”) each seek to provide long-term capital appreciation. These Funds hold only equity securities and cash/cash equivalents, under most circumstances. The Small Cap Fund’s benchmark is the Russell 2000® Index, and the Micro Cap Fund’s benchmark is the Russell Microcap® Index.

 

Investment Philosophy

 

James Investment Research, Inc., the James Advantage Funds’ adviser (the “Adviser” or “JIR”), commenced operations in 1972 and became known as a value manager, identifying stocks with good relative valuations, profitability and price momentum. The Adviser’s research, along with much academic research, supports the view that value investing tends to outperform growth investing over the longer-run. There are times however when traditional valuation techniques do not equate to future stock market performance. This is why we use a three factor approach, often times relying more on profitability and momentum.

 

The James Advantage Funds offer several different styles, but they all have a slant towards value when it comes to stock selection. The Aggressive Allocation Fund generally takes on greater risk than the Golden Rainbow Fund in terms of its higher allocation to stocks, but still seeks to reduce that risk in anticipation of a major decline in stock prices. Due to potentially higher equity levels, Aggressive Allocation Fund shareholders should generally have higher risk appetites for their mutual fund investments than those in the Golden Rainbow Fund.

 

 

Semi-Annual Report | December 31, 2021 1

 

 

Shareholder Letter James Advantage Funds

 

December 31, 2021 (Unaudited)

 

The Micro Cap Fund and the Small Cap Fund invest in smaller capitalization companies. The Small Cap and Micro Cap Funds are niche products designed to meet the objectives of investors who want to establish diversified positions in these areas. As these Funds are equity products, they are intrinsically riskier than other products holding bonds and the shareholder should expect relatively greater volatility in Net Asset Value (“NAV”) prices and a higher standard deviation of returns. Still, these portfolios hold stocks that are ranked highly by the Adviser’s models and pass a thorough review by the Adviser’s researchers and portfolio managers.

 

The Adviser has no soft-dollar arrangements, and does not purchase research from any broker/dealers.

 

Strategy for Seeking to Meet Fund Objectives

 

For the Balanced: Golden Rainbow and the Aggressive Allocation, the main objective is to provide total return through growth and income. The Adviser has always held to the belief preservation of capital in down markets is the key to long-term investment success. Hence, the Golden Rainbow Fund seeks to preserve capital by constructing a portfolio of both bonds and stocks. In the past, stocks have often provided capital appreciation when the economy has proven to be strong. Bonds, in general, are uncorrelated with stocks, and can provide asset class diversification as well as an income stream. In times when the stock market is strong, some investors may forget these positive characteristics of bonds, but the Golden Rainbow Fund has always held a significant position in bonds. The Aggressive Allocation Fund has a similar portfolio construction however it tends to hold a higher allocation to stocks and lower investment in bonds.

 

The Small Cap Fund and the Micro Cap Fund look for stocks the Adviser believes to be undervalued, using its proprietary research to screen a database of over 3,000 stocks. Deterioration in a stock’s fundamental value characteristics can lead the Adviser to trim or sell the position.

 

Fund Performance

 

The Golden Rainbow Fund and the Aggressive Allocation Fund both hold significant bond positions. The expectation is that in periods of strong stock market returns, the Funds will participate, however not to the full extent, in the all stock indices. The same can be said should stocks fall. These balanced styles strive to lessen the volatility many pure stock funds experience. Over the six-month period ended December 31, 2021, the Retail Class shares of the Golden Rainbow Fund advanced 4.68% and the Institutional Class shares advanced 4.83%. The Golden Rainbow Fund paid out a regular dividend every quarter. The Retail Class shares paid 3.23 cents per share in September and 3.21 cents per share in December. The Institutional Class shares paid 4.72 cents per share in September and 4.64 cents per share in December. Additionally, in December the Golden Rainbow Fund paid all shareholders a long-term capital gains distribution of $1.32 per share and a short-term capital gains distribution of 4.45 cents per share.

 

Over the six months ended December 31, 2021, the Small Cap Fund increased 10.22%. The Small Cap Fund paid an ordinary dividend of 9.27 cents per share in December and did not pay a capital gain for the year.

 

The Micro Cap Fund increased 9.83% for the six months ended December 31, 2021. The Fund paid a long-term capital gains distribution of 78.41 cents per share in December and paid an ordinary dividend of 0.99 cents per share.

 

The Aggressive Allocation Fund is like the Golden Rainbow Fund in the sense that its strategy requires the Fund to hold both stocks and bonds. However, it is a more aggressive fund and generally will hold a higher allocation to stocks than the Golden Rainbow Fund. The Aggressive Allocation Fund paid an ordinary dividend of 2.42 cents per share in December. No capital gain distribution was paid. For the six months ended December 31, 2021, the Aggressive Allocation Fund increased by 5.54%.

 

Expectations for the Future

 

In the December 31, 2020 Semi-annual report we noted: “Looking back, we noted the virus and the accompanying shut-downs. However, as we look ahead, we believe there is potential for economic growth due to re-openings and pent up demand” and that “even at elevated prices, we believe there may be room for stocks to grow.” Both of which turned out to be accurate assessments. Due to the ebbs and flows of not only the stock market, but also the economy and Covid-19 virus, our views of the coming months are much the same. We believe volatitlity will certainly play a large part in investing for the coming year as concerns for one’s health and welfare take a central role. However, with each scare and pullback, there will be the opportunity for a ‘re-opening’ and potential rally.

 

Our fixed income outlook is a little less rosey. Inflation is here and the Federal Reserve has finally taken notice. In recent meetingsthey have discussed when they will begin to raise rates and potentially sell bonds to tighten monetary conditions. We believe eventually rates should plateau and create a good yield to buy at, however early in the year may prove to be difficult.

 

 

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James Advantage Funds Shareholder Letter

 

December 31, 2021 (Unaudited)

 

Thank you once again for your continued support and confidence in the James Advantage Funds.

 

Brian P. Shepardson 

Secretary 

The James Advantage Funds

 

Brian Shepardson is a registered representative of ALPS Distributors, Inc.

 

The statements and opinions expressed are those of the author, are as of the date of this report, are subject to change, and may not reflect the writer’s current views. All information is historical and not indicative of future results and subject to change. It should not be assumed that an investment in the securities mentioned will be profitable in the future. This information is not a recommendation to buy or sell.

 

You should carefully consider the investment objectives, potential risks, management fees, and charges and expenses of the Fund before investing. The Fund’s prospectus contains this and other information about the Fund and should be read carefully before investing. You may obtain a current copy of the Fund’s prospectus by calling 1-800-995-2637.

 

Past performance is no guarantee of future results. The investment return and principal value of an investment in the Fund will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Investors may obtain performance information current to the last month-end at www.jamesinvestment.com.

 

NASDAQ is a global electronic marketplace for buying and selling securities, as well as the benchmark index for U.S. technology stocks.

 

Standard deviation is a measure of the dispersion of a set of data from its mean and is one of the key fundamental risk measures used in the financial services industry.

 

Credit ratings apply to the underlying holdings of the Fund, and not to the Fund itself. Moody’s and S&P study the financial condition of an entity to ascertain its creditworthiness. The credit ratings reflect the rating agency's opinion of the holdings financial condition and histories. The ratings shown (Baa2 by Moody’s/BBB by S&P) are all considered investment grade and are listed by highest to lowest in percentage of what the Fund holds.

 

Diversification does not eliminate the risk of experiencing investment loss.

 

ALPS Distributors, Inc. 1290 Broadway, Ste. 1000, Denver, CO 80203 (Member FINRA). ALPS is not affiliated with James Investment Research, Inc.

 

 

Semi-Annual Report | December 31, 2021 3

 

 

Growth of $10,000 or $50,000 Charts James Advantage Funds

 

December 31, 2021 (Unaudited)

 

Comparison of the Change in Value of a $10,000 Investment in the James Balanced: Golden Rainbow Fund – Retail Class

 

(GRAPHIC)

 

James Balanced: Golden Rainbow Fund – Retail Class Average Annual Total Returns

 

  1 Year 5 Years 10 Years

Since

Inception(2) 

James Balanced: Golden Rainbow – Retail Class 

12.68% 4.01% 5.12% 7.21%
Blended Index(1) 9.24% 9.39% 8.84% 8.28%
Russell 1000® Index 26.46% 18.43% 16.54% 11.05%
Russell 2000® Index 14.82% 12.02% 13.23% 10.37%
Bloomberg U.S. Intermediate Government/Credit Bond Index -1.44% 2.91% 2.38% 5.02%

  

(1) The Blended Index is comprised of a 25% weighting in the Russell 1000® Index, a 25% weighting in the Russell 2000® Index and a 50% weighting in the Bloomberg U.S. Intermediate Government/Credit Bond Index.
(2) Fund and Class inception was July 1, 1991.

 

The total annual operating expense ratio as stated in the fee table of the most recent prospectus, dated November 1, 2021, was 1.18%.

Comparison of the Change in Value of a $50,000 Investment in the James Balanced: Golden Rainbow Fund – Institutional Class

 

(GRAPHIC) 

 

James Balanced: Golden Rainbow Fund – Institutional Class Average Annual Total Returns

 

  1 Year 5 Years 10 Years

Since

Inception(2)

James Balanced: Golden Rainbow – Institutional Class 

12.94% 4.27% 5.38% 7.44%
Blended Index(1) 9.24% 9.39% 8.84% 10.66%
Russell 1000® Index 26.46% 18.43% 16.54% 18.60%
Russell 2000® Index 14.82% 12.02% 13.23% 16.70%
Bloomberg U.S. Intermediate Government/Credit Bond Index -1.44% 2.91% 2.38% 3.21%

  

(1)The Blended Index is comprised of a 25% weighting in the Russell 1000® Index, a 25% weighting in the Russell 2000® Index and a 50% weighting in the Bloomberg U.S. Intermediate Government/Credit Bond Index.

(2)Class inception was March 2, 2009.

 

The total annual operating expense ratio as stated in the fee table of the most recent prospectus, dated November 1, 2021, was 0.93%.


Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and principal value will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than the original cost. These performance figures do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Please call 1-800-995-2637 for most recent month-end performance information.

 

The Russell 1000® Index is an index of approximately 1,000 of the largest companies in the U.S. equity market. The Russell 1000® Index is a subset of the Russell 3000® Index. It represents the top companies by market capitalization.

 

The Russell 2000® Index is a widely recognized, unmanaged index comprised of the 2,000 smallest U.S. domiciled publicly-traded common stocks of the Russell 3000® Index, which represents approximately 8% of the total market capitalization of the Russell 3000® Index, an unmanaged index of the 3,000 largest U.S. domiciled publicly-traded common stocks by market capitalization.

 

The Bloomberg U.S. Intermediate Government/Credit Bond Index measures the performance of U.S. Dollar denominated U.S. Treasuries, government-related and investment grade U.S. corporate securities that have a remaining maturity of greater than one year and less than ten years.

 

The Russell 1000® Index, Russell 2000® Index, Bloomberg U.S. Intermediate Government/Credit Bond Index and Blended Index are widely recognized unmanaged indices of security prices and are representative of a broader market and range of securities than is found in the Fund’s portfolio. The Index returns do not reflect the deduction of expenses, which have been deducted from a Fund’s returns. The Index returns assume reinvestment of all distributions and do not reflect the deduction of taxes and fees. Individuals cannot invest directly in any Index; however, an individual can invest in exchange traded funds or other investment vehicles that attempt to track the performance of a benchmark index.

 

 

4 www.jamesinvestment.com

 

 

James Advantage Funds Growth of $10,000 or $50,000 Charts

 

December 31, 2021 (Unaudited)

 

Comparison of the Change in Value of a $10,000 Investment in the James Small Cap Fund

 

(GRAPHIC) 

 

James Small Cap Fund 

Average Annual Total Returns

 

  1 Year 5 Years 10 Years

Since

Inception(1) 

James Small Cap Fund 38.79% 5.43% 8.07% 7.76%
Russell 2000® Index 14.82% 12.02% 13.23% 9.76%

 

(1)Fund inception was October 2, 1998.

 

The total annual operating expense ratio as stated in the fee table of the most recent prospectus, dated November 1, 2021, was 1.78%.

Comparison of the Change in Value of a $10,000 Investment in the James Micro Cap Fund

 

(GRAPHIC) 

 

James Micro Cap Fund 

Average Annual Total Returns

 

  1 Year 5 Years 10 Years

Since

Inception(1) 

James Micro Cap Fund 36.24% 7.23% 11.59% 10.77%
Russell Microcap® Index 19.34% 11.69% 13.62% 13.35%

 

(1)Fund inception was July 1, 2010.

 

The total annual operating expense ratio as stated in the fee table of the most recent prospectus, dated November 1, 2021, was 1.50%.


*Excludes adjustments in accordance with accounting principles generally accepted in the United States of America and as such, the net asset value and total return for shareholder transactions reported to the market may differ from the net asset value for financial reporting purposes.

 

Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and principal value will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than the original cost. These performance figures do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Please call 1-800-995-2637 for most recent month-end performance information.

 

Small and Micro Cap investing involve greater risk not associated with investing in more established companies, such as greater price volatility, business risk, less liquidity and increased competitive threat.

 

The Russell Microcap® Index measures the performance of the microcap segment of the U.S. equity market. It makes up less than 3% of the U.S. equity market. It includes 1,000 of the smallest securities in the small cap Russell 2000® Index, plus the next smallest eligible securities by market cap.

