0001193125-23-163310.txt : 20230608 0001193125-23-163310.hdr.sgml : 20230608 20230608134016 ACCESSION NUMBER: 0001193125-23-163310 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 44 CONFORMED PERIOD OF REPORT: 20230331 FILED AS OF DATE: 20230608 DATE AS OF CHANGE: 20230608 EFFECTIVENESS DATE: 20230608 FILER: COMPANY DATA: COMPANY CONFORMED NAME: GPS Funds I CENTRAL INDEX KEY: 0001131042 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-10267 FILM NUMBER: 231001462 BUSINESS ADDRESS: STREET 1: 1655 GRANT STREET STREET 2: 10TH FLOOR CITY: CONCORD STATE: CA ZIP: 94520 BUSINESS PHONE: 800-664-5345 MAIL ADDRESS: STREET 1: 1655 GRANT STREET STREET 2: 10TH FLOOR CITY: CONCORD STATE: CA ZIP: 94520 FORMER COMPANY: FORMER CONFORMED NAME: ASSETMARK FUNDS DATE OF NAME CHANGE: 20010102 0001131042 S000006182 GuideMark(R) Large Cap Core Fund C000017030 Service Shares GMLGX C000096246 Institutional Shares GILGX 0001131042 S000006183 GuideMark(R) Emerging Markets Fund C000017031 Service Shares GMLVX C000096247 Institutional Shares GILVX 0001131042 S000006185 GuideMark(R) Small/Mid Cap Core Fund C000017033 Service Shares GMSMX C000096248 Institutional Shares GISMX 0001131042 S000006186 GuideMark(R) World ex-US Fund C000017034 Service Shares GMWEX C000096249 Institutional Shares GIWEX 0001131042 S000006189 GuideMark(R) Core Fixed Income Fund C000017037 Service Shares GMCOX C000096251 Institutional Shares GICFX N-CSR 1 d468799dncsr.htm GPS FUNDS I GPS Funds I

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-10267

GPS Funds I

(Exact name of registrant as specified in charter)

1655 Grant Street, 10th Floor

Concord, CA 94520

(Address of principal executive offices) (Zip code)

Patrick R Young

AssetMark, Inc.

1655 Grant Street, 10th Floor

Concord, CA 94520

(Name and address of agent for service)

800-664-5345

Registrant’s telephone number, including area code

Date of fiscal year end: March 31, 2023

Date of reporting period: April 1, 2022 through March 31, 2023


Item 1. Reports to Stockholders.

(a)

(b) Not applicable.

 

1


GuideMark® Funds

GuidePath® Funds

 

Investment Advisor

AssetMark, Inc.

 

ANNUAL REPORT

 

March 31, 2023

 


GUIDEMARK® LARGE CAP CORE FUND

GUIDEMARK® EMERGING MARKETS FUND

GUIDEMARK® SMALL/MID CAP CORE FUND

GUIDEMARK® WORLD EX-US FUND

GUIDEMARK® CORE FIXED INCOME FUND

GUIDEPATH® GROWTH ALLOCATION FUND

GUIDEPATH® CONSERVATIVE ALLOCATION FUND

GUIDEPATH® TACTICAL ALLOCATION FUND

GUIDEPATH® ABSOLUTE RETURN ALLOCATION FUND

GUIDEPATH® MULTI-ASSET INCOME ALLOCATION FUND

GUIDEPATH® FLEXIBLE INCOME ALLOCATION FUND

GUIDEPATH® MANAGED FUTURES STRATEGY FUND

GUIDEPATH® CONSERVATIVE INCOME FUND

GUIDEPATH® INCOME FUND

GUIDEPATH® GROWTH AND INCOME FUND


 


Dear Shareholder:

Enclosed is the Annual Report for the GuideMark® and GuidePath® Funds covering the period from April 1, 2022 to March 31, 2023.

Market Review

For the 12-month reporting period ended March 31, 2023, U.S. equities returned (7.7)%1. Tightening monetary policy intended to tame persistently high inflation, culminating in a banking crisis during the first quarter of 2023, plagued the markets over the 12 month period. International developed markets outperformed U.S. equities, returning (0.9)%2 in U.S. dollar terms for the 12-month period ended March 31, 2023. The outperformance came as investors were surprised by better-than-expected economic growth and corporate earnings, as well as cheaper relative valuations. Emerging markets struggled for the 12-month period ending March 31, 2023, declining 10.3%3 as China’s continued restrictive, zero-tolerance COVID policy remained highly disruptive to the region’s economy and markets.

Within U.S. equities, 8 out of 11 sectors posted negative returns for the 12-month period ended March 31, 2023. Energy was the best performing sector with gains of 13.6%4. In addition, consumer staples, a defensive sector, also gained 1.2%5 as investors sought safety amid rising uncertainty. The worst performing sectors for the 12-month period were real estate and consumer discretionary. Both sectors were impacted by higher costs due to rising interest rates and fell 19.7%6 and 19.6%7 respectively as of March 31, 2023.

Within equity styles, U.S. large cap value stocks posted negative absolute returns, but outperformed U.S. large cap growth stocks for the 12-month reporting period by 15.5%8. This was a reversal from the last decade where value style underperformed. Rising interest rates and lofty valuations drove underperformance of the growth segments during most of the reporting period. Across the capitalization spectrum, small cap stocks slightly underperformed large-cap stocks by 1.1%9.

Looking at broader asset class returns for the 12-month period ending March 31, 2023, commodities fell 12.5%10 as recession concerns weighed on future demand. Gold prices were nearly flat at 0.7%11 hurt by a rising U.S. dollar in the first half of the reporting period followed by strong gains in the second half as the debt ceiling uncertainty and a banking crisis in the US led to fears of a contagion and deeper recession. Real estate investment trusts (REITs) returned (19.4)%12 over the same period and were also hurt by rising interest rates.

Within fixed income, the U.S. bond market ended 2022 with its worst performance on record since the inception of the Bloomberg US Aggregate Bond Index as interest rates rose sharply after the Federal Reserve set out on a more aggressive path of monetary tightening in an effort to tame inflation. While bonds posted stronger returns in the first quarter of 2023, it was not enough to recover from the losses sustained in 2022. U.S. core bonds returned (4.8)% for the 12-month period ended March 31, 202313. Longer-term Treasuries, which have the greatest sensitivity to interest-rate changes, were the hardest hit and fell 16.0%14 for the same time period. High yield bonds (which carry less interest rate sensitivity) fell 3.3%15, surprisingly outperforming investment grade corporate bonds, despite recessionary fears hitting other risk assets. Finally, emerging market bonds struggled with weaker regional ecnomic growth, falling 4.6%16 for the 12-month period ended March 31, 2023.

Fund Review

Looking across the fund family, five of the 15 funds performed in line with or outperformed their benchmarks over the 12-month period.

Performance of the GuideMark Funds was mixed during the reporting period. The GuideMark Small/Mid Cap Fund outperformed its benchmark as all three factors (value, quality, momentum) contributed to the relative outperformance. The GuideMark Large Cap Core Fund underperformed its benchmark primarily as a result of its exposure to the value factor. Large cap growth significantly outperformed large cap value largely in the first quarter of 2023 as higher growth tech securities mounted a rally while value related financials experienced a dramatic sell off on the heels of Silicon Valley Bank falling into receivership. GuideMark World Ex-US Fund and GuideMark Emerging Markets Fund lagged its respective benchmark over the 12-month period due to its exposure to the momentum factor. The GuideMark Core Fixed Income Fund underperformed its benchmark due its

 


1    Source: Zephyr Style Advisor. US equities represented by S&P 500 Index.

 

2    Source: Zephyr Style Advisor. International developed market equities represented by MSCI EAFE Index USD.

 

3    Source: Zephyr Style Advisor. Emerging market equities represented by MSCI Emerging Markets Index.

 

4    Source: Zephyr Style Advisor. Energy represented by S&P 500 Sector Energy TR USD.

 

5    Source: Zephyr Style Advisor. Consumer Staples represented by S&P 500 Sector Consumer Staples TR USD.

 

6    Source: Zephyr Style Advisor. Real Estate represented by S&P 500 Sector Real Estate TR USD.

 

7    Source: Zephyr Style Advisor. Consumer Discretionary represented by S&P 500 Sector Consumer Discretionary TR USD.

 

8    Source: Zephyr Style Advisor. Large cap growth stocks represented by S&P 500 Growth Index and large cap value stocks represented by S&P 500 Value Index.

 

9    Source: Zephyr Style Advisor. Large cap stocks represented by S&P 500 Index and small cap stocks represented by S&P 600 Index.

 

10    Source: Zephyr Style Advisor. Commodities represented by Bloomberg Commodity Index.

 

11    Source: Zephyr Style Advisor. Gold represented by Bloomberg Gold Subindex.

 

12    Source: Zephyr Style Advisor. REITs represented by FTSE NAREIT All Equity REITs TR Index.

 

13    Source Zephyr Style Advisor. US core bonds represented by Bloomberg US Aggregate Bond Index.

 

14    Source: Zephyr Style Advisor. Long Treasuries represented by Bloomberg US Long Treasury Index.

 

15    Source: Zephyr Style Advisor. High yield bonds represented by Bloomberg US Corporate High Yield Bond Index.

 

16    Source: Zephyr Style Advisor. Emerging market bonds represented by Bloomberg Emerging Markets Aggregate Bond Index.

 

1


allocation to the securitized credit sector including non-agency residential mortgages and commercial mortgage-backed securities. Securitized credit fell under pressure during the period due partially to growing interest rate volatility.

The GuidePath Multi-Asset Income Allocation Fund outperformed its benchmark due to exposures to convertible bonds, short-term bonds and high yield bonds during the period. The GuidePath Managed Futures Strategy Fund outperformed its benchmark for the 12-month period largely due to its strong performance in the first half of the period. In particular, short positions in fixed income and long positioning in the U.S. dollar were primary contributors. The GuidePath Growth Allocation Fund, GuidePath Conservative Allocation Fund, GuidePath Absolute Return Allocation Fund and GuidePath Flexible Income Allocation Fund each underperformed their respective benchmarks, with exposure to global equities, and in particular growth-oriented equities, along with small cap equities, global REITs and long-term Treasuries within fixed income all weighing on returns for the period. The GuidePath Tactical Allocation Fund underperformed its benchmark due to its security selection in the Consumer Staples and Healthcare sectors. The Fund’s higher total equity positioning relative to its benchmark also detracted from performance during the period.

Of the three GuidePath income-focused funds, the GuidePath Conservative Income Fund outperformed its benchmark for the reporting period. The GuidePath Conservative Income Fund primarily benefited from an allocation to investment grade bonds that beat the modest returns of short-term Treasuries as the Federal Reserve raised interest rates sharply during the period. The GuidePath Growth and Income Fund slightly underperformed its benchmark for the period. The Fund’s put-write strategy modestly detracted from returns, as the collection of the option premiums was offset by increased market volatility. Exposure to master limited partnerships (MLPs) and dividend-oriented stocks lifted its returns for the period, as did the Fund’s volatility targeting component. The GuidePath Income Fund underperformed its benchmark for the period. The Fund’s allocation to preferred securities and high yield bonds were the primary detractors from returns during the period.

Looking Ahead

After several interest rate increases, the conventional wisdom holds that the economy is likely to enter a period of slowing. However, how much of that slowdown is already “priced” into current market levels? Getting that question wrong can be very costly to your investment returns. In our view, a sensible plan is to prepare for some ups and downs, and to follow a disciplined investment strategy.

Please contact your financial advisor to discuss any questions you may have about your investment strategy or changes in your financial goals. We thank you for including the Funds in your portfolio and appreciate the trust you have placed in us.

Sincerely,

 

LOGO

Carrie E. Hansen

Trustee, Chairperson and President of the Funds

Important Information

Past performance is no guarantee of future results and it is not possible to invest directly in any index.

The AssetMark platform provides fee-based investment advisory programs. Investors are advised to refer to the appropriate Disclosure Brochure, which can be obtained from your financial advisor, for a full description of services provided, including all applicable fees.

The prospectus includes additional information about the GuideMark and GuidePath Funds including investment objectives, risk factors, fees and charges as well as other important information that should be carefully read and considered before investing. You may obtain a prospectus by contacting your registered representative.

AssetMark, Inc. is an investment advisor registered with the Securities and Exchange Commission. The Principal Underwriter for the GuideMark and GuidePath Funds is AssetMark Brokerage®, LLC (AssetMark Brokerage), a member of the Financial Industry Regulatory Authority, Inc. AssetMark Brokerage is an affiliate of AssetMark, Inc. and shares its address. ©2023 AssetMark, Inc. All rights reserved.

Investment Terms

Market Capitalization or Market Cap refers to the total value of an issuer’s outstanding shares of stock. It is calculated by multiplying the price of a stock by its total number of outstanding shares.

Small Cap stocks generally refer to shares of companies with a market cap between $300 million and $2 billion.

Mid Cap stocks generally refer to shares of companies with a market cap between $2 billion and $10 billion.

Large Cap stocks generally refer to shares of companies with a market cap of $10 billion or greater.

Investment Factors:

Value refers to how attractively a stock is priced relative to its “fundamentals,” such as book value and free cash flow.

Momentum refers to whether a company’s share price is trending up or down.

Quality refers to profitability.

 

2


Volatility is a statistical measure of the dispersion of returns for a given security, market index or portfolio over a period of time. Low volatility means that the value of a security, market index or portfolio stays relatively stable. High volatility means that the value of a security, market index or portfolio experiences rapid increases and dramatic falls and may move erratically.

Inflation is the measure of average prices of a “basket” of consumer goods over time.

 

3


GuideMark Large Cap Core Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

RUSSELL 1000® INDEX – The Russell 1000® Index measures the performance of the large-cap segment of the U.S. equity universe. As of May 6, 2022, the market capitalization of the companies in the Russell 1000® Index ranged from $2.9 billion to $2.5 trillion.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

     Ten Year

     Since Inception(1)(2)

 

GuideMark Large Cap Core Fund(3)

                                  

Service Shares

     (8.81 )%      9.88      10.83      5.73

Institutional Shares

     (8.62 )%      10.39      11.41      10.30

Russell 1000® Index

     (8.39 )%      10.87      12.01      7.93

 

(1) 

Inception date is June 29, 2001 for Service Shares and April 29, 2011 for Institutional Shares.

 

(2) 

The return shown for the Russell 1000® Index is from the inception date of the Service Shares. The Russell 1000® Index return from the inception date of the Institutional Shares is 11.66%.

 

(3) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

4


GuideMark Large Cap Core Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (8.81)%, underperforming the Russell 1000 Index at (8.39)%.

 

 

As part of the Fund’s equal weighted three-factor investment approach, the Fund’s dedicated allocation to the value factor was the largest detractor for the period.

 

 

As a result of the Fund’s factor-based investment approach, security selection within communication services detracted from Fund performance.

 

 

The Fund’s dedicated allocation to the quality and momentum factors benefited Fund performance for the period.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Apple, Inc.     5.90
  2      Microsoft Corp.     4.97
  3      Vanguard S&P 500 ETF     3.24
  4      Amazon.com, Inc.     1.73
  5      NVIDIA Corp.     1.27
  6      Alphabet, Inc. – Class A     1.21
  7      Alphabet, Inc. – Class C     1.10
  8      UnitedHealth Group, Inc.     0.92
  9      Exxon Mobil Corp.     0.92
  10      Meta Platforms, Inc. – Class A     0.88

The Global Industry Classification Standard (“GICS®”) was developed by and/or is the exclusive property of MSCI, Inc. (“MSCI”) and Standard & Poor’s Financial Services LLC (“S&P”). GICS is a service mark of MSCI and S&P, and has been licensed for use by U.S. Bancorp Fund Services, LLC.

 

5


GuideMark Emerging Markets Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

MSCI EMERGING MARKETS INDEX – The MSCI Emerging Markets Index measures the equity market performance of countries considered to represent emerging markets. The emerging market country indices included are: Brazil, Chile, China, Colombia, Czech Republic, Egypt, Greece, Hungary, India, Indonesia, Korea, Kuwait, Malaysia, Mexico, Peru, Philippines, Poland, Qatar, Saudi Arabia, South Africa, Taiwan, Thailand, Turkey and the United Arab Emirates.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

    Ten Year

     Since Inception(1)

 

GuideMark Emerging Markets Fund(2)

                                 

Service Shares

     (11.05 )%      (1.75 )%      5.56      3.94

MSCI Emerging Markets Index

     (10.30 )%      (0.53 )%      2.37      8.18

 

(1) 

Inception date is June 29, 2001.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

6


GuideMark Emerging Markets Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (11.05)%, underperforming the MSCI Emerging Markets Index at (10.30)%.

 

 

As part of the Fund’s equal weighted three-factor investment approach, the Fund’s dedicated allocation to the momentum factor was the largest detractor for the period.

 

 

Exposure to emerging market equities, led by security selection in India, detracted from the Fund’s returns.

 

 

Fund performance benefited from an overweight allocation to Turkish financials equities, driven by the value factor.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Taiwan Semiconductor Manufacturing Co., Ltd.     6.37
  2      Tencent Holdings, Ltd.     4.28
  3      iShares MSCI Saudi Arabia ETF     3.98
  4      Samsung Electronics Co., Ltd.     3.50
  5      Alibaba Group Holdings, Ltd.     2.33
  6      iShares Core MSCI Emerging Markets ETF     1.95
  7      Meituan     0.87
  8      Vale SA     0.85
  9      Infosys, Ltd.     0.83
  10      Reliance Industries, Ltd.     0.82

 

7


GuideMark Small/Mid Cap Core Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

RUSSELL 2500TM INDEX – The Russell 2500TM Index measures the performance of the small- to mid-cap segment of the U.S. equity universe, commonly referred to as “smid” cap. It includes approximately 2,500 of the smallest securities based on a combination of their market cap and current index membership. As of May 6, 2022, the market capitalization of the companies in the Russell 2500TM Index ranged from $240 million to $16.9 billion.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

     Ten Year

     Since Inception(1)

 

GuideMark Small/Mid Cap Core Fund(2)

                                  

Service Shares

     (10.34 )%      7.26      8.83      7.43

Russell 2500TM Index

     (10.39 )%      6.65      9.07      8.45

 

(1) 

Inception date is June 29, 2001.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

8


GuideMark Small/Mid Cap Core Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (10.34) %, outperforming the Russell 2500 Index at (10.39)%.

 

 

As part of the Fund’s equal weighted three-factor investment approach, the Fund’s dedicated allocation to the momentum factor was the largest contributor to the Fund’s outperformance relative to the benchmark for the period, followed by the value and quality factors.

 

 

During the reporting period, the Fund’s relative performance benefited from security section in the industrials sector, driven by the value factor.

 

 

As a result of the Fund’s factor-based investment approach, security selection within the financials and energy sectors detracted from the Fund’s performance.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Vanguard Extended Market ETF     3.58
  2      Steel Dynamics, Inc.     0.44
  3      Builders FirstSource, Inc.     0.42
  4      Reliance Steel & Aluminum Co.     0.35
  5      Quanta Services, Inc.     0.30
  6      LPL Financial Holdings, Inc.     0.29
  7      Fair Isaac Corp.     0.28
  8      Deckers Outdoor Corp.     0.28
  9      United Therapeutics Corp.     0.27
  10      Croc’s, Inc.     0.27

 

9


GuideMark World ex-US Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

MSCI WORLD EX-USA INDEX – The MSCI World ex-USA Index captures large and mid-cap representation across 22 of 23 developed markets countries excluding the U.S. The developed market country indices included are: Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Hong Kong, Ireland, Israel, Italy, Japan, Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland and the United Kingdom.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

     Ten Year

     Since Inception(1)(2)

 

GuideMark World ex-US Fund(3)

                                  

Service Shares

     (2.71 )%      2.35      3.73      2.90

Institutional Shares(4)

     (2.18 )%      2.89      4.40      3.21

MSCI World ex-USA Index

     (2.19 )%      4.34      5.44      5.66

 

(1) 

Inception date is June 29, 2001 for Service Shares and April 29, 2011 for Institutional Shares.

 

(2) 

The return shown for the MSCI World ex-USA Index is from the inception date of the Service Shares. The MSCI World ex-USA Index return from the inception date of the Institutional Shares is 4.42%.

 

(3) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

(4) 

During the period August 3, 2017 through September 5, 2017, there were no Institutional Shares of the Fund outstanding. Performance information provided for the Institutional Shares during that period reflects the last calculated net asset value of the Institutional Shares on August 2, 2017, without any adjustments. Had there been Institutional Shares outstanding during the period August 3, 2017 through September 5, 2017, their annual returns would have been substantially similar to those of the Service Shares of the Fund because they would have been invested in the same portfolio securities, but would have differed to the extent that the classes have different expenses. Because the Service Shares have higher expenses than the Institutional Shares, the returns of the Service Shares would have been lower than the returns of the Institutional Shares during the same period.

 

10


GuideMark World ex-US Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (2.71)%, underperforming the MSCI World ex-USA Index at (2.19)%.

 

 

As part of the Fund’s equal weighted three-factor investment approach, the Fund’s dedicated allocations to the quality and momentum factors detracted from performance.

 

 

As a result of the Fund’s factor-based investment approach, security selection within the industrials sector detracted from Fund performance.

 

 

The Fund’s dedicated exposure to the value factor benefited performance.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      iShares MSCI EAFE ETF     2.40
  2      Novo Nordisk AS – Series B     1.65
  3      Nestle SA     1.35
  4      LVMH Moet Hennessy Louis Vuitton SE     1.26
  5      Shell PLC     1.09
  6      AstraZeneca PLC     1.06
  7      Roche Holdings AG     1.03
  8      ASML Holding NV     1.03
  9      Novartis AG     0.94
  10      Total SA     0.82

 

11


GuideMark Core Fixed Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

BLOOMBERG U.S. AGGREGATE BOND INDEX – The Bloomberg U.S. Aggregate Bond Index is a broad-based benchmark that measures the investment-grade, U.S. dollar-denominated, fixed-rate taxable bond market, including Treasuries, government-related and corporate debt securities, mortgage- and asset-backed securities. All securities contained in the Bloomberg U.S. Aggregate Bond Index have a minimum term to maturity of one year.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

     Ten Year

     Since Inception(1)

 

GuideMark Core Fixed Income Fund(2)

                                  

Service Shares

     (6.02 )%      0.33      0.62      2.90

Bloomberg U.S. Aggregate Bond Index

     (4.78 )%      0.91      1.36      3.66

 

(1) 

Inception date is June 29, 2001.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

12


GuideMark Core Fixed Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (6.02)%, underperforming the Bloomberg US Aggregate Bond Index at (4.78)%.

 

 

Exposure to the securitized credit sector, including residential mortgage-backed securities and commercial mortgage-backed securities, tempered returns for the period.

 

 

The Fund’s allocation to collateralized loan obligations also contributed to relative underperformance, as interest rates continued to rise over the period.

 

 

Security selection within investment grade corporate credit and an allocation to treasury inflation protected securities benefited performance.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Percentages expressed exclude derivative instruments, such as futures, options written and swap contracts.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Federal National Mortgage Association, 4.500%, 04/15/2041     6.39
  2      U.S. Treasury Note, 1.875%, 02/28/2029     2.81
  3      Federal National Mortgage Association, 5.500%, 04/15/2041     2.61
  4      U.S. Treasury Note, 2.00%, 11/15/2026     2.40
  5      Federal Home Loan Mortgage Corp., 2.000%, 01/01/2052     2.37
  6      Federal National Mortgage Association, 5.000%, 04/15/2041     1.93
  7      Federal National Mortgage Association, 1.500%, 04/15/2036     1.70
  8      U.S. Treasury Bond, 3.125%, 02/15/2043     1.49
  9      Government National Mortgage Association, 2.000%, 04/15/2051     1.35
  10      Government National Mortgage Association, 3.000%, 04/15/2045     1.34

 

13


GuidePath Growth Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

S&P® TARGET RISK AGGRESSIVE INDEX – The S&P® Target Risk Aggressive Index is designed to measure the performance of an investment benchmark strategy which seeks to emphasize exposure to equity securities, maximizing opportunities for long-term capital accumulation, while also allocating a portion of exposure to fixed income to enhance portfolio efficiency.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31  
     One Year

    Five Year

     Ten Year

     Since Inception(1)(2)

 

GuidePath Growth Allocation Fund(3)

                                  

Service Shares

     (9.69 )%      6.25      6.76      6.04

Institutional Shares

     (9.75 )%      6.70      7.31      7.67

S&P® Target Risk Aggressive Index

     (5.56 )%      6.12      7.76      7.51

 

(1) 

Inception date is April 29, 2011 for Service Shares and September 13, 2012 for Institutional Shares.

 

(2) 

The return shown for the S&P® Target Risk Aggressive Index is annualized from the inception date of the Service Shares. The S&P® Target Risk Aggressive Index average annual return from the inception date of the Institutional Shares is 8.11%.

 

(3) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

14


GuidePath Growth Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (9.69)%, underperforming the S&P Target Risk Aggressive Index at (5.56)%.

 

 

The Fund’s tilt towards large cap growth stocks hurt performance, as rising interest rates and lofty valuations put pressure on the growth segments during most of the period. Exposure to US equities and emerging market equites also detracted from performance.

 

 

Exposure to global small cap equities detracted as small cap equities slightly underperformed large cap equities for the period.

 

 

Exposure to large cap value and a small allocation to Swiss equity added to performance.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Vanguard S&P 500 ETF     17.87
  2      Vanguard FTSE Developed Markets ETF     10.31
  3      Schwab U.S. Large-Cap Growth ETF     6.22
  4      American Funds – The Growth Fund of America – Class F3     6.21
  5      iShares Core MSCI Emerging Markets ETF     5.82
  6      Vanguard Russell 1000 Growth ETF     4.97
  7      AMCAP Fund – Class F3     4.96
  8      American Funds – Fundamental Investors – Class F3     4.94
  9      Schwab U.S. Large-Cap ETF     4.92
  10      iShares Core S&P Small-Cap ETF     4.45

 

15


GuidePath Conservative Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

S&P® TARGET RISK CONSERVATIVE INDEX – The S&P® Target Risk Conservative Index seeks to emphasize exposure to fixed income securities in order to produce a current income stream and avoid excessive volatility of returns. Equity securities are included to protect long-term purchasing power.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

     Ten Year

     Since Inception(1)(2)

 

GuidePath Conservative Allocation Fund(3)

                                  

Service Shares

     (5.40 )%      3.77      3.85      3.78

Institutional Shares

     (4.97 )%      4.31      4.43      4.80

S&P® Target Risk Conservative Index

     (4.65 )%      3.20      3.84      4.06

 

(1) 

Inception date is April 29, 2011 for Service Shares and September 13, 2012 for Institutional Shares.

 

(2) 

The return shown for the S&P® Target Risk Conservative Index is annualized from the inception date of the Service Shares. The S&P® Target Risk Conservative Index average annual return from the inception date of the Institutional Shares is 3.93%.

 

(3) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

16


GuidePath Conservative Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (5.40)%, underperforming the S&P Target Risk Conservative Index at (4.65)%.

 

 

Exposure to US equities, global real estate investment trusts (REITs), investment grade credit, and long-term Treasuries detracted from returns.

 

 

Exposure to high yield bonds, short-term Treasuries, and core bonds within fixed income and a small allocation to gold within commodities added to performance.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Vanguard High-Yield Corporate Fund – Admiral Shares     8.45
  2      WisdonTree Floating Rate Treasury Fund     8.32
  3      Vanguard S&P 500 ETF     5.10
  4      iShares Core Aggressive Allocation ETF     4.72
  5      American Funds – The Income Fund of America – Class F3     4.70
  6      American Funds – Capital Income Builder – Class F3     4.69
  7      Vanguard Value ETF     4.11
  8      iShares Core Growth Allocation ETF     4.01
  9      American Funds – Multi-Sector Income Fund – Class F3     3.96
  10      American Funds – The Bond Fund of America – Class F3     3.94

 

17


GuidePath Tactical Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

S&P 500® DAILY RISK CONTROL 10% INDEX – The S&P 500® Daily Risk Control 10% Index represents a portfolio of the S&P 500® Low Volatility Index plus an interest accruing cash component. The index is dynamically rebalanced to target a 10% level of volatility. Volatility is calculated as a function of historical returns.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

     Ten Year

     Since Inception(1)(2)

 

GuidePath Tactical Allocation Fund(3)

                                  

Service Shares

     (2.90 )%      5.12      4.71      4.33

Institutional Shares

     (2.56 )%      5.65      5.28      5.69

S&P 500® Daily Risk Control 10% Index

     (1.81 )%      5.61      8.11      7.35

 

(1) 

Inception date is April 29, 2011 for Service Shares and September 13, 2012 for Institutional Shares.

 

(2) 

The return shown for the S&P 500® Daily Risk Control 10% Index is annualized from the inception date of the Service Shares. The S&P 500® Daily Risk Control 10% Index average annual return from the inception date of the Institutional Shares is 8.35%.

 

(3) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

18


GuidePath Tactical Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (2.90)%, underperforming the S&P 500 Daily Risk Control Index at (1.81)%.

 

 

Overweight equity positioning relative to the benchmark during the period detracted from returns.

 

 

Security selection within the consumer staples, healthcare and communication services sectors detracted from returns.

 

 

Security selection within the financials and industrials sectors added to returns, as did an underweight allocation to the consumer discretionary sector.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Apple, Inc.     3.64
  2      Microsoft Corp.     3.56
  3      Procter & Gamble Co.     3.22
  4      Builders FirstSource, Inc.     3.19
  5      Hartford Financials Services Group, Inc.     3.08
  6      Expeditors International of Washington, Inc.     2.91
  7      Knight-Swift Transportation Holdings, Inc. – Class A     2.89
  8      Aflac, Inc.     2.82
  9      NRG Energy, Inc.     2.80
  10      Pfizer, Inc.     2.65

 

19


GuidePath Absolute Return Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

FTSE 3-MONTH TREASURY BILL INDEX – The FTSE 3-Month Treasury Bill Index tracks the performance of U.S. Treasury Bills with a remaining maturity of three months.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Year

     Ten Year

     Since Inception(1)(2)

 

GuidePath Absolute Return Allocation Fund(3)

                                  

Service Shares

     (4.57 )%      0.42      1.49      1.56

Institutional Shares

     (4.22 )%      0.92      2.06      2.10

FTSE 3-Month Treasury Bill Index

     2.61     1.40      0.85      0.73

 

(1) 

Inception date is April 29, 2011 for Service Shares and September 13, 2012 for Institutional Shares.