 

The Russell 2000® Index is a widely recognized, unmanaged index comprised of the 2,000 smallest U.S. domiciled publicly-traded common stocks of the Russell 3000® Index, which represents approximately 8% of the total market capitalization of the Russell 3000® Index, an unmanaged index of the 3,000 largest U.S. domiciled publicly-traded common stocks by market capitalization.

 

The Russell 2000® Index and Russell Microcap® Index are widely recognized unmanaged indices of security prices and are representative of a broader market and range of securities than is found in the Fund’s portfolio. The Index returns do not reflect the deduction of expenses, which have been deducted from a Fund’s returns. The Index returns assume reinvestment of all distributions and do not reflect the deduction of taxes and fees. Individuals cannot invest directly in any Index; however, an individual can invest in exchange traded funds or other investment vehicles that attempt to track the performance of a benchmark index.

 

 

Semi-Annual Report | December 31, 2021 5

 

 

Growth of $10,000 or $50,000 Charts James Advantage Funds

 

December 31, 2021 (Unaudited)  

 

Comparison of the Change in Value of a $10,000 Investment in 

the James Aggressive Allocation Fund

 

(GRAPHIC)

 

James Aggressive Allocation Fund 

Average Annual Total Returns

 

  1 Year 5 Years

Since 

Inception(2) 

James Aggressive Allocation Fund 16.87% 4.91% 3.71%
Blended Index(1) 15.49% 13.22% 11.40%
Russell 3000® Index 25.66% 17.97% 15.29%

Bloomberg U.S. Aggregate Government/ Credit Bond Index 

-1.75% 3.99% 3.66%

  

(1)The Blended Index is comprised of a 65% weighting in the Russell 3000® Index and a 35% weighting in the Bloomberg U.S. Aggregate Government/Credit Bond Index.

(2) Fund inception was July 1, 2015.

  

The total annual operating expense ratio as stated in the fee table of the most recent prospectus, dated November 1, 2021, was 1.06%.


Past performance does not guarantee future results. The performance data quoted represents past performance and current returns may be lower or higher. The investment return and principal value will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than the original cost. These performance figures do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. Please call 1-800-995-2637 for most recent month-end performance information.

 

The Russell 3000® Index is a stock market index of U.S. stocks. The Index measures the performance of 3,000 publicly held U.S. companies based on total market capitalization, which represents approximately 98% of the investable U.S. equity market.

 

The Bloomberg U.S. Aggregate Government/Credit Bond Index is an unmanaged index generally representative of U.S. Dollar denominated U.S. Treasuries, government related and investment grade U.S. corporate securities, that have a remaining maturity greater than one year.

 

The Russell 3000® Index, Bloomberg U.S. Aggregate Government/Credit Bond Index and the Blended Index are widely recognized unmanaged indices of security prices and are representative of a broader market and range of securities than is found in the Fund’s portfolio. The Index returns do not reflect the deduction of expenses, which have been deducted from a Fund’s returns. The Index returns assume reinvestment of all distributions and do not reflect the deduction of taxes and fees. Individuals cannot invest directly in any Index; however, an individual can invest in exchange traded funds or other investment vehicles that attempt to track the performance of a benchmark index.

 

 

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James Advantage Funds Representation of Schedules of Investments

 

December 31, 2021 (Unaudited)

 

The illustrations below provide the industry sectors for the James Balanced: Golden Rainbow Fund, James Small Cap Fund, James Micro Cap Fund and James Aggressive Allocation Fund.

 

James Balanced: Golden Rainbow Fund -Industry Sector Allocation (% of Net Assets)* James Small Cap Fund - Industry Sector Allocation (% of Net Assets)*
   
(GRAPHIC) (GRAPHIC) 

 

James Micro Cap Fund - Industry Sector Allocation (% of Net Assets)* James Aggressive Allocation Fund -Industry Sector Allocation (% of Net Assets)*
   
(GRAPHIC) (GRAPHIC)

 

*Holdings are subject to change, and may not reflect the current or future position of the portfolio.

 

 

Semi-Annual Report | December 31, 2021 7

 

 

Disclosure of Fund Expenses James Advantage Funds

 

December 31, 2021 (Unaudited)

 

Example. As a shareholder of a Fund, you incur two types of costs: (1) transaction costs, including reinvested dividends or other distributions, and redemption fees; and (2) ongoing costs, including management fees, distribution (12b-1) fees and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Funds and to compare these costs with the ongoing costs of investing in other mutual funds.

 

The example is based on an investment of $1,000 invested at the beginning of the period and held for the entire period July 1, 2021 through December 31, 2021.

 

Actual Expenses. The first line of the table below provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period. Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading “Expense Paid During Period” to estimate the expenses you paid on your account during this period.

 

Hypothetical Example for Comparison Purposes. The second line of the table below provides information about hypothetical account values and hypothetical expenses based on a Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual returns. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare the ongoing costs of investing in a Fund and other mutual funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

 

Please note that expenses shown in the table are meant to highlight and help you compare ongoing costs only. The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

 

 

Net Expense 

Ratio 

Annualized 

December

31, 2021(a) 

Beginning 

Account Value 

July 1, 2021 

Ending 

Account Value 

December 31, 2021 

Expense 

Paid During 

Period(b) 

James Balanced: Golden Rainbow Fund        
Retail Class Actual 1.17% $1,000.00 $1,046.80 $6.04
Retail Class Hypothetical (5% return before expenses) 1.17% $1,000.00 $1,019.31 $5.96
Institutional Class Actual 0.92% $1,000.00 $1,048.30 $4.75
Institutional Class Hypothetical (5% return before expenses) 0.92% $1,000.00 $1,020.57 $4.69
James Small Cap Fund        
Actual 1.50% $1,000.00 $1,102.20 $7.95
Hypothetical (5% return before expenses) 1.50% $1,000.00 $1,017.64 $7.63
James Micro Cap Fund        
Actual 1.50% $1,000.00 $1,098.90 $7.94
Hypothetical (5% return before expenses) 1.50% $1,000.00 $1,017.64 $7.63
James Aggressive Allocation Fund        
Actual 1.00% $1,000.00 $1,055.40 $5.18
Hypothetical (5% return before expenses) 1.00% $1,000.00 $1,020.16 $5.09

 

(a)Annualized, based on the Fund's most recent fiscal half year expenses.

(b)Expenses are equal to the Fund's annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (184), divided by 365.

 

 

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James Balanced: Golden Rainbow Fund Schedule of Investments

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
COMMON STOCKS-50.05%    
    Communication Services-4.84%    
 5,000   Alphabet, Inc., Class A*  $14,485,200 
 132,570   Comcast Corp., Class A   6,672,248 
 20,900   Facebook, Inc., Class A*   7,029,715 
 10,000   T-Mobile US, Inc.*   1,159,800 
         29,346,963 
           
     Consumer Discretionary-5.55%     
 500   Amazon.com, Inc.*   1,667,170 
 5,129   Best Buy Co., Inc.   521,106 
 6,750   Darden Restaurants, Inc.   1,016,820 
 8,000   Deckers Outdoor Corp.*   2,930,480 
 10,000   Helen of Troy, Ltd.*   2,444,700 
 12,400   Hibbett Sports, Inc.   891,932 
 17,618   Home Depot, Inc.   7,311,646 
 5,000   LGI Homes, Inc.*   772,400 
 13,600   MarineMax, Inc.*   802,944 
 31,218   McDonald's Corp.   8,368,609 
 21,374   Target Corp.   4,946,799 
 4,600   Tractor Supply Co.   1,097,560 
 8,900   Wyndham Hotels & Resorts, Inc.   797,885 
         33,570,051 
           
     Consumer Staples-2.33%     
 10,300   Central Garden & Pet Co., Class A*   492,855 
 9,086   Nestle SA   1,275,402 
 24,085   Procter & Gamble Co.   3,939,824 
 16,781   Sysco Corp.   1,318,148 
 48,906   Walmart, Inc.   7,076,209 
         14,102,438 
           
     Energy-2.06%     
 61,288   Chevron Corp.   7,192,147 
 20,000   Pioneer Natural Resources Co.   3,637,600 
 22,155   Valero Energy Corp.   1,664,062 
         12,493,809 
           
     Financials-6.07%     
 12,488   Arthur J Gallagher & Co.   2,118,839 
 4,164   BlackRock, Inc.   3,812,392 
 78,042   Enova International, Inc.*   3,196,600 
 100,000   Fifth Third Bancorp   4,355,000 
 5,424   Goldman Sachs Group, Inc.   2,074,951 
 70,600   JPMorgan Chase & Co.   11,179,510 
 25,000   LPL Financial Holdings, Inc.   4,002,250 
 17,630   Nelnet, Inc., Class A   1,722,098 
 6,400   SVB Financial Group*   4,340,736 
         36,802,376 
           
     Health Care-7.77%     
 41,625   Abbott Laboratories   5,858,302 
 17,610   AbbVie, Inc.   2,384,394 
 67,636   AstraZeneca PLC   3,939,797 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 9

 

 

Schedule of Investments James Balanced: Golden Rainbow Fund

December 31, 2021 (Unaudited)

 

Shares or Principal Amount   Value 
     Health Care (continued)     
 10,406   Danaher Corp.  $3,423,678 
 22,325   Eli Lilly & Co.   6,166,611 
 22,030   Johnson & Johnson   3,768,672 
 40,000   Pfizer, Inc.   2,362,000 
 15,610   ResMed, Inc.   4,066,093 
 7,284   Thermo Fisher Scientific, Inc.   4,860,176 
 14,258   UnitedHealth Group, Inc.   7,159,512 
 13,008   Zoetis, Inc.   3,174,342 
         47,163,577 
           
     Industrials-4.92%     
 31,656   ABB, Ltd.   1,208,310 
 18,056   Caterpillar, Inc.   3,732,897 
 8,500   Deere & Co.   2,914,565 
 30,400   Eaton Corp. PLC   5,253,728 
 9,000   Generac Holdings, Inc.*   3,167,280 
 5,075   Old Dominion Freight Line, Inc.   1,818,779 
 67,636   Schneider Electric SE   2,652,008 
 10,701   Trane Technologies PLC   2,161,923 
 14,048   Union Pacific Corp.   3,539,113 
 10,000   United Rentals, Inc.*   3,322,900 
         29,771,503 
           
     Information Technology-11.53%     
 93,985   Apple, Inc.   16,688,916 
 8,000   ASML Holding NV   6,369,120 
 36,000   Insight Enterprises, Inc.*   3,837,600 
 35,000   Jabil, Inc.   2,462,250 
 7,505   Lam Research Corp.   5,397,221 
 6,796   Mastercard, Inc., Class A   2,441,939 
 60,722   Microsoft Corp.   20,422,023 
 20,812   Nova, Ltd.*   3,048,958 
 18,600   NVIDIA Corp.   5,470,446 
 18,000   Taiwan Semiconductor Manufacturing Co., Ltd.   2,165,580 
 14,438   TD SYNNEX Corp.   1,651,130 
         69,955,183 
           
     Materials-2.22%     
 19,126   Avery Dennison Corp.   4,142,118 
 26,027   Celanese Corp.   4,374,098 
 49,502   James Hardie Industries PLC   2,014,236 
 44,224   Sealed Air Corp.   2,983,793 
         13,514,245 
           
     Real Estate-1.13%     
 19,500   CBRE Group, Inc., Class A*   2,115,945 
 28,096   Prologis, Inc., REIT   4,730,243 
         6,846,188 
           
     Utilities-1.63%     
 26,454   American Water Works Co., Inc.   4,996,102 

 

See Notes to Financial Statements.

 

10   www.jamesinvestment.com

 

 

James Balanced: Golden Rainbow Fund Schedule of Investments

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
       Utilities (continued)     
  52,508    NextEra Energy, Inc.  $4,902,147 
           9,898,249 
TOTAL COMMON STOCKS  
(Cost $182,178,915)    303,464,582 

 

Shares or Principal Amount  Value 
EXCHANGE TRADED FUNDS-6.02%     
 25,000   iShares® Convertible Bond ETF   2,229,500 
 125,000   iShares® Floating Rate Bond ETF   6,341,250 
 228,918   iShares® Gold Trust*   7,968,636 
 52,372   iShares® Russell 2000® ETF   11,650,151 
 25,000   iShares® Trust 5-10 Year Investment Grade Corporate Bond ETF   1,481,750 
 25,000   SPDR® Bloomberg Barclays Convertible Securities ETF   2,074,000 
 26,482   Vanguard® Small-Cap Value ETF   4,736,306 
           
TOTAL EXCHANGE TRADED FUNDS     
 (Cost $29,021,967)   36,481,593 

 

Shares or Principal Amount Value 
CORPORATE BONDS-9.38%    
    Communication Services-0.17%    
$1,000,000   AT&T, Inc., 2.950%, 7/15/26   1,050,255 
           
     Consumer Discretionary-1.86%     
 5,000,000   eBay, Inc., 2.600%, 7/15/22   5,029,790 
 5,000,000   Home Depot, Inc., 2.700%, 4/1/23   5,099,893 
 1,000,000   Ross Stores, Inc., 4.700%, 4/15/27   1,129,233 
         11,258,916  
     Consumer Staples-0.45%    
 2,000,000   Walmart, Inc., 5.250%, 9/1/35   2,722,615 
           
     Energy-0.19%     
 1,000,000   BP Capital Markets America, Inc., 4.234%, 11/6/28   1,128,735 
           
     Financials-3.04%     
 2,000,000   Bank of America Corp., 3M US L + 0.79%, 12/20/23(a)   2,041,339 
 2,000,000   Bank of America Corp., 1.250%, 9/24/26   1,930,272 
 2,500,000   Bank of Montreal, 2.000%, 12/22/26   2,493,612 
 2,000,000   Citigroup Global Markets Holdings, Inc., 0.750%, 6/7/24   1,974,536 
 2,000,000   Citigroup, Inc., 3.875%, 3/26/25   2,134,419 
 1,000,000   Discover Financial Services, 3.850%, 11/21/22   1,026,343 
 1,000,000   Goldman Sachs Group, Inc., 1D US SOFR + 0.538%, 11/17/23(a)   997,408 
 1,000,000   Goldman Sachs Group, Inc., 3.500%, 4/1/25   1,057,434 
 5,000,000   Goldman Sachs Group, Inc., 1.450%, 9/14/26   4,817,968 
         18,473,331 
     Health Care-0.80%    
 5,000,000   Johnson & Johnson, 1.300%, 9/1/30   4,818,125 
           
     Industrials-0.28%     
 1,000,000   Caterpillar, Inc., 8.250%, 12/15/38   1,684,986 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 11

 

 

Schedule of Investments James Balanced: Golden Rainbow Fund

 

December 31, 2021 (Unaudited)  

 

Shares or Principal Amount  Value 
    Information Technology-2.59%    
$2,500,000   Apple, Inc., 2.050%, 9/11/26  $2,568,149 
 2,000,000   Automatic Data Processing, Inc., 1.250%, 9/1/30   1,882,252 
 5,000,000   Intel Corp., 2.875%, 5/11/24   5,205,480 
 5,000,000   Oracle Corp., 2.500%, 5/15/22   5,020,596 
 1,000,000   PayPal Holdings, Inc., 2.650%, 10/1/26   1,049,746 
         15,726,223 
TOTAL CORPORATE BONDS     
(Cost $55,677,150)   56,863,186 

  

Shares or Principal Amount  Value 
MUNICIPAL BONDS-2.84%    
     Hawaii-1.54%     
 9,000,000   City and County of Honolulu General Obligation Unlimited Bonds, Series B, 5.000%, 11/1/25   9,349,092 
           
     Ohio-1.30%     
 7,450,000   Beavercreek City School District General Obligation Unlimited Bonds, 3.250%, 12/1/36   7,848,844 
           
TOTAL MUNICIPAL BONDS     
(Cost $16,582,240)   17,197,936 

 

Shares or Principal Amount  Value 
U.S. GOVERNMENT AGENCIES-4.21%     
     Federal Farm Credit Banks Funding Corp.-1.33%     
 2,000,000   0.670%, 8/4/25   1,965,269 
 5,725,000   2.750%, 11/6/26   6,112,794 
         8,078,063 
     Federal Home Loan Banks-2.88%     
 10,000,000   2.875%, 6/13/25   10,595,937 
 2,000,000   0.580%, 9/11/25   1,959,805 
 2,500,000   1.020%, 9/17/26   2,462,229 
 2,500,000   0.850%, 10/15/27   2,426,859 
         17,444,830 
TOTAL U.S. GOVERNMENT AGENCIES    
(Cost $24,922,698)  25,522,893 

 

Shares or Principal Amount  Value 
MORTGAGE BACKED SECURITIES-3.16%    
     Fannie Mae Pool-3.08%     
 4,227,944   3.500%, 9/1/33   4,523,785 
 13,645,659   2.500%, 1/1/57   14,164,278 
         18,688,063 
     Fannie Mae REMICS-0.08%     
 486,660   3.500%, 5/25/47   495,174 
           
TOTAL MORTGAGE BACKED SECURITIES    
(Cost $17,909,016)  19,183,237 

 

Shares or Principal Amount  Value 
U.S. TREASURY BONDS & NOTES-18.91%    
     U.S. Treasury Bonds-12.23%     
 30,000,000   2.000%, 8/15/25   30,939,844 
 30,000,000   2.750%, 2/15/28   32,423,437 

 

See Notes to Financial Statements.

 

12 www.jamesinvestment.com

 

 

James Balanced: Golden Rainbow Fund Schedule of Investments

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
     U.S. Treasury Bonds (continued)     
$10,000,000   2.625%, 2/15/29  $10,810,547 
        74,173,828 
     U.S. Treasury Notes-3.32%     
           
 10,000,000   1.875%, 2/28/22   10,028,147 
 10,000,000   1.500%, 2/28/23   10,118,359 
        20,146,506 
     United States Treasury Inflation Indexed Bonds-3.36%     
 19,481,350   0.625%, 4/15/23   20,364,860 
           
TOTAL U.S. TREASURY BONDS & NOTES     
(Cost $110,255,611)   114,685,194 

 

Shares or Principal Amount  Value 
SHORT TERM INVESTMENTS-5.31%     
       Short Term Securities-5.31%     
  32,185,973    First American Treasury Obligations Fund, Class X, 7-Day Yield 0.010%   32,185,973 
             
TOTAL SHORT TERM INVESTMENTS     
(Cost $32,185,973)   32,185,973 
      
TOTAL INVESTMENT SECURITIES-99.88%     
(Cost $468,733,570)   605,584,594 
OTHER ASSETS IN EXCESS OF LIABILITIES-0.12%   709,157 
NET ASSETS-100.00%  $606,293,751 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

 

*Non-income producing security.

(a)Floating or variable rate security. The reference rate is described below. The rate in effect as of December 31, 2021 is based on the reference rate plus the displayed spread as of the security’s last reset date.

 

Investment Abbreviations: 

SOFR- Secured Overnight Financing Rate 

Rates: 

1D US SOFR-1 Day SOFR as of December 31, 2021 was 0.05%

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 13

 

 

 

Schedule of Investments James Small Cap Fund

 

December 31, 2021 (Unaudited)

 

Shares  Value 
COMMON STOCKS-96.07% 
    Consumer Discretionary-14.80%    
 12,800   Brinker International, Inc.*  $468,352 
 2,160   Deckers Outdoor Corp.*   791,230 
 3,900   Helen of Troy, Ltd.*   953,433 
 3,200   Hibbett Sports, Inc.   230,176 
 2,200   LGI Homes, Inc.*   339,856 
 2,700   Marriott Vacations Worldwide Corp.   456,246 
 13,600   MDC Holdings, Inc.   759,288 
 2,600   Meritage Homes Corp.*   317,356 
 11,480   Patrick Industries, Inc.   926,321 
 15,700   PetMed Express, Inc.   396,582 
 10,500   Zumiez, Inc.*   503,895 
         6,142,735 
           
     Consumer Staples-2.20%     
 8,550   Central Garden & Pet Co., Class A*   409,118 
 5,800   Ingles Markets, Inc., Class A   500,772 
         909,890 
           
     Energy-3.89%     
 5,900   Callon Petroleum Co.*   278,775 
 12,160   HollyFrontier Corp.   398,605 
 19,100   Magnolia Oil & Gas Corp.   360,417 
 6,600   Matador Resources Co.   243,672 
 6,800   PDC Energy, Inc.   331,704 
         1,613,173 
           
     Financials-28.71%     
 18,080   American Equity Investment Life Holding Co.   703,674 
 3,870   American Financial Group, Inc.   531,428 
 16,000   Assured Guaranty, Ltd.   803,200 
 5,500   BankUnited, Inc.   232,705 
 11,000   Cadence Bank   327,690 
 47,725   Chimera Investment Corp., REIT   719,693 
 3,400   Community Bank System, Inc.   253,232 
 17,830   Enova International, Inc.*   730,317 
 8,850   Evercore, Inc., Class A   1,202,273 
 77,700   First BanCorp/Puerto Rico   1,070,706 
 4,300   Glacier Bancorp, Inc.   243,810 
 4,700   Houlihan Lokey, Inc.   486,544 
 17,500   Ladder Capital Corp., REIT   209,825 
 7,300   LPL Financial Holdings, Inc.   1,168,657 
 30,100   MGIC Investment Corp.   434,042 
 10,435   Piper Sandler Cos.   1,862,752 
 31,700   Radian Group, Inc.   669,821 
 3,200   SouthState Corp.   256,352 
         11,906,721 
           
     Health Care-5.56%     
 39,660   Innoviva, Inc.*   684,135 
 8,690   Integer Holdings Corp.*   743,777 
 3,545   National HealthCare Corp.   240,847 

 

See Notes to Financial Statements.

 

14   www.jamesinvestment.com
 
 
James Small Cap Fund Schedule of Investments

 

December 31, 2021 (Unaudited)

 

Shares      Value 
     Health Care (continued)     
 24,240   Tivity Health, Inc.*  $640,906 
         2,309,665 
           
     Industrials-17.94%     
 2,300   AGCO Corp.   266,846 
 3,300   Allegiant Travel Co*   617,232 
 20,430   Boise Cascade Co.   1,454,616 
 8,940   Encore Wire Corp.   1,279,314 
 4,570   FTI Consulting, Inc.*   701,129 
 18,478   Hillenbrand, Inc.   960,671 
 8,700   MasTec, Inc.*   802,836 
 4,600   Matson, Inc.   414,138 
 13,490   Primoris Services Corp.   323,490 
 4,435   TriNet Group, Inc.*   422,478 
 1,500   Wesco International, Inc.*   197,385 
         7,440,135 
           
     Information Technology-8.65%     
 8,250   Avnet, Inc.   340,148 
 2,500   Concentrix Corp.   446,550 
 5,030   Insight Enterprises, Inc.*   536,198 
 3,000   Nova, Ltd.*   439,500 
 13,500   PC Connection, Inc.   582,255 
 11,955   Super Micro Computer, Inc.*   525,422 
 2,535   TD SYNNEX Corp.   289,903 
 4,700   TTEC Holdings, Inc.   425,585 
         3,585,561 
           
     Materials-5.05%     
 19,300   Cleveland-Cliffs, Inc.*   420,161 
 5,286   Innospec, Inc.   477,537 
 13,820   Schnitzer Steel Industries, Inc., Class A   717,534 
 7,130   Sealed Air Corp.   481,061 
         2,096,293 
           
     Real Estate-6.58%     
 2,100   Agree Realty Corp., REIT   149,856 
 8,000   Healthcare Realty Trust, Inc., REIT, REIT   253,120 
 65,210   Lexington Realty Trust, REIT   1,018,580 
 21,000   Physicians Realty Trust, REIT, REIT   395,430 
 10,000   Sabra Health Care Reit Inc, REIT   135,400 
 4,500   STAG Industrial, Inc., REIT   215,820 
 3,000   Terreno Realty Corp., REIT   255,870 
 16,940   Xenia Hotels & Resorts, Inc., REIT*   306,783 
         2,730,859 
           
     Utilities-2.69%     
 4,995   IDACORP, Inc.   565,983 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 15
 
 
Schedule of Investments James Small Cap Fund

 

December 31, 2021 (Unaudited)  

 

Shares      Value 
     Utilities (continued)     
 10,455   Portland General Electric Co.  $553,279 
         1,119,262 
TOTAL COMMON STOCKS     
(Cost $26,161,076)   39,854,294 

 

Shares  Value 
SHORT TERM INVESTMENTS-3.96%     
       Short Term Securities-3.96%     
  1,642,330    First American Treasury Obligations Fund, Class X, 7-Day Yield 0.010%   1,642,330 
             
TOTAL SHORT TERM INVESTMENTS     
(Cost $1,642,330)   1,642,330 
             
TOTAL INVESTMENT SECURITIES-100.03%     
(Cost $27,803,406)   41,496,624 
OTHER LIABILITIES IN EXCESS OF OTHER ASSETS-(0.03)%   (12,794)
NET ASSETS-100.00%  $41,483,830 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

 

*Non-income producing security.

 

See Notes to Financial Statements.

 

16 www.jamesinvestment.com
 
 
James Micro Cap Fund Schedule of Investments

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
COMMON STOCKS-93.36%    
    Communication Services-1.47%    
 21,500   Gray Television, Inc.  $433,440 
         433,440 
           
     Consumer Discretionary-9.33%     
 4,662   Century Communities, Inc.   381,305 
 22,372   Haverty Furniture Cos., Inc.   683,912 
 3,490   Hibbett Sports, Inc.   251,036 
 4,742   M/I Homes, Inc.*   294,858 
 4,044   Patrick Industries, Inc.   326,310 
 10,192   Shoe Carnival, Inc.   398,303 
 23,980   Vera Bradley, Inc.*   204,070 
 4,568   Zumiez, Inc.*   219,218 
         2,759,012 
           
     Consumer Staples-8.34%     
 13,108   Central Garden & Pet Co., Class A*   627,218 
 19,230   Ingles Markets, Inc., Class A   1,660,318 
 12,364   Rite Aid Corp.*   181,627 
         2,469,163 
           
     Energy-4.24%     
 7,254   Civitas Resources, Inc.   355,228 
 19,032   Dorian LPG, Ltd.   241,516 
 5,814   Laredo Petroleum, Inc.*   349,596 
 32,762   US Silica Holdings, Inc.*   307,963 
         1,254,303 
           
     Financials-21.86%     
 26,746   Donnelley Financial Solutions, Inc.*   1,260,807 
 26,218   Enova International, Inc.*   1,073,889 
 6,912   Federal Agricultural Mortgage Corp., Class C   856,604 
 17,136   Merchants Bancorp   811,047 
 5,646   Nelnet, Inc., Class A   551,501 
 25,456   OFG Bancorp   676,111 
 6,918   Piper Sandler Cos.   1,234,932 
         6,464,891 
           
     Health Care-8.62%     
 40,082   Innoviva, Inc.*   691,415 
 6,396   Integer Holdings Corp.*   547,434 
 6,836   Semler Scientific, Inc.*   626,519 
 43,517   Vanda Pharmaceuticals, Inc.*   682,782 
         2,548,150 
           