 

(2) 

The return shown for the FTSE 3-Month Treasury Bill Index is annualized from the inception date of the Service Shares. The FTSE 3-Month Treasury Bill Index average annual return from the inception date of the Institutional Shares is 0.81%.

 

(3) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

20


GuidePath Absolute Return Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (4.57)%, underperforming the FTSE 3-Month Treasury Bill Index at 2.61%.

 

 

Positioning in high yield, mortgage-backed securities, core fixed income, emerging market government bonds, long-term Treasuries, and global equities detracted from the Fund’s performance.

 

 

Exposure to investment grade bonds and floating rate notes added to Fund returns for the period.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Vanguard Mortgage-Backed Securities ETF     12.77
  2      Vanguard High-Yield Corporate Fund – Admiral Shares     12.62
  3      DoubleLine Total Return Bond Fund – Institutional Shares     10.29
  4      Vanguard Emerging Markets Government Bond ETF     7.33
  5      BlackRock Low Duration Bond Portfolio – Insitutional Shares     7.21
  6      DoubleLine Low Duration Bond Fund – Institutional Shares     7.16
  7      Vanguard Intermediate-Term Corporate Bond ETF     5.57
  8      iShares 7-10 Year Treasury Bond ETF     5.10
  9      T. Rowe Price Institutional Floating Rate Fund – Investor Shares     4.92
  10      ProShares Investment Grade-Interest Rate Hedged ETF     4.90

 

21


GuidePath Multi-Asset Income Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

MORNINGSTAR MULTI-ASSET HIGH INCOME INDEX – The Morningstar Multi-Asset High Income Index is a broadly diversified index that seeks to deliver high current income while maintaining long-term capital appreciation.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Years

    Ten Years

     Since Inception(1)

 

GuidePath Multi-Asset Income Allocation Fund(2)

                                 

Service Shares

     (6.92 )%      2.34     2.98      3.52

Morningstar Multi-Asset High Income Index

     (9.00 )%      (0.34 )%      1.75      2.10

 

(1) 

Inception date is August 31, 2012.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

22


GuidePath Multi-Asset Income Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (6.92)%, outperforming the Morningstar Multi-Asset High Income Index at (9.00)%.

 

 

Convertible bonds, short-term bonds and high-yield bonds contributed positively to the Fund’s relative performance during the period. The Fund’s allocation to floating rate bonds exposure also added to returns.

 

 

Exposure to global dividend equities, global real estate investment trusts (REITs), long-term Treasuries, and long-term corporate bonds detracted from returns for the period.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Vanguard High-Yield Corporate Fund – Admiral Shares     11.29
  2      iShares Emerging Markets Dividend ETF     6.04
  3      Vanguard High Dividend Yield ETF     5.57
  4      Schwab US Dividend Equity ETF     5.54
  5      iShares 0-5 Year High Yield Corporate Bond ETF     5.29
  6      Loomis Sayles Global Allocation Fund – Class Y     5.13
  7      Global X US Preferred ETF     5.13
  8      iShares International Select Dividend ETF     4.69
  9      WisdomTree U.S. Large Cap Dividend Fund     4.62
  10      iShares Select Dividend ETF     4.44

 

23


GuidePath Flexible Income Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on March 31, 2013. Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

BLOOMBERG U.S. AGGREGATE BOND INDEX – The Bloomberg U.S. Aggregate Bond Index is a broad-based benchmark that measures the investment-grade, U.S. dollar-denominated, fixed-rate taxable bond market, including Treasuries, government-related and corporate debt securities, mortgage- and asset-backed securities. All securities contained in the Bloomberg U.S. Aggregate Bond Index have a minimum term to maturity of one year.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Five Years

     Ten Years

     Since Inception(1)(2)

 

GuidePath Flexible Income Allocation Fund(3)

                                  

Service Shares

     (7.27 )%      1.84      1.63      1.59

Institutional Shares

     (6.93 )%      2.35      2.25      2.22

Bloomberg U.S. Aggregate Bond Index

     (4.78 )%      0.91      1.36      1.31

 

(1) 

Inception date is August 31, 2012 for Service Shares and September 13, 2012 for Institutional Shares.

 

(2) 

The return shown for the Bloomberg U.S. Aggregate Bond Index is from the inception date of the Service Shares. The Bloomberg U.S. Aggregate Bond Index return from the inception date of the Institutional Shares is 1.35%.

 

(3) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

24


GuidePath Flexible Income Allocation Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned (7.27)%, underperforming the Bloomberg US Aggregate Bond Index at (4.78)%.

 

 

Positioning in long and intermediate-term Treasuries, high yield bonds, and mortgage-backed securities drove underperformance relative to the benchmark. Global technology equities exposure also detracted from Fund performance for the period.

 

 

Small allocations to the US dollar and to the US home construction and semi-conductor sectors within equities contributed positively to performance. Exposure to short-term Treasuries and senior loans within fixed income also added to returns.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Vanguard Long-Term Treasury ETF     16.12
  2      SPDR Portfolio Short Term Treasury ETF     14.52
  3      iShares 7-10 Year Treasury Bond ETF     7.88
  4      Schwab Intermediate-Term U.S. Treasury ETF     7.86
  5      SPDR Portfolio Intermediate Term Treasury ETF     7.86
  6      Vanguard Intermediate-Term Treasury ETF     5.70
  7      iShares iBoxx $ Investment Grade Corporate Bond ETF     5.09
  8      Vanguard Emerging Markets Government Bond ETF     4.85
  9      iShares U.S. Home Construction ETF     3.41
  10      iShares MSCI Kokusai ETF     3.39

 

25


GuidePath Managed Futures Strategy Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on January 19, 2016 (commencement of the Fund’s operations). Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

FTSE 3-MONTH TREASURY BILL INDEX – The FTSE 3-Month Treasury Bill Index tracks the performance of U.S. Treasury Bills with a remaining maturity of three months.

SG TREND INDEX – The SG Trend Index is designed to track the 10 largest (by AUM) trend following commodity trading advisors and be representative of the trend followers in the managed futures space. Managers must meet the following criteria: must be open to new investment, must report returns on a daily basis, must be an industry recognized trend follower as determined at the discretion of the SG Index Committee, and must exhibit significant correlation to trend following peers and the SG Trend Indicator. Currently, one of the ten managers whose performance is tracked by the SG Trend Index is AlphaSimplex Group LLC, sub-advisor to the GuidePath Managed Futures Strategy Fund.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

     Five Year

     Since Inception(1)

 

GuidePath Managed Futures Strategy Fund(2)

                          

Service Shares

     5.00      7.51      3.16

Institutional Shares

     5.81      8.13      3.76

FTSE 3-Month Treasury Bill Index

     2.61      1.40      1.17

SG Trend Index

     0.35      7.41      3.15

 

(1) 

Inception date is January 19, 2016 for Service Shares and Institutional Shares.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

26


GuidePath Managed Futures Strategy Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund’s Service Shares returned 5.00%, outperforming the SG Trend Index at 0.35%.

 

 

Most of the Fund’s outperformance occurred during the second quarter of 2022 due to short positions to global fixed income and long positions to the US dollar. The Fund’s use of forwards and futures to implement its strategy had a positive impact on performance.

 

 

Long energy positions contributed positively to Fund performance, while long agriculture and metals positions detracted from returns.

 

 

The Fund’s equity positioning, specifically long positions to global markets, detracted from returns.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio.

Percentages expressed exclude derivative instruments, such as futures and forward currency contracts.

Top Ten Holdings

 

Rank    Security/Holding   % of Net
Assets
The GuidePath Managed Futures Strategy Fund did not hold any long term investments as of March 31, 2023.

 

27


GuidePath Conservative Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on April 30, 2018 (commencement of the Fund’s operations). Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

BLOOMBERG U.S. Treasury 1-3 YEAR BOND INDEX – The Bloomberg U.S. Treasury 1-3 Year Bond Index measures the performance of the US government bond market and includes public obligations of the U.S. Treasury with a maturity between 1 and up to (but not including) 3 years. Certain special issues, such as state and local government series bonds (SLGs), as well as U.S. Treasury TIPS, are excluded. Separate trading of registered interest and principal securities (STRIPS) are excluded from the Index because their inclusion would result in double-counting.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

     Since Inception(1)

 

GuidePath Conservative Income Fund(2)

                 

Shares

     0.71      0.51

Bloomberg U.S. Treasury 1-3 Year Bond Index

     0.23      1.15

 

(1) 

Inception date for the Fund is April 30, 2018.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

28


GuidePath Conservative Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund returned 0.71%, outperforming the Bloomberg US Treasury 1-3 Year Bond Index at 0.23%.

 

 

The Fund’s allocation to investment grade bonds benefitted returns for the period.

 

 

A target allocation of 50% to cash equivalents also contributed to relative Fund performance, as interest rates rose during the period.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      SPDR Bloomberg Investment Grade Floating Rate ETF     21.01
  2      iShares 0-5 Year Investment Grade Corporate Bond ETF     8.46
  3      iShares 0-5 Year High Yield Corporate Bond ETF     6.33
  4      Invesco Senior Loan ETF     6.29

 

29


GuidePath Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on April 30, 2018 (commencement of the Fund’s operations). Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

BLOOMBERG U.S. AGGREGATE BOND INDEX – The Bloomberg U.S. Aggregate Bond Index is a broad-based benchmark that measures the investment-grade, U.S. dollar-denominated, fixed-rate taxable bond market, including Treasuries, government-related and corporate debt securities, mortgage- and asset-backed securities. All securities contained in the Bloomberg U.S. Aggregate Bond Index have a minimum term to maturity of one year.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Since Inception(1)

 

GuidePath Income Fund(2)

                

Shares

     (6.21 )%      (1.22 )% 

Bloomberg U.S. Aggregate Bond Index

     (4.78 )%      1.07

 

(1) 

Inception date for the Fund is April 30, 2018.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

30


GuidePath Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund returned (6.21)%, underperforming the Bloomberg US Aggregate Bond Index at (4.78)%.

 

 

Exposure to preferred securities and high yield bonds were the primary detractors from Fund returns during the period.

 

 

Exposure to longer dated investment grade bonds detracted from returns as the Federal Reserve continued to raise interest rates during the period.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Schwab Intermediate-Term U.S. Treasury ETF     36.83
  2      iShares Core U.S. Aggregate Bond ETF     35.98
  3      VanEck Vectors Emerging Markets High Yield Bond ETF     14.01
  4      iShares J.P. Morgan USD Emerging Markets Bond ETF     10.72

 

31


GuidePath Growth and Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Unaudited)


 

TOTAL RETURN BASED ON A $10,000 INVESTMENT

 

LOGO

This chart assumes an initial gross investment of $10,000 made on April 30, 2018 (commencement of the Fund’s operations). Returns shown include the reinvestment of all dividends. Returns shown do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares. In the absence of fee waivers and reimbursements, when they are necessary to keep expenses at the expense cap, total return would be reduced. Past performance is not predictive of future performance. Investment return and principal value will fluctuate so that your shares, when redeemed, may be worth more or less than the original cost. Index returns do not reflect the effects of fees or expenses. It is not possible to invest directly in an index.

MSCI USA HIGH DIVIDEND YIELD INDEX – The MSCI USA High Dividend Yield Index is based on the MSCI USA Index, its parent index, and includes large and mid cap stocks. The index is designed to reflect the performance of equities in the parent index (excluding REITs) with higher dividend income and quality characteristics than average dividend yields that are both sustainable and persistent. The index also applies quality screens and reviews 12-month past performance to omit stocks with potentially deteriorating fundamentals that could force them to cut or reduce dividends.

 

AVERAGE ANNUAL TOTAL RETURN (for periods ended March 31)  
     One Year

    Since Inception(1)

 

GuidePath Growth and Income Fund(2)

                

Shares

     (3.03 )%      5.27

MSCI USA High Dividend Yield Index

     (2.99 )%      7.92

 

(1) 

Inception date for the Fund is April 30, 2018.

 

(2) 

The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

 

32


GuidePath Growth and Income Fund

MANAGER’S DISCUSSION OF FUND PERFORMANCE (Continued) (Unaudited)


 

 

For the 12 months ended March 31, 2023, the Fund returned (3.03)%, slightly underperforming the MSCI USA High Dividend Yield Index at (2.99)%.

 

 

The Fund’s put-write strategy was a slight detractor from performance as the collection of the option premiums was offset by increased market volatility.

 

 

Exposure to MLPs and dividend-oriented stocks contributed positively to Fund returns as energy prices rose in the latter half of the period.

 

 

The Fund’s volatility targeting component benefited returns as volatility remained high throughout the period.

Components of Portfolio Holdings*

 

LOGO

* Pie chart represents percentages of total portfolio, less investments purchased with proceeds from securities lending collateral.

Percentages expressed exclude derivative instruments, such as futures and options written.

Top Ten Holdings

 

Rank      Security/Holding   % of Net
Assets
 
  1      Schwab U.S. Large-Cap ETF     18.37
  2      Vanguard International High Dividend Yield ETF     8.39
  3      Global X MLP ETF     7.63
  4      AbbVie, Inc.     1.31
  5      Procter & Gamble, Co.     1.27
  6      Home Depot, Inc.     1.23
  7      Johnson & Johnson     1.23
  8      Merck & Co., Inc.     1.17
  9      Coca-Cola Co.     1.16
  10      PepsiCo, Inc.     1.15

 

33


GuideMark Funds & GuidePath Funds

EXPENSE EXAMPLE (Unaudited)

March 31, 2023


 

As a shareholder of the GuideMark & GuidePath Funds (the “Funds”), you incur ongoing costs, including management fees, service fees, and other Fund expenses. The Expense Example shown in this section 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 Expense Examples are based on an investment of $1,000 invested at the beginning of a six-month period and held for the entire period, which for all Funds is from October 1, 2022 to March 31, 2023, except as otherwise noted below.

Actual Expenses

The first line of the Expense Example table 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 entitled “Expenses Paid During Period” to estimate the expenses you paid on your account during this period.

The example includes, but is not limited to, management fees, shareholder servicing fees, fund accounting fees, custody fees and transfer agent fees. However, the example below does not include portfolio trading commissions and related expenses, and other extraordinary expenses as determined under U.S. generally accepted accounting principles. To the extent that a Fund invests in shares of other investment companies as part of its investment strategy, you will indirectly bear your proportionate share of any fees and expenses charged by the underlying funds in which a Fund invests in addition to the expenses of the Fund. Actual expenses of the underlying funds are expected to vary among the various underlying funds. These expenses are not included in the example below.

Hypothetical Example for Comparison Purposes

The second line of the table below provides information about hypothetical account values and hypothetical expenses based on each Fund’s actual expenses ratios and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. 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 the Funds and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

 

Fund         Beginning
Account Value
October 1, 2022
     Ending
Account Value
March 31, 2023
     Annualized
Expense Ratio1
based on the  period
October 1, 2022 –
March 31, 2023
    

Expenses Paid
During Period2
October 1,  2022 –

March 31, 2023

 
INSTITUTIONAL SHARES                                         

GuideMark Large Cap

Core Fund

   Actual    $ 1,000.00      $ 1,148.90        0.43%      $ 2.30  
   Hypothetical3    $ 1,000.00      $ 1,022.79        0.43%      $ 2.17  

GuideMark World

ex-US Fund

   Actual    $ 1,000.00      $ 1,263.10        0.79%      $ 4.46  
   Hypothetical3    $ 1,000.00      $ 1,020.99        0.79%      $ 3.98  

GuidePath Growth

Allocation Fund

   Actual    $ 1,000.00      $ 1,160.00        0.30%      $ 1.62  
   Hypothetical3    $ 1,000.00      $ 1,023.44        0.30%      $ 1.51  

GuidePath Conservative

Allocation Fund

   Actual    $ 1,000.00      $ 1,104.30        0.18%      $ 0.94  
   Hypothetical3    $ 1,000.00      $ 1,024.03        0.18%      $ 0.91  

GuidePath Tactical

Allocation Fund

   Actual    $ 1,000.00      $ 1,066.70        0.45%      $ 2.32  
   Hypothetical3    $ 1,000.00      $ 1,022.69        0.45%      $ 2.27  

GuidePath Absolute Return

Allocation Fund

   Actual    $ 1,000.00      $ 1,045.70        0.30%      $ 1.53  
   Hypothetical3    $ 1,000.00      $ 1,023.44        0.30%      $ 1.51  

GuidePath Flexible Income

Allocation Fund

   Actual    $ 1,000.00      $ 1,033.60        0.27%      $ 1.37  
   Hypothetical3    $ 1,000.00      $ 1,023.59        0.27%      $ 1.36  

GuidePath Managed Futures

Strategy Fund

   Actual    $ 1,000.00      $ 839.80        1.21%      $ 5.55  
   Hypothetical3    $ 1,000.00      $ 1,018.90        1.21%      $ 6.09  
1 

The expense ratio excludes the securities lending credit.

 

2 

Expenses (net of waivers, if applicable) are equal to the Fund’s annualized expense ratio, multiplied by the average account value over the period, multiplied by 182/365 to reflect the one-half year period.

 

3 

5% annualized return before expenses.

 

34


GuideMark Funds & GuidePath Funds

EXPENSE EXAMPLE (Continued) (Unaudited)

March 31, 2023


 

Fund         Beginning
Account Value
October 1, 2022
     Ending
Account Value
March 31, 2023
     Annualized
Expense Ratio1
based on the  period
October 1, 2022 –
March 31, 2023
    

Expenses Paid
During Period2
October 1,  2022 –

March 31, 2023

 
SINGLE CLASS SHARES                                         

GuidePath Conservative

Income Fund

   Actual    $ 1,000.00      $ 1,018.70        0.78%      $ 3.93  
   Hypothetical3    $ 1,000.00      $ 1,021.04        0.78%      $ 3.93  
GuidePath Income Fund    Actual    $ 1,000.00      $ 1,034.60        0.85%      $ 4.31  
   Hypothetical3    $ 1,000.00      $ 1,020.69        0.85%      $ 4.28  

GuidePath Growth and

Income Fund

   Actual    $ 1,000.00      $ 1,097.80        1.05%      $ 5.49  
   Hypothetical3    $ 1,000.00      $ 1,019.70        1.05%      $ 5.29  
1 

The expense ratio excludes the securities lending credit.

 

2 

Expenses (net of waivers, if applicable) are equal to the Fund’s annualized expense ratio, multiplied by the average account value over the period, multiplied by 182/365 to reflect the one-half year period.

 

3 

5% annualized return before expenses.

 

Fund         Beginning
Account Value
October 1, 2022
     Ending
Account Value
March 31, 2023
     Annualized
Expense Ratio1
based on the  period
October 1, 2022 –
March 31, 2023
    

Expenses Paid
During Period2
October 1,  2022 –

March 31, 2023

 
SERVICE SHARES                                         

GuideMark Large Cap

Core Fund

   Actual    $ 1,000.00      $ 1,146.50        0.90%      $ 4.82  
   Hypothetical3    $ 1,000.00      $ 1,020.44        0.90%      $ 4.53  

GuideMark Emerging

Markets Fund

   Actual    $ 1,000.00      $ 1,153.50        1.42%      $ 7.62  
   Hypothetical3    $ 1,000.00      $ 1,017.85        1.42%      $ 7.14  

GuideMark Small/Mid Cap

Core Fund

   Actual    $ 1,000.00      $ 1,118.30        1.17%      $ 6.18  
   Hypothetical3    $ 1,000.00      $ 1,019.10        1.17%      $ 5.89  

GuideMark World

ex-US Fund

   Actual    $ 1,000.00      $ 1,264.90        1.17%      $ 6.61  
   Hypothetical3    $ 1,000.00      $ 1,019.10        1.17%      $ 5.89  

GuideMark Core

Fixed Income Fund

   Actual    $ 1,000.00      $ 1,050.90        0.94%      $ 4.81  
   Hypothetical3    $ 1,000.00      $ 1,020.24        0.94%      $ 4.73  

GuidePath Growth

Allocation Fund

   Actual    $ 1,000.00      $ 1,157.80        0.68%      $ 3.66  
   Hypothetical3    $ 1,000.00      $ 1,021.54        0.68%      $ 3.43  

GuidePath Conservative

Allocation Fund

   Actual    $ 1,000.00      $ 1,102.40        0.53%      $ 2.78  
   Hypothetical3    $ 1,000.00      $ 1,022.29        0.53%      $ 2.67  

GuidePath Tactical

Allocation Fund

   Actual    $ 1,000.00      $ 1,064.90        0.80%      $ 4.12  
   Hypothetical3    $ 1,000.00      $ 1,020.94        0.80%      $ 4.03  

GuidePath Absolute Return

Allocation Fund

   Actual    $ 1,000.00      $ 1,043.90        0.64%      $ 3.26  
   Hypothetical3    $ 1,000.00      $ 1,021.74        0.64%      $ 3.23  

GuidePath Multi-Asset Income

Allocation Fund

   Actual    $ 1,000.00      $ 1,101.20        0.83%      $ 4.35  
   Hypothetical3    $ 1,000.00      $ 1,020.79        0.83%      $ 4.18  

GuidePath Flexible Income

Allocation Fund

   Actual    $ 1,000.00      $ 1,031.70        0.64%      $ 3.24  
   Hypothetical3    $ 1,000.00      $ 1,021.74        0.64%      $ 3.23  

GuidePath Managed Futures

Strategy Fund

   Actual    $ 1,000.00      $ 838.20        1.53%      $ 7.01  
   Hypothetical3    $ 1,000.00      $ 1,017.30        1.53%      $ 7.70  
1 

The expense ratio excludes the securities lending credit.

 

2 

Expenses are (net of waiver, if applicable) equal to the Fund’s annualized expense ratio, multiplied by the average account value over the period, multiplied by 182/365 to reflect the one-half year period.

 

3 

5% annualized return before expenses.

 

35


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS - 94.19%

 

       

Aerospace & Defense - 1.52%

 

  1,733    

Axon Enterprise, Inc. (a)

  $ 389,665  
  5,826    

BWX Technologies, Inc.

    367,271  
  2,687    

Curtiss-Wright Corp.

    473,611  
  4,640    

General Dynamics Corp.

    1,058,894  
  1,562    

HEICO Corp. - Class A

    212,276  
  2,740    

HEICO Corp. (b)

    468,650  
  7,193    

Hexcel Corp. (b)

    490,922  
  15,130    

Howmet Aerospace, Inc.

    641,058  
  1,434    

Huntington Ingalls Industries, Inc.

    296,867  
  1,241    

L3Harris Technologies, Inc.

    243,534  
  2,079    

Lockheed Martin Corp.

    982,806  
  1,458    

Northrop Grumman Corp.

    673,188  
  12,654    

Raytheon Technologies Corp.

    1,239,206  
  14,058    

Textron, Inc.

    992,916  
  1,756    

The Boeing Co. (a)

    373,027  
  467    

TransDigm Group, Inc.

    344,202  
           


              9,248,093  
           


       

Air Freight & Logistics - 0.35%

 

  7,207    

C.H. Robinson Worldwide, Inc. (b)

    716,160  
  1,289    

Expeditors International of Washington, Inc.

    141,945  
  2,843    

FedEx Corp.

    649,597  
  2,528    

United Parcel Service, Inc. - Class B (b)

    490,407  
  4,525    

XPO Logistics, Inc. (a)

    144,347  
           


              2,142,456  
           


       

Airlines - 0.11%

 

  15,681    

United Airlines Holdings, Inc. (a)

    693,884  
           


       

Auto Components - 0.24%

 

  14,541    

BorgWarner, Inc.

    714,108  
  5,363    

Lear Corp.

    748,085  
           


              1,462,193  
           


       

Automobiles - 1.15%

 

  6,050    

Harley-Davidson, Inc.

    229,718  
  24,996    

Tesla, Inc. (a)

    5,185,670  
  19,943    

Thor Industries, Inc. (b)

    1,588,261  
           


              7,003,649  
           


       

Banks - 1.95%

 

  45,952    

Bank of America Corp.

    1,314,227  
  2,038    

BOK Financial Corp.

    172,028  
  30,702    

Citigroup, Inc.

    1,439,617  
  6,939    

Citizens Financial Group, Inc. (b)

    210,737  
  5,054    

Comerica, Inc. (b)

    219,445  
  3,353    

Commerce Bancshares, Inc. (b)

    195,648  
  1,926    

Cullen Frost Bankers, Inc. (b)

    202,885  
  22,529    

F.N.B. Corp. (b)

    261,336  
  2,358    

Fifth Third Bancorp (b)

    62,817  
  8,593    

First Horizon National Corp.

    152,784  
  26,246    

JPMorgan Chase & Co.

    3,420,116  
  31,947    

KeyCorp (b)

    399,976  
  46,441    

PacWest Bancorp (b)

    451,871  
  5,790    

Popular, Inc. - ADR

    332,404  
  3,226    

Prosperity Bancshares, Inc.

    198,464  
  13,484    

Regions Financial Corp. (b)

    250,263  
  8,021    

Synovus Financial Corp.

    247,287  
  9,804    

Truist Financial Corp.

    334,316  
  2,578    

U.S. Bancorp (b)

    92,937  
  28,790    

Wells Fargo & Co.

    1,076,170  

Number of
Shares


       

Value


 
       

Bank (Continued)

 

  12,504    

Western Alliance Bancorp (b)

  $ 444,392  
  2,597    

Wintrust Financial Corp.

    189,451  
  5,360    

Zions Bancorporation (b)

    160,425  
           


              11,829,596  
           


       

Beverages - 1.41%

 

  1,634    

Boston Beer Co., Inc. - Class A (a)(b)

    537,096  
  3,643    

Brown-Forman Corp. - Class A

    237,487  
  2,684    

Brown-Forman Corp. - Class B

    172,501  
  1,364    

Constellation Brands, Inc. - Class A

    308,114  
  7,983    

Keurig Dr. Pepper, Inc. (b)

    281,640  
  23,419    

Molson Coors Brewing Co. - Class B (b)

    1,210,294  
  11,462    

Monster Beverage Corp. (a)

    619,063  
  17,481    

PepsiCo, Inc.

    3,186,786  
  32,099    

The Coca-Cola Co.

    1,991,101  
           


              8,544,082  
           


       

Biotechnology - 2.00%

 

  6,735    

Amgen, Inc.

    1,628,186  
  2,039    

Biogen, Inc. (a)

    566,903  
  2,514    

BioMarin Pharmaceutical, Inc. (a)

    244,461  
  37,670    

Exelixis, Inc. (a)

    731,175  
  17,824    

Gilead Sciences, Inc.

    1,478,857  
  10,362    

Incyte Corp. (a)(b)

    748,862  
  3,996    

Ionis Pharmaceuticals, Inc. (a)

    142,817  
  8,918    

Moderna, Inc. (a)

    1,369,627  
  3,133    

Neurocrine Biosciences, Inc. (a)

    317,122  
  1,545    

Regeneron Pharmaceuticals, Inc. (a)

    1,269,480  
  4,783    

Sarepta Therapeutics, Inc. (a)

    659,241  
  2,296    

Seagen, Inc. (a)

    464,871  
  4,060    

United Therapeutics Corp. (a)

    909,278  
  5,127    

Vertex Pharmaceuticals, Inc. (a)

    1,615,364  
           


              12,146,244  
           


       

Building Products - 1.11%

 

  4,380    

A. O. Smith Corp. (b)

    302,877  
  2,364    

Advanced Drainage Systems, Inc. (b)

    199,072  
  28,867    

Builders FirstSource, Inc. (a)

    2,562,812  
  5,412    

Johnson Controls International PLC - ADR

    325,911  
  1,985    

Lennox International, Inc. (b)

    498,791  
  9,739    

Masco Corp. (b)

    484,223  
  12,963    

Masterbrand, Inc. (a)

    104,222  
  15,547    

Owens Corning, Inc.

    1,489,403  
  1,772    

Trane Technologies PLC - ADR

    326,013  
  9,093    

Trex Co., Inc. (a)(b)

    442,556  
           


              6,735,880  
           


       

Capital Markets - 1.93%

 

  2,137    

Affiliated Managers Group, Inc.

    304,352  
  3,761    

Ameriprise Financial, Inc.

    1,152,746  
  5,046    

Ares Management Corp. - Class A (b)

    421,038  
  433    

BlackRock, Inc. (b)

    289,729  
  6,362    

Evercore, Inc. - Class A (b)

    734,048  
  1,497    

FactSet Research Systems, Inc.

    621,390  
  22,233    

Franklin Resources, Inc. (b)

    598,957  
  60,324    

Invesco, Ltd. - ADR

    989,314  
  21,031    

Janus Henderson Group PLC - ADR

    560,266  
  14,557    

Lazard, Ltd. - Class A - ADR

    481,982  
  3,658    

LPL Financial Holdings, Inc. (b)

    740,379  
  2,500    

Moody’s Corp.

    765,050  
  7,354    

Morgan Stanley

    645,681  
 

 

See notes to financial statements.

 

36


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Capital Markets (Continued)

 

  5,168    

NASDAQ OMX Group, Inc.

  $ 282,535  
  4,850    

Raymond James Financial, Inc.

    452,359  
  2,738    

SEI Investments Co.

    157,572  
  3,451    

State Street Corp.

    261,206  
  9,102    

Stifel Financial Corp. (b)

    537,837  
  2,206    

The Bank of New York Mellon Corp.

    100,241  
  9,301    

The Blackstone Group, Inc. (b)

    817,000  
  10,982    

The Carlyle Group, Inc. (b)

    341,101  
  9,361    

The Charles Schwab Corp.

    490,329  
           


              11,745,112  
           


       

Chemicals - 1.24%

 

  1,803    

Air Products & Chemicals, Inc.

    517,840  
  1,485    

Albemarle Corp. (b)

    328,244  
  3,330    

Ashland Global Holdings, Inc.

    342,024  
  7,063    

CF Industries Holdings, Inc.

    511,997  
  9,598    

Corteva, Inc.