     Industrials-15.80%     
 77,175   ACCO Brands Corp.   637,466 
 13,035   ArcBest Corp.   1,562,245 
 2,500   Boise Cascade Co.   178,000 
 3,384   CRA International, Inc.   315,930 
 8,000   Genco Shipping & Trading, Ltd.   128,000 
 3,400   Heidrick & Struggles International, Inc.   148,682 
 5,000   Heritage-Crystal Clean, Inc.*   160,100 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 17
 
 
Schedule of Investments James Micro Cap Fund

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
     Industrials (continued)     
 3,500   Insteel Industries Inc  $139,335 
 2,400   Kforce, Inc.   180,528 
 3,500   Shyft Group, Inc.   171,955 
 2,200   Transcat, Inc.*   203,346 
 18,530   Vectrus, Inc.*   848,118 
         4,673,705 
           
     Information Technology-16.52%     
 8,022   Cohu, Inc.*   305,558 
 4,600   ePlus, Inc.*   247,848 
 5,408   Ichor Holdings, Ltd.*   248,930 
 9,746   Insight Enterprises, Inc.*   1,038,924 
 12,743   Nova, Ltd.*   1,866,850 
 12,184   PC Connection, Inc.   525,496 
 22,198   Photronics, Inc.*   418,432 
 6,384   Vishay Precision Group, Inc.*   236,974 
         4,889,012 
           
     Materials-5.29%     
 4,000   Innospec, Inc.   361,360 
 18,045   Schnitzer Steel Industries, Inc., Class A   936,896 
 2,070   United States Lime & Minerals, Inc.   267,071 
         1,565,327 
           
     Real Estate-1.00%     
 4,900   PotlatchDeltic Corp., REIT   295,078 
         295,078 
           
     Utilities-0.89%     
 7,332   Clearway Energy, Inc.   264,172 
         264,172 
TOTAL COMMON STOCKS     
(Cost $16,586,999)   27,616,253 

 

Shares or Principal Amount  Value 
SHORT TERM INVESTMENTS-6.75%     
       Short Term Securities-6.75%     
  1,996,614    First American Treasury Obligations Fund, Class X, 7-Day Yield 0.010%   1,996,614 
             
TOTAL SHORT TERM INVESTMENTS     
(Cost $1,996,614)   1,996,614 
             
TOTAL INVESTMENT SECURITIES-100.11%     
(Cost $18,583,613)   29,612,867 
OTHER LIABILITIES IN EXCESS OF OTHER ASSETS-(0.11)%   (31,803)
NET ASSETS-100.00%  $29,581,064 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

 

See Notes to Financial Statements.

 

18 www.jamesinvestment.com
 
 
James Micro Cap Fund Schedule of Investments

 

December 31, 2021 (Unaudited)

 

*Non-income producing security.

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 19
 
 
Schedule of Investments James Aggressive Allocation Fund

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
COMMON STOCKS-72.93%    
    Communication Services-6.33%    
 242   Alphabet, Inc., Class A*  $701,084 
 6,645   Comcast Corp., Class A   334,443 
 1,477   Facebook, Inc., Class A*   496,789 
         1,532,316 
           
     Consumer Discretionary-10.77%     
 100   Amazon.com, Inc.*   333,434 
 2,190   Best Buy Co., Inc.   222,504 
 710   Deckers Outdoor Corp.*   260,080 
 1,450   Home Depot, Inc.   601,764 
 1,000   McDonald's Corp.   268,070 
 3,040   Standard Motor Products, Inc.   159,266 
 1,600   Target Corp.   370,304 
 1,640   Tractor Supply Co.   391,304 
         2,606,726 
           
     Consumer Staples-2.17%     
 1,700   Procter & Gamble Co.   278,086 
 1,700   Walmart, Inc.   245,973 
         524,059 
           
     Energy-3.68%     
 250   Cheniere Energy, Inc.   25,355 
 3,000   Chevron Corp.   352,050 
 6,410   Matador Resources Co.   236,657 
 1,535   Pioneer Natural Resources Co.   279,186 
         893,248 
           
     Financials-7.46%     
 500   BlackRock, Inc.   457,780 
 8,485   Enova International, Inc.*   347,546 
 855   Goldman Sachs Group, Inc.   327,080 
 2,000   JPMorgan Chase & Co.   316,700 
 525   SVB Financial Group*   356,076 
         1,805,182 
           
     Health Care-8.72%     
 2,625   Abbott Laboratories   369,442 
 4,000   AstraZeneca PLC   233,000 
 825   Danaher Corp.   271,433 
 475   Eli Lilly & Co.   131,204 
 1,295   Johnson & Johnson   221,536 
 3,220   Pfizer, Inc.   190,141 
 610   UnitedHealth Group, Inc.   306,305 
 1,595   Zoetis, Inc.   389,228 
         2,112,289 
           
     Industrials-8.16%     
 6,935   ABB, Ltd.   264,709 
 1,235   Caterpillar, Inc.   255,324 
 725   Deere & Co.   248,595 
 1,540   Eaton Corp. PLC   266,143 

 

See Notes to Financial Statements.

 

20   www.jamesinvestment.com
 
 
James Aggressive Allocation Fund Schedule of Investments

 

 December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
     Industrials (continued)     
 495   Generac Holdings, Inc.*  $174,200 
 415   Lockheed Martin Corp.   147,495 
 1,000   Matson, Inc.   90,030 
 1,400   Trane Technologies PLC   282,842 
 745   United Rentals, Inc.*   247,556 
         1,976,894 
           
     Information Technology-17.64%     
 3,975   Apple, Inc.   705,841 
 750   ASML Holding NV   597,105 
 3,190   Cadence Design Systems, Inc.*   594,456 
 900   Jabil, Inc.   63,315 
 625   Lam Research Corp.   449,469 
 735   Mastercard, Inc., Class A   264,100 
 1,730   Microsoft Corp.   581,834 
 2,515   Nova, Ltd.*   368,448 
 2,000   NVIDIA Corp.   588,220 
 315   PayPal Holdings, Inc.*   59,403 
         4,272,191 
           
     Materials-2.55%     
 1,310   Avery Dennison Corp.   283,707 
 2,865   CF Industries Holdings, Inc.   202,785 
 3,235   James Hardie Industries PLC   131,632 
         618,124 
           
     Real Estate-3.19%     
 1,600   Digital Realty Trust, Inc., REIT   282,992 
 2,905   Prologis, Inc., REIT   489,086 
         772,078 
           
     Utilities-2.26%     
 1,415   American Water Works Co., Inc.   267,237 
 3,000   NextEra Energy, Inc.   280,080 
         547,317 
TOTAL COMMON STOCKS     
(Cost $12,593,607)   17,660,424 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 21
 
 
Schedule of Investments James Aggressive Allocation Fund  

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
EXCHANGE TRADED FUNDS-8.59%     
 400   Amplify Transformational Data Sharing ETF  $16,068 
 450   First Trust NASDAQ Cybersecurity ETF   23,756 
 4,180   Invesco BuyBack Achievers ETF   403,249 
 1,300   iShares® Convertible Bond ETF   115,934 
 4,000   iShares® Floating Rate Bond ETF   202,920 
 5,627   iShares® Gold Trust*   195,876 
 1,025   iShares® Russell 2000® ETF   228,011 
 1,405   iShares® Russell 2000 Value ETF   233,300 
 6,000   Nuveen ESG Large-Cap Growth ETF   411,420 
 3,000   SPDR® Bloomberg Barclays Convertible Securities ETF   248,880 
           
TOTAL EXCHANGE TRADED FUNDS     
(Cost $1,925,719)   2,079,414 

  

Shares or Principal Amount  Value 
CORPORATE BONDS-5.81%    
    Consumer Discretionary-2.11%    
$500,000   Starbucks Corp., 2.550%, 11/15/30   509,925 
           
     Financials-1.92%     
 200,000   Bank of Montreal, 2.000%, 12/22/26   199,489 
 250,000   Citigroup, Inc., 3.875%, 3/26/25   266,802 
         466,291 
     Health Care-1.00%     
 250,000   AstraZeneca PLC, 0.700%, 4/8/26     
         241,815 
           
     Information Technology-0.78%     
 200,000   Automatic Data Processing, Inc., 1.250%, 9/1/30   188,225 
           
TOTAL CORPORATE BONDS     
(Cost $1,407,472)   1,406,256 

 

Shares or Principal Amount  Value 
U.S. GOVERNMENT AGENCIES-4.04%     
       Federal Farm Credit Banks Funding Corp.-2.03%     
  500,000    0.670%, 8/4/25   491,317 
             
       Federal National Mortgage Association-2.01%     
  500,000    0.560%, 10/22/25   487,709 
             
TOTAL U.S. GOVERNMENT AGENCIES     
(Cost $1,000,000)   979,026 

 

Shares or Principal Amount  Value 
U.S. TREASURY BONDS & NOTES-7.11%     
     U.S. Treasury Bonds-1.34%     
 300,000   2.625%, 2/15/29   324,317 
           
     U.S. Treasury Notes-5.77%     
 400,000   0.250%, 3/15/24   395,219 

 

See Notes to Financial Statements.

 

22 www.jamesinvestment.com
 
 
James Aggressive Allocation Fund Schedule of Investments

 

December 31, 2021 (Unaudited)

 

Shares or Principal Amount  Value 
       U.S. Treasury Notes (continued)     
$ 1,000,000    1.125%, 2/28/25  $1,003,515 
 1,398,734 
TOTAL U.S. TREASURY BONDS & NOTES    
(Cost $1,735,163)  1,723,051 

 

Shares or Principal Amount  Value 
SHORT TERM INVESTMENTS-1.51%    
       Short Term Securities-1.51%     
  365,599    First American Treasury Obligations Fund, Class X, 7-Day Yield 0.010%   365,599 
             
TOTAL SHORT TERM INVESTMENTS    
(Cost $365,599)  365,599 
     
TOTAL INVESTMENT SECURITIES-99.99%    
(Cost $19,027,560)  24,213,770 
OTHER ASSETS IN EXCESS OF LIABILITIES-0.01%  2,461 
NET ASSETS-100.00% $24,216,231 

 

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Fund management. Those definitions may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease. Industries are shown as a percentage of net assets.

 

*Non-income producing security.

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 23
 
 
Statements of Assets and Liabilities James Advantage Funds

 

December 31, 2021 (Unaudited)  

 

  

James Balanced: Golden Rainbow Fund 

  

James Small

Cap Fund 

  

James Micro

Cap Fund 

  

James

Aggressive

Allocation Fund

 
ASSETS:                
                 
Investment securities:                    
At cost  $468,733,570   $27,803,406   $18,583,613   $19,027,560 
At value  $605,584,594   $41,496,624   $29,612,867   $24,213,770 
Dividends and interest receivable   1,407,552    41,491    4,293    22,403 
Receivable for capital shares sold   62,631             
Other assets   44,982             
Total Assets   607,099,759    41,538,115    29,617,160    24,236,173 
                     
LIABILITIES:                    
                     
Payable for capital shares redeemed   175,071    3,268         
Accrued expenses:                    
Management fees   375,828    42,273    35,959    19,898 
12b-1 distribution and service fees   99,371    8,622         
Trustee fees   303    122    137    44 
Other payables   155,435             
Total Liabilities   806,008    54,285    36,096    19,942 
Net Assets  $606,293,751   $41,483,830   $29,581,064   $24,216,231 
                     
NET ASSETS CONSIST OF:                    
                     
Paid-in capital  $461,870,305   $27,690,074   $18,041,071   $19,618,511 
Total Distributable Earnings   144,423,446    13,793,756    11,539,993    4,597,720 
Net Assets  $606,293,751   $41,483,830   $29,581,064   $24,216,231 
                     
PRICING OF RETAIL CLASS SHARES:                    
                     
Net assets  $469,647,857    N/A    N/A    N/A 
Shares of beneficial interest outstanding (unlimited number of shares authorized, no par)   20,809,903    N/A    N/A    N/A 
Net assets value, offering price and redemption price per share  $22.57    N/A    N/A    N/A 
                     
PRICING OF INSTITUTIONAL CLASS SHARES:                    
                     
Net assets  $136,645,894    N/A    N/A    N/A 
Shares of beneficial interest outstanding (unlimited number of shares authorized, no par)   6,141,334    N/A    N/A    N/A 
Net assets value, offering price and redemption price per share  $22.25    N/A    N/A    N/A 
                     
PRICING OF SHARES:                    
                     
Net assets   N/A   $41,483,830   $29,581,064   $24,216,231 
Shares of beneficial interest outstanding (unlimited number of shares authorized, no par)   N/A    1,239,138    1,431,704    2,008,721 
Net assets value, offering price and redemption price per share   N/A   $33.48   $20.66   $12.06 

 

See Notes to Financial Statements.