    578,855  
  12,363    

Dow, Inc.

    677,740  
  24,495    

Huntsman Corp.

    670,183  
  2,495    

Linde Plc - ADR

    886,823  
  738    

NewMarket Corp.

    269,355  
  10,435    

Olin Corp.

    579,143  
  6,058    

RPM International, Inc.

    528,500  
  4,012    

The Chemours Co.

    120,119  
  13,635    

The Mosaic Co.

    625,574  
  7,601    

Westlake Chemical Corp.

    881,564  
           


              7,517,961  
           


       

Commercial Services & Supplies - 0.57%

 

  106,043    

ADT, Inc.

    766,691  
  677    

Avery Dennison Corp.

    121,135  
  2,738    

Cintas Corp.

    1,266,818  
  2,893    

Clean Harbors, Inc. (a)

    412,426  
  1,417    

Republic Services, Inc.

    191,607  
  18,949    

Rollins, Inc.

    711,156  
           


              3,469,833  
           


       

Communications Equipment - 1.39%

 

  5,464    

Arista Networks, Inc. (a)

    917,187  
  41,728    

Cisco Systems, Inc.

    2,181,331  
  2,096    

F5 Networks, Inc. (a)

    305,366  
  6,819    

Juniper Networks, Inc.

    234,710  
  4,743    

Lumentum Holdings, Inc. (a)

    256,170  
  2,864    

Motorola Solutions, Inc.

    819,476  
  4,311    

Palo Alto Networks, Inc. (a)

    861,079  
  14,898    

Qualcomm, Inc.

    1,900,687  
  3,562    

Ubiquiti, Inc. (b)

    967,760  
           


              8,443,766  
           


       

Construction & Engineering - 0.40%

 

  10,326    

AECOM

    870,688  
  2,388    

KBR, Inc.

    131,459  
  5,246    

MasTec, Inc. (a)(b)

    495,432  
  3,867    

Quanta Services, Inc.

    644,397  
  6,612    

WillScot Mobile Mini Holdings Corp. (a)

    309,971  
           


              2,451,947  
           


       

Consumer Finance - 1.28%

 

  56,139    

Ally Financial, Inc. (b)

    1,430,983  
  6,569    

American Express Co.

    1,083,557  
  13,562    

Capital One Financial Corp.

    1,304,122  

Number of
Shares


       

Value


 
       

Consumer Finance (Continued)

 

  710    

Credit Acceptance Corp. (a)(b)

  $ 309,588  
  6,753    

Discover Financial Services

    667,467  
  31,579    

OneMain Holdings, Inc. (b)

    1,170,949  
  1,909    

Shift4 Payments, Inc. - Class A (a)(b)

    144,702  
  33,642    

SLM Corp.

    416,824  
  42,282    

Synchrony Financial (b)

    1,229,561  
           


              7,757,753  
           


       

Containers & Packaging - 0.34%

 

  8,343    

Ardagh Group SA - ADR (a)(c)(d)(f)

    0  
  4,220    

Berry Global Group, Inc.

    248,558  
  19,574    

Graphic Packaging Holding Co.

    498,941  
  8,850    

Silgan Holdings, Inc.

    474,979  
  3,124    

Sonoco Products Co. (b)

    190,564  
  21,610    

WestRock Co.

    658,457  
           


              2,071,499  
           


       

Distributors - 0.31%

 

  5,638    

Genuine Parts Co.

    943,294  
  16,411    

LKQ Corp.

    931,488  
           


              1,874,782  
           


       

Diversified Consumer Services - 0.31%

 

  8,659    

Grand Canyon Education, Inc. (a)

    986,260  
  23,006    

H&R Block, Inc. (b)

    810,961  
  1,429    

Service Corp. International (b)

    98,287  
           


              1,895,508  
           


       

Diversified Financial Services - 0.45%

 

  6,074    

Apollo Global Management, Inc.

    383,634  
  23,931    

Equitable Holdings, Inc.

    607,608  
  36,405    

Jefferies Financial Group, Inc.

    1,155,495  
  8,526    

Voya Financial, Inc. (b)

    609,268  
           


              2,756,005  
           


       

Diversified Telecommunication Services - 0.53%

 

  60,189    

AT&T, Inc.

    1,158,638  
  518,918    

Lumen Technologies, Inc. (b)

    1,375,133  
  17,961    

Verizon Communications, Inc.

    698,503  
           


              3,232,274  
           


       

Electric Utilities - 0.98%

 

  5,290    

American Electric Power Co., Inc. (b)

    481,337  
  5,777    

Constellation Energy Corp.

    453,495  
  5,841    

Duke Energy Corp.

    563,481  
  5,954    

Edison International

    420,293  
  919    

Entergy Corp.

    99,013  
  794    

Eversource Energy

    62,138  
  11,163    

Exelon Corp.

    467,618  
  7,752    

FirstEnergy Corp.

    310,545  
  3,852    

Hawaiian Electric Industries, Inc.

    147,917  
  13,397    

NextEra Energy, Inc.

    1,032,641  
  9,054    

OGE Energy Corp. (b)

    340,974  
  38,518    

PG&E Corp. (a)

    622,836  
  9,698    

PPL Corp.

    269,507  
  7,509    

The Southern Co. (b)

    522,476  
  2,275    

Xcel Energy, Inc.

    153,426  
           


              5,947,697  
           


       

Electrical Equipment - 0.72%

 

  4,333    

Acuity Brands, Inc. (b)

    791,769  
  3,121    

Agilent Technologies, Inc.

    431,759  
  2,141    

AMETEK, Inc.

    311,152  
 

 

See notes to financial statements.

 

37


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Electrical Equipment (Continued)

 

  2,572    

Eaton Corp. PLC - ADR

  $ 440,686  
  1,822    

Emerson Electric Co.

    158,769  
  2,018    

Enphase Energy, Inc. (a)(b)

    424,345  
  2,389    

Hubbell, Inc. (b)

    581,268  
  12,151    

nVent Electric PLC - ADR

    521,764  
  1,387    

Regal Beloit Corp. (b)

    195,192  
  1,227    

Rockwell Automation, Inc. (b)

    360,063  
  3,228    

Sensata Technologies Holding PLC - ADR

    161,465  
           


              4,378,232  
           


       

Electronic Equipment, Instruments & Components - 0.56%

 

  7,464    

Amphenol Corp. - Class A

    609,958  
  2,930    

Avnet, Inc.

    132,436  
  1,445    

CDW Corp.

    281,616  
  2,128    

Cognex Corp. (b)

    105,443  
  3,043    

Dolby Laboratories, Inc. - Class A

    259,933  
  7,721    

Jabil, Inc. (b)

    680,683  
  3,529    

Keysight Technologies, Inc. (a)

    569,863  
  11,309    

National Instruments Corp.

    592,705  
  4,542    

Vontier Corp.

    124,178  
  229    

Zebra Technologies Corp. - Class A (a)(b)

    72,822  
           


              3,429,637  
           


       

Energy Equipment & Services - 0.16%

 

  4,495    

Halliburton Co.

    142,222  
  11,049    

NOV, Inc.

    204,517  
  12,574    

Schlumberger, Ltd. - ADR

    617,383  
           


              964,122  
           


       

Entertainment - 0.62%

 

  3,690    

Electronic Arts, Inc.

    444,460  
  2,211    

Liberty Media Corp. - Liberty Formula One - Class C (a)

    165,449  
  1,989    

Netflix, Inc. (a)

    687,160  
  40,582    

Playtika Holding Corp. (a)

    456,953  
  1,953    

Spotify Technology SA - ADR (a)

    260,960  
  71,740    

Warner Bros Discovery, Inc. (a)

    1,083,274  
  7,187    

World Wrestling Entertainment, Inc. - Class A (b)

    655,886  
           


              3,754,142  
           


       

Food & Staples Retailing - 2.43%

 

  44,128    

Albertsons Cos., Inc. - Class A

    916,980  
  6,956    

BJ’s Wholesale Club Holdings, Inc. (a)

    529,143  
  4,345    

Casey’s General Stores, Inc.

    940,519  
  5,759    

Costco Wholesale Corp.

    2,861,474  
  26,487    

CVS Health Corp.

    1,968,249  
  2,442    

Grocery Outlet Holding Corp. (a)(b)

    69,011  
  29,574    

Kroger Co.

    1,460,068  
  9,659    

Performance Food Group Co. (a)(b)

    582,824  
  13,672    

SYSCO Corp.

    1,055,889  
  22,726    

US Foods Holding Corp. (a)(b)

    839,499  
  20,219    

Walgreens Boots Alliance, Inc.

    699,173  
  19,254    

Walmart, Inc.

    2,839,002  
           


              14,761,831  
           


       

Food Products - 1.84%

 

  13,453    

Archer-Daniels-Midland Co.

    1,071,666  
  828    

Bunge, Ltd. - ADR

    79,091  
  9,731    

Campbell Soup Co. (b)

    535,010  
  13,114    

ConAgra Brands, Inc.

    492,562  

Number of
Shares


       

Value


 
       

Food Products (Continued)

 

  1,855    

Darling International, Inc. (a)(b)

  $ 108,332  
  28,315    

Flowers Foods, Inc. (b)

    776,114  
  11,926    

General Mills, Inc.

    1,019,196  
  1,729    

Hormel Foods Corp. (b)

    68,953  
  4,284    

Ingredion, Inc. (b)

    435,811  
  7,893    

Kellogg Co.

    528,515  
  6,551    

Lamb Weston Holdings, Inc.

    684,711  
  8,527    

Mondelez International, Inc. - Class A

    594,502  
  34,670    

Pilgrim’s Pride Corp. (a)(b)

    803,651  
  12,414    

Post Holdings, Inc. (a)(b)

    1,115,646  
  4,385    

The Hershey Co.

    1,115,588  
  3,750    

The J.M. Smucker Co.

    590,137  
  20,369    

The Kraft Heinz Co. (b)

    787,669  
  6,565    

Tyson Foods, Inc. - Class A

    389,436  
           


              11,196,590  
           


       

Gas Utilities - 0.33%

 

  1,150    

Atmos Energy Corp.

    129,214  
  22,796    

EQT Corp.

    727,420  
  6,556    

National Fuel Gas Co. (b)

    378,543  
  21,910    

UGI Corp. (b)

    761,592  
           


              1,996,769  
           


       

Health Care Equipment & Supplies - 1.15%

 

  1,637    

Align Technology, Inc. (a)

    546,987  
  9,096    

Boston Scientific Corp. (a)

    455,073  
  3,246    

Danaher Corp. (b)

    818,122  
  4,524    

Dentsply Sirona, Inc. (b)

    177,703  
  3,109    

DexCom, Inc. (a)

    361,204  
  8,629    

Edwards Lifesciences Corp. (a)

    713,877  
  5,153    

Globus Medical, Inc. - Class A (a)

    291,866  
  1,747    

Hologic, Inc. (a)

    140,983  
  1,836    

IDEXX Laboratories, Inc. (a)

    918,147  
  1,333    

Insulet Corp. (a)(b)

    425,174  
  1,142    

Intuitive Surgical, Inc. (a)

    291,747  
  1,026    

Novocure, Ltd. - ADR (a)

    61,704  
  753    

Penumbra, Inc. (a)(b)

    209,853  
  1,982    

ResMed, Inc.

    434,038  
  1,733    

Stryker Corp.

    494,719  
  4,022    

Tandem Diabetes Care, Inc. (a)(b)

    163,333  
  477    

West Pharmaceutical Services, Inc.

    165,266  
  2,425    

Zimmer Biomet Holdings, Inc.

    313,310  
           


              6,983,106  
           


       

Health Care Providers & Services - 3.23%

 

  6,809    

Acadia Healthcare Co., Inc. (a)(b)

    491,950  
  4,223    

Amedisys, Inc. (a)

    310,602  
  2,943    

AmerisourceBergen Corp.

    471,204  
  3,247    

Anthem, Inc.

    1,493,003  
  8,553    

Cardinal Health, Inc.

    645,752  
  24,052    

Centene Corp. (a)

    1,520,327  
  1,178    

Chemed Corp. (b)

    633,470  
  8,592    

Cigna Corp.

    2,195,514  
  895    

DaVita, Inc. (a)

    72,593  
  5,009    

Encompass Health Corp.

    270,987  
  27,567    

Enhabit, Inc. (a)

    383,457  
  2,409    

HCA Healthcare, Inc.

    635,205  
  7,263    

Henry Schein, Inc. (a)

    592,225  
  2,164    

Humana, Inc.

    1,050,535  
  2,082    

Laboratory Corp. of America Holdings

    477,652  
  2,444    

McKesson Corp.

    870,186  
 

 

See notes to financial statements.

 

38


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Health Care Providers & Services (Continued)

 

  856    

Molina Healthcare, Inc. (a)

  $ 228,971  
  6,032    

Oak Street Health, Inc. (a)

    233,318  
  1,510    

PerkinElmer, Inc.

    201,223  
  10,378    

Premier, Inc. - Class A

    335,936  
  2,505    

Quest Diagnostics, Inc.

    354,407  
  11,890    

UnitedHealth Group, Inc.

    5,619,095  
  4,520    

Universal Health Services, Inc. - Class B

    574,492  
           


              19,662,104  
           


       

Hotels, Restaurants & Leisure - 1.28%

 

  1,224    

Airbnb, Inc. - Class A (a)(b)

    152,266  
  15,155    

Aramark (b)

    542,549  
  5,739    

Boyd Gaming Corp.

    367,985  
  2,383    

Darden Restaurants, Inc. (b)

    369,746  
  2,309    

Domino’s Pizza, Inc.

    761,670  
  2,541    

Hyatt Hotels Corp. - Class A (a)(b)

    284,058  
  2,159    

Las Vegas Sands Corp. (a)

    124,034  
  1,742    

Marriott International, Inc. - Class A

    289,242  
  3,034    

Marriott Vacations Worldwide Corp.

    409,165  
  5,144    

McDonald’s Corp.

    1,438,314  
  11,590    

MGM Resorts International

    514,828  
  34,218    

Penn National Gaming, Inc. (a)(b)

    1,014,906  
  5,644    

Starbucks Corp.

    587,710  
  6,813    

Yum! Brands, Inc.

    899,861  
           


              7,756,334  
           


       

Household Durables - 0.79%

 

  2,785    

DR Horton, Inc. (b)

    272,067  
  901    

Garmin, Ltd. - ADR

    90,929  
  10,473    

Lennar Corp. - Class A

    1,100,817  
  10,454    

Lennar Corp. - Class B

    933,647  
  98    

NVR, Inc. (a)

    546,075  
  2,302    

PulteGroup, Inc.

    134,160  
  13,089    

Tempur Sealy International, Inc. (b)

    516,884  
  19,741    

Toll Brothers, Inc.

    1,185,052  
           


              4,779,631  
           


       

Household Products - 0.94%

 

  2,917    

Clorox Co. (b)

    461,586  
  13,377    

Colgate-Palmolive Co.

    1,005,281  
  2,245    

Kimberly-Clark Corp.

    301,324  
  26,426    

The Procter & Gamble Co.

    3,929,282  
           


              5,697,473  
           


       

Independent Power and Renewable Electricity Producers - 0.43%

 

  17,385    

AES Corp. (b)

    418,631  
  17,587    

Brookfield Renewable Corp. - Class A - ADR

    614,666  
  28,511    

NRG Energy, Inc. (b)

    977,642  
  25,147    

Vistra Energy Corp.

    603,528  
           


              2,614,467  
           


       

Industrial Conglomerates - 0.55%

 

  2,850    

3M Co.

    299,564  
  2,727    

Carlisle Companies, Inc.

    616,493  
  9,886    

General Electric Co. (b)

    945,102  
  4,839    

Honeywell International, Inc.

    924,830  
  147    

Seaboard Corp. (b)

    554,191  
           


              3,340,180  
           


Number of
Shares


       

Value


 
       

Insurance - 3.71%

 

  8,281    

Aflac, Inc.

  $ 534,290  
  2,958    

American Financial Group, Inc.

    359,397  
  25,785    

American International Group, Inc.

    1,298,533  
  1,788    

Aon PLC - Class A - ADR

    563,738  
  8,628    

Arch Capital Group, Ltd. - ADR (a)

    585,582  
  3,800    

Arthur J. Gallagher & Co.

    726,978  
  6,608    

Assured Guaranty, Ltd. - ADR

    332,184  
  5,972    

Axis Capital Holdings, Ltd. - ADR

    325,593  
  14,508    

Berkshire Hathaway, Inc. - Class B (a)

    4,479,635  
  16,369    

Brighthouse Financial, Inc. (a)(b)

    722,037  
  2,932    

Chubb, Ltd. - ADR

    569,336  
  1,436    

Cincinnati Financial Corp.

    160,947  
  8,141    

CNA Financial Corp.

    317,743  
  2,299    

Erie Indemnity Co. - Class A (b)

    532,586  
  1,230    

Everest Re Group, Ltd. - ADR

    440,365  
  9,656    

F&G Annuities & Life, Inc.

    174,967  
  20,402    

Fidelity National Financial, Inc.

    712,642  
  3,785    

Globe Life, Inc. (b)

    416,426  
  4,677    

Hartford Financial Services Group, Inc.

    325,940  
  5,876    

Loews Corp.

    340,925  
  8,724    

Marsh & McLennan Cos., Inc.

    1,452,982  
  11,741    

MetLife, Inc. (b)

    680,274  
  25,640    

Old Republic International Corp. (b)

    640,231  
  1,333    

Primerica, Inc.

    229,596  
  11,154    

Principal Financial Group, Inc. (b)

    828,965  
  3,297    

Reinsurance Group of America, Inc.

    437,710  
  997    

RenaissanceRe Holdings, Ltd. - ADR

    199,739  
  6,185    

Ryan Specialty Holdings, Inc. (a)(b)

    248,884  
  3,637    

The Allstate Corp.

    403,016  
  5,934    

The Progressive Corp.

    848,918  
  1,983    

The Travelers Cos., Inc.

    339,906  
  30,546    

Unum Group

    1,208,400  
  6,600    

W.R. Berkley Corp.

    410,916  
  328    

White Mountains Insurance Group, Ltd. - ADR

    451,817  
  1,184    

Willis Towers Watson PLC - ADR

    275,138  
           


              22,576,336  
           


       

Interactive Media & Services - 3.53%

 

  70,937    

Alphabet, Inc. - Class A (a)

    7,358,295  
  64,128    

Alphabet, Inc. - Class C (a)

    6,669,312  
  11,622    

Match Group, Inc. (a)

    446,169  
  25,133    

Meta Platforms, Inc. - Class A (a)

    5,326,688  
  31,325    

Pinterest, Inc. - Class A (a)

    854,233  
  15,540    

TripAdvisor, Inc. (a)

    308,624  
  5,597    

Zillow Group, Inc. - Class A (a)

    244,589  
  6,011    

Zillow Group, Inc. - Class C (a)

    267,309  
           


              21,475,219  
           


       

Internet & Direct Marketing Retail - 2.15%

 

  101,709    

Amazon.com, Inc. (a)

    10,505,523  
  378    

Booking Holdings, Inc. (a)

    1,002,611  
  5,477    

eBay, Inc.

    243,015  
  5,598    

Etsy, Inc. (a)(b)

    623,225  
  2,939    

Expedia Group, Inc. (a)

    285,171  
  12,445    

Wayfair, Inc. - Class A (a)(b)

    427,361  
           


              13,086,906  
           


       

IT Services - 3.84%

 

  7,973    

Accenture PLC - Class A - ADR

    2,278,763  
  5,531    

Akamai Technologies, Inc. (a)

    433,077  
  7,417    

Amdocs, Ltd. - ADR

    712,255  
 

 

See notes to financial statements.

 

39


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

IT Services (Continued)

 

  4,631    

Automatic Data Processing, Inc.

  $ 1,031,000  
  5,749    

Booz Allen Hamilton Holding Corp.

    532,875  
  3,279    

CACI International, Inc. - Class A (a)

    971,502  
  14,162    

Cognizant Technology Solutions Corp. - Class A

    862,891  
  4,398    

Concentrix Corp. (b)

    534,577  
  92,322    

DXC Technology Co. (a)

    2,359,750  
  643    

EPAM Systems, Inc. (a)(b)

    192,257  
  1,771    

Euronet Worldwide, Inc. (a)

    198,175  
  3,805    

Fidelity National Information Services, Inc.

    206,726  
  9,420    

Fiserv, Inc. (a)

    1,064,743  
  487    

FleetCor Technologies, Inc. (a)(b)

    102,684  
  2,617    

Gartner, Inc. (a)

    852,540  
  5,124    

Genpact, Ltd. - ADR

    236,831  
  2,328    

GoDaddy, Inc. - Class A (a)

    180,932  
  3,174    

Leidos Holdings, Inc.

    292,198  
  8,346    

MasterCard, Inc. - Class A

    3,033,020  
  5,565    

Paychex, Inc.

    637,693  
  6,965    

Science Applications International Corp.

    748,459  
  36,755    

The Western Union Co.

    409,818  
  27,025    

Thoughtworks Holding, Inc. (a)

    198,904  
  4,817    

T-Mobile USA, Inc. (a)

    697,694  
  4,117    

VeriSign, Inc. (a)

    870,046  
  13,816    

Visa, Inc. - Class A (b)

    3,114,955  
  1,777    

WEX, Inc. (a)

    326,773  
  2,734    

Wix.com, Ltd. - ADR (a)

    272,853  
           


              23,353,991  
           


       

Leisure Products - 0.28%

 

  17,833    

Mattel, Inc. (a)(b)

    328,305  
  1,427    

Polaris Industries, Inc. (b)

    157,869  
  1,472    

Pool Corp. (b)

    504,072  
  17,720    

YETI Holdings, Inc. (a)(b)

    708,800  
           


              1,699,046  
           


       

Life Sciences Tools & Services - 0.94%

 

  3,733    

10X Genomics, Inc. - Class A (a)

    208,264  
  11,646    

Avantor, Inc. (a)

    246,196  
  2,723    

Bruker Corp.

    214,681  
  426    

IQVIA Holdings, Inc. (a)

    84,727  
  581    

Mettler-Toledo International, Inc. (a)(b)

    889,052  
  49,627    

Syneos Health, Inc. (a)

    1,767,714  
  2,923    

Thermo Fisher Scientific, Inc. (b)

    1,684,730  
  1,994    

Waters Corp. (a)

    617,402  
           


              5,712,766  
           


       

Machinery - 2.39%

 

  1,851    

AGCO Corp.

    250,255  
  12,055    

Allison Transmission Holdings, Inc.

    545,368  
  2,707    

Caterpillar, Inc.

    619,470  
  1,039    

Crane Holdings Co.

    117,927  
  2,273    

Cummins, Inc. (b)

    542,974  
  2,209    

Deere & Co.

    912,052  
  9,498    

Donaldson Co., Inc.

    620,599  
  14,290    

Esab Corp. (b)

    844,110  
  2,729    

Fortive Corp. (b)

    186,036  
  49,452    

Gates Industrial Corp PLC - ADR (a)

    686,888  
  5,597    

Graco, Inc. (b)

    408,637  
  1,468    

IDEX Corp.

    339,152  
  3,388    

Illinois Tool Works, Inc. (b)

    824,809  
  4,557    

Ingersoll Rand, Inc. (b)

    265,126  

Number of
Shares


       

Value


 
       

Machinery (Continued)

 

  1,760    

ITT, Inc.

  $ 151,888  
  5,119    

Lincoln Electric Holdings, Inc. (b)

    865,623  
  2,270    

Nordson Corp. (b)

    504,530  
  11,912    

Oshkosh Corp. (b)

    990,840  
  7,266    

Otis Worldwide Corp. (b)

    613,251  
  9,302    

PACCAR, Inc.

    680,906  
  1,926    

Parker-Hannifin Corp.

    647,348  
  2,044    

Snap-on, Inc. (b)

    504,643  
  2,785    

The Timken Co. (b)

    227,590  
  5,584    

The Toro Co. (a)

    620,718  
  1,832    

Valmont Industries, Inc.

    584,921  
  6,174    

Wabtec Corp.

    623,945  
  3,302    

Xylem, Inc. (b)

    345,719  
           


              14,525,325  
           


       

Marine - 0.04%

 

  3,493    

Kirby Corp. (a)

    243,462  
           


       

Media - 1.37%

 

  37,405    

Comcast Corp. - Class A

    1,418,024  
  27,059    

Fox Corp. - Class A (b)

    921,359  
  28,555    

Fox Corp. - Class B

    894,057  
  34,791    

Liberty Media Corp.-Liberty SiriusXM - Class A (a)

    977,279  
  35,418    

Liberty Media Corp.-Liberty SiriusXM - Class C (a)

    991,350  
  47,972    

News Corp. - Class A

    828,476  
  46,028    

News Corp. - Class B (b)

    802,268  
  4,542    

Nexstar Media Group, Inc. (b)

    784,222  
  1,337    

Omnicom Group, Inc.

    126,133  
  84,549    

Sirius XM Holdings, Inc. (b)

    335,659  
  6,819    

The New York Times Co. - Class A (b)

    265,123  
           


              8,343,950  
           


       

Metals & Mining - 1.11%

 

  50,438    

Cleveland-Cliffs, Inc. (a)

    924,529  
  9,522    

Nucor Corp.

    1,470,863  
  6,398    

Reliance Steel & Aluminum Co.

    1,642,622  
  13,343    

Steel Dynamics, Inc.

    1,508,560  
  46,935    

United States Steel Corp. (b)

    1,225,003  
           


              6,771,577  
           


       

Multiline Retail - 1.03%

 

  2,423    

Burlington Stores, Inc. (a)

    489,688  
  4,707    

Dollar General Corp.

    990,635  
  3,988    

Dollar Tree, Inc. (a)

    572,477  
  22,127    

Kohl’s Corp. (b)

    520,870  
  111,914    

Macy’s, Inc.

    1,957,376  
  42,391    

Nordstrom, Inc. (b)

    689,702  
  6,457    

Target Corp. (b)

    1,069,473  
           


              6,290,221  
           


       

Multi-Utilities - 0.49%

 

  2,368    

Ameren Corp.

    204,572  
  13,353    

CenterPoint Energy, Inc.

    393,379  
  1,600    

CMS Energy Corp.

    98,208  
  6,339    

Consolidated Edison, Inc. (b)

    606,452  
  3,430    

Dominion Energy, Inc.

    191,771  
  3,096    

DTE Energy Co.

    339,136  
  7,413    

MDU Resources Group, Inc.

    225,948  
  9,931    

NiSource, Inc.

    277,671  
  3,027    

Sempra Energy

    457,561  
 

 

See notes to financial statements.

 

40


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Multi-Utilities (Continued)

 

  1,941    

WEC Energy Group, Inc.

  $ 183,988  
           


              2,978,686  
           


       

Oil, Gas & Consumable Fuels - 4.99%

 

  25,738    

Antero Midstream Corp.

    269,992  
  27,087    

Antero Resources Corp. (a)

    625,439  
  19,839    

APA Corp. (b)

    715,394  
  16,111    

Cabot Oil & Gas Corp.

    395,364  
  2,554    

Cheniere Energy, Inc.

    402,510  
  5,765    

Chesapeake Energy Corp. (b)

    438,371  
  20,726    

Chevron Corp.

    3,381,654  
  15,411    

ConocoPhillips

    1,528,925  
  14,590    

Devon Energy Corp.

    738,400  
  3,471    

Diamondback Energy, Inc.

    469,175  
  10,037    

EOG Resources, Inc.

    1,150,541  
  51,037    

Exxon Mobil Corp.

    5,596,717  
  4,967    

Hess Corp.

    657,333  
  22,678    

HF Sinclair Corp.

    1,097,162  
  20,499    

Kinder Morgan, Inc. (b)

    358,938  
  45,613    

Marathon Oil Corp.

    1,092,888  
  16,731    

Marathon Petroleum Corp.

    2,255,841  
  13,039    

New Fortress Energy, Inc. (b)

    383,738  
  15,029    

Occidental Petroleum Corp. (b)

    938,260  
  6,520    

ONEOK, Inc.

    414,281  
  16,916    

OVINTIV, Inc.

    610,329  
  9,105    

PDC Energy, Inc.

    584,359  
  15,129    

Phillips 66

    1,533,778  
  3,162    

Pioneer Natural Resources Co.

    645,807  
  11,115    

Range Resources Corp.

    294,214  
  80,736    

Southwestern Energy Co. (a)

    403,680  
  6,923    

Targa Resources Corp.

    505,033  
  319    

Texas Pacific Land Corp.

    542,625  
  2,976    

The Williams Companies, Inc. (b)

    88,863  
  12,955    

Valero Energy Corp.

    1,808,518  
  21,103    

Vitesse Energy, Inc. (b)

    401,590  
           


              30,329,719  
           


       

Paper & Forest Products - 0.14%

 

  15,112    

Louisiana-Pacific Corp. (b)

    819,222  
           


       

Personal Care Products - 0.03%

 

  39,892    

Olaplex Holdings, Inc. (a)

    170,339  
           


       

Personal Products - 0.30%

 

  83,307    

Coty, Inc. - Class A (a)(b)

    1,004,682  
  3,254    

The Estee Lauder Cos., Inc. - Class A

    801,981  
           


              1,806,663  
           


       

Pharmaceuticals - 4.77%

 

  13,436    

Abbott Laboratories

    1,360,529  
  26,086    

AbbVie, Inc.

    4,157,326  
  35,762    

Bristol-Myers Squibb Co.

    2,478,664  
  143,625    

Elanco Animal Health, Inc. (a)

    1,350,075  
  11,642    

Eli Lilly & Co.

    3,998,096  
  3,875    

Horizon Therapeutics PLC - ADR (a)

    422,918  
  2,516    

Jazz Pharmaceuticals PLC - ADR (a)

    368,166  
  34,026    

Johnson & Johnson

    5,274,030  
  arda    

Merck & Co., Inc.

    3,752,269  
  3,999    

Perrigo Co. PLC - ADR

    143,444  
  73,961    

Pfizer, Inc.

    3,017,609  
  2,426    

Royalty Pharma PLC - Class A - ADR

    87,409  

Number of
Shares


       

Value


 
       

Pharmaceuticals (Continued)

 

  201,945    

Viatris, Inc.