 

24 www.jamesinvestment.com
 
 
James Advantage Funds Statements of Operations

 

For the Six Months Ended December 31, 2021 (Unaudited)

 

    

James Balanced: Golden Rainbow 

Fund 

    

James Small

Cap Fund 

    

James Micro

Cap Fund 

    

James

Aggressive 

Allocation Fund

 
INVESTMENT INCOME:                    
Dividends (Net of withholding taxes of $11,815, $1,321, $2,486 and $6,411, respectively)  $2,463,532   $469,284   $251,102   $150,592 
Interest   2,901,458        1,865    33,841 
Total Investment Income   5,364,990    469,284    252,967    184,433 
EXPENSES:                    
Management fees   2,280,152    249,556    212,951    123,152 
12b-1 distribution and service fees - Retail Class   603,520             
12b-1 distribution and service fees       50,881         
Interest expense               4 
Administration fee   230,118             
Transfer agent fee   68,513             
Custodian fees   25,137             
Professional fees   79,024             
Trustee fees   75,022    4,850    3,523    3,029 
Registration fees   22,403             
Shareholder report printing and mailing   23,214             
Other expenses   46,097             
Total Expenses   3,453,200    305,287    216,474    126,185 
Net Investment Income   1,911,790    163,997    36,493    58,248 
REALIZED AND UNREALIZED GAIN/(LOSS) ON INVESTMENTS:                    
Net realized gain/(loss) from:                
Investments   13,161,605    2,184,044    814,324    1,413,943 
Total realized gain/(loss)   13,161,605    2,184,044    814,324    1,413,943 
Net change in unrealized appreciation/(depreciation) on investments   13,340,596    1,552,265    1,822,859    (175,719)
Net change in unrealized appreciation on foreign currency translation   36            10 
Total change in unrealized appreciation/(depreciation)   13,340,632    1,552,265    1,822,859    (175,709)
Net Realized and Unrealized Gain on Investments   26,502,237    3,736,309    2,637,183    1,238,234 
Net Increase in Net Assets Resulting from Operations  $28,414,027   $3,900,306   $2,673,676   $1,296,482 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 25
 
 
Statements of Changes in Net Assets James Balanced: Golden Rainbow Fund

 

 

  

For the Six 

Months Ended 

December 31,

2021 

(Unaudited) 

  

For the 

Year Ended 

June 30, 2021 

 
FROM OPERATIONS:          
           
Net investment income  $1,911,790   $5,645,048 
Net realized gain   13,161,605    41,983,645 
Net change in unrealized appreciation   13,340,632    45,868,702 
Net increase in net assets resulting from operations   28,414,027    93,497,395 
           
DISTRIBUTIONS TO SHAREHOLDERS:          
           
Retail Class Shares:          
From distributable earnings   (28,564,497)   (4,931,605)
Institutional Class Shares:          
From distributable earnings   (8,531,048)   (1,816,273)
Decrease in net assets from distributions to shareholders   (37,095,545)   (6,747,878)
           
CAPITAL SHARE TRANSACTIONS:          
           
Retail Class Shares:          
Proceeds from shares sold   6,550,797    12,656,900 
Net asset value of shares issued in reinvestment of distributions to shareholders   27,860,472    4,810,643 
Payments for shares redeemed   (43,185,702)   (133,740,808)
Net Decrease in net assets from Retail Class capital share transactions   (8,774,433)   (116,273,265)
           
Institutional Class Shares:          
Proceeds from shares sold   6,826,960    10,495,062 
Net asset value of shares issued in reinvestment of distributions to shareholders   8,009,204    1,688,146 
Payments for shares redeemed   (15,974,698)   (63,258,885)
Net Decrease in net assets from Institutional Class capital share transactions   (1,138,534)   (51,075,677)
Total Decrease in Net Assets   (18,594,485)   (80,599,425)
           
NET ASSETS:          
           
Beginning of period   624,888,236    705,487,661 
End of period  $606,293,751   $624,888,236 

 

See Notes to Financial Statements. 

 

26 www.jamesinvestment.com
 
 
James Balanced: Golden Rainbow Fund Statements of Changes in Net Assets

 

 

  

For the Six 

Months Ended 

December 31,

2021 

(Unaudited) 

  

For the 

Year Ended 

June 30, 2021 

 
SUMMARY OF CAPITAL SHARE ACTIVITY:        
           
Retail Class Shares:        
Shares sold   281,013    587,318 
Shares issued in reinvestment of distributions to shareholders   1,239,643    223,731 
Shares redeemed   (1,859,771)   (6,264,818)
Net Decrease in shares outstanding   (339,115)   (5,453,769)
Shares outstanding, beginning of year   21,149,018    26,602,787 
Shares outstanding, end of year   20,809,903    21,149,018 
           
Institutional Class Shares:          
Shares sold   297,652    490,130 
Shares issued in reinvestment of distributions to shareholders   361,100    79,472 
Shares redeemed   (694,715)   (3,027,655)
Net Decrease in shares outstanding   (35,963)   (2,458,053)
Shares outstanding, beginning of year   6,177,297    8,635,350 
Shares outstanding, end of year   6,141,334    6,177,297 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 27
 
 
Statements of Changes in Net Assets James Small Cap Fund

 

 

  

For the Six 

Months Ended 

December 31,

2021 

(Unaudited) 

  

For the 

Year Ended 

June 30, 2021 

 
FROM OPERATIONS:          
           
Net investment income  $163,997   $124,432 
Net realized gain   2,184,045    4,807,864 
Net change in unrealized appreciation   1,552,264    11,848,829 
Net increase in net assets resulting from operations   3,900,306    16,781,125 
           
DISTRIBUTIONS TO SHAREHOLDERS:          
           
From distributable earnings   (114,432)   (177,673)
Decrease in net assets from distributions to shareholders   (114,432)   (177,673)
           
CAPITAL SHARE TRANSACTIONS:          
           
Proceeds from shares sold   1,829,429    1,278,499 
Net asset value of shares issued in reinvestment of distributions to shareholders   113,268    176,005 
Payments for shares redeemed   (4,103,945)   (7,204,736)
Net Decrease in net assets from capital share transactions   (2,161,248)   (5,750,232)
Total Increase in Net Assets   1,624,626    10,853,220 
           
NET ASSETS:          
           
Beginning of period   39,859,204    29,005,984 
End of period  $41,483,830   $39,859,204 
           
SUMMARY OF CAPITAL SHARE ACTIVITY:          
           
Shares sold   58,590    52,647 
Shares issued in reinvestment of distributions to shareholders   3,364    7,349 
Shares redeemed   (131,551)   (294,381)
Net Decrease in shares outstanding   (69,597)   (234,385)
Shares outstanding, beginning of year   1,308,735    1,543,120 
Shares outstanding, end of year   1,239,138    1,308,735 

 

See Notes to Financial Statements. 

 

28 www.jamesinvestment.com
 
 
James Micro Cap Fund Statements of Changes in Net Assets

 

 

  

For the Six 

Months Ended 

December 31,

2021 

(Unaudited) 

  

For the 

Year Ended 

June 30, 2021 

 
FROM OPERATIONS:          
           
Net investment income  $36,493   $8,375 
Net realized gain   814,324    3,202,741 
Net change in unrealized appreciation   1,822,859    7,199,404 
Net increase in net assets resulting from operations   2,673,676    10,410,520 
           
DISTRIBUTIONS TO SHAREHOLDERS:          
           
From distributable earnings   (1,099,459)   (125,693)
Decrease in net assets from distributions to shareholders   (1,099,459)   (125,693)
           
CAPITAL SHARE TRANSACTIONS:          
           
Proceeds from shares sold   312,596    1,340,609 
Net asset value of shares issued in reinvestment of distributions to shareholders   1,091,518    125,625 
Payments for shares redeemed, net of redemption fees   (2,742,536)   (1,986,256)
Net Decrease in net assets from capital share transactions   (1,338,422)   (520,022)
Total Increase in Net Assets   235,795    9,764,805 
           
NET ASSETS:          
           
Beginning of period   29,345,269    19,580,464 
End of period  $29,581,064   $29,345,269 
           
SUMMARY OF CAPITAL SHARE ACTIVITY:          
           
Shares sold   15,477    77,533 
Shares issued in reinvestment of distributions to shareholders   54,015    8,043 
Shares redeemed   (139,548)   (122,405)
Net Decrease in shares outstanding   (70,056)   (36,829)
Shares outstanding, beginning of year   1,501,760    1,538,589 
Shares outstanding, end of year   1,431,704    1,501,760 

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 29
 
 
Statements of Changes in Net Assets James Aggressive Allocation Fund

 

 

  

For the Six

Months Ended 

December 31,

2021

(Unaudited) 

  

For the 

Year Ended 

June 30, 2021 

 
FROM OPERATIONS:          
           
Net investment income  $58,248   $98,440 
Net realized gain   1,413,943    841,893 
Net change in unrealized appreciation/(depreciation)   (175,709)   4,212,128 
Net increase in net assets resulting from operations   1,296,482    5,152,461 
           
DISTRIBUTIONS TO SHAREHOLDERS:          
           
From distributable earnings   (48,403)   (195,964)
Decrease in net assets from distributions to shareholders   (48,403)   (195,964)
           
CAPITAL SHARE TRANSACTIONS:          
           
Proceeds from shares sold   290,965    441,194 
Net asset value of shares issued in reinvestment of distributions to shareholders   48,347    195,716 
Payments for shares redeemed   (2,947,605)   (811,980)
Net Decrease in net assets from capital share transactions   (2,608,293)   (175,070)
Total Increase/(Decrease) in Net Assets   (1,360,214)   4,781,427 
           
NET ASSETS:          
           
Beginning of period   25,576,445    20,795,018 
End of period  $24,216,231   $25,576,445 
           
SUMMARY OF CAPITAL SHARE ACTIVITY:          
           
Shares sold   25,017    41,668 
Shares issued in reinvestment of distributions to shareholders   3,998    19,057 
Shares redeemed   (254,090)   (79,983)
Net Decrease in shares outstanding   (225,075)   (19,258)
Shares outstanding, beginning of year   2,233,796    2,253,054 
Shares outstanding, end of year   2,008,721    2,233,796 

 

See Notes to Financial Statements. 

 

30 www.jamesinvestment.com

 

 

James Balanced: Golden Rainbow Fund – Retail Class Financial Highlights

 

For a share outstanding throughout the years or period indicated.

 

  

For the

Six Months

Ended

December
31, 2021

(Unaudited)

  

For the

Year Ended

June 30, 2021

  

For the

Year Ended

June 30, 2020

  

For the

Year Ended

June 30, 2019

  

For the

Year Ended

June 30, 2018

  

For the

Year Ended

June 30, 2017

 
Net asset value - beginning of year  $22.94   $20.08   $20.69   $23.32   $24.70   $24.14 
Income/(Loss) from investment operations:                              
Net investment income(a)   0.07    0.17    0.26    0.25    0.26    0.25 
Net realized and unrealized gain/(loss)   0.99    2.90    (0.50)   (0.64)   0.24    0.68 
Total from investment operations   1.06    3.07    (0.24)   (0.39)   0.50    0.93 
                               
Less distributions:                              
From net investment income   (0.06)   (0.18)   (0.22)   (0.29)   (0.27)   (0.28)
From net realized gain on investments   (1.37)   (0.03)   (0.15)   (1.95)   (1.61)   (0.09)
Total distributions   (1.43)   (0.21)   (0.37)   (2.24)   (1.88)   (0.37)
Paid-in capital from redemption fees                       0.00(b)
Net asset value at end of year  $22.57   $22.94   $20.08   $20.69   $23.32   $24.70 
                               
Total return   4.68%(c)   15.38%   (1.18)%   (1.24)%   1.87%   3.92%
                               
Net assets, end of year (in thousands)  $469,648   $485,082   $534,314   $771,733   $1,514,451   $2,163,786 
                               
Ratios/Supplemental Data:                              
Ratio of net expenses to average net assets   1.17%(d)   1.16%   1.13%   1.06%   0.99%   0.96%
Ratio of net investment income to average net assets   0.56%(d)   0.81%   1.25%   1.14%   1.05%   1.02%
Portfolio turnover rate   12%(c)   57%   36%   71%   75%   46%

 

(a)Calculated using the average shares method.

(b)Amount rounds to less than $0.005 per share.

(c)Not Annualized.

(d)Annualized.

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 31
 
 
Financial Highlights James Balanced: Golden Rainbow Fund – Institutional Class

 

For a share outstanding throughout the years or period indicated.

 

  

For the

Six Months

Ended

December
31, 2021

(Unaudited)

  

For the 

Year Ended 

June 30, 2021 

  

For the 

Year Ended 

June 30, 2020 

  

For the 

Year Ended 

June 30, 2019 

  

For the 

Year Ended 

June 30, 2018 

  

For the 

Year Ended 

June 30, 2017 

 
Net asset value - beginning of year  $22.63   $19.82   $20.43   $23.06   $24.44   $23.89 
Income/(Loss) from investment operations:                              
Net investment income(a)   0.09    0.22    0.31    0.30    0.31    0.31 
Net realized and unrealized gain/(loss)   0.99    2.86    (0.50)   (0.63)   0.25    0.68 
Total from investment operations   1.08    3.08    (0.19)   (0.33)   0.56    0.99 
                               
Less distributions:                              
From net investment income   (0.09)   (0.24)   (0.27)   (0.35)   (0.33)   (0.35)
From net realized gain on investments   (1.37)   (0.03)   (0.15)   (1.95)   (1.61)   (0.09)
Total distributions   (1.46)   (0.27)   (0.42)   (2.30)   (1.94)   (0.44)
Paid-in capital from redemption fees                       0.00(b)
Net asset value at end of year  $22.25   $22.63   $19.82   $20.43   $23.06   $24.44 
                               
Total return   4.83%(c)   15.63%   (0.93)%   (0.99)%   2.16%   4.19%
                               
Net assets, end of year (in thousands)  $136,646   $139,806   $171,173   $304,290   $836,234   $1,220,095 
                               
Ratios/Supplemental Data:                              
Ratio of net expenses to average net assets   0.92%(d)   0.91%   0.88%   0.80%   0.74%   0.71%
Ratio of net investment income to average net assets   0.81%(d)   1.06%   1.51%   1.38%   1.30%   1.27%
Portfolio turnover rate   12%(c)   57%   36%   71%   75%   46%

 

(a)Calculated using the average shares method.