  $ 1,942,711  
  3,939    

Zoetis, Inc. (b)

    655,607  
           


              29,008,853  
           


       

Professional Services - 0.46%

 

  4,365    

CoStar Group, Inc. (a)

    300,530  
  11,443    

Dun & Bradstreet Holdings, Inc.

    134,341  
  2,315    

FTI Consulting, Inc. (a)(b)

    456,865  
  13,663    

ManpowerGroup, Inc.

    1,127,608  
  9,456    

Robert Half International, Inc.

    761,870  
           


              2,781,214  
           


       

Real Estate Management & Development - 0.08%

 

  6,642    

CBRE Group, Inc. - Class A (a)

    483,604  
           


       

Road & Rail - 0.64%

 

  1,036    

J.B. Hunt Transport Services, Inc. (b)

    181,776  
  22,310    

Knight-Swift Transportation Holdings, Inc.

    1,262,300  
  5,668    

Landstar System, Inc. (b)

    1,016,046  
  2,124    

Old Dominion Freight Line, Inc.

    723,944  
  22,769    

RXO, Inc. (a)(b)

    447,183  
  9,554    

Schneider National, Inc. - Class B

    255,570  
           


              3,886,819  
           


       

Semiconductors & Semiconductor Equipment - 4.51%

 

  9,703    

Advanced Micro Devices, Inc. (a)

    950,991  
  16,911    

Allegro MicroSystems, Inc. (a)(b)

    811,559  
  3,197    

Analog Devices, Inc.

    630,512  
  11,859    

Applied Materials, Inc.

    1,456,641  
  4,503    

Broadcom, Inc.

    2,888,855  
  9,319    

Cirrus Logic, Inc. (a)

    1,019,312  
  3,152    

First Solar, Inc. (a)

    685,560  
  19,238    

Intel Corp.

    628,505  
  2,868    

KLA-Tencor Corp.

    1,144,820  
  1,794    

Lam Research Corp. (b)

    951,035  
  8,250    

Lattice Semiconductor Corp. (a)

    787,875  
  2,041    

Microchip Technology, Inc.

    170,995  
  15,876    

Micron Technology, Inc. (b)

    957,958  
  7,699    

MKS Instruments, Inc. (b)

    682,285  
  1,600    

Monolithic Power Systems, Inc. (b)

    800,864  
  27,744    

NVIDIA Corp.

    7,706,451  
  17,003    

ON Semiconductor Corp. (a)

    1,399,687  
  7,249    

Qorvo, Inc. (a)

    736,281  
  2,670    

Skyworks Solutions, Inc.

    315,007  
  7,059    

Teradyne, Inc. (b)

    758,913  
  10,294    

Texas Instruments, Inc. (b)

    1,914,787  
           


              27,398,893  
           


       

Software - 8.71%

 

  5,494    

Adobe Systems, Inc. (a)

    2,117,223  
  5,948    

Alteryx, Inc. - Class A (a)

    349,980  
  85,319    

AppLovin Corp. - Class A (a)(b)

    1,343,774  
  4,644    

Atlassian Corp. - Class A (a)(b)

    794,914  
  3,212    

Autodesk, Inc. (a)

    668,610  
  7,846    

Cadence Design System, Inc. (a)

    1,648,366  
  4,629    

Datadog, Inc. - Class A (a)

    336,343  
  11,768    

DocuSign, Inc. (a)(b)

    686,075  
  34,397    

Dropbox, Inc. - Class A (a)

    743,663  
  4,833    

Elastic NV - ADR (a)

    279,831  
  1,413    

Fair Isaac Corp. (a)

    992,901  
  18,088    

Fortinet, Inc. (a)

    1,202,129  
  1,678    

HubSpot, Inc. (a)(b)

    719,443  
 

 

See notes to financial statements.

 

41


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Software (Continued)

 

  15,025    

Informatica, Inc. - Class A (a)

  $ 246,410  
  2,045    

Intuit, Inc.

    911,722  
  2,996    

Jack Henry & Associates, Inc. (b)

    451,557  
  5,113    

Manhattan Associates, Inc. (a)

    791,748  
  104,738    

Microsoft Corp.

    30,195,966  
  5,866    

New Relic, Inc. (a)

    441,651  
  20,581    

Nutanix, Inc. - Class A (a)

    534,900  
  9,020    

Oracle Corp.

    838,138  
  17,369    

Pegasystems, Inc. (b)

    842,049  
  15,070    

RingCentral, Inc. - Class A (a)

    462,197  
  4,895    

salesforce.com, Inc. (a)

    977,923  
  2,067    

ServiceNow, Inc. (a)

    960,576  
  11,043    

Smartsheet, Inc. - Class A (a)

    527,855  
  4,353    

Splunk, Inc. (a)

    417,366  
  4,607    

SS&C Technologies Holdings, Inc.

    260,157  
  2,781    

Synopsys, Inc. (a)

    1,074,161  
  2,806    

VMware, Inc. - Class A (a)

    350,329  
  1,157    

Workday, Inc. - Class A (a)

    238,967  
  7,380    

Zoom Video Communications, Inc. - Class A (a)

    544,939  
           


              52,951,863  
           


       

Specialty Retail - 4.05%

 

  1,688    

Advance Auto Parts, Inc.

    205,278  
  16,697    

AutoNation, Inc. (a)(b)

    2,243,409  
  642    

AutoZone, Inc. (a)

    1,578,132  
  16,766    

Bath & Body Works, Inc. (b)

    613,300  
  7,733    

Best Buy Co., Inc. (b)

    605,262  
  14,657    

CarMax, Inc. (a)(b)

    942,152  
  7,880    

Dick’s Sporting Goods, Inc. (b)

    1,118,093  
  2,505    

Floor & Decor Holdings, Inc. - Class A (a)(b)

    246,041  
  7,342    

GameStop Corp. - Class A (a)(b)

    169,013  
  30,664    

Leslie’s, Inc. (a)(b)

    337,611  
  1,532    

Lithia Motors, Inc. (b)

    350,721  
  9,813    

Lowe’s Cos., Inc.

    1,962,305  
  2,117    

O’Reilly Automotive, Inc. (a)

    1,797,291  
  15,444    

Penske Automotive Group, Inc. (b)

    2,190,114  
  7,473    

Petco Health & Wellness Co., Inc. (a)

    67,257  
  5,183    

Ross Stores, Inc.

    550,072  
  2,142    

Sherwin-Williams Co.

    481,457  
  38,075    

The Gap, Inc. (b)

    382,273  
  12,073    

The Home Depot, Inc.

    3,562,984  
  16,233    

The TJX Cos., Inc.

    1,272,018  
  4,309    

Tractor Supply Co. (b)

    1,012,787  
  2,927    

Ulta Beauty, Inc. (a)

    1,597,176  
  14,546    

Victoria’s Secret & Co. (a)(b)

    496,746  
  7,041    

Williams Sonoma, Inc. (b)

    856,608  
           


              24,638,100  
           


       

Technology Hardware, Storage & Peripherals - 6.91%

 

  217,615    

Apple, Inc.

    35,884,714  
  28,897    

Hewlett Packard Enterprise Co.

    460,329  
  8,397    

HP, Inc.

    246,452  
  11,395    

International Business Machines Corp.

    1,493,771  
  68,438    

NCR Corp. (a)

    1,614,452  
  6,077    

NetApp, Inc.

    388,016  
  18,395    

Pure Storage, Inc. - Class A (a)

    469,256  
  29,616    

Teradata Corp. (a)

    1,192,933  
  6,265    

Western Digital Corp. (a)

    236,003  
           


              41,985,926  
           


Number of
Shares


       

Value


 
       

Textiles, Apparel & Luxury Goods - 1.64%

 

  10,991    

Capri Holdings, Ltd. - ADR (a)

  $ 516,577  
  7,250    

Carter’s, Inc. (b)

    521,420  
  6,335    

Columbia Sportswear Co.

    571,670  
  2,479    

Deckers Outdoor Corp. (a)

    1,114,434  
  2,982    

lululemon athletica, Inc. (a)

    1,086,015  
  12,032    

NIKE, Inc. - Class B

    1,475,605  
  11,479    

PVH Corp.

    1,023,468  
  5,399    

Ralph Lauren Corp. (b)

    629,901  
  10,632    

Skechers U.S.A., Inc. - Class A (a)

    505,233  
  19,991    

Tapestry, Inc. (b)

    861,812  
  84,910    

Under Armour, Inc. - Class A (a)

    805,796  
  74,351    

Under Armour, Inc. - Class C (a)

    634,214  
  10,118    

VF Corp.

    231,803  
           


              9,977,948  
           


       

Thrifts & Mortgage Finance - 0.15%

 

  30,767    

MGIC Investment Corp.

    412,893  
  96,688    

UWM Holdings Corp. (b)

    474,738  
           


              887,631  
           


       

Tobacco - 0.45%

 

  20,158    

Altria Group, Inc.

    899,450  
  18,734    

Philip Morris International, Inc.

    1,821,881  
           


              2,721,331  
           


       

Trading Companies & Distributors - 0.88%

 

  2,823    

Air Lease Corp.

    111,142  
  14,970    

Fastenal Co.

    807,482  
  7,330    

MSC Industrial Direct Co., Inc. - Class A

    615,720  
  3,415    

SiteOne Landscape Supply, Inc. (a)(b)

    467,411  
  760    

United Rentals, Inc.

    300,778  
  23,778    

Univar Solutions, Inc. (a)

    832,943  
  1,961    

W.W. Grainger, Inc. (b)

    1,350,756  
  1,989    

Watsco, Inc. (b)

    632,820  
  1,627    

WESCO International, Inc.

    251,437  
           


              5,370,489  
           


       

Total Common Stocks
(Cost $377,770,763)

    572,560,931  
           


       

INVESTMENT COMPANIES - 3.24%

 

       

Domestic Equity Funds - 3.24%

 

  52,364    

Vanguard S&P 500 ETF

    19,692,529  
           


       

Total Investment Companies
(Cost $15,789,347)

    19,692,529  
           


       

REAL ESTATE INVESTMENT TRUSTS - 1.44%

 

       

Real Estate Investment Trusts - 1.44%

 

  13,991    

Annaly Capital Management, Inc. (b)

    267,368  
  46,700    

Douglas Emmett, Inc. (b)

    575,811  
  5,185    

EPR Properties (b)

    197,548  
  11,236    

Gaming and Leisure Properties, Inc.

    584,946  
  12,617    

Highwoods Properties, Inc.

    292,588  
  16,370    

Host Hotels & Resorts, Inc. (b)

    269,941  
  190,835    

Hudson Pacific Properties, Inc. (b)

    1,269,053  
  7,387    

Iron Mountain, Inc. (b)

    390,846  
  5,301    

Kilroy Realty Corp. (b)

    171,752  
  9,370    

National Retail Properties, Inc.

    413,686  
  90,729    

Park Hotels & Resorts, Inc. (b)

    1,121,410  
  4,302    

Realty Income Corp. (b)

    272,403  
  147,837    

Rithm Capital Corp. (b)

    1,182,696  
  9,456    

Starwood Property Trust, Inc. (b)

    167,277  
 

 

See notes to financial statements.

 

42


GuideMark Large Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

REAL ESTATE INVESTMENT TRUSTS (Continued)

 

       

Real Estate Investment Trusts (Continued)

 

  18,922    

VICI Properties, Inc. (b)

  $ 617,236  
  40,157    

Vornado Realty Trust (b)

    617,213  
  4,269    

WP Carey, Inc. (b)

    330,634  
           


       

Total Real Estate Investment Trusts
(Cost $10,201,894)

    8,742,408  
           


       

SHORT TERM INVESTMENTS - 0.91%

 

       

Money Market Funds - 0.91%

 

  5,518,049    

JPMorgan U.S. Government Money Market Fund Effective Yield, 4.73% (e)

    5,518,049  
           


       

Total Short Term Investments
(Cost $5,518,049)

    5,518,049  
           


Number of
Units


       
 
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 16.38%

 

  99,549,037    

Mount Vernon Liquid Assets Portfolio, LLC Effective Yield, 4.93% (e)

    99,549,037  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $99,549,037)

    99,549,037  
           


       

Total Investments
(Cost $508,829,090) - 116.16%

    706,062,954  
       

Liabilities in Excess of
Other Assets - (16.16)%

    (98,219,320
           


       

TOTAL NET ASSETS - 100.00%

  $ 607,843,634  
           


Percentages are stated as a percent of net assets.

(a)   Non-income producing security.
(b)   All or portion of this security is on loan.
(c)   Value determined using significant unobservable inputs. Classified as Level 3 in the fair value hierarchy.
(d)   As of March 31, 2023, the Valuation Committee has fair valued this security. The value of this security was $0, which represents 0.00% of total assets.
(e)   Seven-day yield as of March 31, 2023.
(f)   This security has been deemed illiquid pursuant to the Fund’s liquidity guidelines. The value of these securities total $0, which represents 0.00% of total net assets.

Glossary of Terms

ADR   -   American Depositary Receipt
 

 

See notes to financial statements.

 

43


GuideMark Emerging Markets Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS - 93.15%

 

       

Bermuda - 0.06%

 

  36,001    

Alibaba Health Information Technology Ltd. (a)

  $ 25,965  
           


       

Brazil - 3.34%

 

  12,706    

Ambev SA (a)

    36,024  
  8,712    

B3 SA - Brasil Bolsa Balcao

    17,756  
  15,847    

Banco do Brasil SA

    122,375  
  33,563    

BB Seguridade Participacoes SA

    215,213  
  9,249    

Cia de Saneamento Basico do Estado de Sao Paulo

    92,263  
  2,999    

CPFL Energia SA

    18,757  
  5,362    

Hypermarcas SA

    40,095  
  17,024    

JBS SA

    59,787  
  13,627    

Natura & Co., Holding SA (a)

    35,489  
  5,802    

Petro Rio SA (a)

    35,750  
  42,474    

Petroleo Brasileiro SA

    222,407  
  17,921    

Raia Drogasil SA

    86,238  
  9,981    

Sendas Distribuidora S/A

    30,563  
  2,452    

SUZANO SA

    20,159  
  4,548    

Telefonica Brasil SA

    34,735  
  24,590    

Vale SA

    388,612  
  11,516    

Vibra Energia SA

    33,014  
  4,552    

WEG SA

    36,373  
           


              1,525,610  
           


       

Cayman Islands - 8.13%

 

  4,242    

360 DigiTech, Inc. - ADR

    82,295  
  18,671    

3SBio, Inc.

    18,582  
  10,089    

Akeso, Inc. (a)

    52,092  
  84,250    

Alibaba Group Holding, Ltd. (a)

    1,067,068  
  10,326    

Baidu, Inc. - Class A (a)

    194,555  
  1,383    

BeiGene Ltd. (a)

    23,020  
  16,912    

C&D International Investment Group Ltd.

    55,543  
  171,507    

China Evergrande Group (a)(e)(f)(g)

    0  
  84,652    

China Feihe, Ltd.

    63,443  
  64,482    

China Medical System Holdings, Ltd.

    101,738  
  5,941    

China Meidong Auto Holdings, Ltd.

    12,814  
  8,006    

China Resources Land, Ltd.

    36,458  
  26,053    

Chinasoft International, Ltd.

    16,505  
  16,923    

Chow Tai Fook Jewellery Group, Ltd.

    33,628  
  1,641    

Daqo New Energy Corp. - ADR (a)

    76,864  
  26,212    

Dongyue Group, Ltd.

    27,092  
  64,718    

Haidilao International Holding, Ltd.

    175,398  
  4,278    

Hygeia Healthcare Holdings Co Ltd. (a)

    30,504  
  5,220    

Innovent Biologics, Inc. (a)

    23,414  
  2,985    

JD Health International, Inc. (a)

    22,134  
  9,211    

JD.com, Inc. - Class A

    201,133  
  35,061    

Jiumaojiu International Holdings, Ltd.

    83,351  
  10,815    

East Buy Holdings, Ltd. (a)

    46,294  
  6,861    

Kuaishou Technology (a)

    52,756  
  23,733    

Lufax Holding, Ltd. - ADR

    48,415  
  21,802    

Meituan - Class B (a)

    395,537  
  1,034    

MINISO Group Holding Ltd. - ADR

    18,343  
  5,922    

NetEase, Inc.

    104,540  
  12,813    

New Oriental Education & Technology Group, Inc. (a)

    49,171  
  507    

Parade Technologies, Ltd.

    17,553  
  2,501    

PDD Holdings, Inc. - ADR (a)

    189,826  
  3,236    

Silergy Corp.

    51,377  
  11,310    

Tongcheng Travel Holdings Ltd. (a)

    24,619  
  138,091    

Topsports International Holdings, Ltd.

    125,877  
  1,255    

Trip.com Group Ltd. - ADR (a)

    47,276  

Number of
Shares


       

Value


 
       

Cayman Islands (Continued)

 

  2,656    

Wuxi Biologics Cayman, Inc. (a)

  $ 16,366  
  9,436    

Xiaomi Corp. - Class B (a)

    14,522  
  21,830    

Yadea Group Holdings, Ltd.

    56,232  
  15,083    

Zhen Ding Technology Holding, Ltd.

    56,751  
           


              3,713,086  
           


       

Chile - 0.18%

 

  26,564    

Cencosud SA

    51,331  
  3,758    

Cia Cervecerias Unidas SA

    28,904  
           


              80,235  
           


       

China - 23.49%

 

  283,724    

Agricultural Bank of China, Ltd. - Series H

    105,070  
  5,155    

Aier Eye Hospital Group Co., Ltd. - Class A

    23,299  
  51,421    

Air China, Ltd. - Series H (a)

    45,989  
  11,207    

ANTA Sports Products, Ltd.

    162,716  
  698,225    

Bank of China, Ltd. - Series H

    267,676  
  90,100    

Bank of Communications Co., Ltd. - Class A

    67,023  
  162,883    

Bank of Communications Co., Ltd. - Series H

    102,438  
  85,100    

BBMG Corp. - Class A

    30,343  
  1,711    

Beijing Tongrentang Co., Ltd. - Class A

    13,738  
  3,200    

Beijing United Information Technology Co., Ltd. - Class A

    38,645  
  2,755    

Beijing Wantai Biological Pharmacy Enterprise Co., Ltd. - Class A

    46,567  
  28,900    

Beijing Yanjing Brewery Co., Ltd. - Class A

    58,901  
  1,600    

Bloomage Biotechnology Corp, Ltd. - Class A

    26,422  
  2,131    

BYD Co., Ltd. - Series H

    62,686  
  12,800    

By-health Co., Ltd. - Class A

    39,704  
  1,500    

Changchun High & New Technology Industry Group, Inc. - Class A

    35,673  
  5,084    

Chengxin Lithium Group Co., Ltd. - Class A

    25,537  
  569,672    

China Cinda Asset Management Co., Ltd. - Series H

    72,001  
  268,528    

China CITIC Bank Corp., Ltd. - Series H

    135,086  
  153,233    

China Coal Energy Co., Ltd. - Series H

    116,286  
  222,759    

China Communications Services Corp., Ltd. - Series H

    109,612  
  549,881    

China Construction Bank Corp. - Series H

    355,880  
  100,600    

China Everbright Bank Co., Ltd. - Class A

    44,066  
  347,000    

China Everbright Bank Co., Ltd. - Series H

    105,266  
  84,801    

China Hongqiao Group, Ltd.

    81,492  
  24,467    

China Life Insurance Company Ltd. - Series H

    40,152  
  14,800    

China Meheco Co., Ltd. - Class A

    29,626  
  17,280    

China Merchants Bank Co., Ltd. - Series H

    87,748  
  39,900    

China Merchants Energy Shipping Co., Ltd. - Class A

    40,722  
  112,125    

China National Building Material Co., Ltd. - Series H

    92,158  
  3,100    

China National Software & Service Co Ltd. - Class A

    31,108  
  31,622    

China Oilfield Services, Ltd. - Series H

    32,507  
  53,500    

China Petroleum & Chemical Corp. - Class A

    43,727  
  320,832    

China Petroleum & Chemical Corp. - Series H

    189,329  
  194,967    

China Resources Pharmaceutical Group, Ltd.

    154,268  
  13,865    

China Resources Sanjiu Medical & Pharmaceutical Co., Ltd. - Class A

    116,075  
  11,100    

China Shenhua Energy Co., Ltd. - Series A

    45,481  
  33,615    

China Shenhua Energy Co., Ltd. - Series H

    105,784  
  615    

China Tourism Group Duty Free Corp, Ltd. - Class A

    16,423  
 

 

See notes to financial statements.

 

44


GuideMark Emerging Markets Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

China (Continued)

 

  105,400    

China United Network Communications, Ltd. - Class A

  $ 83,157  
  2,793    

China Zhenhua Group Science & Technology Co., Ltd. - Class A

    36,640  
  3,700    

Chongqing Brewery Co., Ltd. - Class A

    67,365  
  1,284    

Chongqing Zhifei Biological Products Co., Ltd. - Class A

    15,342  
  31,300    

COSCO SHIPPING Energy Transportation Co., Ltd. - Class A

    61,672  
  112,436    

COSCO SHIPPING Holdings Co., Ltd. - Series H

    126,758  
  197,349    

Country Garden Holdings Co., Ltd.

    55,413  
  160,393    

CSPC Pharmaceutical Group, Ltd.

    157,236  
  20,000    

Daan Gene Co., Ltd. - Class A

    46,887  
  11,760    

DaShenLin Pharmaceutical Group Co., Ltd. - Class A

    63,775  
  87,253    

Dongfeng Motor Group Co., Ltd. - Series H

    40,988  
  4,800    

Ecovacs Robotics Co., Ltd. - Class A

    57,595  
  30,833    

Focus Media Information Technology Co., Ltd. - Class A

    30,799  
  700    

G-bits Network Technology Xiamen Co., Ltd. - Class A

    48,511  
  74,400    

GD Power Development Co., Ltd. - Class A (a)

    41,196  
  18,100    

Gemdale Corp. - Class A

    22,052  
  38,114    

Guanghui Energy Co., Ltd. - Class A

    51,315  
  3,000    

Guangzhou Kingmed Diagnostics Group Co., Ltd. - Class A

    38,480  
  6,379    

Guangzhou Tinci Materials Technology Co., Ltd. - Class A

    39,009  
  42,500    

Hangzhou Binjiang Real Estate Group Co., Ltd. - Class A

    56,337  
  9,000    

Hangzhou Robam Appliances Co., Ltd. - Class A

    37,170  
  17,300    

Henan Shenhuo Coal & Power Co., Ltd. - Class A

    44,516  
  3,900    

Hithink RoyalFlush Information Network Co., Ltd. - Class A

    116,164  
  6,869    

Huadong Medicine Co., Ltd. - Class A

    46,320  
  63,100    

Huaxia Bank Co., Ltd. - Class A

    49,453  
  8,100    

Hubei Jumpcan Pharmaceutical Co., Ltd. - Class A

    33,631  
  8,446    

Hubei Xingfa Chemicals Group Co., Ltd. - Class A

    37,481  
  5,200    

Hundsun Technologies, Inc. - Class A

    40,297  
  269,446    

Industrial & Commercial Bank of China, Ltd. - Series H

    143,194  
  3,456    

Inner Mongolia Yili Industrial Group Co., Ltd. - Class A

    14,619  
  8,800    

Jafron Biomedical Co., Ltd. - Class A

    38,871  
  8,200    

Jiangsu Hengrui Medicine Co., Ltd. - Class A

    51,088  
  18,000    

Jiangxi Copper Co., Ltd. - Class A

    51,812  
  33,415    

Jiangxi Copper Co., Ltd. Series H

    56,572  
  2,300    

JiuGui Liquor Co., Ltd. - Class A

    43,221  
  21,371    

Joincare Pharmaceutical Group Industry Co., Ltd. - Class A

    40,990  
  200    

Kweichow Moutai Co., Ltd. - Class A

    52,832  
  140,696    

Lenovo Group, Ltd.

    152,432  
  16,845    

Li Ning Co., Ltd.

    132,468  
  9,989    

Longfor Properties Co., Ltd.

    28,173  
  1,400    

Luzhou Laojiao Co., Ltd. - Class A

    51,703  
  19,600    

Meihua Holdings Group Co Ltd. - Class A

    27,914  
  136,400    

Metallurgical Corp of China, Ltd. - Class A

    77,403  

Number of
Shares


       

Value


 
       

China (Continued)

 

  3,200    

Ningbo Tuopu Group Co., Ltd. - Class A

  $ 29,990  
  25,169    

Nongfu Spring Co., Ltd. - Class H

    145,120  
  43,500    

Offshore Oil Engineering Co Ltd. - Class A

    38,803  
  272,281    

PetroChina Co., Ltd - Series H

    160,846  
  61,600    

PetroChina Co., Ltd. - Class A

    53,040  
  137,185    

PICC Property & Casualty Co., Ltd. - Series H

    139,944  
  29,743    

Ping An Insurance Group Co. of China, Ltd. - Series H

    192,414  
  4,180    

Proya Cosmetics Co., Ltd. - Class A

    110,687  
  2,600    

Sangfor Technologies, Inc. - Class A

    56,065  
  14,800    

Seazen Holdings Co., Ltd. - Class A (a)

    35,096  
  1,650    

SG Micro Corp. - Class A

    37,335  
  15,400    

Shaanxi Coal Industry Co., Ltd. - Class A

    45,580  
  18,800    

Shan Xi Hua Yang Group New Energy Co., Ltd. - Class A

    37,749  
  21,100    

Shandong Buchang Pharmaceuticals Co., Ltd. - Class A

    60,901  
  5,639    

Shanghai Fudan Microelectronics Group Co Ltd. - Series H

    20,837  
  1,498    

Shanghai International Airport Co., Ltd. - Class A (a)

    12,154  
  6,100    

Shanghai M&G Stationery, Inc. - Class A

    43,589  
  1,100    

Shanxi Xinghuacun Fen Wine Factory Co., Ltd. - Class A

    43,498  
  5,700    

Shenzhen Kstar Science And Technology Co Ltd. - Class A

    38,793  
  6,800    

Shenzhen Salubris Pharmaceuticals Co Ltd. - Class A

    35,030  
  11,770    

Shijiazhuang Yiling Pharmaceutical Co., Ltd. - Class A

    49,827  
  35,432    

Shimao Property Holdings, Ltd. (a)(e)(f)(g)

    9,658  
  6,400    

Sichuan Kelun Pharmaceutical Co Ltd. - Class A

    26,507  
  3,200    

Sichuan Swellfun Co., Ltd. - Class A

    35,057  
  1,000    

Skshu Paint Co., Ltd. - Class A (a)

    16,939  
  46,301    

Sunac China Holdings, Ltd. (a)(e)(f)(g)

    12,975  
  3,300    

Canmax Technologies Co., Ltd - Class A

    24,644  
  8,458    

TAL Education Group - ADR (a)

    54,216  
  40,044    

Tencent Holdings, Ltd.

    1,956,923  
  120,428    

The People’s Insurance Co. Group of China, Ltd. - Series H

    40,185  
  55,234    

Tingyi Cayman Islands Holding Corp.

    92,432  
  15,417    

TravelSky Technology, Ltd. - Series H

    28,727  
  1,837    

Tsingtao Brewery Co., Ltd - Series H

    20,079  
  78,261    

Uni-President China Holdings, Ltd.

    78,932  
  16,004    

Vipshop Holdings, Ltd. - ADR (a)

    242,941  
  75,147    

Want Want China Holdings, Ltd.

    48,349  
  75,800    

Wuchan Zhongda Group Co., Ltd. - Class A

    53,530  
  22,900    

Wuhu Sanqi Interactive Entertainment Network Technology Group Co., Ltd. - Class A

    94,761  
  47,200    

Xiamen C & D, Inc. - Class A

    82,767  
  9,800    

Yankuang Energy Group Co., Ltd. - Class A

    50,777  
  46,289    

Yankuang Energy Group Co., Ltd. - Series H

    165,735  
  3,353    

Yifeng Pharmacy Chain Co., Ltd. - Class A

    28,270  
  16,709    

Yihai International Holding, Ltd.

    49,093  
  1,063    

YongXing Special Materials Technology Co., Ltd. - Class A

    13,035  
  1,181    

Youngy Co., Ltd. - Class A

    13,045  
  11,400    

YTO Express Group Co., Ltd. - Class A

    30,360  
  2,665    

Yum China Holdings, Inc. (b)

    168,934  
  1,000    

Yunnan Botanee Bio-Technology Group Co., Ltd. - Class A

    18,642  
 

 

See notes to financial statements.

 

45


GuideMark Emerging Markets Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

China (Continued)

 

  17,650    

Zhaojin Mining Industry Co., Ltd. - Series H

  $ 26,766  
  9,000    

Zhejiang Supor Co., Ltd. - Class A

    70,851  
  13,855    

Zhejiang Weixing New Building Materials Co., Ltd. - Class A

    48,925  
  5,112    

Zhejiang Wolwo Bio-Pharmaceutical Co., Ltd. - Class A

    35,420  
           


              10,732,848  
           


       

Cyprus - 0.00%

 

  2,617    

TCS Group Holding PLC (a)(d)(e)(f)(g)

    0  
           


       

Czech Republic - 0.14%

 

  1,021    

CEZ AS

    49,588  
  467    

Komercni Banka AS

    15,495  
           


              65,083  
           


       

Egypt - 0.38%

 

  83,542    

Commercial International Bank Egypt SAE

    138,273  
  67,890    

Egyptian Financial Group-Hermes Holding Co. (a)

    36,964  
           


              175,237  
           


       

Hong Kong - 1.64%

 

  203,098    

Bosideng International Holdings, Ltd.

    113,331  
  6,357    

BYD Electronic International Co., Ltd.

    19,784  
  19,398    

China Mengniu Dairy Co., Ltd.

    79,521  
  1,938    

China Resources Beer Holdings Co., Ltd.

    15,569  
  75,979    

China Taiping Insurance Holdings Co., Ltd.

    80,789  
  66,261    

China Traditional Chinese Medicine Holdings Co., Ltd.

    34,715  
  128,661    

CITIC, Ltd.

    150,380  
  26,844    

Kingboard Chemical Holdings, Ltd.

    82,540  
  4,079    

Orient Overseas International Ltd.

    78,298  
  59,913    

Sino Biopharmaceutical, Ltd.

    33,581  
  40,795    

Yuexiu Property Co., Ltd.

    61,683  
           


              750,191  
           


       

Hungary - 0.33%

 

  18,405    

MOL Hungarian Oil & Gas PLC

    134,794  
  495    

OTP Bank PLC

    14,132  
           


              148,926  
           


       

India - 12.32%

 

  941    

ACC, Ltd.

    19,151  
  3,481    

Adani Enterprises, Ltd.

    74,488  
  25,416    

Adani Power, Ltd. (a)

    59,345  
  1,438    

Adani Total Gas, Ltd.

    15,164  
  6,826    

Ambuja Cements, Ltd. (a)

    30,477  
  1,052    

Asian Paints, Ltd.

    35,444  
  22,795    

Aurobindo Pharma, Ltd.

    144,056  
  6,001    

Axis Bank, Ltd.

    62,871  
  536    

Bajaj Finance, Ltd.

    36,777  
  14,879    

Bank of Baroda

    30,689  
  48,052    

Bharat Electronics, Ltd.

    57,191  
  1,875    

Bharat Forge Ltd.

    17,626  
  4,538    

Bharti Airtel, Ltd.

    41,384  
  1,317    

Britannia Industries, Ltd.

    69,420  
  10,927    

CG Power & Industrial Solutions Ltd.

    39,978  
  2,073    

Cholamandalam Investment and Finance Co., Ltd.

    19,262  
  6,423    

Cipla, Ltd.

    70,497  
  24,459    

Coal India, Ltd.

    63,760  
  4,611    

Colgate-Palmolive India, Ltd.

    84,668  
  2,041    

Dabur India, Ltd.

    13,552  

Number of
Shares


       

Value


 
       

India (Continued)

 

  488    

Divi’s Laboratories, Ltd.

  $ 16,804  
  1,820    

Dr. Reddy’s Laboratories, Ltd.

    102,627  
  687    

Eicher Motors, Ltd. (a)

    24,685  
  11,573    

HCL Technologies, Ltd.

    153,638  
  37,040    

Hindalco Industries, Ltd.

    183,649  
  2,222    

Hindustan Unilever, Ltd.

    69,392  
  6,856    

Housing Development Finance Corp., Ltd.

    219,859  
  25,648    

ICICI Bank, Ltd.

    274,086  
  10,135    

Indian Hotels Co., Ltd.

    40,123  
  14,494    

Indian Oil Corp, Ltd.

    13,768  
  1,315    

Indian Railway Catering & Tourism Corp., Ltd.

    9,191  
  21,825    

Infosys, Ltd.

    381,570  
  20,548    

ITC, Ltd.

    96,142  
  14,051    

Jindal Steel & Power, Ltd.

    93,765  
  14,098    

JSW Steel, Ltd.

    118,376  
  4,166    

Jubilant Foodworks, Ltd.

    22,376  
  1,969    

Larsen & Toubro Infotech, Ltd.

    114,659  
  5,027    

Larsen & Toubro, Ltd.

    132,694  
  9,326    

Mahindra & Mahindra, Ltd.

    131,790  
  10,424    

Marico, Ltd.

    60,961  
  265    

Maruti Suzuki India, Ltd.

    26,799  
  3,222    

Mphasis, Ltd.

    70,832  
  35    

MRF Ltd.

    35,848  
  3,914    

Muthoot Finance, Ltd.

    46,804  
  446    

Nestle India, Ltd.

    107,088  
  51,600    

NTPC, Ltd.

    110,163  
  108,248    

Oil & Natural Gas Corp., Ltd.

    199,493  
  203    

Page Industries, Ltd.

    93,773  
  10,783    

Petronet LNG, Ltd.

    30,081  
  418    

Pidilite Industries, Ltd.

    11,990  
  26,051    

Power Grid Corp of India, Ltd.

    71,721  
  13,124    

Reliance Industries, Ltd.

    373,176  
  16,763    

State Bank of India

    107,158  
  6,323    

Sun Pharmaceutical Industries, Ltd.

    75,764  
  7,477    

Tata Consultancy Services, Ltd.

    293,082  
  668    

Tata Elxsi, Ltd.

    48,640  
  19,415    

Tata Motors, Ltd. (a)

    100,028  
  156,435    

Tata Steel, Ltd.

    199,841  
  8,295    

Tech Mahindra, Ltd.

    111,822  
  526    

Titan Co., Ltd.

    16,156  
  887    

Tube Investments of India Ltd.

    27,560  
  3,804    

TVS Motor Co., Ltd.

    50,000  
  266    

UltraTech Cement, Ltd.

    24,718  
  4,447    

Varun Beverages, Ltd.

    75,243  
  13,386    

Vedanta, Ltd.

    44,842  
  7,253    

Wipro, Ltd.

    32,358  
           


              5,630,935  
           


       

Indonesia - 2.13%

 

  1,079,491    

Adaro Energy Tbk PT

    209,258  
  175,027    

Astra International Tbk PT

    70,132  
  47,754    

Bank Central Asia Tbk PT

    27,938  
  82,986    

Bank Negara Indonesia Persero Tbk PT

    51,928  
  78,434    

Bank of Mandiri Persero Tbk PT

    54,013  
  111,277    

Bank Rakyat Indonesia Persero Tbk PT

    35,258  
  309,753    

Indofood Sukses Makmur Tbk PT

    128,240  
  510,158    

Kalbe Farma Tbk PT

    71,499  
  518,150    

Sumber Alfaria Trijaya Tbk PT

    99,692  
  463,270    

Telekomunikasi Indonesia Persero Tbk PT

    125,798  
  337,039    

Unilever Indonesia Tbk PT

    97,784  
           


              971,540  
           


 

 

See notes to financial statements.

 

46


GuideMark Emerging Markets Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Mexico - 2.38%

 

  88,214    

Alfa SAB de CV - Series A

  $ 56,052  
  101,917    

America Movil SAB de CV (a)

    107,460  
  4,805    

Arca Continental SAB de CV

    43,565  
  284,957    

Cemex SAB de CV (a)

    156,869  
  2,990    

Coca-Cola Femsa SAB de CV

    24,031  
  1,743    

Gruma SAB de CV - Series B

    25,821  
  1,061    

Grupo Aeroportuario del Pacifico SAB de CV - Series B

    20,698  
  47,780    

Grupo Bimbo SAB de CV - Series A

    240,173  
  10,427    

Grupo Financiero Banorte SAB de CV - Series O

    87,790  
  28,782    

Grupo Financiero Inbursa SAB de CV - Series O (a)

    61,844  
  14,349    

Grupo Mexico SAB de CV - Series B

    67,875  
  26,029    

Orbia Advance Corp SAB de CV

    56,608  
  34,632    

Wal-Mart de Mexico SAB de CV

    138,374  
           


              1,087,160  
           


       

Netherlands - 0.08%

 

  3,790    

Pepco Group NV (a)

    36,505  
           


       

Peru - 0.19%

 

  291    

Credicorp, Ltd. - ADR

    38,525  
  639    

Southern Copper Corp. (b)

    48,724  
           


              87,249  
           


       

Poland - 0.93%

 

  1,019    

CD Projekt SA

    26,379  
  2,267    

Dino Polska SA (a)

    205,912  
  18    

LPP SA

    39,965  
  67,386    

PGE Polska Grupa Energetyczna SA (a)

    98,135  
  4,186    

Polski Koncern Naftowy Orlen SA

    56,503  
           


              426,894  
           


       

Qatar - 1.09%

 

  17,004    

Industries Qatar QSC

    60,932  
  68,927    

Ooredoo QPSC

    178,010  
  10,659    

Qatar Islamic Bank SAQ

    52,242  
  33,670    

Qatar National Bank QPSC

    148,759  
  36,411    

The Commercial Bank PQSC

    58,328  
           


              498,271  
           


       

Republic of Korea - 12.79%

 

  684    

Amorepacific Corp.

    72,193  
  270    

BGF retail Co., Ltd.

    37,613  
  7,452    

Cheil Worldwide, Inc.

    106,766  
  1,964    

CJ Corp.

    157,433  
  2,940    

DB Insurance Co., Ltd.

    169,145  
  736    

Ecopro BM Co., Ltd.

    127,545  
  872    

F&F Co., Ltd.

    93,825  
  1,681    

GS Holdings Corp.

    52,144  
  3,983    

Hana Financial Group, Inc.

    124,743  
  176    

Hanmi Pharm Co., Ltd.

    34,693  
  1,222    

Hanwha Solutions (a)

    50,406  
  1,378    

Hanwha Galleria Co. (a)

    2,255  
  4,582    

HMM Co., Ltd.

    72,050  
  902    

Hotel Shilla Co., Ltd.

    56,686  
  2,031    

Hyundai Engineering & Construction Co., Ltd.

    57,118  
  151    

Hyundai Glovis Co., Ltd.

    18,441  
  1,507    

Hyundai Heavy Industries Holdings Co., Ltd.

    67,334  
  394    

Hyundai Mobis Co., Ltd.

    65,439  
  533    

Hyundai Motor Co.

    75,831  
  4,746    

Hyundai Steel Co.

    126,869  

Number of
Shares


       

Value


 
       

Republic of Korea (Continued)

 

  14,389    

Industrial Bank of Korea

  $ 111,905  
  3,696    

KB Financial Group, Inc.

    134,986  
  2,002    

Kia Motors Corp.

    124,941  
  2,697    

Korea Aerospace Industries Ltd.

    98,490  
  667    

Korea Investment Holdings Co., Ltd.

    28,312  
  2,682    

Korean Air Lines Co., Ltd.

    47,885  
  1,294    

KT&G Corp.

    83,163  
  713    

Kumho Petrochemical Co., Ltd.

    78,868  
  284    

L&F Co., Ltd.

    68,851  
  107    

LG Chemical, Ltd.

    58,764  
  805    

LG Electronics, Inc.

    71,841  
  69    

LG Energy Solution Ltd. (a)

    31,088  
  155    

LG Household & Health Care, Ltd.

    71,610  
  146    

LG Innotek Co., Ltd.

    30,618  
  15,796    

LG Uplus Corp.

    131,601  
  4,046    

Meritz Financial Group, Inc.

    120,533  
  19,803    

Meritz Securities Co., Ltd.

    92,945  
  278    

NCSoft Corp.

    79,667  
  1,994    

NH Investment & Securities Co., Ltd.

    13,517  
  1,210    

Orion Corp.

    126,995  
  9,050    

Pan Ocean Co., Ltd.

    40,569  
  134    

POSCO Holdings, Inc.

    37,911  
  492    

POSCO Chemical Co., Ltd.

    103,698  
  277    

Samsung Electro-Mechanics Co., Ltd.

    32,706  
  32,358    

Samsung Electronics Co., Ltd.

    1,600,134  
  2,697    

Samsung Engineering Co., Ltd. (a)

    65,912  
  214    

Samsung Fire & Marine Insurance Co., Ltd.

    33,827  
  173    

Samsung SDI Co., Ltd.

    98,271  
  2,897    

Samsung Securities Co., Ltd.

    70,812  
  1,177    

SD Biosensor, Inc.

    19,153  
  5,446    

Shinhan Financial Group Co., Ltd.

    147,942  
  425    

SK Biopharmaceuticals Co., Ltd. (a)

    20,711  
  3,100    

SK Hynix, Inc.

    212,148  
  1,956    

Woongjin Coway Co., Ltd.

    78,943  
  12,323    

Woori Financial Group, Inc.

    108,402  
           


              5,846,248  
           


       

Russian Federation - 0.00%

 

  44,711    

Gazprom PJSC - ADR (a)(e)(f)(g)

    0  
  3,704    

Lukoil PJSC - ADR (a)(e)(f)(g)

    0  
  1,815    

Magnit PJSC - ADR (a)(d)(e)(f)(g)

    0  
  5,783    

MMC Norilsk Nickel PJSC - ADR (a)(e)(f)(g)

    0  
  4,954    

Novolipetsk Steel PJSC - ADR (e)(f)(g)

    0  
  5,230    

PhosAgro PJSC (a)(d)(e)(f)(g)

    0  
  994    

Polyus PJSC - GDR - ADR (d)(e)(f)(g)

    0  
  13,382    

Rosneft Oil Co PJSC (e)(f)(g)

    0  
  120,116    

Sberbank Of Russia (a)(e)(f)(g)

    0  
  21,281    

Surgutneftegas OJSC - ADR (a)(e)(f)(g)

    0  
  4,243    

Tatneft PJSC - ADR (a)(e)(f)(g)

    0  
  128,418,000    

VTB Bank PJSC (a)(e)(f)(g)

    0  
  3,865    

X5 Retail Group NV - ADR (d)(e)(f)(g)

    0  
  2,515    

Yandex NV - Class A - ADR (a)(e)(f)(g)

    0  
           


              0  
           


       

Singapore - 0.04%

 

  2,640    

BOC Aviation, Ltd.

    20,473  
           


       

South Africa - 4.25%

 

  13,641    

Absa Group, Ltd.

    139,429  
  2,453    

African Rainbow Minerals, Ltd.

    31,903  
  682    

Anglo American Platinum, Ltd.

    36,611  
 

 

See notes to financial statements.

 

47


GuideMark Emerging Markets Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

South Africa (Continued)

 

  3,686    

Aspen Pharmacare Holdings, Ltd.

  $ 38,113  
  5,009    

Bid Corp., Ltd.

    112,108  
  222    

Capitec Bank Holdings, Ltd.

    21,043  
  3,652    

Clicks Group, Ltd.

    52,535  
  3,430    

Exxaro Resources, Ltd.

    35,850  
  27,764    

FirstRand, Ltd.

    94,103  
  3,210    

Gold Fields, Ltd.

    43,000  
  10,423    

Impala Platinum Holdings, Ltd.

    95,937  
  3,716    

Kumba Iron Ore, Ltd.

    93,956  
  5,550    

Mr. Price Group, Ltd.

    44,949  
  17,584    

MTN Group, Ltd.

    125,980  
  12,030    

MultiChoice Group, Ltd.

    83,598  
  670    

Naspers, Ltd. - N Shares

    124,147  
  9,293    

Nedbank Group, Ltd.

    113,390  
  58,167    

Old Mutual, Ltd.

    38,558  
  27,124    

OUTsurance Group Ltd.

    53,212  
  24,798    

Pepkor Holdings, Ltd.

    24,011  
  2,448    

Remgro, Ltd.

    18,483  
  5,007    

Sasol, Ltd.

    67,663  
  4,548    

Shoprite Holdings, Ltd.

    56,756  
  30,641    

Sibanye Stillwater, Ltd.

    63,268  
  12,903    

Standard Bank Group, Ltd.

    125,105  
  4,392    

The Bidvest Group, Ltd.

    62,512  
  41,122    

Woolworths Holdings, Ltd.

    147,720  
           


              1,943,940  
           


       

South Korea - 0.29%

 

  2,093    

Lotte Shopping Co., Ltd.

    132,080  
           


       

Taiwan, Province of China - 14.09%

 

  3,162    

Accton Technology Corp.

    33,233  
  5,147    

Advantech Co., Ltd.

    62,967  
  9,799    

ASE Technology Holding Co., Ltd.

    36,365  
  13,151    

Catcher Technology Co., Ltd.

    82,211  
  34,148    

Cathay Financial Holding Co., Ltd.

    47,017  
  2,728    

Chailease Holding Co., Ltd.

    20,063  
  44,823    

Chang Hwa Commercial Bank, Ltd.

    25,589  
  135,776    

China Development Financial Holding Corp.

    56,181  
  4,797    

Chunghwa Telecom Co., Ltd.

    18,857  
  88,408    

Compal Electronics, Inc.

    73,423  
  50,572    

CTBC Financial Holding Co., Ltd.

    36,418  
  7,845    

Delta Electronics, Inc.

    77,835  
  11,343    

E Ink Holdings, Inc.

    69,234  
  2,098    

eMemory Technology, Inc.

    129,149  
  38,043    

Eva Airways Corp.

    33,760  
  30,495    

Evergreen Marine Corp. Taiwan, Ltd.

    159,714  
  101,653    

Far Eastern New Century Corp.

    104,623  
  12,586    

Far EasTone Telecommunications Co., Ltd.

    31,105  
  7,996    

Feng TAY Enterprise Co., Ltd.

    50,898  
  73,633    

First Financial Holding Co., Ltd.

    64,090  
  32,871    

Fubon Financial Holding Co., Ltd.

    61,176  
  44,663    

Hon Hai Precision Industry Co., Ltd.

    152,881  
  111,471    

Hua Nan Financial Holdings Co., Ltd.

    82,004  
  9,446    

MediaTek, Inc.

    244,898  
  9,860    

Micro-Star International Co., Ltd.

    46,866  
  1,837    

momo.com, Inc.

    54,726  
  3,737    

Nan Ya Printed Circuit Board Corp.

    35,031  
  7,162    

Nien Made Enterprise Co., Ltd.

    77,134  
  9,424    

Novatek Microelectronics Corp.

    133,920  
  5,259    

Pegatron Corp.

    12,068  

Number of
Shares


       

Value


 
       

Taiwan, Province of China (Continued)

 

  3,583    

PharmaEssentia Corp. (a)

  $ 50,422  
  14,115    

President Chain Store Corp.

    125,094  
  12,817    

Realtek Semiconductor Corp.

    163,601  
  15,402    

Ruentex Development Co., Ltd.

    17,937  
  140,486    

Shin Kong Financial Holding Co., Ltd.

    38,962  
  90,191    

SinoPac Financial Holdings Co., Ltd.

    49,312  
  136,710    

Taiwan Business Bank

    60,549  
  82,531    

Taiwan Cooperative Financial Holding Co., Ltd.

    70,873  
  8,931    

Taiwan Mobile Co., Ltd.

    29,634  
  165,995    

Taiwan Semiconductor Manufacturing Co., Ltd.

    2,909,000  
  27,459    

The Shanghai Commercial & Savings Bank, Ltd.

    42,381  
  11,481    

Unimicron Technology Corp.

    55,996  
  89,066    

Uni-President Enterprises Corp.

    210,551  
  93,712    

United Microelectronics Corp.

    163,990  
  47,164    

Walsin Lihwa Corp.

    75,962  
  26,116    

Wan Hai Lines, Ltd.

    59,106  
  38,824    

Winbond Electronics Corp.

    33,969  
  53,140    

Yang Ming Marine Transport Corp.

    112,813  
  73,960    

Yuanta Financial Holding Co., Ltd.

    54,389  
           


              6,437,977  
           


       

Thailand - 1.58%

 

  6,760    

Advanced Info Service PLC - NVDR

    41,933  
  31,708    

Airports of Thailand PLC - NVDR (a)

    65,893  
  253,279    

Asset World Corp PLC

    43,010  
  27,250    

Bangkok Dusit Medical Services PLC

    23,525  
  163,330    

Banpu Public Co., Ltd. - NVDR

    51,664  
  6,853    

Bumrungrad Hospital PLC - NVDR

    45,347  
  32,430    

Central Pattana PLC - NVDR

    65,306  
  16,704    

Central Retail Corp PLC

    21,925  
  4,020    

Delta Electronics Thailand PLC - NVDR

    134,873  
  6,767    

Electricity Generating PLC - NVDR

    30,813  
  11,397    

Gulf Energy Development PLC - NVDR

    17,616  
  45,073    

Home Product Center PLC - NVDR

    19,029  
  115,383    

Krung Thai Bank PLC

    55,717  
  11,163    

Krungthai Card PLC

    17,734  
  60,632    

Osotspa PLC - NVDR

    54,569  
  7,808    

PTT Exploration & Production PLC

    34,311  
           


              723,265  
           


       

Turkey - 2.16%

 

  120,011    

Akbank Turk AS

    106,190  
  15,190    

BIM Birlesik Magazalar AS

    117,978  
  19,325    

Haci Omer Sabanci Holding AS

    39,968  
  43,730    

KOC Holding AS

    174,676  
  20,353    

Turk Hava Yollari AO (a)

    126,035  
  38,327    

Turkcell Iletisim Hizmetleri AS

    64,137  
  466,400    

Turkiye Is Bankasi - Series C

    315,755  
  82,783    

Yapi ve Kredi Bankasi AS

    41,464  
           


              986,203  
           


       

United Arab Emirates - 1.15%

 

  24,201    

Abu Dhabi Commercial Bank PJSC

    54,768  
  17,866    

Abu Dhabi Islamic Bank PJSC

    48,593  
  63,845    

Abu Dhabi National Oil Co. for Distribution PJSC

    72,668  
  86,422    

Aldar Properties PJSC

    109,597  
  89,456    

Emaar Properties PJSC

    136,689  
  9,317    

Emirates NBD Bank PJSC

    33,341  
  4,091    

Emirates Telecommunications Group Co. PJSC

    24,580  
 

 

See notes to financial statements.

 

48


GuideMark Emerging Markets Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

United Arab Emirates (Continued)

 

  12,473    

First Abu Dhabi Bank PJSC

  $ 43,808  
           


              524,044  
           


       

Total Common Stocks
(Cost $37,528,675)

    42,569,965  
           


       

INVESTMENT COMPANIES - 5.93%

 

       

China - 1.95%

 

  18,271    

iShares Core MSCI Emerging Markets ETF (b)

    891,442  
           


       

Saudi Arabia - 3.98%

       
  46,998    

iShares MSCI Saudi Arabia ETF (b)

    1,820,233  
           


       

Total Investment Companies
(Cost $2,402,084)

    2,711,675  
           


       

PREFERRED STOCKS - 2.39%

 

       

Brazil - 1.66%

 

  28,116    

Banco Bradesco SA - Preference Shares

    73,279  
  4,834    

Centrais Eletricas Brasileiras SA - Preference Shares

    34,564  
  49,016    

Cia Energetica de Minas Gerais - Preference Shares

    110,924  
  23,814    

Gerdau SA - Preference Shares

    118,872  
  37,716    

Itau Unibanco Holding SA - Preference Shares

    184,917  
  51,087    

Petroleo Brasileiro SA - Preference Shares

    235,858  
           


              758,414  
           


       

Chile - 0.19%

 

  1,083    

Sociedad Quimica y Minera de Chile SA - Class B

    87,022  
           


       

Republic of Korea - 0.54%

 

  446    

Hyundai Motor Co. - 1st Preference Shares

    32,424  
  487    

Hyundai Motor Co. - 2nd Preference Shares

    35,973  
  4,305    

Samsung Electronics Co., Ltd. - Preference Shares

    179,151  
           


              247,548  
           


       

Total Preferred Stocks
(Cost $870,403)

    1,092,984  
           


       

REAL ESTATE INVESTMENT TRUSTS - 0.05%

 

       

Mexico - 0.05%

 

  14,555    

Fibra Uno Administracion SA de CV

    20,379  
           


       

Total Real Estate Investment Trusts
(Cost $19,239)

    20,379  
           


Number of
Shares


       

Value


 
       

SHORT TERM INVESTMENTS - 0.43%

 

       

Money Market Funds - 0.43%

 

  196,628    

JPMorgan US Government Money Market Fund Effective Yield, 4.73% (c)

  $ 196,628  
           


       

Total Short Term Investments
(Cost $196,628)

    196,628  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 6.44%

 

  2,941,322    

Mount Vernon Liquid Assets Portfolio, LLC Effective Yield, 4.93% (c)

    2,941,322  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $2,941,322)

    2,941,322  
           


       

Total Investments
(Cost $43,958,351) - 108.39%

    49,532,953  
       

Liabilities in Excess of
Other Assets - (8.39)%

    (3,833,689
           


       

TOTAL NET ASSETS - 100.00%

  $ 45,699,264  
           


Percentages are stated as a percent of net assets.

(a)   Non-income producing security.
(b)   All or portion of this security is on loan.
(c)   Seven-day yield as of March 31, 2023.
(d)   Regulation S securities, as defined under the Securities Act of 1933. Such securities are treated as liquid according to the Fund’s liquidity guidelines. The value of these securities total $0, which represents 0.00% of total net assets.
(e)   Value determined using significant unobservable inputs. Classified as Level 3 in the fair value hierarchy.
(f)   As of March 31, 2023, the Valuation Committee has fair valued these securities. The value of these securities were $22,633, which represents 0.05% of total net assets.
(g)   These securities have been deemed illiquid according to the Fund’s liquidity guidelines. The value of these securities total $22,633, which represents 0.05% of total net assets.

Glossary of Terms

ADR   -   American Depositary Receipt
GDR   -   Global Depositary Receipt
NVDR   -   Non-Voting Depositary Receipt
 

 

See notes to financial statements.

 

49


GuideMark Emerging Markets Fund

SCHEDULE OF INVESTMENTS BY INDUSTRY

March 31, 2023


 

COMMON STOCKS

        

Aerospace & Defense

     0.34%  

Air Freight & Logistics

     0.11%  

Airlines

     0.45%  

Auto Components

     0.39%  

Automobiles

     1.67%  

Banks

     11.06%  

Beverages

     1.74%  

Biotechnology

     0.66%  

Broadline Retail

     2.91%  

Building Products

     0.11%  

Capital Markets

     1.10%  

Chemicals

     0.96%  

Commercial Services & Supplies

     0.12%  

Communications Equipment

     0.20%  

Construction & Engineering

     0.73%  

Construction Materials

     1.00%  

Consumer Finance

     0.55%  

Consumer Staples Distribution & Retail

     0.32%  

Department Stores

     0.29%  

Distributors

     0.12%  

Diversified Consumer Services

     0.33%  

Diversified Financial Services

     0.60%  

Diversified Telecommunication Services

     1.36%  

Electric Utilities

     0.52%  

Electrical Equipment

     0.79%  

Electronic Equipment, Instruments & Components

     1.96%  

Energy Equipment & Services

     0.16%  

Entertainment

     0.60%  

Financial Services

     0.04%  

Food & Staples Retailing

     2.24%  

Food Products

     3.11%  

Gas Utilities

     0.03%  

Health Care Equipment & Supplies

     0.13%  

Health Care Providers & Services

     0.52%  

Health Care Technology

     0.06%  

Hotels, Restaurants & Leisure

     1.39%  

Household Durables

     1.08%  

Household Products

     0.31%  

Independent Power and Renewable Electricity Producers

     0.57%  

Industrial Conglomerates

     1.76%  

Insurance

     2.52%  

Interactive Media & Services

     0.54%  

Internet & Direct Marketing Retail

     1.89%  

Internet Software & Services

     0.00%  

IT Services

     6.84%  

Life Sciences Tools & Services

     0.07%  

Machinery

     0.15%  

Marine

     0.77%  

Marine Transportation

     0.65%  

Media

     0.76%  
          

Metals & Mining

     4.26%  

Multiline Retail

     0.45%  

Oil, Gas & Consumable Fuels

     6.01%  

Paper & Forest Products

     0.10%  

Passenger Airlines

     0.10%  

Personal Products

     1.05%  

Pharmaceuticals

     3.37%  

Real Estate Management & Development

     1.54%  

Semiconductors & Semiconductor Equipment

     12.75%  

Software

     0.56%  

Specialty Retail

     0.96%  

Technology Hardware, Storage & Peripherals

     0.97%  

Textiles, Apparel & Luxury Goods

     1.54%  

Thrifts & Mortgage Finance

     0.48%  

Tobacco

     0.39%  

Trading Companies & Distributors

     0.47%  

Transportation Infrastructure

     0.22%  

Water Utilities

     0.20%  

Wireless Telecommunication Services

     1.15%  
    


TOTAL COMMON STOCKS

     93.15%  
    


INVESTMENT COMPANIES

        

International Equity Funds

     5.93%  
    


TOTAL INVESTMENT COMPANIES

     5.93%  
    


PREFERRED STOCKS

        

Automobiles

     0.15%  

Banks

     0.56%  

Chemicals

     0.19%  

Electric Utilities

     0.32%  

Metals & Mining

     0.26%  

Oil, Gas & Consumable Fuels

     0.52%  

Semiconductors & Semiconductor Equipment

     0.39%  
    


TOTAL PREFERRED STOCKS

     2.39%  
    


REAL ESTATE INVESTMENT TRUSTS

        

Equity Real Estate Investment Trusts (REITs)

     0.05%  
    


TOTAL REAL ESTATE INVESTMENT TRUSTS

     0.05%  
    


SHORT TERM INVESTMENTS

        

Money Market Funds

     0.43%  
    


TOTAL SHORT TERM INVESTMENTS

     0.43%  
    


INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL

        

Private Investment Funds

     6.44%  
    


TOTAL INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL

     6.44%  
    


TOTAL INVESTMENTS

     108.39%  

Liabilities in Excess of Other Assets

     (8.39)%  
    


TOTAL NET ASSETS

     100.00%  
    


 

 

See notes to financial statements.

 

50


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS - 89.75%

 

       

Aerospace & Defense - 1.16%

 

  1,220    

AAR Corp. (a)

  $ 66,551  
  476    

Aerojet Rocketdyne Holdings, Inc. (a)(b)

    26,737  
  938    

Axon Enterprise, Inc. (a)

    210,909  
  326    

BWX Technologies, Inc.

    20,551  
  567    

Curtiss-Wright Corp. (b)

    99,939  
  684    

Ducommun, Inc. (a)

    37,422  
  647    

Hexcel Corp. (b)

    44,158  
  3,348    

Howmet Aerospace, Inc.

    141,855  
  485    

Huntington Ingalls Industries, Inc. (b)

    100,405  
  660    

Moog, Inc. - Class A

    66,495  
  908    

Parsons Corp. (a)

    40,624  
  2,897    

Textron, Inc.