(b)Amount rounds to less than $0.005 per share.

(c)Not Annualized.

(d)Annualized.

 

See Notes to Financial Statements.

 

32 www.jamesinvestment.com
 
 
James Small Cap Fund Financial Highlights

 

For a share outstanding throughout the years or period indicated.

 

  

For the

Six Months

Ended

December
31, 2021

(Unaudited)

  

For the 

Year Ended 

June 30, 2021 

  

For the 

Year Ended 

June 30, 2020 

  

For the 

Year Ended 

June 30, 2019 

  

For the 

Year Ended 

June 30, 2018 

  

For the 

Year Ended 

June 30, 2017 

 
Net asset value - beginning of year  $30.46   $18.80   $23.22   $30.13   $33.96   $30.64 
Income/(Loss) from investment operations:                              
Net investment income/(loss)(a)   0.13    0.09    0.10    (0.01)   (0.10)   0.21 
Net realized and unrealized gain/(loss)   2.98    11.70    (4.52)   (4.76)   3.82    3.28 
Total from investment operations   3.11    11.79    (4.42)   (4.77)   3.72    3.49 
                               
Less distributions:                              
From net investment income   (0.09)   (0.13)           (0.19)   (0.17)
From net realized gain on investments               (2.14)   (7.36)    
Total distributions   (0.09)   (0.13)       (2.14)   (7.55)   (0.17)
Net asset value at end of year  $33.48   $30.46   $18.80   $23.22   $30.13   $33.96 
                               
Total return   10.22%(b)   62.87%   (19.04)%   (15.63)%   11.41%   11.36%
                               
Net assets, end of year (in thousands)  $41,484   $39,859   $29,006   $42,266   $58,267   $67,603 
                               
Ratios/Supplemental Data:                              
Ratio of net expenses to average net assets   1.50%(c)   1.50%   1.50%   1.50%   1.50%   1.50%
Ratio of net investment income/(loss) to average net assets   0.81%(c)   0.36%   0.46%   (0.02)%   (0.32)%   0.62%
Portfolio turnover rate   16%(b)   42%   35%   75%   124%   129%

 

(a)Calculated using the average shares method.

(b)Not Annualized.

(c)Annualized.

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 33
 
 
Financial Highlights James Micro Cap Fund

 

For a share outstanding throughout the years or period indicated.

 

  

For the

Six Months

Ended

December
31, 2021

(Unaudited)

  

For the 

Year Ended 

June 30, 2021 

  

For the 

Year Ended 

June 30, 2020 

  

For the 

Year Ended 

June 30, 2019 

  

For the 

Year Ended 

June 30, 2018 

  

For the 

Year Ended 

June 30, 2017 

 
Net asset value - beginning of year  $19.54   $12.73   $15.92   $17.88   $17.27   $15.03 
Income/(Loss) from investment operations:                              
Net investment income/(loss)(a)   0.03    0.01    0.06    0.01    (0.04)   0.04 
Net realized and unrealized gain/(loss)   1.88    6.88    (2.70)   (1.06)   1.99    2.20 
Total from investment operations   1.91    6.89    (2.64)   (1.05)   1.95    2.24 
                               
Less distributions:                              
From net investment income   (0.01)   (0.07)   (0.04)       (0.06)    
From net realized gain on investments   (0.78)   (0.01)   (0.51)   (0.91)   (1.29)    
Total distributions   (0.79)   (0.08)   (0.55)   (0.91)   (1.35)    
Paid-in capital from redemption fees   0.00(b)   0.00(b)   0.00(b)   0.00(b)   0.01    0.00(b)
Net asset value at end of year  $20.66   $19.54   $12.73   $15.92   $17.88   $17.27 
                               
Total return   9.89%(c)   54.32%   (17.38)%   (5.25)%   11.62%   14.90%
                               
Net assets, end of year (in thousands)  $29,581   $29,345   $19,580   $26,600   $28,805   $31,809 
                               
Ratios/Supplemental Data:                              
Ratio of net expenses to average net assets   1.50%(d)   1.50%   1.50%   1.50%   1.50%   1.50%
Ratio of net investment income/(loss) to average net assets   0.25%(d)   0.03%   0.41%   0.05%   (0.22)%   0.23%
Portfolio turnover rate   7%(c)   55%   35%   65%   37%   97%

 

(a)Calculated using the average shares method.

(b)Amount rounds to less than $0.005 per share.

(c)Not Annualized.

(d)Annualized.

 

See Notes to Financial Statements.

 

34 www.jamesinvestment.com
 
 
James Aggressive Allocation Fund Financial Highlights

 

For a share outstanding throughout the years or period indicated.

 

  

For the

Six Months

Ended

December
31, 2021

(Unaudited)

  

For the 

Year Ended 

June 30, 2021 

  

For the 

Year Ended 

June 30, 2020 

  

For the 

Year Ended 

June 30, 2019 

  

For the 

Year Ended 

June 30, 2018 

  

For the 

Year Ended 

June 30, 2017 

 
Net asset value - beginning of year  $11.45   $9.23   $10.20   $10.66   $10.00   $9.47 
Income/(Loss) from investment operations:                              
Net investment income(a)   0.03    0.04    0.12    0.13    0.10    0.09 
Net realized and unrealized gain/(loss)   0.60    2.27    (0.98)   (0.50)   0.64    0.53 
Total from investment operations   0.63    2.31    (0.86)   (0.37)   0.74    0.62 
                         
Less distributions:                              
From net investment income   (0.02)   (0.09)   (0.11)   (0.09)   (0.08)   (0.09)
Total distributions   (0.02)   (0.09)   (0.11)   (0.09)   (0.08)   (0.09)
Net asset value at end of year  $12.06   $11.45   $9.23   $10.20   $10.66   $10.00 
                         
Total return   5.54%(b)   25.12%   (8.60)%   (3.40)%   7.36%   6.54%
                         
Net assets, end of year (in thousands)  $24,216   $25,576   $20,795   $22,936   $10,989   $9,954 
                         
Ratios/Supplemental Data:                              
Ratio of net expenses to average net assets   1.00%(c)   1.01%   0.98%   0.98%   0.98%   0.98%
Ratio of net investment income to average net assets   0.46%(c)   0.42%   1.17%   1.29%   0.90%   0.95%
Portfolio turnover rate   31%(b)   77%   80%   69%   219%   198%

 

(a)Calculated using the average shares method.

(b)Not Annualized.

(c)Annualized.

 

See Notes to Financial Statements.

 

Semi-Annual Report | December 31, 2021 35
 
 
Notes to Financial Statements James Advantage Funds

 

December 31, 2021 (Unaudited)

 

1. ORGANIZATION

 

 

James Advantage Funds (the “Trust”) is an open-end management investment company that was organized as an Ohio business trust on August 29, 1997. The Trust is registered under the Investment Company Act of 1940, as amended (the “1940 Act”). James Balanced: Golden Rainbow Fund, James Small Cap Fund, James Micro Cap Fund, and James Aggressive Allocation Fund are each a diversified series of the Trust (individually a “Fund,” collectively the “Funds”). Each class of James Balanced: Golden Rainbow Fund represents an interest in the same portfolio of investments and has the same rights, but differs primarily in distribution fees and shareholder features. The Retail Class shares are subject to distribution (12b-1) fees but have a lower minimum investment requirement and offer certain shareholder services not available to Institutional Class shareholders. The Institutional Class shares are not subject to distribution (12b-1) fees and are available only through investment advisers and bank trust departments that have made arrangements for shares of all of their clients investing in the Fund to be held in an omnibus account (as well as other investors that are approved by management of the Trust).

 

James Balanced: Golden Rainbow Fund seeks to provide total return through a combination of growth and income and preservation of capital in declining markets. The James Balanced: Golden Rainbow Fund seeks to achieve its objective by investing primarily in common stocks and/or debt securities that the Fund’s adviser, James Investment Research, Inc. (“James” or the “Adviser”), believes are undervalued.

 

James Small Cap Fund seeks to provide long-term capital appreciation. The James Small Cap Fund seeks to achieve its objective by investing primarily in common stocks of small capitalization companies. The Adviser defines small capitalization as those companies with market capitalizations at the time of purchase no larger than the stocks in the James Small Cap Fund’s benchmark, the Russell 2000® Index. As of December 31, 2021, the stock with the maximum capitalization in the Russell 2000® Index had a capitalization of $14.0 billion.

 

James Micro Cap Fund seeks to provide long-term capital appreciation. The James Micro Cap Fund seeks to achieve its objective by investing primarily in common stocks of micro capitalization companies. Micro capitalization companies are defined as those companies with market capitalizations at the time of purchase no larger than the stocks in the Russell Microcap® Index, including exchange traded funds (“ETFs”) that invest primarily in such securities. As of December 31, 2021, the stock with the maximum capitalization in the Russell Microcap® Index had a capitalization of $4.1 billion.

 

James Aggressive Allocation Fund seeks to provide total return through a combination of growth and income. Preservation of capital in declining markets is a secondary objective. The James Aggressive Allocation Fund will generally run equity allocations of 60% or higher and, therefore, could be more volatile than a more conservative fund that holds a smaller percentage of its assets in stocks. Due to its aggressive nature, the James Aggressive Allocation Fund will generally have a turnover ratio much higher than the James Balanced: Golden Rainbow Fund.

 

2. SIGNIFICANT ACCOUNTING POLICIES

 

 

The following is a summary of significant accounting policies followed by the Funds in preparation of their financial statements, in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The Funds are considered an investment company for financial reporting purposes under U.S. GAAP and follow the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board ("FASB") Accounting Standards Codification Topic 946.

 

Share Valuation 

The net asset value per share of each Fund, other than the James Balanced: Golden Rainbow Fund, is calculated daily by dividing the total value of the Fund’s assets, less liabilities, by the number of shares outstanding. The net asset value per share of each class of shares of the James Balanced: Golden Rainbow Fund is calculated daily by dividing the total value of the Fund’s assets attributable to that class, less liabilities attributable to that class, by the number of outstanding shares of that class. The offering price and redemption price per share is equal to the net asset value per share, except that shares of the James Micro Cap Fund are subject to a redemption fees of 2% if redeemed within 180 days of purchase. Redemption fees received by the James Micro Cap Fund were $261 and $260 for the six months ended December 31, 2021 and the year ended June 30, 2021, respectively. The redemption fees are reflected in the “Payment for shares redeemed, net of redemption fee” in the Statements of Changes in Net Assets.

 

Securities Valuation 

Securities are valued at fair value. The Funds' portfolio securities are valued as of the close of the New York Stock Exchange (“NYSE”) (generally, 4:00 p.m., Eastern Time) on each day that the NYSE is open for business. Equity securities that are traded on any exchange, including closed-end funds and exchange-traded funds, are valued at the last quoted sale price on the exchange or market in which such securities are principally traded. Lacking a last sale price, a security is valued at its last bid price except when, in James’ opinion, the last bid price does not accurately reflect the current value of the security. Securities that are traded on the NASDAQ® over-the-counter market are valued at their NASDAQ® Official Closing Price (“NOCP”) for all NASDAQ® National Market (“NNM”) and NASDAQ® Capital Market® securities. When market quotations are not readily available, if an event occurs after the close of the trading market (but before the time as of which a Fund calculates its net asset value) that materially affects a security’s value, when James determines that the market quotation does not accurately reflect the current value or when a non-144A restricted security is being valued, that security will be valued at its fair value as determined in good faith in conformity with guidelines adopted by and subject to review of the Board of Trustees (the “Board”). Corporate bonds, U.S. government agencies, U.S. Treasury bonds & notes, foreign, and municipal bonds are generally valued at the mean between the closing bid and asked prices provided by an independent pricing service. The pricing services generally use market models that consider trade data, yields, spreads, quotations from dealers and active market makers, credit worthiness, market information of comparable securities, and other relevant security specific information. Asset backed/commercial mortgage backed securities are generally valued at the mean between the closing bid and asked prices provided by an independent pricing service. The pricing service generally uses models that consider trade data, prepayment, and default projections, benchmark yield and spread data and estimated cash flows of each tranche of the issuer. If the Adviser decides that a price provided by the pricing service does not accurately reflect the fair market value of the securities or when prices are not readily available from a pricing service, those securities will be priced at fair value as determined in good faith by the Adviser. Shares of open-end investment companies are valued at net asset value.

 

 

36 www.jamesinvestment.com
 
 
James Advantage Funds Notes to Financial Statements

 

December 31, 2021 (Unaudited)

  

For valuation purposes, quotations of foreign securities in a foreign currency are converted to U.S. dollar equivalents at the time of pricing the Funds. The values of foreign portfolio securities are generally based upon market quotations which, depending upon the exchange or market, may be last sale price, last bid price or the average of the last bid and asked prices as of, in each case, the close of the appropriate exchange or another designated time.

 

In accordance with the Trust’s good faith pricing guidelines, James is required to consider all appropriate factors relevant to the value of securities for which it has determined other pricing sources are not available or reliable as described above. There is no single standard for determining fair value, since fair value depends upon the circumstances of each individual case. As a general principle, the current fair value of an issue of securities being valued by the Adviser would appear to be the amount that the owner might reasonably expect to receive for them upon their current sale. Methods which are in accordance with this principle may, for example, be based on (i) a multiple of earnings, (ii) a discount from market of a similar freely traded security (including a derivative security or a basket of securities traded on other markets, exchanges or among dealers), or (iii) yield to maturity with respect to debt issues, or a combination of these and other methods.