    204,615  
  1,164    

V2X, Inc. (a)

    46,234  
           


              1,106,495  
           


       

Air Freight & Logistics - 0.30%

 

  981    

Air Transport Services Group, Inc. (a)

    20,434  
  541    

Forward Air Corp. (b)

    58,298  
  1,186    

GXO Logistics, Inc. (a)(b)

    59,846  
  732    

Hub Group, Inc. - Class A (a)

    61,444  
  8,035    

Radiant Logistics, Inc. (a)

    52,710  
  978    

XPO Logistics, Inc. (a)

    31,198  
           


              283,930  
           


       

Airlines - 0.16%

 

  1,405    

Alaska Air Group, Inc. (a)

    58,954  
  2,672    

American Airlines Group, Inc. (a)

    39,412  
  2,954    

JetBlue Airways Corp. (a)

    21,505  
  3,835    

Joby Aviation, Inc. (a)

    16,644  
  750    

SkyWest, Inc. (a)

    16,627  
           


              153,142  
           


       

Auto Components - 0.83%

 

  1,357    

Adient PLC - ADR (a)

    55,583  
  3,589    

American Axle & Manufacturing Holdings, Inc. (a)(b)

    28,030  
  2,430    

BorgWarner, Inc.

    119,337  
  807    

Dana, Inc. (b)

    12,145  
  404    

Dorman Products, Inc. (a)

    34,849  
  381    

Fox Factory Holding Corp. (a)(b)

    46,242  
  2,920    

Gentex Corp.

    81,848  
  464    

Gentherm, Inc. (a)

    28,035  
  4,193    

Goodyear Tire & Rubber Co. (a)(b)

    46,207  
  425    

LCI Industries (b)

    46,695  
  513    

Lear Corp.

    71,558  
  2,834    

Modine Manufacturing Co. (a)

    65,324  
  894    

Standard Motor Products, Inc.

    32,998  
  1,319    

Stoneridge, Inc. (a)

    24,665  
  147    

Visteon Corp. (a)

    23,054  
  1,020    

XPEL, Inc. (a)

    69,309  
           


              785,879  
           


       

Automobiles - 0.17%

 

  1,852    

Harley-Davidson, Inc. (b)

    70,320  
  722    

Thor Industries, Inc. (b)

    57,500  
  674    

Winnebago Industries, Inc. (b)

    38,890  
           


              166,710  
           


       

Banks - 5.02%

 

  624    

Amerant Bancorp, Inc.

    13,578  
  1,128    

Ameris Bancorp (b)

    41,262  

Number of
Shares


       

Value


 
       

Banks (Continued)

 

  2,420    

Associated Banc-Corp.

  $ 43,512  
  975    

Atlantic Union Bankshares Corp. (b)

    34,174  
  195    

BancFirst Corp.

    16,204  
  2,010    

Banco Latinoamericano de Comercio Exterior SA - Class E - ADR

    34,934  
  3,049    

Bancorp, Inc. (a)

    84,915  
  590    

Bank of Hawaii Corp. (b)

    30,727  
  1,563    

Bank OZK (b)

    53,455  
  1,297    

BankUnited, Inc.

    29,286  
  2,411    

Blue Ridge Bankshares Inc.

    24,592  
  429    

BOK Financial Corp.

    36,212  
  993    

Business First Bancshares, Inc.

    17,010  
  943    

Byline Bancorp, Inc.

    20,388  
  2,799    

Cadence Bank (b)

    58,107  
  261    

Cambridge Bancorp

    16,915  
  481    

Camden National Corp.

    17,407  
  1,993    

Capital Bancorp, Inc.

    33,164  
  1,616    

Capstar Financial Holdings, Inc.

    24,482  
  1,275    

Cathay General Bancorp

    44,013  
  815    

Central Pacific Financial Corp.

    14,588  
  340    

City Holding Co.

    30,899  
  933    

Civista Bancshares, Inc.

    15,749  
  1,331    

CNB Financial Corp.

    25,555  
  1,036    

Coastal Financial Corp. (a)

    37,306  
  2,289    

Columbia Banking System, Inc.

    49,030  
  1,806    

Columbia Financial, Inc. (a)

    33,014  
  2,369    

Comerica, Inc. (b)

    102,862  
  1,459    

Commerce Bancshares, Inc. (b)

    85,133  
  304    

Community Bank Systems, Inc.

    15,957  
  1,094    

ConnectOne Bancorp, Inc.

    19,342  
  500    

Cullen Frost Bankers, Inc. (b)

    52,670  
  2,096    

Customers Bancorp, Inc. (a)

    38,818  
  1,254    

CVB Financial Corp.

    20,917  
  988    

Dime Community Bancshares, Inc.

    22,447  
  579    

Eagle Bancorp, Inc.

    19,379  
  2,323    

East West Bancorp, Inc. (b)

    128,927  
  1,635    

Eastern Bankshares, Inc.

    20,634  
  417    

Enterprise Bancorp, Inc.

    13,119  
  1,168    

Enterprise Financial Services Corp.

    52,081  
  1,035    

Equity Bancshares, Inc. - Class A

    25,223  
  4,067    

F.N.B. Corp. (b)

    47,177  
  528    

FB Financial Corp.

    16,410  
  1,462    

Financial Institutions, Inc.

    28,187  
  785    

First Bancorp (North Carolina) (b)

    27,883  
  5,140    

First BanCorp (Puerto Rico) - ADR

    58,699  
  854    

First Bancshares, Inc.

    22,059  
  2,391    

First Bank (b)

    24,149  
  1,247    

First Busey Corp.

    25,364  
  146    

First Citizens BancShares, Inc. - Class A (b)

    142,073  
  2,384    

First Commonwealth Financial Corp.

    29,633  
  676    

First Community Bancshares, Inc.

    16,934  
  1,512    

First Financial Bancorp.

    32,916  
  1,365    

First Financial Bankshares, Inc.

    43,544  
  792    

First Financial Corp.

    29,684  
  1,585    

First Hawaiian, Inc.

    32,699  
  7,822    

First Horizon National Corp.

    139,075  
  1,030    

First Internet Bancorp

    17,150  
  450    

First Interstate BancSystem, Inc. - Class A

    13,437  
  3,010    

Fulton Financial Corp.

    41,598  
  571    

German American Bancorp, Inc.

    19,054  
 

 

See notes to financial statements.

 

51


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Banks (Continued)

 

  1,277    

Glacier Bancorp, Inc. (b)

  $ 53,647  
  1,511    

Hancock Whitney Corp. (b)

    55,000  
  2,112    

Hanmi Financial Corp.

    39,220  
  2,308    

HarborOne Bancorp, Inc.

    28,158  
  1,650    

HBT Financial, Inc.

    32,538  
  682    

Heartland Financial U.S.A., Inc.

    26,162  
  1,176    

Hilltop Holdings, Inc.

    34,892  
  932    

Home BancShares, Inc. (b)

    20,234  
  1,149    

HomeTrust Bancshares, Inc.

    28,254  
  3,219    

Hope Bancorp, Inc.

    31,611  
  383    

Independent Bank Corp.

    25,132  
  1,337    

Independent Bank Corp.

    23,758  
  551    

Independent Bank Group, Inc.

    25,539  
  1,757    

Kearny Financial Corp.

    14,267  
  1,211    

Lakeland Bancorp, Inc.

    18,940  
  573    

Lakeland Financial Corp.

    35,893  
  876    

Live Oak Bancshares, Inc. (b)

    21,348  
  2,399    

Luther Burbank Corp.

    22,743  
  1,080    

Mercantile Bank Corp.

    33,026  
  1,438    

Metrocity Bankshares, Inc.

    24,575  
  348    

Metropolitan Bank Holding Corp. (a)

    11,794  
  822    

Mid Penn Bancorp, Inc.

    21,051  
  1,269    

Midland States Bancorp, Inc.

    27,182  
  1,015    

MidWestOne Financial Group, Inc.

    24,786  
  971    

MVB Financial Corp.

    20,041  
  519    

National Bank Holdings Corp. - Class A

    17,366  
  727    

NBT Bancorp, Inc.

    24,507  
  328    

Nicolet Bankshares, Inc. (a)

    20,680  
  1,437    

OFG Bancorp - ADR

    35,839  
  2,825    

Old National Bancorp (b)

    40,737  
  1,813    

Old Second Bancorp, Inc.

    25,491  
  716    

Origin Bancorp, Inc.

    23,019  
  1,386    

Orrstown Financial Services, Inc.

    27,526  
  963    

Pacific Premier Bancorp, Inc.

    23,131  
  2,153    

PacWest Bancorp (b)

    20,949  
  229    

Park National Corp.

    27,153  
  671    

Peapack Gladstone Financial Corp.

    19,875  
  874    

Pinnacle Financial Partners, Inc.

    48,210  
  1,178    

Popular, Inc. - ADR

    67,629  
  551    

Preferred Bank (b)

    30,200  
  738    

Premier Financial Corp.

    15,299  
  971    

Prosperity Bancshares, Inc. (b)

    59,736  
  586    

QCR Holdings, Inc.

    25,731  
  1,313    

RBB Bancorp

    20,352  
  435    

Republic Bancorp, Inc. - Class A

    18,457  
  1,011    

S&T Bancorp, Inc.

    31,796  
  695    

Sandy Spring Bancorp, Inc.

    18,056  
  985    

ServisFirst Bancshares, Inc. (b)

    53,811  
  1,861    

Simmons First National Corp. - Class A

    32,549  
  865    

SmartFinancial, Inc.

    20,016  
  1,398    

South Plains Financial, Inc.

    29,931  
  1,043    

South State Corp. (b)

    74,324  
  424    

Southern First Bancshares, Inc. (a)

    13,017  
  547    

Southside Bancshares, Inc.

    18,160  
  549    

Stock Yards Bancorp, Inc.

    30,272  
  1,277    

Summit Financial Group, Inc.

    26,498  
  2,558    

Synovus Financial Corp.

    78,863  
  675    

Texas Capital Bancshares, Inc. (a)(b)

    33,048  
  1,000    

The Bank of N.T. Butterfield & Son, Ltd. - ADR

    27,000  

Number of
Shares


       

Value


 
       

Banks (Continued)

 

  1,049    

TowneBank

  $ 27,956  
  500    

Triumph Bancorp, Inc. (a)

    29,030  
  1,050    

Trustmark Corp.

    25,935  
  669    

UMB Financial Corp.

    38,615  
  1,585    

United Bankshares, Inc. (b)

    55,792  
  2,294    

United Community Banks, Inc.

    64,507  
  1,224    

Univest Corp. of Pennsylvania

    29,058  
  5,260    

Valley National Bancorp (b)

    48,602  
  909    

Veritex Holdings, Inc.

    16,598  
  527    

Washington Trust Bancorp, Inc.

    18,266  
  1,620    

Webster Financial Corp.

    63,860  
  1,440    

WesBanco, Inc.

    44,208  
  1,329    

West Bancorporation, Inc.

    24,281  
  1,946    

Western Alliance Bancorp (b)

    69,161  
  851    

Wintrust Financial Corp. (b)

    62,080  
  2,824    

Zions Bancorporation (b)

    84,522  
           


              4,787,202  
           


       

Beverages - 0.45%

 

  171    

Boston Beer Co., Inc. - Class A (a)(b)

    56,208  
  690    

Celsius Holdings, Inc. (a)

    64,129  
  252    

Coca-Cola Consolidated, Inc.

    134,840  
  478    

MGP Ingredients, Inc.

    46,232  
  1,321    

National Beverage Corp. (a)

    69,643  
  3,800    

Primo Water Corp. - ADR

    58,330  
           


              429,382  
           


       

Biotechnology - 2.43%

 

  3,712    

ACADIA Pharmaceuticals, Inc. (a)

    69,860  
  4,854    

Achillion Pharmaceuticals, Inc. (a)(c)(e)(f)

    2,233  
  1,181    

Aduro Biotech, Inc. (a)(c)(e)(f)

    0  
  4,144    

Alkermes PLC - ADR (a)

    116,819  
  1,560    

Amicus Therapeutics, Inc. (a)

    17,300  
  666    

Apellis Pharmaceuticals, Inc. (a)

    43,929  
  2,672    

Arcus Biosciences, Inc. (a)

    48,737  
  1,051    

CareDx, Inc. (a)

    9,606  
  10,835    

Catalyst Pharmaceuticals, Inc. (a)

    179,644  
  4,694    

Coherus Biosciences, Inc. (a)

    32,107  
  653    

Cytokinetics, Inc. (a)(b)

    22,979  
  7,358    

Dynavax Technologies Corp. (a)(b)

    72,182  
  3,593    

Eagle Pharmaceuticals, Inc. (a)

    101,934  
  3,690    

Emergent BioSolutions, Inc. (a)

    38,228  
  618    

Exact Sciences Corp. (a)(b)

    41,907  
  8,793    

Exelixis, Inc. (a)

    170,672  
  5,017    

Foghorn Therapeutics, Inc. (a)

    31,105  
  1,156    

Halozyme Therapeutics, Inc. (a)

    44,148  
  749    

Ionis Pharmaceuticals, Inc. (a)

    26,769  
  6,114    

Ironwood Pharmaceuticals, Inc. - Class A (a)

    64,319  
  4,261    

iTeos Therapeutics, Inc. (a)

    57,992  
  179    

Karuna Therapeutics, Inc. (a)(b)

    32,514  
  7,593    

Karyopharm Therapeutics, Inc. (a)

    29,537  
  358    

Ligand Pharmaceuticals, Inc. (a)(b)

    26,335  
  7,439    

MannKind Corp. (a)

    30,500  
  12,644    

MiMedx Group, Inc. (a)

    43,116  
  1,419    

Myriad Genetics, Inc. (a)

    32,963  
  394    

Natera, Inc. (a)

    21,875  
  713    

Neurocrine Biosciences, Inc. (a)

    72,170  
  20,079    

OPKO Health, Inc. (a)

    29,315  
  35,840    

Organogenesis Holdings, Inc. (a)

    76,339  
  354    

Prometheus Biosciences, Inc. (a)

    37,991  
  362    

PTC Therapeutics, Inc. (a)

    17,535  
 

 

See notes to financial statements.

 

52


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Biotechnology (Continued)

 

  6,802    

Radius Health, Inc. (a)(c)(e)(f)

  $ 544  
  271    

Repligen Corp. (a)

    45,626  
  508    

Sarepta Therapeutics, Inc. (a)

    70,018  
  797    

Travere Therapeutics, Inc. (a)

    17,925  
  1,170    

United Therapeutics Corp. (a)

    262,033  
  9,018    

Vanda Pharmaceuticals, Inc. (a)

    61,232  
  2,767    

Vericel Corp. (a)

    81,129  
  5,973    

Vir Biotechnology, Inc. (a)

    138,992  
           


              2,320,159  
           


       

Building Products - 2.06%

 

  2,043    

A. O. Smith Corp. (b)

    141,273  
  200    

AAON, Inc.

    19,338  
  778    

Advanced Drainage Systems, Inc. (b)

    65,515  
  1,101    

Allegion PLC - ADR

    117,510  
  748    

American Woodmark Corp. (a)

    38,948  
  1,160    

Apogee Enterprises, Inc.

    50,170  
  216    

Armstrong World Industries, Inc.

    15,388  
  4,524    

Builders FirstSource, Inc. (a)(b)

    401,641  
  224    

CSW Industrials, Inc.

    31,120  
  2,034    

Fortune Brands Home & Security, Inc. (b)

    119,457  
  1,017    

Griffon Corp.

    32,554  
  1,371    

Insteel Industries, Inc.

    38,141  
  1,681    

JELD-WEN Holding, Inc. (a)

    21,282  
  473    

Lennox International, Inc. (b)

    118,855  
  608    

Masonite International Corp. - ADR (a)

    55,188  
  2,034    

Masterbrand, Inc. (a)

    16,353  
  1,509    

Owens Corning, Inc.

    144,562  
  485    

Patrick Industries, Inc. (b)

    33,373  
  2,650    

PGT Innovations, Inc. (a)

    66,542  
  2,745    

Quanex Building Products Corp.

    59,100  
  2,310    

Resideo Technologies, Inc. (a)

    42,227  
  865    

Simpson Manufacturing Co., Inc.

    94,839  
  1,851    

Trex Co., Inc. (a)(b)

    90,088  
  1,938    

UFP Industries, Inc.

    154,013  
           


              1,967,477  
           


       

Capital Markets - 2.87%

 

  761    

Affiliated Managers Group, Inc.

    108,382  
  1,629    

Artisan Partners Asset Management, Inc. - Class A

    52,095  
  975    

Avantax, Inc. (a)(b)

    25,662  
  1,632    

Brightsphere Investment Group, Inc.

    38,483  
  841    

Cboe Global Markets, Inc.

    112,896  
  1,025    

Cohen & Steers, Inc.

    65,559  
  334    

Diamond Hill Investment Group, Inc.

    54,970  
  1,980    

Donnelley Financial Solutions, Inc. (a)

    80,903  
  1,019    

Evercore, Inc. - Class A (b)

    117,572  
  521    

FactSet Research Systems, Inc.

    216,262  
  2,306    

Federated Hermes, Inc.

    92,563  
  859    

Hamilton Lane, Inc. - Class A (b)

    63,549  
  1,127    

Houlihan Lokey, Inc. (b)

    98,601  
  4,225    

Invesco, Ltd. - ADR

    69,290  
  2,781    

Janus Henderson Group PLC - ADR (b)

    74,086  
  2,429    

Lazard, Ltd. - Class A - ADR

    80,424  
  1,383    

LPL Financial Holdings, Inc.

    279,919  
  381    

MarketAxess Holdings, Inc. (b)

    149,082  
  1,978    

Moelis & Co. - Class A

    76,034  
  4,517    

Open Lending Corp. - Class A (a)

    31,800  
  1,125    

Oppenheimer Holdings, Inc. - Class A

    44,044  

Number of
Shares


       

Value


 
       

Capital Markets (Continued)

 

  574    

Piper Jaffray Cos.

  $ 79,562  
  1,011    

PJT Partners, Inc. - Class A

    72,984  
  3,147    

Robinhood Markets, Inc. - Class A (a)

    30,557  
  2,118    

Sculptor Capital Management, Inc.

    18,236  
  1,754    

SEI Investments Co.

    100,943  
  1,047    

Silvercrest Asset Management Group, Inc. - Class A

    19,034  
  2,110    

Stifel Financial Corp. (b)

    124,680  
  828    

StoneX Group, Inc. (a)

    85,723  
  3,817    

The Carlyle Group, Inc.

    118,556  
  2,062    

Valhi, Inc.

    35,899  
  3,300    

Virtu Financial, Inc. - Class A

    62,370  
  293    

Virtus Investment Partners, Inc.

    55,784  
           


              2,736,504  
           


       

Chemicals - 1.37%

 

  1,698    

AdvanSix, Inc. (b)

    64,982  
  2,040    

American Vanguard Corp.

    44,635  
  617    

Ashland Global Holdings, Inc.

    63,372  
  1,053    

Avient Corp. (b)

    43,342  
  2,211    

Axalta Coating Systems, Ltd. - ADR (a)

    66,971  
  565    

Cabot Corp.

    43,302  
  3,196    

Element Solutions, Inc.

    61,715  
  580    

H.B. Fuller Co.

    39,701  
  948    

Hawkins, Inc.

    41,503  
  3,147    

Huntsman Corp. (b)

    86,102  
  461    

Ingevity Corp. (a)

    32,971  
  464    

Innospec, Inc.

    47,639  
  1,174    

Intrepid Potash, Inc. (a)

    32,402  
  1,084    

Koppers Holdings, Inc.

    37,908  
  2,242    

Livent Corp. (a)(b)

    48,696  
  460    

Minerals Technologies, Inc.

    27,793  
  81    

NewMarket Corp.

    29,563  
  2,726    

Olin Corp.

    151,293  
  1,698    

RPM International, Inc.

    148,134  
  298    

Sensient Technologies Corp.

    22,815  
  1,979    

The Chemours Co.

    59,251  
  2,871    

Tronox Holdings PLC - ADR

    41,285  
  2,095    

Valvoline, Inc.

    73,199  
           


              1,308,574  
           


       

Commercial Services & Supplies - 1.17%

 

  835    

ABM Industries, Inc.

    37,525  
  4,135    

ACCO Brands Corp.

    21,998  
  3,855    

ADT, Inc.

    27,872  
  1,147    

Avery Dennison Corp. (b)

    205,233  
  2,399    

BrightView Holdings, Inc. (a)

    13,482  
  173    

Casella Waste Systems, Inc. - Class A (a)

    14,300  
  1,217    

Cimpress PLC - ADR (a)

    53,329  
  670    

Clean Harbors, Inc. (a)

    95,515  
  896    

Comfort Systems USA, Inc.

    130,780  
  2,045    

Deluxe Corp.

    32,720  
  1,097    

Heritage-Crystal Clean, Inc. (a)

    39,064  
  2,274    

Herman Miller, Inc.

    46,503  
  1,519    

HNI Corp.

    42,289  
  3,635    

Interface, Inc.

    29,516  
  4,551    

Kimball International, Inc. - Class B

    56,433  
  290    

McGrath RentCorp

    27,060  
  476    

MSA Safety, Inc.

    63,546  
  3,990    

NL Industries, Inc.

    24,179  
  411    

Ritchie Bros Auctioneers, Inc. - ADR

    23,135  
 

 

See notes to financial statements.

 

53


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Commercial Services & Supplies (Continued)

 

  2,956    

Steelcase, Inc. - Class A

  $ 24,890  
  500    

Stericycle, Inc. (a)(b)

    21,805  
  246    

Tetra Tech, Inc. (b)

    36,140  
  720    

The Brinks Co.

    48,096  
           


              1,115,410  
           


       

Communications Equipment - 1.42%

 

  1,242    

ADTRAN Holdings, Inc.

    19,698  
  922    

Aviat Networks, Inc. (a)

    31,772  
  2,439    

Calix, Inc. (a)

    130,706  
  2,972    

Cambium Networks Corp. - ADR (a)

    52,664  
  14,309    

Casa Systems, Inc. (a)(b)

    18,173  
  1,529    

Ciena Corp. (a)(b)

    80,303  
  1,147    

Clearfield, Inc. (a)(b)

    53,427  
  1,906    

Comtech Telecommunications Corp.

    23,787  
  1,468    

Digi International, Inc. (a)

    49,442  
  2,317    

DZS, Inc. (a)

    18,281  
  1,814    

EchoStar Corp. - Class A (a)

    33,178  
  10,564    

Extreme Networks, Inc. (a)

    201,984  
  996    

F5 Networks, Inc. (a)

    145,107  
  3,420    

Harmonic, Inc. (a)

    49,898  
  30,763    

Inseego Corp. (a)

    17,916  
  367    

InterDigital, Inc. (b)

    26,754  
  5,889    

Juniper Networks, Inc.

    202,699  
  850    

Lumentum Holdings, Inc. (a)(b)

    45,909  
  1,293    

NETGEAR, Inc. (a)

    23,934  
  1,833    

NetScout Systems, Inc. (a)

    52,516  
  14,036    

Ribbon Communications, Inc. (a)(b)

    48,003  
  2,605    

Viavi Solutions, Inc. (a)

    28,212  
           


              1,354,363  
           


       

Construction & Engineering - 1.58%

 

  2,048    

AECOM

    172,687  
  2,526    

API Group Corp. (a)

    56,784  
  862    

Arcosa, Inc.

    54,401  
  388    

Dycom Industries, Inc. (a)

    36,336  
  1,010    

EMCOR Group, Inc.

    164,216  
  1,747    

Fluor Corp. (a)(b)

    54,000  
  1,189    

IES Holdings, Inc. (a)

    51,234  
  1,792    

KBR, Inc.

    98,650  
  909    

MasTec, Inc. (a)(b)

    85,846  
  559    

MYR Group, Inc. (a)

    70,440  
  1,083    

Northwest Pipe Co. (a)

    33,822  
  500    

NV5 Global, Inc. (a)

    51,985  
  1,601    

Primoris Services Corp.

    39,481  
  1,717    

Quanta Services, Inc.

    286,121  
  2,237    

Sterling Infrastructure, Inc. (a)

    84,737  
  6,243    

Tutor Perini Corp. (a)

    38,519  
  2,661    

WillScot Mobile Mini Holdings Corp. - Class A (a)

    124,748  
           


              1,504,007  
           


       

Construction Materials - 0.15%

 

  526    

Eagle Materials, Inc.

    77,191  
  1,631    

Summit Materials, Inc. - Class A (a)(b)

    46,467  
  135    

United States Lime & Minerals, Inc.

    20,613  
           


              144,271  
           


       

Consumer Finance - 0.88%

 

  2,036    

Atlanticus Holdings Corp. (a)

    55,237  

Number of
Shares


       

Value


 
       

Consumer Finance (Continued)

 

  4,512    

Consumer Portfolio Services, Inc. (a)

  $ 48,233  
  203    

Credit Acceptance Corp. (a)(b)

    88,516  
  2,599    

Enova International, Inc. (a)

    115,474  
  3,102    

EZCORP, Inc. - Class A (a)

    26,677  
  395    

FirstCash Holdings, Inc.

    37,671  
  1,903    

LendingClub Corp. (a)

    13,721  
  6,122    

Navient Corp.

    97,891  
  651    

Nelnet, Inc. - Class A (b)

    59,820  
  3,056    

OneMain Holdings, Inc. (b)

    113,316  
  648    

PRA Group, Inc. (a)(b)

    25,246  
  1,815    

PROG Holdings, Inc. (a)

    43,179  
  1,540    

Regional Management Corp.

    40,179  
  5,849    

SLM Corp.

    72,469  
           


              837,629  
           


       

Consumer Staples Distribution & Retail - 0.18%

 

  4,871    

Albertsons Cos., Inc. - Class A

    101,220  
  131,296    

Boxed, Inc. (a)(b)

    24,920  
  1,608    

Grocery Outlet Holding Corp. (a)(b)

    45,442  
           


              171,582  
           


       

Containers & Packaging - 0.86%

 

  456    

AptarGroup, Inc.

    53,895  
  1,281    

Ardagh Group SA - ADR (a)(c)(e)(f)

    0  
  1,518    

Berry Global Group, Inc.

    89,410  
  314    

Crown Holdings, Inc.

    25,971  
  2,258    

Graphic Packaging Holding Co.

    57,556  
  696    

Greif, Inc. - Class A

    44,106  
  436    

Greif, Inc. - Class B

    33,363  
  2,215    

Myers Industries, Inc.

    47,467  
  3,037    

O-I Glass, Inc. (a)(b)

    68,970  
  1,166    

Packaging Corp. of America (b)

    161,876  
  2,098    

Sealed Air Corp.

    96,319  
  1,249    

Silgan Holdings, Inc.

    67,034  
  538    

Sonoco Products Co. (b)

    32,818  
  338    

UFP Technologies, Inc. (a)

    43,886  
           


              822,671  
           


       

Distributors - 0.03%

 

  2,813    

Funko, Inc. - Class A (a)(b)

    26,527  
           


       

Diversified Consumer Services - 1.31%

 

  1,613    

Adtalem Global Education, Inc. (a)

    62,294  
  10,633    

American Public Education, Inc. (a)

    57,631  
  55,503    

Beachbody Co., Inc. (a)

    26,764  
  231    

Bright Horizons Family Solutions, Inc. (a)

    17,785  
  1,319    

Carriage Services, Inc.

    40,256  
  1,135    

Chegg, Inc. (a)

    18,500  
  1,083    

Franchise Group, Inc.

    29,512  
  2,598    

frontdoor, Inc. (a)

    72,432  
  112    

Graham Holdings Co. - Class B

    66,734  
  840    

Grand Canyon Education, Inc. (a)

    95,676  
  3,807    

H&R Block, Inc. (b)

    134,197  
  1,493    

Hillenbrand, Inc.

    70,962  
  850    

Laureate Education, Inc. (b)

    9,996  
  1,233    

Matthews International Corp. - Class A

    44,462  
  15,467    

Nerdy, Inc. (a)(b)

    64,652  
  8,341    

Perdoceo Education Corp. (a)

    112,020  
  1,753    

Service Corp. International (b)

    120,571  
  523    

Strategic Education, Inc. (b)

    46,981  
  2,317    

Stride, Inc. (a)(b)

    90,942  
  2,395    

Udemy, Inc. (a)

    21,148  
 

 

See notes to financial statements.

 

54


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Diversified Consumer Services (Continued)

 

  9,824    

WW International, Inc. (a)

  $ 40,475  
           


              1,243,990  
           


       

Diversified Financial Services - 0.61%

 

  1,609    

Alerus Financial Corp.

    25,824  
  2,868    

A-Mark Precious Metals, Inc.

    99,376  
  17,205    

Douglas Elliman, Inc.

    53,508  
  1,478    

Encore Capital Group, Inc. (a)(b)

    74,565  
  4,221    

Jefferies Financial Group, Inc. (b)

    133,975  
  1,560    

Primis Financial Corp.

    15,023  
  2,295    

Voya Financial, Inc. (b)

    164,001  
  198    

World Acceptance Corp. (a)

    16,491  
           


              582,763  
           


       

Diversified Telecommunication Services - 0.34%

 

  558    

Cogent Communications Holdings, Inc. (b)

    35,556  
  1,181    

Frontier Communications Parent, Inc. (a)(b)

    26,891  
  3,834    

IDT Corp. - Class B (a)

    130,663  
  690    

Iridium Communications, Inc.

    42,732  
  4,385    

Ooma, Inc. (a)

    54,856  
  2,059    

Radius Global Infrastructure, Inc. - Class A (a)(b)

    30,205  
           


              320,903  
           


       

Electric Utilities - 0.40%

 

  347    

ALLETE, Inc.

    22,336  
  1,641    

Hawaiian Electric Industries, Inc.

    63,015  
  500    

IDACORP, Inc.

    54,165  
  1,515    

OGE Energy Corp. (b)

    57,055  
  819    

Pinnacle West Capital Corp.

    64,898  
  635    

PNM Resources, Inc.

    30,912  
  780    

Portland General Electric Co. (b)

    38,134  
  485    

Unitil Corp.

    27,664  
  994    

Via Renewables, Inc.

    18,266  
           


              376,445  
           


       

Electrical Equipment - 1.78%

 

  738    

Acuity Brands, Inc. (b)

    134,855  
  1,116    

Allied Motion Technologies, Inc.

    43,133  
  1,540    

Atkore International Group, Inc. (a)

    216,339  
  865    

AZZ, Inc.

    35,673  
  4,498    

Babcock & Wilcox Enterprises, Inc. (a)

    27,258  
  1,016    

Belden, Inc.