 

Various inputs are used in determining the value of the Funds’ investments. These inputs are summarized in the three broad levels listed below:

 

Level 1 - Unadjusted quoted prices in active markets for identical, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

 

Level 2 -Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; or

 

Level 3 -Significant unobservable prices or inputs (including a Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

 

The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

 

Semi-Annual Report | December 31, 2021 37
 
 
Notes to Financial Statements James Advantage Funds

 

December 31, 2021 (Unaudited)  

 

The following is a summary of the inputs used to value the Funds’ investments as of December 31, 2021:

 

James Balanced: Golden Rainbow Fund 

 

   Valuation Inputs     
Investments in Securities at Value* Level 1  

 Level 2

   Level 3   Total 
Common Stocks  $303,464,582   $   $   $303,464,582 
Exchange Traded Funds   36,481,593            36,481,593 
Corporate Bonds       56,863,186        56,863,186 
Municipal Bonds       17,197,936        17,197,936 
U.S. Government Agencies       25,522,893        25,522,893 
Mortgage Backed Securities       19,183,237        19,183,237 
U.S. Treasury Bonds & Notes   114,685,194            114,685,194 
Short Term Investments   32,185,973            32,185,973 
Total  $486,817,342   $118,767,252   $   $605,584,594 

 

James Small Cap Fund

 

   Valuation Inputs     
Investments in Securities at Value*  Level 1  

Level 2

   Level 3   Total 
Common Stocks  $39,854,294   $   $   $39,854,294 
Short Term Investments   1,642,330            1,642,330 
Total  $41,496,624   $   $   $41,496,624 

 

James Micro Cap Fund

 

   Valuation Inputs     
Investments in Securities at Value*  Level 1  

Level 2

  Level 3   Total 
Common Stocks  $27,616,253   $   $   $27,616,253 
Short Term Investments   1,996,614            1,996,614 
Total  $29,612,867   $   $   $29,612,867 

 

James Aggressive Allocation Fund

 

   Valuation Inputs     
Investments in Securities at Value*  Level 1  

Level 2 

   Level 3   Total 
Common Stocks  $17,660,424   $   $   $17,660,424 
Exchange Traded Funds   2,079,414            2,079,414 
Corporate Bonds       1,406,256        1,406,256 
U.S. Government Agencies       979,026        979,026 
U.S. Treasury Bonds & Notes   1,723,051            1,723,051 
Short Term Investments   365,599            365,599 
Total  $21,828,488   $2,385,282   $   $24,213,770 

 

* For detailed descriptions of sector and industry, see the accompanying Schedule of Investments.

 

 

38 www.jamesinvestment.com
 
 
James Advantage Funds Notes to Financial Statements

 

December 31, 2021 (Unaudited)

 

Investment Transactions 

Investment transactions are recorded on a trade date basis. Gains and losses are determined using the specific identification method. Securities purchased or sold on a when-issued or delayed delivery basis may have extended settlement periods. Any securities so purchased are subject to market fluctuation during this period. The Funds will instruct its custodian to segregate assets in a separate account with a current value at least equal to the amount of its when-issued and delayed delivery purchase commitments. As of December 31, 2021, the Funds did not hold when-issued securities or delayed delivery purchase commitments.

 

Withholding taxes on foreign dividends have been provided for in accordance with the Trust’s understanding of the applicable country’s tax rules and rates.

 

Foreign Currency Translation 

The market value of investment securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars at the current exchange rate, provided by WM Reuters, at the close of each business day. Purchases and sales of securities, income receipts and expense payments are translated into U.S. dollars based at the exchange rate on the date of the transaction.

 

Reported net realized foreign exchange gains or losses arise from sales and maturities of short-term securities, sales of foreign currencies, currency gains or losses realized and between the trade and settlement dates on securities transactions, and the difference between the amounts of dividends, interest, and foreign withholding taxes recorded on the Funds’ books and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign exchange gains and losses arise from the changes in the value of assets and liabilities including investments in securities at the reporting period, resulting from changes in the exchange rate. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

 

Investment Income 

Dividend income is recorded on the ex-dividend date. Interest income is determined on the basis of interest accrued, adjusted for amortization of premiums and accretion of discounts on all debt securities. Amortization and accretion is calculated using the effective yield method.

 

Dividend income includes dividends earned on Real Estate Investment Trusts (“REITs”), which may include a return of capital. As such, important taxation issues may arise, which the Funds account for when information is provided by the issuing REIT.

 

Due to the actual character of dividends paid by REITs not being available until the end of the calendar year, the net investment income and long-term capital gains of the Funds can be different on the tax return compared to this annual report. Substantial unanticipated levels of return of capital may affect the Funds’ earnings and profits from which distributions are made.

 

Distributions received from Limited Partnership investments of a Fund are usually recorded as a return of capital and are excluded from available income in the calculation of distributions paid by the Funds. Return of capital is recorded as a reduction to the cost of investments in the Statements of Assets and Liabilities and in the Schedule of Investments.

 

Dividends and Distributions to Shareholders 

Net investment income, if any, is generally declared and distributed to shareholders of each Fund on at least an annual basis. Net realized capital gains from security transactions, if any, are distributed to shareholders not less frequently than annually. Furthermore, capital gains are distributed only to the extent they exceed available capital loss carryforwards. Distributions to shareholders of net investment income and net realized capital gains are recorded on the ex-dividend date. The amount and timing of distributions are determined in accordance with federal income tax regulations, which may differ from U.S. GAAP.

 

Allocation of Income and Expense 

Investment income earned, realized capital gains and losses, and unrealized appreciation and depreciation for the James Balanced: Golden Rainbow Fund is allocated daily to each class of shares based upon its proportionate share of total net assets of the Fund. Class-specific expenses are charged directly to the class incurring the expense. Common expenses, which are not attributable to a specific class, are allocated daily to each class of shares based upon its proportionate share of total net assets of the Fund. The Adviser pays the expenses of each Fund, except for the James Balanced: Golden Rainbow Fund. These expenses exclude the management fees, detailed in Note 4, brokerage fees and commissions, taxes, interest, fees and expenses of the non-interested person trustees, 12b-1 fees and extraordinary expenses. Expenses not directly billed to a particular Fund are allocated proportionally among all Funds daily in relation to net assets of each Fund or another reasonable measure.

 

Use of Estimates 

The preparation of financial statements in conformity with U.S. GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual results could differ from those estimates.

 

Epidemic and Pandemic Risk 

Certain countries have been susceptible to epidemics, most recently COVID-19, which has been designated as a pandemic by world health authorities. The outbreak of such epidemics, together with any resulting restrictions on travel or quarantines imposed, could have a negative impact on the economy and business activity globally (including in the countries in which we invest), and thereby could adversely affect the performance of our investments. Furthermore, the rapid development of epidemics could preclude prediction as to their ultimate adverse impact on economic and market conditions, and, as a result, present material uncertainty and risk with respect to us and the performance of our investments.

 

 

Semi-Annual Report | December 31, 2021 39
 
 
Notes to Financial Statements James Advantage Funds

 

December 31, 2021 (Unaudited)

  

London Interbank Offered Rate Risk 

Holdings of certain of the Funds’ underlying investments, and the Funds’ financing terms, may be based on floating rates, such as the London Interbank Offered Rate, or “LIBOR,” which is the offered rate for short-term Eurodollar deposits between major international banks. The administrator of LIBOR announced an intention to delay the phase out of a majority of the U.S. dollar LIBOR publications until mid-2023, with the remainder of LIBOR publications to end at the end of 2021. There remains uncertainty regarding the nature of any replacement rate and the impact of the transition from LIBOR on the Funds’ transactions and the financial markets generally. As such, the potential effect of a transition away from LIBOR on the Funds or the Funds’ investments cannot yet be determined.

 

Federal Income Taxes 

The Funds generally intend to distribute all taxable income and capital gains to shareholders, if any, and to otherwise continue to comply with the requirements of Subchapter M of the Internal Revenue Code of 1986, as amended, (the “Code”) applicable to regulated investment companies. Therefore, no federal tax provision is required.

 

As of and during the six months ended December 31, 2021, the Funds did not have a liability for any unrecognized tax benefits. The Funds file U.S. federal, state, and local tax returns as required. The Funds’ tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return for federal purposes and four years for most state returns. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

 

As of December 31, 2021, the components of distributable earnings on a tax basis were as follows:

 

  

James Balanced:

Golden Rainbow

Fund

  

James Small

Cap Fund

  

James Micro

Cap Fund

  

James

Aggressive 

Allocation Fund 

 
Tax cost of portfolio investments  $468,860,321   $27,803,406   $18,583,613   $19,028,312 
Gross unrealized appreciation  $138,490,123   $14,188,695   $11,418,221   $5,321,181 
Gross unrealized depreciation   (1,765,850)   (495,477)   (388,967)   (135,723)
Net unrealized appreciation   136,724,273    13,693,218    11,029,254    5,185,458 
Total  $136,724,273   $13,693,218   $11,029,254   $5,185,458 

 

The difference between the cost of portfolio investments on a tax basis and financial statement cost for the Funds is due primarily to the deferral of wash sale losses and to the differing treatment of certain investments under income tax regulations and U.S. GAAP.

 

The tax character of distributions paid for the year ended June 30, 2021 was as follows:

 

  

James Balanced:

Golden Rainbow

Fund 

  

James Small

Cap Fund

  

James Micro

Cap Fund

  

James

Aggressive

Allocation Fund 

 
Ordinary Income  $5,853,072   $177,673   $106,552   $195,964 
Long-Term Capital Gains   894,806        19,171     
Total  $6,747,878   $177,673   $125,693   $195,964 

 

The tax character of distributions paid for the year ended June 30, 2020 was as follows:

 

  

James Balanced:

Golden Rainbow

Fund 

  

James Small

Cap Fund

  

James Micro

Cap Fund

  

James

Aggressive

Allocation Fund 

 
Ordinary Income  $9,343,727   $   $64,550   $245,700 
Long-Term Capital Gains   6,496,587        816,071     
Total  $15,840,314   $   $880,621   $245,700 

 

The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end. Accordingly, tax basis balances have not been determined as of December 31, 2021.

 

 

40 www.jamesinvestment.com
 
 
James Advantage Funds Notes to Financial Statements

 

December 31, 2021 (Unaudited)

 

Capital Losses 

Under the Code, Capital Losses are carried over to future tax years and will retain their character as either short-term or long-term capital losses. These losses do not include any late year capital losses (losses arising in the period from November 1st through June 30th) that the Funds have elected to defer for the current fiscal year. The Funds’ ability to utilize capital loss carryforwards in the future may be limited under the Code and related regulations based on the results of future transactions.

 

Capital losses carried forward to the next tax year were as follows:

 

   Short Term   Long Term 
James Small Cap Fund  $2,247,505   $ 
James Aggressive Allocation Fund   2,026,376     

 

The Funds elect to defer to the year ending June 30, 2022 ordinary losses recognized during the period January 1, 2021 through December 31, 2021 in the amount of:

 

   Amount 
James Micro Cap Fund  $66,215 

 

3. INVESTMENT TRANSACTIONS

 

  

Purchases and sales (including maturities) of investments in long-term U.S. Government obligations for the six months ended December 31, 2021 were as follows:

 

   Purchases   Sales 
James Balanced: Golden Rainbow Fund  $31,647,109   $15,000,000 
James Micro Cap Fund   0    -4,040,152 
James Aggressive Allocation Fund   1,302,565    845,197 

 

Purchases and sales (including maturities) of investments in long-term securities other than U.S. Government Obligations for the six months ended December 31, 2021 were as follows:

 

   Purchases   Sales 
James Balanced: Golden Rainbow Fund  $35,258,325   $109,649,886 
James Small Cap Fund   6,113,969    -8,321,941 
James Micro Cap Fund   1,815,523    -1,000,000 
James Aggressive Allocation Fund   6,215,492    8,676,236 

 

4. MANAGEMENT FEE AND OTHER TRANSACTIONS WITH AFFILIATES

 

 

Investment Management Agreement 

The Funds retain James to manage the Funds’ investments. The investment decisions for the Funds are made by a committee of James’ personnel, which is primarily responsible for the day-to-day management of each Fund’s portfolio and pursuant to separate management agreements between the Trust, on behalf of each Fund and the Adviser (the “Investment Management Agreements”).

 

The Funds pay James on a monthly basis at the annual rate set forth below of the Funds’ average daily net assets.

 

James Balanced: Golden Rainbow Fund

 

Average Total Net Assets Contractual Fee
Up to and including $500 million 0.74%
Over $500 million and including $1 billion 0.70%
Over $1 billion and including $2 billion 0.65%
Over $2 billion 0.60%

 

James Small Cap Fund

 

Average Total Net Assets Contractual Fee
Up to and including $500 million 1.25%
Over $500 million and including $1 billion 1.20%
Over $1 billion and including $2 billion 1.15%
Over $2 billion 1.10%

 

James Micro Cap Fund

 

Average Total Net Assets Contractual Fee
Up to and including $500 million 1.50%
Over $500 million 1.45%

 

James Aggressive Allocation Fund

 

Average Total Net Assets Contractual Fee
Up to and including $500 million 0.98%
Over $500 million and including $1 billion 0.95%
Over $1 billion and including $2 billion 0.90%
Over $2 billion 0.85%

 

Advisory fees for the James Small Cap Fund and the James Micro Cap Fund are reduced by the fees and expenses of the non-interested trustees incurred by the applicable Fund. Under the Investment Management Agreement, the Adviser is responsible for the payment of all operating expenses of the James Small Cap Fund, James Micro Cap Fund, and James Aggressive Allocation Fund, except for brokerage fees and commissions, taxes, interest, fees and expenses of non-interested person trustees, 12b-1 expenses and extraordinary expenses. Adviser is not entitled to recoupment of such expenses.