    88,158  
  760    

Bloom Energy Corp. - Class A (a)(b)

    15,147  
  926    

Brady Corp. - Class A

    49,754  
  1,769    

ChargePoint Holdings, Inc. (a)(b)

    18,521  
  1,196    

Encore Wire Corp. (b)

    221,655  
  221    

EnerSys

    19,200  
  799    

Franklin Electric Co., Inc.

    75,186  
  14,577    

GrafTech International, Ltd.

    70,844  
  582    

Hubbell, Inc. (b)

    141,606  
  2,620    

nVent Electric PLC - ADR

    112,503  
  910    

Preformed Line Products Co.

    116,516  
  705    

Regal Beloit Corp. (b)

    99,215  
  1,292    

Sensata Technologies Holding PLC - ADR (b)

    64,626  
  872    

Shoals Technologies Group, Inc. - Class A (a)

    19,873  
  2,001    

Thermon Group Holdings, Inc. (a)

    49,865  
  1,362    

Vertiv Holdings Co.

    19,490  
  849    

Vicor Corp. (a)

    39,852  
  196    

Woodward Governor Co.

    19,085  
           


              1,698,354  
           


Number of
Shares


       

Value


 
       

Electronic Equipment, Instruments & Components - 2.08%

 

  3,654    

Arlo Technologies, Inc. (a)

  $ 22,143  
  1,052    

Arrow Electronics, Inc. (a)

    131,363  
  1,446    

Avnet, Inc.

    65,359  
  1,066    

Benchmark Electronics, Inc.

    25,254  
  1,908    

Cognex Corp. (b)

    94,541  
  1,583    

Coherent Corp. (a)(b)

    60,281  
  1,302    

CTS Corp. (b)

    64,397  
  1,199    

Dolby Laboratories, Inc. - Class A

    102,419  
  549    

Fabrinet - ADR (a)

    65,199  
  694    

FARO Technologies, Inc. (a)

    17,079  
  2,471    

Identiv, Inc. (a)

    15,172  
  832    

Insight Enterprises, Inc. (a)(b)

    118,943  
  252    

IPG Photonics Corp. (a)(b)

    31,074  
  409    

Itron, Inc. (a)

    22,679  
  1,851    

Jabil, Inc.

    163,184  
  2,685    

Knowles Corp. (a)

    45,645  
  181    

Littelfuse, Inc. (b)

    48,524  
  788    

Methode Electronics, Inc.

    34,577  
  3,428    

Napco Security Technologies, Inc. (a)

    128,824  
  2,266    

National Instruments Corp.

    118,761  
  501    

Novanta, Inc. - ADR (a)

    79,704  
  364    

OSI Systems, Inc. (a)

    37,259  
  926    

PC Connection, Inc.

    41,633  
  272    

Plexus Corp. (a)

    26,539  
  1,430    

Sanmina Corp. (a)(b)

    87,216  
  1,282    

ScanSource, Inc. (a)

    39,024  
  726    

TD SYNNEX Corp.

    70,270  
  3,515    

TTM Technologies, Inc. (a)(b)

    47,417  
  227    

Universal Display Corp. (b)

    35,215  
  2,848    

Vishay Intertechnology, Inc. (b)

    64,422  
  2,979    

Vontier Corp.

    81,446  
           


              1,985,563  
           


       

Energy Equipment & Services - 0.81%

 

  3,136    

Archrock, Inc.

    30,639  
  1,624    

Bristow Group, Inc. (a)

    36,378  
  611    

Cactus, Inc. - Class A

    25,191  
  1,730    

ChampionX Corp. (b)

    46,935  
  10,332    

Helix Energy Solutions Group, Inc. (a)(b)

    79,970  
  736    

Helmerich & Payne, Inc.

    26,312  
  346    

Nabors Industries Ltd. - ADR (a)

    42,181  
  5,229    

National Energy Services Reunited Corp. - ADR (a)

    27,504  
  8,901    

Newpark Resources, Inc. (a)

    34,269  
  1,997    

NexTier Oilfield Solutions, Inc. (a)(b)

    15,876  
  3,407    

NOV, Inc.

    63,064  
  3,036    

Oceaneering International, Inc. (a)

    53,525  
  4,821    

Oil States International, Inc. (a)

    40,159  
  3,780    

Patterson-UTI Energy, Inc.

    44,226  
  4,112    

ProPetro Holding Corp. (a)(b)

    29,565  
  9,166    

TETRA Technologies, Inc. (a)

    24,290  
  440    

Tidewater, Inc. (a)

    19,395  
  5,080    

US Silica Holdings, Inc. (a)

    60,655  
  406    

Valaris Ltd. - ADR (a)

    26,414  
  822    

Weatherford International PLC - ADR (a)

    48,786  
           


              775,334  
           


       

Entertainment - 0.40%

 

  1,777    

Liberty Media Corp. - Liberty Formula One - Class C (a)

    132,973  
  9,230    

Playstudios, Inc. (a)

    34,059  
 

 

See notes to financial statements.

 

55


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Entertainment (Continued)

 

  3,749    

Playtika Holding Corp. (a)

  $ 42,214  
  33,406    

Skillz, Inc. (a)

    19,816  
  96    

The Madison Square Garden Co. - Class A (a)

    18,705  
  2,021    

The Marcus Corp. (b)

    32,336  
  3,235    

Vivid Seats, Inc. - Class A (a)(b)

    24,683  
  853    

World Wrestling Entertainment, Inc. - Class A (b)

    77,845  
           


              382,631  
           


       

Financial Services - 0.34%

 

  1,805    

Enact Holdings, Inc.

    41,262  
  2,102    

International Money Express, Inc. (a)

    54,189  
  2,242    

Jackson Financial, Inc. - Class A (b)

    83,873  
  447    

Shift4 Payments, Inc. - Class A (a)(b)

    33,883  
  2,622    

StoneCo, Ltd. - Class A - ADR (a)(b)

    25,014  
  1,080    

Toast, Inc. - Class A (a)

    19,170  
  9,914    

UWM Holdings Corp. (b)

    48,678  
  2,069    

Velocity Financial, Inc. (a)

    18,683  
           


              324,752  
           


       

Food & Staples Retailing - 1.61%

 

  2,977    

BJ’s Wholesale Club Holdings, Inc. (a)

    226,460  
  740    

Casey’s General Stores, Inc.

    160,180  
  4,122    

HF Foods Group, Inc. (a)

    16,158  
  1,257    

Ingles Markets, Inc. - Class A

    111,496  
  3,381    

Natural Grocers by Vitamin Cottage, Inc.

    39,727  
  3,255    

Performance Food Group Co. (a)(b)

    196,407  
  396    

PriceSmart, Inc.

    28,306  
  9,962    

Rite Aid Corp. (a)

    22,315  
  3,427    

SpartanNash Co.

    84,990  
  4,490    

Sprouts Farmers Market, Inc. (a)(b)

    157,285  
  1,011    

The Andersons, Inc.

    41,774  
  1,091    

The Chefs’ Warehouse, Inc. (a)

    37,149  
  2,843    

The Fresh Market, Inc. (a)(c)(e)(f)

    0  
  4,162    

U.S. Foods Holding Corp. (a)

    153,744  
  3,654    

United Natural Foods, Inc. (a)

    96,283  
  2,516    

Village Super Market, Inc. - Class A

    57,566  
  1,221    

Weis Markets, Inc.

    103,382  
           


              1,533,222  
           


       

Food Products - 1.00%

 

  421    

Cal-Maine Foods, Inc. (b)

    25,635  
  1,901    

Darling International, Inc. (a)(b)

    111,019  
  4,417    

Flowers Foods, Inc. (b)

    121,070  
  1,120    

Fresh Del Monte Produce, Inc. - ADR

    33,723  
  2,081    

Hostess Brands, Inc. (a)(b)

    51,775  
  813    

Ingredion, Inc. (b)

    82,707  
  160    

J&J Snack Foods Corp.

    23,715  
  383    

John B. Sanfilippo & Son, Inc.

    37,121  
  946    

Lamb Weston Holdings, Inc.

    98,876  
  242    

Lancaster Colony Corp. (b)

    49,097  
  1,107    

Pilgrim’s Pride Corp. (a)(b)

    25,660  
  749    

Post Holdings, Inc. (a)(b)

    67,313  
  912    

Seneca Foods Corp. - Class A (a)

    47,670  
  929    

Simply Good Foods Co. (a)

    36,946  
  1,004    

The Hain Celestial Group, Inc. (a)

    17,219  
  1,238    

TreeHouse Foods, Inc. (a)(b)

    62,432  
  3,411    

Vital Farms, Inc. (a)

    52,188  
  3,672    

Whole Earth Brands, Inc. (a)

    9,400  
           


              953,566  
           


Number of
Shares


       

Value


 
       

Gas Utilities - 0.61%

 

  2,005    

Brookfield Infrastructure Corp. - Class A - ADR (b)

  $ 92,350  
  4,250    

EQT Corp. (b)

    135,617  
  785    

National Fuel Gas Co. (b)

    45,326  
  810    

New Jersey Resources Corp. (b)

    43,092  
  946    

ONE Gas, Inc. (b)

    74,952  
  541    

Southwest Gas Holdings, Inc.

    33,785  
  344    

Spire, Inc. (b)

    24,128  
  3,752    

UGI Corp. (b)

    130,420  
           


              579,670  
           


       

Ground Transportation - 0.08%

 

  163,049    

Bird Global, Inc. - Class A (a)

    45,638  
  1,042    

Hertz Global Holdings, Inc. (a)(b)

    16,974  
  1,204    

Lyft, Inc. - Class A (a)

    11,161  
           


              73,773  
           


       

Health Care Equipment & Supplies - 2.44%

 

  3,514    

Alphatec Holdings, Inc. (a)

    54,818  
  1,314    

AngioDynamics, Inc. (a)

    13,587  
  1,594    

Anika Therapeutics, Inc. (a)

    45,780  
  743    

AtriCure, Inc. (a)

    30,797  
  1,771    

Avanos Medical, Inc. (a)

    52,670  
  216    

Axonics, Inc. (a)(b)

    11,785  
  2,571    

Cardiovascular Systems, Inc. (a)

    51,060  
  7,600    

Cerus Corp. (a)(b)

    22,572  
  2,183    

Dentsply Sirona, Inc. (b)

    85,748  
  2,595    

Embecta Corp. (b)

    72,971  
  920    

Enovis Corp. (a)

    49,211  
  2,291    

Envista Holdings Corp. (a)

    93,656  
  6,758    

Figs, Inc. - Class A (a)

    41,832  
  1,062    

Globus Medical, Inc. - Class A (a)

    60,152  
  626    

Haemonetics Corp. (a)

    51,801  
  989    

Inari Medical, Inc. (a)

    61,061  
  785    

Inogen, Inc. (a)

    9,797  
  479    

Integer Holdings Corp. (a)

    37,122  
  804    

Integra LifeSciences Holdings Corp. (a)(b)

    46,158  
  1,234    

iRadimed Corp.

    48,558  
  580    

iRhythm Technologies, Inc. (a)

    71,937  
  1,267    

Lantheus Holdings, Inc. (a)(b)

    104,603  
  1,238    

LeMaitre Vascular, Inc. (b)

    63,720  
  512    

LivaNova PLC - ADR (a)

    22,313  
  591    

Masimo Corp. (a)

    109,063  
  534    

Merit Medical Systems, Inc. (a)

    39,489  
  587    

Nevro Corp. (a)

    21,220  
  640    

Novocure, Ltd. - ADR (a)

    38,490  
  556    

NuVasive, Inc. (a)

    22,968  
  3,139    

Orthofix Medical, Inc. (a)

    52,578  
  474    

Penumbra, Inc. (a)(b)

    132,099  
  463    

QuidelOrtho Corp. (a)

    41,249  
  620    

Shockwave Medical, Inc. (a)

    134,435  
  1,859    

SI-BONE, Inc. (a)

    36,567  
  1,248    

Silk Road Medical, Inc. (a)

    48,834  
  1,258    

STAAR Surgical Co. (a)(b)

    80,449  
  721    

SurModics, Inc. (a)

    16,424  
  7,633    

Tactile Systems Technology, Inc. (a)

    125,334  
  1,260    

Tandem Diabetes Care, Inc. (a)(b)

    51,169  
  240    

TransMedics Group, Inc. (a)

    18,175  
  242    

Utah Medical Products, Inc.

    22,934  
  1,893    

Varex Imaging Corp. (a)

    34,434  
  3,098    

Zimvie, Inc. (a)

    22,399  
 

 

See notes to financial statements.

 

56


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Health Care Equipment & Supplies (Continued)

 

  6,439    

Zynex, Inc. (a)

  $ 77,268  
           


              2,329,287  
           


       

Health Care Providers & Services - 2.25%

 

  1,369    

Acadia Healthcare Co., Inc. (a)(b)

    98,910  
  1,889    

AdaptHealth Corp. (a)

    23,480  
  539    

Addus HomeCare Corp. (a)

    57,544  
  669    

Agilon Health, Inc. (a)(b)

    15,889  
  3,930    

AirSculpt Technologies, Inc.

    19,807  
  846    

Amedisys, Inc. (a)

    62,223  
  1,381    

AMN Healthcare Services, Inc. (a)

    114,568  
  258    

Chemed Corp. (b)

    138,739  
  356    

CorVel Corp. (a)

    67,740  
  5,262    

Cross Country Healthcare, Inc. (a)(b)

    117,448  
  690    

DaVita, Inc. (a)

    55,966  
  804    

Encompass Health Corp.

    43,496  
  1,010    

Enhabit, Inc. (a)

    14,049  
  1,980    

Fulgent Genetics, Inc. (a)

    61,816  
  553    

HealthEquity, Inc. (a)

    32,467  
  2,936    

Henry Schein, Inc. (a)

    239,401  
  7,081    

Innovage Holding Corp. (a)(b)

    56,506  
  287    

ModivCare, Inc. (a)

    24,131  
  707    

National HealthCare Corp.

    41,055  
  1,573    

National Research Corp.

    68,441  
  504    

Oak Street Health, Inc. (a)

    19,495  
  2,400    

Option Care Health, Inc. (a)

    76,248  
  2,590    

Owens & Minor, Inc. (a)

    37,684  
  2,306    

Patterson Cos., Inc.

    61,732  
  2,348    

Pediatrix Medical Group, Inc. (a)(b)

    35,009  
  1,886    

PetIQ, Inc. (a)

    21,576  
  1,671    

Premier, Inc. - Class A

    54,090  
  671    

Progyny, Inc. (a)(b)

    21,553  
  955    

R1 RCM, Inc. (a)(b)

    14,325  
  730    

Select Medical Holdings Corp. (b)

    18,871  
  926    

Surgery Partners, Inc. (a)(b)

    31,919  
  1,777    

Tenet Healthcare Corp. (a)(b)

    105,589  
  898    

The Ensign Group, Inc. (b)

    85,795  
  3,292    

The Joint Corp (a)

    55,404  
  245    

U.S. Physical Therapy, Inc. (b)

    23,988  
  995    

Universal Health Services, Inc. - Class B

    126,465  
           


              2,143,419  
           


       

Health Care Technology - 0.54%

 

  1,866    

Computer Programs & Systems, Inc. (a)

    56,353  
  1,282    

Evolent Health, Inc. - Class A (a)(b)

    41,601  
  1,709    

HealthStream, Inc. (a)

    46,314  
  477    

Inspire Medical Systems, Inc. (a)

    111,651  
  16,353    

Multiplan Corp. (a)

    17,334  
  6,097    

NextGen Healthcare, Inc. (a)

    106,149  
  419    

Omnicell, Inc. (a)

    24,583  
  2,484    

Teladoc Health, Inc. (a)

    64,336  
  3,872    

Veradigm, Inc. (a)(b)

    50,529  
           


              518,850  
           


       

Hotels, Restaurants & Leisure - 1.99%

 

  1,758    

Aramark

    62,936  
  327    

Biglari Holdings, Inc. - Class B (a)

    55,328  
  731    

BJ’s Restaurants, Inc. (a)(b)

    21,301  
  1,792    

Bloomin’ Brands, Inc. (b)

    45,965  
  1,821    

Bluegreen Vacations Holding Corp. - Class A

    49,859  

Number of
Shares


       

Value


 
       

Hotels, Restaurants & Leisure (Continued)

 

  1,258    

Boyd Gaming Corp.

  $ 80,663  
  729    

Brinker International, Inc. (a)

    27,702  
  627    

Callaway Golf Co. (a)(b)

    13,556  
  2,494    

Century Casinos, Inc. (a)

    18,281  
  478    

Choice Hotels International, Inc. (b)

    56,017  
  203    

Churchill Downs, Inc. (b)

    52,181  
  1,016    

Chuy’s Holdings, Inc. (a)

    36,423  
  256    

Cracker Barrel Old Country Store, Inc. (b)

    29,081  
  1,072    

Dave & Buster’s Entertainment, Inc. (a)

    39,439  
  422    

Dine Brands Global, Inc. (b)

    28,544  
  2,776    

El Pollo Loco Holdings, Inc.

    26,622  
  1,453    

Everi Holdings, Inc. (a)

    24,919  
  1,239    

Hilton Grand Vacations, Inc. (a)

    55,049  
  464    

Hyatt Hotels Corp. - Class A (a)

    51,870  
  3,157    

Inspired Entertainment, Inc. (a)

    40,378  
  3,100    

International Game Technology PLC

    83,080  
  564    

Kura Sushi USA, Inc. - Class A (a)

    37,134  
  1,433    

Light & Wonder, Inc. (a)

    86,051  
  597    

Marriott Vacations Worldwide Corp.

    80,511  
  1,455    

Norwegian Cruise Line Holdings, Ltd. - ADR (a)(b)

    19,570  
  618    

Papa John’s International, Inc.

    46,307  
  1,832    

Penn National Gaming, Inc. (a)(b)

    54,337  
  406    

Planet Fitness, Inc. - Class A (a)(b)

    31,534  
  623    

RCI Hospitality Holdings, Inc.

    48,700  
  710    

Red Rock Resorts, Inc. - Class A (b)

    31,645  
  777    

SeaWorld Entertainment, Inc. (a)

    47,638  
  8,027    

Target Hospitality Corp. (a)(b)

    105,475  
  563    

Texas Roadhouse, Inc. (b)

    60,838  
  3,028    

The ONE Group Hospitality, Inc. (a)(f)

    24,527  
  855    

The Wendy’s Co.

    18,622  
  790    

Travel + Leisure Co. (b)

    30,968  
  226    

Vail Resorts, Inc.

    52,812  
  614    

Wingstop, Inc. (b)

    112,718  
  689    

Wyndham Hotels & Resorts Inc.

    46,749  
  525    

Wynn Resorts Ltd. (a)

    58,753  
           


              1,894,083  
           


       

Household Durables - 2.09%

 

  31,730    

Aterian, Inc. (a)

    27,291  
  1,900    

Beazer Homes USA, Inc. (a)

    30,172  
  207    

Cavco Industries, Inc. (a)(b)

    65,772  
  692    

Century Communities, Inc. (b)

    44,233  
  2,485    

Ethan Allen Interiors, Inc. (b)

    68,238  
  6,318    

GoPro, Inc. - Class A (a)

    31,780  
  2,156    

Green Brick Partners, Inc. (a)

    75,589  
  358    

Helen of Troy, Ltd. - ADR (a)(b)

    34,071  
  629    

Hovnanian Enterprises, Inc. - Class A (a)

    42,671  
  549    

Installed Building Products, Inc.

    62,602  
  932    

iRobot Corp. (a)

    40,672  
  799    

KB Home (b)

    32,104  
  5,380    

Landsea Homes Corp. (a)

    32,603  
  2,098    

La-Z-Boy, Inc. (b)

    61,010  
  716    

Leggett & Platt, Inc.

    22,826  
  3,627    

Lifetime Brands, Inc.

    21,327  
  1,726    

Lovesac Co. (a)(b)

    49,881  
  840    

M/I Homes, Inc. (a)

    52,996  
  563    

Meritage Homes Corp.

    65,736  
  686    

Mohawk Industries, Inc. (a)

    68,751  
  3,826    

PulteGroup, Inc.

    222,979  
 

 

See notes to financial statements.

 

57


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Household Durables (Continued)

 

  4,884    

Purple Innovation, Inc. (a)

  $ 12,894  
  1,396    

Skyline Champion Corp. (a)

    105,021  
  2,136    

Snap One Holdings Corp. (a)

    19,972  
  3,326    

Sonos, Inc. (a)(b)

    65,256  
  2,661    

Taylor Morrison Home Corp. (a)(b)

    101,810  
  3,862    

Tempur Sealy International, Inc. (b)

    152,510  
  1,872    

Toll Brothers, Inc.

    112,376  
  452    

TopBuild Corp. (a)

    94,079  
  4,096    

Traeger, Inc. (a)

    16,835  
  3,387    

TRI Pointe Group, Inc. (a)(b)

    85,759  
  13,927    

Tupperware Brands Corp. (a)

    34,818  
  2,153    

Turtle Beach Corp. (a)

    21,573  
  1,264    

Universal Electronics, Inc. (a)

    12,817  
           


              1,989,024  
           


       

Household Products - 0.14%

 

  537    

Central Garden & Pet Co. (a)

    22,049  
  890    

Central Garden & Pet Co. - Class A (a)

    34,772  
  438    

WD-40 Co.

    77,986  
           


              134,807  
           


       

Independent Power and Renewable Electricity Producers - 0.51%

 

  956    

Brookfield Renewable Corp. - Class A - ADR

    33,412  
  2,339    

Clearway Energy, Inc. - Class A

    70,240  
  2,378    

Clearway Energy, Inc. - Class C

    74,503  
  4,637    

NRG Energy, Inc.

    159,003  
  399    

Ormat Technologies, Inc. (b)

    33,823  
  4,913    

Vistra Energy Corp.

    117,912  
           


              488,893  
           


       

Industrial Conglomerates - 0.33%

 

  567    

Carlisle Companies, Inc.

    128,181  
  1,299    

Otter Tail Corp.

    93,879  
  8    

Seaboard Corp. (b)

    30,160  
  343    

Standex International Corp.

    41,997  
  2,129    

Tredegar Corp.

    19,438  
           


              313,655  
           


       

Insurance - 3.01%

 

  1,800    

Ambac Financial Group, Inc. (a)

    27,864  
  2,669    

American Equity Investment Life Holding Co. (b)

    97,392  
  1,435    

American Financial Group, Inc.

    174,353  
  619    

AMERISAFE, Inc.

    30,300  
  683    

Assurant, Inc.

    82,008  
  1,300    

Assured Guaranty, Ltd. - ADR

    65,351  
  1,392    

Axis Capital Holdings, Ltd. - ADR

    75,892  
  1,726    

Brighthouse Financial, Inc. (a)(b)

    76,134  
  3,370    

Brown & Brown, Inc. (b)

    193,505  
  2,228    

CNO Financial Group, Inc.

    49,439  
  2,200    

Donegal Group, Inc. - Class A

    33,616  
  662    

Employers Holdings, Inc.

    27,599  
  419    

Erie Indemnity Co. - Class A (b)

    97,066  
  545    

Everest Re Group, Ltd. - ADR

    195,121  
  1,488    

First American Financial Corp. (b)

    82,822  
  11,950    

Genworth Financial, Inc. - Class A (a)

    59,989  
  1,159    

Globe Life, Inc.

    127,513  
  3,853    

Greenlight Capital RE Ltd. - Class A - ADR (a)

    36,180  
  852    

Horace Mann Educators Corp.

    28,525  
  249    

Investors Title Co.

    37,599  

Number of
Shares


       

Value


 
       

Insurance (Continued)

 

  326    

Kemper Corp.

  $ 17,819  
  376    

Kinsale Capital Group, Inc. (b)

    112,856  
  4,760    

MBIA, Inc. (a)

    44,078  
  132    

National Western Life Group, Inc. - Class A

    32,026  
  6,325    

Old Republic International Corp. (b)

    157,935  
  709    

Primerica, Inc.

    122,118  
  946    

ProAssurance Corp.

    17,482  
  908    

Reinsurance Group of America, Inc.

    120,546  
  354    

RenaissanceRe Holdings, Ltd. - ADR

    70,920  
  564    

RLI Corp. (b)

    74,961  
  1,009    

Ryan Specialty Holdings, Inc. (a)

    40,602  
  338    

Safety Insurance Group, Inc.

    25,188  
  885    

Selective Insurance Group, Inc. (b)

    84,367  
  1,050    

Stewart Information Services Corp.

    42,368  
  699    

The Hanover Insurance Group, Inc. (b)

    89,822  
  3,491    

Tiptree, Inc.

    50,864  
  757    

United Fire Group, Inc.

    20,098  
  3,133    

Unum Group

    123,941  
  15    

White Mountains Insurance Group, Ltd. - ADR

    20,662  
           


              2,866,921  
           


       

Interactive Media & Services - 0.61%

 

  2,647    

Arena Group Holdings, Inc. (a)

    11,250  
  3,229    

Cargurus, Inc. (a)

    60,318  
  5,388    

Cars.com, Inc. (a)(b)

    103,988  
  5,208    

DHI Group, Inc. (a)

    20,207  
  4,765    

EverQuote, Inc. - Class A (a)

    66,234  
  62,935    

Leafly Holdings, Inc. (a)

    25,168  
  1,795    

MediaAlpha, Inc. - Class A (a)

    26,889  
  1,981    

QuinStreet, Inc. (a)

    31,438  
  1,765    

TripAdvisor, Inc. (a)

    35,053  
  18,058    

TrueCar, Inc. (a)

    41,533  
  2,787    

Yelp, Inc. (a)

    85,561  
  1,698    

Zillow Group, Inc. - Class C (a)(b)

    75,510  
           


              583,149  
           


       

Internet & Direct Marketing Retail - 0.40%

 

  5,674    

1-800-Flowers.com, Inc. - Class A (a)

    65,251  
  13,799    

aka Brands Holding Corp. (a)

    7,516  
  7,464    

CarParts.com, Inc. (a)

    39,858  
  6,393    

Duluth Holdings, Inc. - Class B (a)

    40,787  
  6,347    

Groupon, Inc. (a)

    26,721  
  3,825    

Lands’ End, Inc. (a)

    37,179  
  1,348    

PetMed Express, Inc. (b)

    21,891  
  8,052    

Quotient Technology, Inc. (a)

    26,411  
  931    

Shutterstock, Inc.

    67,591  
  1,526    

Wayfair, Inc. - Class A (a)(b)

    52,403  
           


              385,608  
           


       

Internet Software & Services - 0.02%

       
  1,558    

Liquidity Services, Inc. (a)

    20,519  
           


       

IT Services - 2.82%

       
  2,210    

Amdocs, Ltd. - ADR

    212,226  
  899    

Black Knight, Inc. (a)

    51,746  
  2,269    

Booz Allen Hamilton Holding Corp. - Class A

    210,314  
  1,847    

Bread Financial Holdings, Inc.

    56,001  
  11,543    

Brightcove, Inc. (a)

    51,366  
  529    

CACI International, Inc. - Class A (a)(b)

    156,732  
  1,526    

Cass Information Systems, Inc.

    66,091  
  1,007    

Concentrix Corp. (b)

    122,401  
  15,110    

Conduent, Inc. (a)

    51,827  
 

 

See notes to financial statements.

 

58


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

IT Services (Continued)

 

  1,962    

CSG Systems International, Inc.

  $ 105,359  
  409    

DigitalOcean Holdings, Inc. (a)(b)

    16,021  
  4,207    

DXC Technology Co. (a)

    107,531  
  639    

Euronet Worldwide, Inc. (a)

    71,504  
  1,046    

EVERTEC, Inc. - ADR

    35,302  
  745    

ExlService Holdings, Inc. (a)(b)

    120,563  
  3,389    

Genpact, Ltd. - ADR

    156,640  
  2,713    

Gogo, Inc. (a)

    39,339  
  1,738    

Grid Dynamics Holdings, Inc. (a)

    19,917  
  860    

I3 Verticals, Inc. - Class A (a)(b)

    21,096  
  3,989    

IBEX Holdings Ltd. - ADR (a)

    97,332  
  14,346    

Information Services Group, Inc.

    73,021  
  1,308    

Kyndryl Holdings, Inc. (a)

    19,306  
  2,572    

LiveRamp Holdings, Inc. (a)

    56,404  
  1,068    

Maximus, Inc. (b)

    84,052  
  2,190    

MoneyGram International, Inc. (a)

    22,820  
  1,573    

Perficient, Inc. (a)

    113,555  
  26,189    

Rackspace Technology, Inc. (a)

    49,235  
  1,933    

Repay Holdings Corp. (a)

    12,700  
  578    

Science Applications International Corp. (b)

    62,112  
  4,815    

SolarWinds Corp. (a)

    41,409  
  1,732    

Squarespace, Inc. - Class A (a)

    55,026  
  4,254    

The Hackett Group, Inc.

    78,614  
  4,937    

The Western Union Co.

    55,048  
  422    

TTEC Holdings, Inc.

    15,711  
  3,906    

Unisys Corp. (a)

    15,155  
  2,139    

Verra Mobility Corp. (a)(b)

    36,192  
  369    

WEX, Inc. (a)(b)

    67,855  
  624    

Wix.com, Ltd. - ADR (a)

    62,275  
           


              2,689,798  
           


       

Leisure Products - 1.15%

 

  1,131    

Acushnet Holdings Corp.

    57,613  
  1,380    

Brunswick Corp.

    113,160  
  1,230    

Clarus Corp. (b)

    11,624  
  1,750    

Hayward Holdings, Inc. (a)

    20,510  
  509    

Johnson Outdoors, Inc. - Class A

    32,072  
  856    

Malibu Boats, Inc. - Class A (a)

    48,321  
  2,765    

Marine Products Corp.

    36,470  
  2,894    

MasterCraft Boat Holdings, Inc. (a)

    88,064  
  6,336    

Mattel, Inc. (a)(b)

    116,646  
  1,002    

Polaris Industries, Inc. (b)

    110,851  
  611    

Pool Corp. (b)

    209,231  
  3,842    

Smith & Wesson Brands, Inc.

    47,295  
  3,865    

Solo Brands, Inc. - Class A (a)

    27,751  
  817    

Sturm, Ruger & Co., Inc.