 

Administrative Services Agreement 

ALPS Fund Services, Inc. (“ALPS” or the “Administrator”) serves as administrator to the Funds. ALPS receives a monthly fee paid by James Balanced: Golden Rainbow Fund, for itself, and paid by James for the remaining Funds, subject to a minimum monthly fee. Pursuant to an administrative agreement, ALPS will provide operational services to the Funds including, but not limited to fund accounting and fund administration and generally assist in each Fund’s operations. Administration fees paid by the Funds for the six months ended December 31, 2021, are disclosed in the Statements of Operations.

  

 

Semi-Annual Report | December 31, 2021 41
 
 
Notes to Financial Statements James Advantage Funds

 

December 31, 2021 (Unaudited)

 

Transfer Agency and Services Agreement 

ALPS, pursuant to a Transfer Agency and Services Agreement with the Trust, serves as transfer agent for the Funds. Under the Transfer Agency and Services Agreement, ALPS receives an annual minimum fee, a fee based upon the number of shareholder accounts and is also reimbursed for out-of-pocket expenses. These fees and reimbursements for out-of-pocket expenses are paid by James Balanced: Golden Rainbow Fund, for itself, and by James for the remaining Funds. Transfer agent fees paid by the Funds for six months ended December 31, 2021, are disclosed in the Statements of Operations.

 

Plans of Distribution 

The James Balanced: Golden Rainbow Fund (Retail Class) and James Small Cap Fund have adopted a plan pursuant to Rule 12b-1 under the 1940 Act (collectively, the “Plans”) under which each Fund may incur expenses related to distribution of its shares and for services provided to shareholders. These expenses are reflected as 12b-1 distribution and service fees on the Statements of Operations. Payments under a Plan are made to the Adviser, which uses them to pay distribution and shareholder service expenses on behalf of and as agent of the Fund. The amount payable by the James Small Cap Fund and the Retail Class of the James Balanced: Golden Rainbow Fund, under its Plan is 0.25% of its average daily net assets for the year. The Plans are compensation plans, which means that payments are made to the Adviser regardless of 12b-1 expenses actually incurred. Therefore, payments under a Plan may exceed distribution and shareholder service expenses incurred pursuant to the Plan, and the Adviser is permitted to retain the excess. It is also possible that 12b-1 expenses paid by the Adviser for a period will exceed the payments received by the Adviser, in which case the Adviser may pay such excess expenses out of its own resources. Payments received by the Adviser under the Plans are in addition to the fees paid to the Adviser pursuant to the Management Agreements. The Plans require that the Adviser act in the Funds’ best interests in expending the payments it receives from the Funds and use payments solely for the purpose of paying distribution and shareholder services expenses on behalf of the Funds. The Funds’ distributor, ALPS Distributors, Inc., validates all payment amounts to be made to brokers that have properly executed dealer agreements with the Funds before the Adviser will make such payments.

 

Trustee Fees 

Each Trustee who is not an officer or employee of the Adviser, or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $7,900, (2) a per meeting fee for regularly scheduled meetings of $2,100, (3) an audit committee fee of $1,000 paid to the audit committee chair and $500 to the other Independent Trustees, (4) $2,100 for any special meeting held outside of a regularly scheduled board meeting that the Trustee is required to attend in person, (5) $210 for any special telephonic meetings held outside of a regularly scheduled board meeting, and (6) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings. Such fees are presented on the Statements of Operations as Trustee Fees.

 

5. COMMITMENTS AND CONTINGENCIES

 

 

The Funds indemnify the Trust’s officers and trustees for certain liabilities that might arise from their performance of their duties to the Funds. Additionally, in the normal course of business, the Funds enter into contracts that contain a variety of representations and warranties and that provide general indemnifications. The Funds’ maximum exposure under these arrangements is unknown, as this would involve future claims that may be made against the Funds that have not yet occurred. However, based on experience, the Funds expect the risk of loss to be remote.

 

6. LINE OF CREDIT

 

  

Each Fund has a revolving line of credit agreement with U.S. Bank, N.A. (the “Bank”). Borrowings under these arrangements are secured by investments held in the Funds’ portfolios as notated on the Schedules of Investments and bear interest at the Bank’s prime rate. As of December 31, 2021, none of the Funds had outstanding borrowings under the line of credit agreement. For the six months ended December 31, 2021, the James Aggressive Allocation Fund utilized its line of credit. The average amount of borrowings was $44,000 over 1 day with a weighted-average interest rate of 3.25%. During the six months ended December 31, 2021, the James Balanced: Golden Rainbow Fund, James Small Cap Fund and James Micro Cap Fund did not utilize the line of credit. Interest on funded and unfunded loans was $4 for the James Aggressive Allocation Fund for the six months ended December 31, 2021. Each Fund’s line of credit agreement was due to expire July 7, 2021 and was renewed for one year.

 

The terms of the agreements can be characterized as follows:

 

Fund 

Maximum 

Balance 

Available 

  

Interest 

Rate 

  Expiration Date
James Balanced: Golden Rainbow Fund  $30,000,000   Prime Rate*  July 6, 2022
James Small Cap Fund  $2,000,000   Prime Rate*  July 6, 2022
James Micro Cap Fund  $1,250,000   Prime Rate*  July 6, 2022
James Aggressive Allocation Fund  $750,000   Prime Rate*  July 6, 2022

 

*The rate at which the Bank announces as its prime lending rate.

 

 

42 www.jamesinvestment.com
 
 
James Advantage Funds Additional Information

 

December 31, 2021 (Unaudited)

 

PROXY VOTING GUIDELINES

 

 

James is responsible for exercising the voting rights associated with the securities purchased and held by the Funds. A description of the policies and procedures that James uses in fulfilling this responsibility and information regarding how those proxies were voted during the most recent 12-month period ended June 30 are available without charge upon request by calling toll free 1-800-995-2637. These items are also available on the Securities and Exchange Commission’s (the “Commission”) website at http://www.sec.gov.

 

QUARTERLY PORTFOLIO DISCLOSURE

 

 

The Funds' portfolio holdings are made available semi-annually in shareholder reports within 60 days after the close of the period for which the report is being made, as required by federal securities laws. The Funds also file a complete schedule of portfolio holdings with the Commission for the first and third quarters of the Funds' fiscal year on Part F of Form N-PORT. Portfolio holdings filed on Form N-PORT become publicly available on the Commission's website at http://www.sec.gov within 60 days after the end of that Funds' fiscal quarter. Schedules of portfolio holdings are also available at www.jamesinvestment.com, or upon request, without charge by calling at 1-800-995-2637.

  

 

Semi-Annual Report | December 31, 2021 43

 

 

Privacy Policy James Advantage Funds

 

December 31, 2021 (Unaudited)  

 

Facts 

What does James Advantage Funds do with your personal information?

 

Why? 

Financial companies choose how they share your personal information. Federal law gives consumers the right to limit some, but not all sharing. Federal law also requires us to tell you how we collect, share, and protect your personal information. Please read this notice carefully to understand what we do.

 

What? 

The types of personal information we collect and share depends on the product or service that you have with us. This information can include: 

Social Security number and wire transfer instructions

account transactions and transaction history

investment experience and purchase history

 

When you are no longer our customer, we continue to share your information as described in this notice.

 

How? 

All financial companies need to share customers’ personal information to run their everyday business. In the section below, we list the reasons financial companies can share their customers’ personal information; the reasons James Advantage Funds chooses to share; and whether you can limit this sharing.

 

Reasons we can share your personal information:

Does James

Advantage Funds 

share information? 

Can you limit this sharing?
For our everyday business purposes - such as to process your transactions, maintain your account(s), respond to court orders and legal investigations, or report to credit bureaus.  YES NO
For our marketing purposes - to offer our products and services to you. YES NO
For joint marketing with other financial companies. NO We don’t share
For our affiliates’ everyday business purposes -information about your transactions and records. NO We don’t share
For our affiliates’ everyday business purposes - information about your credit worthiness. NO We don’t share
For our affiliates to market to you NO We don’t share
For non-affiliates to market to you NO We don’t share

 

Questions? Call 1-800-99 James 

 

What we do:  

How does James Advantage Funds protect my personal information? 

To protect your personal information from unauthorized access and use, we use security measures that comply with federal law. These measures include computer safeguards and secured files and buildings. 

 

Our service providers are held accountable for adhering to strict policies and procedures to prevent any misuse of your nonpublic personal information.

How does James Advantage Funds collect my personal information?

 

We collect your personal information, for example, when you 

●    open an account or deposit money 

●    direct us to buy securities or direct us to sell your securities 

   seek advice about your investments 

We also collect your personal information from others, such as credit bureaus, affiliates, or other companies. 

Why can’t I limit all sharing?

Federal law gives you the right to limit only: 

●    sharing for affiliates’ everyday business purposes – information about your creditworthiness. 

   affiliates from using your information to market to you. 

    sharing for nonaffiliates to market to you. 

State laws and individual companies may give you additional rights to limit sharing. 

 

Definitions   
Affiliates

Companies related by common ownership or control. They can be financial and non-financial companies. 

●    Our affiliates include financial companies, such as James Investment Research, Inc. and James Capital Alliance. 

Non-affiliates

Companies not related by common ownership or control. They can be financial and non-financial companies. 

●    James Advantage Funds does not share with nonaffiliates so they can market to you. 

Joint marketing

A formal agreement between nonaffiliated financial companies that together market financial products or services to you. 

●    James Advantage Funds does not jointly market. 

 

 

44 www.jamesinvestment.com
 
 

(GRAPHIC)

 

 

(b)Not Applicable

 

Item 2. Code of Ethics.

 

Not applicable to this Report.

 

Item 3. Audit Committee Financial Expert.

 

Not applicable to this Report.

 

Item 4. Principal Accountant Fees and Services.

 

Not applicable to this Report.

 

Item 5. Audit Committee of Listed Registrants.

 

Not applicable to the registrant.

 

Item 6. Investments.

 

(a)The Schedule of Investments is included as part of the report to shareholders filed under Item 1 of this Form.

 

(b)Not applicable to the registrant.

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not applicable to the registrant.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

 

Not applicable to the registrant.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

 

Not applicable to the registrant.

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

The registrant has not adopted procedures by which shareholders may recommend nominees to the registrant’s board of trustees.

 

 

Item 11. Controls and Procedures.

 

(a)Based on an evaluation of the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended), the registrant’s principal executive officer and principal financial officer have concluded that the registrant’s disclosure controls and procedures are effective as of a date within 90 days of the filing date of this report.

 

(b)There were no significant changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940, as amended) that occurred during the second fiscal quarter of the period covered by this Report that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

Item 12. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

 

Not applicable.

 

Item 13. Exhibits.

 

(a)(1) Not applicable to this Report.

 

(a)(2) Certifications required by Item 13(a)(2) of Form N-CSR are filed herewith as Exhibit 99.CERT.

 

(a)(3) Not applicable.

 

(a)(4)Not applicable.

 

(b) Certifications required by Item 13(b) of Form N-CSR are filed herewith as Exhibit 99.906CERT.  

 

 

SIGNATURES

 

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

 

The James Advantage Funds

 

By: /s/ Barry R. James  
  Barry R. James  
  President  
     
Date: March 7, 2022  

  

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

 

By: /s/ Barry R. James  
  Barry R. James  
  President  
     
Date: March 7, 2022  

  

By: /s/ Amy K. Broerman  
  Amy K. Broerman  
  Chief Financial Officer  
     
Date: March 7, 2022  

 

EX-99.CERT 2 fp0073782_ex99cert.htm

Exhibit 99.CERT

 

CERTIFICATIONS

 

I, Barry R. James, certify that:

 

1.I have reviewed this report on Form N-CSR of The James Advantage Funds;

 

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

 

3.Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

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

 

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

 

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

 

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

 

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

 

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

 

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

 

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

 

Date: March 7, 2022 /s/ Barry R. James  
 

Barry R. James, President 

Chief Executive Officer 

 

 

 

I, Amy K. Broerman, certify that:

 

1.I have reviewed this report on Form N-CSR of The James Advantage Funds;

 

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

 

3.Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

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

 

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

 

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

 

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

 

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

 

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

 

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

 

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

 

Date: March 7, 2022 /s/ Amy K. Broerman  
 

Amy K. Broerman 

Chief Financial Officer 

 

 

EX-99.906 CERT 3 fp0073782_ex99906cert.htm

EX-99.906CERT

 

Certifications Under Section 906 

of the Sarbanes-Oxley Act of 2002

 

Barry R. James, Chief Executive Officer, and Amy K. Broerman, Chief Financial Officer of the James Advantage Funds (the “Registrant”), each certify to the best of his or her knowledge that:

 

1.The Registrant’s periodic report on Form N-CSR for the period ended December 31, 2021 (the “Report”) fully complies with the requirements of sections 13(a) or 15(d) of the Securities and Exchange Act of 1934, as amended; and

 

2.The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Chief Executive Officer   Chief Financial Officer  
James Advantage Funds   James Advantage Funds  
       
/s/ Barry R. James   /s/ Amy K. Broerman  
Barry R. James   Amy K. Broerman  
Date: March 7, 2022   Date: March 7, 2022  

 

A signed original of this written statement required by Section 906 of the Sarbanes-Oxley Act of 2002 has been provided to the Registrant and will be retained by the Registrant and furnished to the Securities and Exchange Commission (the “Commission”) or its staff upon request.

 

This certification is being furnished to the Commission solely pursuant to 18 U.S.C. § 1350 and is not being filed as part of the Report with the Commission.

 

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