    46,929  
  2,451    

Vista Outdoor, Inc. (a)(b)

    67,917  
  1,459    

YETI Holdings, Inc. (a)(b)

    58,360  
           


              1,092,814  
           


       

Life Sciences Tools & Services - 0.90%

 

  936    

10X Genomics, Inc. - Class A (a)

    52,219  
  5,266    

AbCellera Biologics, Inc. - ADR (a)

    39,706  
  2,048    

Bio-Techne Corp.

    151,941  
  1,583    

Bruker Corp.

    124,804  
  503    

Charles River Laboratories International, Inc. (a)

    101,515  
  4,663    

Codexis, Inc. (a)

    19,305  
  2,411    

Inotiv, Inc. (a)

    10,440  
  2,505    

Maravai LifeSciences Holdings, Inc. - Class A (a)

    35,095  

Number of
Shares


       

Value


 
       

Life Sciences Tools & Services (Continued)

 

  517    

Medpace holdings, Inc. (a)(b)

  $ 97,222  
  3,173    

QIAGEN NV - ADR (a)

    145,736  
  2,165    

Syneos Health, Inc. (a)

    77,117  
           


              855,100  
           


       

Machinery - 3.64%

 

  1,016    

AGCO Corp.

    137,363  
  225    

Alamo Group, Inc.

    41,436  
  409    

Albany International Corp. - Class A (b)

    36,548  
  1,469    

Allison Transmission Holdings, Inc.

    66,458  
  506    

Astec Industries, Inc.

    20,872  
  525    

Badger Meter, Inc. (b)

    63,956  
  840    

Barnes Group, Inc.

    33,835  
  260    

Chart Industries, Inc. (a)(b)

    32,604  
  1,868    

CIRCOR International, Inc. (a)

    58,132  
  1,262    

Columbus McKinnon Corp.

    46,896  
  734    

Crane Holdings Co.

    83,309  
  1,705    

Donaldson Co., Inc.

    111,405  
  2,190    

Energy Recovery, Inc. (a)

    50,480  
  547    

EnPro Industries, Inc.

    56,828  
  1,166    

Esab Corp. (b)

    68,876  
  272    

ESCO Technologies, Inc.

    25,962  
  1,477    

Evoqua Water Technologies Corp. (a)

    73,436  
  753    

Federal Signal Corp.

    40,820  
  1,122    

Flowserve Corp.

    38,148  
  3,275    

Gates Industrial Corp PLC - ADR (a)

    45,490  
  2,320    

Graco, Inc. (b)

    169,383  
  417    

Helios Technologies, Inc.

    27,272  
  640    

ITT, Inc.

    55,232  
  449    

John Bean Technologies Corp.

    49,071  
  293    

Kadant, Inc.

    61,096  
  1,046    

Kennametal, Inc. (b)

    28,849  
  866    

Lincoln Electric Holdings, Inc. (b)

    146,441  
  154    

Lindsay Corp.

    23,274  
  2,175    

Mueller Industries, Inc. (b)

    159,819  
  1,838    

Mueller Water Products, Inc. - Class A

    25,622  
  803    

Nordson Corp. (b)

    178,475  
  577    

Omega Flex, Inc.

    64,301  
  905    

Oshkosh Corp.

    75,278  
  1,428    

Pentair PLC - ADR

    78,926  
  770    

Proto Labs, Inc. (a)

    25,526  
  143    

RBC Bearings, Inc. (a)

    33,280  
  3,472    

REV Group, Inc.

    41,629  
  1,026    

Snap-on, Inc. (b)

    253,309  
  626    

SPX Technologies, Inc. (a)

    44,183  
  591    

Tennant Co.

    40,501  
  1,521    

Terex Corp.

    73,586  
  3,275    

The Manitowoc Co., Inc. (a)

    55,970  
  475    

The Middleby Corp. (a)

    69,640  
  2,159    

The Shyft Group Inc

    49,117  
  859    

The Timken Co. (b)

    70,197  
  1,609    

The Toro Co. (a)

    178,856  
  2,756    

Titan International, Inc. (a)

    28,883  
  1,035    

TriMas Corp.

    28,835  
  250    

Valmont Industries, Inc.

    79,820  
  1,200    

Wabash National Corp. (b)

    29,508  
  510    

Watts Water Technologies, Inc. - Class A

    85,843  
           


              3,464,576  
           


 

 

See notes to financial statements.

 

59


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Marine - 0.22%

 

  882    

Eagle Bulk Shipping, Inc. - ADR

  $ 40,131  
  747    

Kirby Corp. (a)

    52,066  
  1,003    

Matson, Inc. (b)

    59,849  
  9,051    

Safe Bulkers, Inc. - ADR

    33,398  
  2,752    

SFL Corp. Ltd. - ADR

    26,144  
           


              211,588  
           


       

Marine Transportation - 0.06%

 

  2,455    

Genco Shipping & Trading Ltd. - ADR

    38,445  
  1,577    

Golden Ocean Group Ltd. - ADR

    15,013  
           


              53,458  
           


       

Media - 1.04%

 

  5,242    

Advantage Solutions, Inc. (a)

    8,282  
  954    

AMC Networks, Inc. - Class A (a)

    16,771  
  7,233    

Entravision Communications Corp. - Class A

    43,760  
  11,078    

Gannett Co, Inc. (a)

    20,716  
  2,271    

Gray Television, Inc.

    19,803  
  2,219    

iHeartMedia, Inc. - Class A (a)

    8,654  
  870    

John Wiley & Sons, Inc. - Class A (b)

    33,730  
  4,323    

Liberty Latin America Ltd. - Class A - ADR (a)

    35,924  
  2,759    

Liberty Latin America, Ltd. - Class C - ADR (a)

    22,789  
  393    

Liberty Media Group - Class A (a)

    26,528  
  5,686    

News Corp. - Class A

    98,197  
  2,667    

News Corp. - Class B

    46,486  
  609    

Nexstar Media Group, Inc. (b)

    105,150  
  1,467    

Scholastic Corp.

    50,201  
  1,227    

Sinclair Broadcast Group, Inc. - Class A (b)

    21,055  
  726    

TechTarget, Inc. (a)

    26,223  
  3,522    

TEGNA, Inc.

    59,557  
  2,882    

The E.W. Scripps Co. - Class A (a)

    27,120  
  4,652    

The Interpublic Group of Companies, Inc. (b)

    173,241  
  2,099    

The New York Times Co. - Class A (b)

    81,609  
  2,391    

Thryv Holdings, Inc. (a)(b)

    55,136  
  246    

Value Line, Inc.

    11,889  
           


              992,821  
           


       

Metals & Mining - 2.23%

 

  2,188    

Alcoa Corp.

    93,121  
  1,212    

ATI, Inc. (a)

    47,826  
  539    

Alpha Metallurgical Resources, Inc.

    84,084  
  7,409    

Cleveland-Cliffs, Inc. (a)(b)

    135,807  
  2,114    

Commercial Metals Co.

    103,375  
  1,797    

Constellium SE - ADR (a)

    27,458  
  503    

Gibraltar Industries, Inc. (a)

    24,396  
  693    

Haynes International, Inc.

    34,712  
  1,691    

Hecla Mining Co.

    10,704  
  262    

Kaiser Aluminum Corp.

    19,553  
  305    

Materion Corp.

    35,380  
  2,390    

Olympic Steel, Inc.

    124,782  
  1,307    

Reliance Steel & Aluminum Co. (b)

    335,559  
  158    

Royal Gold, Inc.

    20,494  
  4,713    

Ryerson Holding Corp.

    171,459  
  1,101    

Schnitzer Steel Industries, Inc. - Class A

    34,241  
  1,870    

SSR Mining, Inc. - ADR

    28,274  
  3,701    

Steel Dynamics, Inc. (b)

    418,435  
  6,980    

SunCoke Energy, Inc.

    62,680  
  4,206    

TimkenSteel Corp. (a)

    77,138  
  4,736    

United States Steel Corp. (b)

    123,610  
  2,494    

Warrior Met Coal, Inc.

    91,555  

Number of
Shares


       

Value


 
       

Metals & Mining (Continued)

 

  259    

Worthington Industries, Inc.

  $ 16,744  
           


              2,121,387  
           


       

Multiline Retail - 0.55%

 

  1,756    

Big Lots, Inc.

    19,246  
  662    

Dillard’s, Inc. - Class A (b)

    203,684  
  3,351    

Kohl’s Corp. (b)

    78,883  
  8,172    

Macy’s, Inc. (b)

    142,928  
  2,677    

Nordstrom, Inc. (b)

    43,555  
  645    

Ollie’s Bargain Outlet Holdings, Inc. (a)

    37,371  
           


              525,667  
           


       

Multi-Utilities - 0.26%

 

  740    

Avista Corp.

    31,413  
  625    

Black Hills Corp. (b)

    39,437  
  2,372    

MDU Resources Group, Inc.

    72,299  
  3,669    

NiSource, Inc.

    102,585  
           


              245,734  
           


       

Oil, Gas & Consumable Fuels - 3.47%

 

  5,775    

Alto Ingredients, Inc. (a)

    8,663  
  692    

Kinetik Holdings, Inc. (b)

    21,660  
  3,973    

Amplify Energy Corp. (a)

    27,295  
  2,675    

Antero Midstream Corp.

    28,061  
  4,620    

Antero Resources Corp. (a)(b)

    106,676  
  6,201    

APA Corp. (b)

    223,608  
  377    

Arch Resources, Inc. (b)

    49,560  
  2,807    

Battalion Oil Corp. (a)

    18,442  
  4,684    

Berry Corp.

    36,769  
  1,483    

California Resources Corp.

    57,096  
  728    

Callon Petroleum Co. (a)(b)

    24,344  
  839    

Centrus Energy Corp. - Class A (a)

    27,016  
  1,369    

Chesapeake Energy Corp. (b)

    104,099  
  801    

Chord Energy Corp. (b)

    107,815  
  909    

Civitas Resources, Inc. (b)

    62,121  
  2,890    

CNX Resources Corp. (a)(b)

    46,298  
  3,364    

Comstock Resources, Inc. (b)

    36,298  
  1,996    

CONSOL Energy, Inc.

    116,307  
  1,014    

CVR Energy, Inc.

    33,239  
  1,832    

Delek US Holdings, Inc

    42,044  
  592    

Denbury, Inc. (a)

    51,877  
  2,527    

Dorian LPG, Ltd. - ADR

    50,388  
  661    

DT Midstream, Inc.

    32,634  
  3,214    

Earthstone Energy, Inc. - Class A (a)(b)

    41,814  
  7,781    

Equitrans Midstream Corp. (b)

    44,974  
  1,401    

Frontline PLC - ADR

    23,201  
  1,287    

Golar LNG, Ltd. - ADR (a)

    27,799  
  759    

Green Plains, Inc. (a)

    23,521  
  1,984    

HF Sinclair Corp.

    95,986  
  535    

International Seaways, Inc. - ADR

    22,299  
  4,521    

Kosmos Energy Ltd. (a)(b)

    33,636  
  4,506    

Magnolia Oil & Gas Corp. - Class A (b)

    98,591  
  2,256    

Matador Resources Co. (b)

    107,498  
  2,607    

Murphy Oil Corp.

    96,407  
  832    

NACCO Industries, Inc. - Class A

    30,010  
  388    

New Fortress Energy, Inc. (b)

    11,419  
  1,224    

Northern Oil and Gas, Inc. (b)

    37,148  
  3,466    

OVINTIV, Inc.

    125,053  
  2,757    

PBF Energy, Inc. - Class A

    119,544  
  1,440    

PDC Energy, Inc. (b)

    92,419  
  3,067    

Peabody Energy Corp. (a)(b)

    78,515  
 

 

See notes to financial statements.

 

60


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Oil, Gas & Consumable Fuels (Continued)

 

  9,317    

Permian Resources Corp.

  $ 97,829  
  3,498    

Range Resources Corp. (b)

    92,592  
  1,154    

Ranger Oil Corp. - Class A

    47,129  
  11,401    

Ring Energy, Inc. (a)

    21,662  
  746    

Scorpio Tankers, Inc. - ADR

    42,007  
  844    

SilverBow Resources, Inc. (a)(b)

    19,285  
  2,509    

Sitio Royalties Corp. - Class A

    56,703  
  2,769    

SM Energy Co. (b)

    77,975  
  21,175    

Southwestern Energy Co. (a)

    105,875  
  3,722    

Talos Energy, Inc. (a)(b)

    55,235  
  8,927    

Teekay Corp. - ADR (a)

    55,169  
  56    

Texas Pacific Land Corp.

    95,257  
  5,075    

Uranium Energy Corp. (a)

    14,616  
  9,899    

Vaalco Energy, Inc.

    44,843  
  584    

Vital Energy, Inc. (a)(b)

    26,595  
  1,111    

World Fuel Services Corp.

    28,386  
           


              3,303,302  
           


       

Paper & Forest Products - 0.38%

 

  2,267    

Boise Cascade Co.

    143,388  
  1,153    

Clearwater Paper Corp. (a)

    38,533  
  2,836    

Louisiana-Pacific Corp.

    153,740  
  2,770    

Resolute Forest Products (a)(c)(e)(f)

    3,933  
  522    

Sylvamo Corp.

    24,148  
           


              363,742  
           


       

Personal Care Products - 0.05%

 

  6,107    

The Honest Co., Inc. (a)

    10,993  
  7,999    

Thorne HealthTech, Inc. (a)

    36,955  
           


              47,948  
           


       

Personal Products - 0.80%

 

  2,487    

BellRing Brands, Inc. (a)

    84,558  
  3,902    

Coty, Inc. - Class A (a)(b)

    47,058  
  994    

Edgewell Personal Care Co.

    42,166  
  2,147    

elf Beauty, Inc. (a)

    176,805  
  2,463    

Herbalife Nutrition, Ltd. - ADR (a)(b)

    39,654  
  658    

Inter Parfums, Inc.

    93,594  
  546    

Medifast, Inc. (b)

    56,604  
  4,728    

Nature’s Sunshine Products, Inc. (a)

    48,273  
  1,975    

Nu Skin Enterprises, Inc. - Class A

    77,637  
  2,957    

The Beauty Health Co. (a)

    37,347  
  929    

USANA Health Sciences, Inc. (a)

    58,434  
           


              762,130  
           


       

Pharmaceuticals - 1.33%

 

  34,119    

Amneal Pharmaceuticals, Inc. (a)

    47,425  
  3,857    

Amphastar Pharmaceuticals, Inc. (a)(b)

    144,637  
  18,514    

BARK, Inc. (a)

    26,845  
  4,309    

Collegium Pharmaceutical, Inc. (a)(b)

    103,373  
  5,510    

Corcept Therapeutics, Inc. (a)

    119,347  
  1,300    

Harmony Biosciences Holdings, Inc. (a)(b)

    42,445  
  7,266    

Innoviva, Inc. (a)

    81,742  
  758    

Intra-Cellular Therapies, Inc. (a)

    41,046  
  1,089    

IVERIC Bio, Inc. (a)

    26,495  
  1,114    

Jazz Pharmaceuticals PLC - ADR (a)

    163,012  
  430    

Organon & Co.

    10,114  
  852    

Pacira Pharmaceuticals, Inc. (a)

    34,770  
  2,246    

Perrigo Co. PLC - ADR

    80,564  
  1,570    

Phibro Animal Health Corp. - Class A

    24,052  

Number of
Shares


       

Value


 
       

Pharmaceuticals (Continued)

 

  1,992    

Prestige Consumer Healthcare, Inc. (a)

  $ 124,759  
  15,662    

SIGA Technologies, Inc.

    90,057  
  2,950    

Supernus Pharmaceuticals, Inc. (a)(b)

    106,879  
           


              1,267,562  
           


       

Professional Services - 1.51%

 

  2,081    

Alight, Inc. - Class A (a)(b)

    19,166  
  965    

ASGN, Inc. (a)

    79,776  
  6,678    

Atlas Technical Consultants, Inc. (a)

    81,405  
  1,010    

CBIZ, Inc. (a)

    49,985  
  422    

CRA International, Inc. (b)

    45,500  
  379    

Exponent, Inc.

    37,782  
  751    

Forrester Research, Inc. (a)

    24,295  
  1,236    

Franklin Covey Co. (a)

    47,549  
  569    

FTI Consulting, Inc. (a)(b)

    112,292  
  981    

Heidrick & Struggles International, Inc.

    29,783  
  648    

Huron Consulting Group, Inc. (a)

    52,080  
  520    

ICF International, Inc.

    57,044  
  705    

Insperity, Inc.

    85,693  
  1,821    

Kelly Services, Inc. - Class A

    30,210  
  1,318    

Kforce, Inc.

    83,350  
  850    

Korn Ferry International (b)

    43,979  
  4,364    

Legalzoom.com, Inc. (a)

    40,934  
  903    

ManpowerGroup, Inc. (b)

    74,525  
  1,451    

Red Violet, Inc. (a)

    25,538  
  3,696    

Resources Connection, Inc.

    63,054  
  2,408    

Robert Half International, Inc.

    194,013  
  610    

TriNet Group, Inc. (a)

    49,172  
  3,068    

TrueBlue, Inc. (a)

    54,610  
  2,231    

Upwork, Inc. (a)

    25,255  
  453    

VSE Corp.

    20,340  
  837    

Willdan Group, Inc. (a)

    13,074  
           


              1,440,404  
           


       

Real Estate Management & Development - 0.42%

 

  4,807    

Anywhere Real Estate, Inc. (a)

    25,381  
  8,613    

Compass, Inc. - Class A (a)

    27,820  
  4,494    

Cushman & Wakefield PLC - ADR (a)(b)

    47,367  
  6,875    

eXp World Holdings, Inc. (b)

    87,244  
  2,406    

Forestar Group, Inc. (a)

    37,437  
  523    

Jones Lang LaSalle, Inc. (a)

    76,091  
  2,316    

Marcus & Millichap, Inc.

    74,367  
  1,248    

RE/MAX Holdings, Inc. - Class A

    23,412  
           


              399,119  
           


       

Road & Rail - 0.88%

 

  1,081    

ArcBest Corp.

    99,906  
  364    

Avis Budget Group, Inc. (a)(b)

    70,907  
  1,552    

Covenant Transportation Group, Inc. - Class A

    54,972  
  5,512    

Daseke, Inc. (a)

    42,608  
  2,390    

Knight-Swift Transportation Holdings, Inc.

    135,226  
  856    

Landstar System, Inc. (b)

    153,447  
  2,085    

PAM Transportation Services, Inc. (a)

    59,693  
  978    

RXO, Inc. (a)(b)

    19,208  
  1,183    

Ryder System, Inc.

    105,571  
  255    

Saia, Inc. (a)(b)

    69,380  
  485    

Werner Enterprises, Inc. (b)

    22,063  
           


              832,981  
           


       

Semiconductors & Semiconductor Equipment - 2.37%

 

  514    

Advanced Energy Industries, Inc. (b)

    50,372  
  2,084    

Allegro MicroSystems, Inc. (a)(b)

    100,011  
 

 

See notes to financial statements.

 

61


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Semiconductors & Semiconductor Equipment (Continued)

 

  2,097    

Alpha & Omega Semiconductor, Ltd. - ADR (a)

  $ 56,514  
  481    

Ambarella, Inc. - ADR (a)

    37,239  
  4,307    

Amkor Technology, Inc. (b)

    112,068  
  1,199    

Axcelis Technologies, Inc. (a)

    159,767  
  561    

CEVA, Inc. (a)

    17,071  
  1,474    

Cirrus Logic, Inc. (a)

    161,226  
  1,566    

Cohu, Inc. (a)(b)

    60,119  
  957    

Diodes, Inc. (a)(b)

    88,771  
  326    

Entegris, Inc. (b)

    26,735  
  663    

First Solar, Inc. (a)

    144,202  
  1,653    

FormFactor, Inc. (a)

    52,648  
  728    

Impinj, Inc. (a)

    98,659  
  1,897    

Kulicke & Soffa Industries, Inc. (b)

    99,953  
  2,076    

Lattice Semiconductor Corp. (a)

    198,258  
  612    

MACOM Technology Solutions Holdings, Inc. (a)(b)

    43,354  
  1,894    

MaxLinear, Inc. (a)

    66,688  
  830    

MKS Instruments, Inc. (b)

    73,555  
  1,115    

Onto Innovation, Inc. (a)

    97,986  
  4,972    

Photronics, Inc. (a)(b)

    82,436  
  1,112    

Power Integrations, Inc. (b)

    94,120  
  2,869    

Rambus, Inc. (a)(b)

    147,065  
  1,097    

Semtech Corp. (a)

    26,482  
  194    

Silicon Laboratories, Inc. (a)(b)

    33,967  
  2,529    

SMART Global Holdings, Inc. - ADR (a)

    43,600  
  1,006    

Ultra Clean Holdings, Inc. (a)(b)

    33,359  
  1,626    

Veeco Instruments, Inc. (a)(b)

    34,357  
  300    

Wolfspeed, Inc. (a)

    19,485  
           


              2,260,067  
           


       

Software - 5.11%

 

  1,438    

2U, Inc. (a)

    9,850  
  16,615    

8x8, Inc. (a)(b)

    69,285  
  7,306    

A10 Networks, Inc.

    113,170  
  2,670    

ACI Worldwide, Inc. (a)(b)

    72,037  
  5,761    

Adeia, Inc.

    51,042  
  1,402    

Agilysys, Inc. (a)

    115,679  
  959    

Alarm.com Holdings, Inc. (a)(b)

    48,219  
  1,157    

Altair Engineering, Inc. - Class A (a)

    83,431  
  651    

Alteryx, Inc. - Class A (a)

    38,305  
  2,127    

American Software, Inc. - Class A

    26,821  
  601    

Appfolio, Inc. - Class A (a)

    74,812  
  877    

Appian Corp. - Class A (a)

    38,921  
  4,087    

AppLovin Corp. - Class A (a)(b)

    64,370  
  1,874    

Asana, Inc. - Class A (a)

    39,598  
  298    

Aspen Technology, Inc. (a)

    68,203  
  1,022    

Bentley Systems, Inc. - Class B

    43,936  
  420    

Bill.com Holdings, Inc. (a)

    34,079  
  909    

Blackbaud, Inc. (a)

    62,994  
  3,537    

Box, Inc. - Class A (a)(b)

    94,756  
  737    

Cerence, Inc. (a)

    20,702  
  574    

Ceridian HCM Holding, Inc. (a)

    42,028  
  1,629    

CommVault Systems, Inc. (a)

    92,429  
  985    

Consensus Cloud Solutions, Inc. (a)

    33,579  
  1,477    

Couchbase, Inc. (a)

    20,767  
  6,294    

Cvent Holding Corp. (a)

    52,618  
  3,976    

Digital Turbine, Inc. (a)(b)

    49,143  
  2,227    

Domo, Inc. - Class B (a)

    31,601  
  6,270    

Dropbox, Inc. - Class A (a)

    135,557  

Number of
Shares


       

Value


 
       

Software (Continued)

 

  1,863    

Dynatrace, Inc. (a)

  $ 78,805  
  3,491    

Ebix, Inc. (b)

    46,046  
  5,611    

eGain Corp. (a)

    42,587  
  890    

Elastic NV - ADR (a)

    51,531  
  824    

Envestnet, Inc. (a)(b)

    48,344  
  896    

ePlus, Inc. (a)

    43,940  
  2,057    

EverCommerce, Inc. (a)

    21,763  
  380    

Fair Isaac Corp. (a)

    267,022  
  723    

Five9, Inc. (a)

    52,266  
  4,079    

Gen Digital, Inc. (b)

    69,996  
  352    

Globant SA - ADR (a)

    57,732  
  1,787    

Informatica, Inc. - Class A (a)

    29,307  
  1,025    

Jack Henry & Associates, Inc. (b)

    154,488  
  3,807    

LivePerson, Inc. (a)

    16,789  
  1,209    

Manhattan Associates, Inc. (a)

    187,214  
  4,010    

Mitek Systems, Inc. (a)

    38,456  
  1,181    

Model N, Inc. (a)

    39,528  
  4,424    

Momentive Global, Inc. (a)

    41,232  
  2,046    

N-able, Inc. (a)(b)

    27,007  
  804    

New Relic, Inc. (a)

    60,533  
  3,423    

Nutanix, Inc. - Class A (a)

    88,964  
  2,018    

OneSpan, Inc. (a)(b)

    35,315  
  223    

Paylocity Holding Corp. (a)

    44,328  
  1,362    

Pegasystems, Inc. (b)

    66,030  
  447    

Procore Technologies, Inc. (a)

    27,996  
  1,970    

Progress Software Corp.

    113,176  
  1,250    

PTC, Inc. (a)

    160,287  
  683    

Qualys, Inc. (a)(b)

    88,804  
  1,025    

Rapid7, Inc. (a)

    47,058  
  18,493    

Rimini Street Inc. (a)

    76,191  
  1,899    

RingCentral, Inc. - Class A (a)

    58,242  
  1,100    

Sapiens International Corp NV - ADR

    23,892  
  4,170    

SecureWorks Corp. - Class A (a)

    35,737  
  701    

SentinelOne, Inc. - Class A (a)

    11,468  
  881    

ShotSpotter, Inc. (a)

    34,641  
  1,520    

Smartsheet, Inc. - Class A (a)

    72,656  
  948    

Sprout Social, Inc. - Class A (a)(b)

    57,714  
  762    

SPS Commerce, Inc. (a)

    116,053  
  1,579    

Tenable Holdings, Inc. (a)

    75,018  
  1,443    

UiPath, Inc. - Class A (a)

    25,339  
  9,986    

Upland Software, Inc. (a)

    42,940  
  2,078    

Varonis Systems, Inc. (a)

    54,049  
  2,216    

Verint Systems, Inc. (a)

    82,524  
  2,971    

Veritone, Inc. (a)

    17,321  
  1,122    

Workiva, Inc. (a)(b)

    114,904  
  2,304    

Xperi, Inc. (a)

    25,183  
  8,583    

Yext, Inc. (a)

    82,483  
  8,822    

Zeta Global Holdings Corp. - Class A (a)

    95,542  
  743    

Ziff Davis, Inc. (a)(b)

    57,991  
  3,228    

Zuora, Inc. - Class A (a)

    31,893  
           


              4,866,257  
           


       

Specialty Retail - 4.82%

 

  3,108    

Abercrombie & Fitch Co. - Class A (a)

    86,247  
  2,730    

Academy Sports & Outdoors, Inc. (b)

    178,132  
  3,165    

American Eagle Outfitters, Inc. (b)

    42,538  
  634    

America’s Car-Mart, Inc. (a)(b)

    50,219  
  522    

Asbury Automotive Group, Inc. (a)

    109,620  
  1,252    

AutoNation, Inc. (a)(b)

    168,219  
  15,751    

Bed Bath & Beyond, Inc. (a)(b)

    6,732  
 

 

See notes to financial statements.

 

62


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Specialty Retail (Continued)

 

  3,864    

Big 5 Sporting Goods Corp. (b)

  $ 29,714  
  909    

Boot Barn Holdings, Inc. (a)(b)

    69,666  
  2,827    

Build-A-Bear Workshop, Inc.

    65,699  
  4,189    

Caleres, Inc. (b)

    90,608  
  1,566    

Camping World Holdings, Inc. - Class A (b)

    32,682  
  12,365    

Chico’s FAS, Inc. (a)

    68,008  
  2,170    

Citi Trends, Inc. (a)

    41,273  
  3,115    

Conn’s, Inc. (a)

    18,877  
  4,179    

Designer Brands, Inc. - Class A

    36,524  
  9,912    

Destination XL Group, Inc. (a)

    54,615  
  1,401    

Dick’s Sporting Goods, Inc. (b)

    198,788  
  3,842    

EVgo, Inc. (a)(b)

    29,929  
  22,622    

Express, Inc. (a)

    17,833  
  663    

Five Below, Inc. (a)(b)

    136,558  
  1,241    

Floor & Decor Holdings, Inc. - Class A (a)(b)

    121,891  
  1,866    

Foot Locker, Inc. (b)

    74,062  
  4,972    

GameStop Corp. - Class A (a)(b)

    114,455  
  1,394    

Genesco, Inc. (a)

    51,411  
  591    

Group 1 Automotive, Inc. (b)

    133,814  
  1,392    

Guess?, Inc. (b)

    27,088  
  2,397    

Haverty Furniture Cos., Inc.

    76,488  
  1,720    

Hibbett Sports, Inc.

    101,446  
  8,664    

JOANN, Inc. (b)

    13,776  
  3,434    

Leslie’s, Inc. (a)(b)

    37,808  
  534    

Lithia Motors, Inc. (b)

    122,249  
  8,137    

LL Flooring Holdings, Inc. (a)

    30,921  
  3,945    

Lulu’s Fashion Lounge Holdings, Inc. (a)

    9,389  
  1,827    

MarineMax, Inc. (a)

    52,526  
  396    

Monro, Inc. (b)

    19,574  
  585    

Murphy USA, Inc.

    150,959  
  1,678    

National Vision Holdings, Inc. (a)

    31,614  
  2,017    

ODP Corp. (a)

    90,725  
  842    

Penske Automotive Group, Inc. (b)

    119,404  
  2,191    

Petco Health & Wellness Co., Inc. (a)(b)

    19,719  
  2,384    

Rent-A-Center, Inc. (b)

    58,432  
  1,742    

Revolve Group, Inc. (a)

    45,815  
  1,206    

REX American Resources Corp. (a)

    34,480  
  315    

RH (a)(b)

    76,718  
  5,338    

Sally Beauty Holdings, Inc. (a)(b)

    83,166  
  2,422    

Shoe Carnival, Inc.

    62,124  
  2,149    

Signet Jewelers, Ltd. - ADR

    167,149  
  1,610    

Sleep Number Corp. (a)

    48,960  
  1,367    

Sonic Automotive, Inc. - Class A

    74,283  
  6,041    

Sportsman’s Warehouse Holdings, Inc. (a)

    51,228  
  9,554    

Stitch Fix, Inc. - Class A (a)

    48,821  
  3,493    

The Aaron’s Co., Inc.

    33,742  
  1,628    

The Buckle, Inc. (b)

    58,103  
  4,077    

The Cato Corp. - Class A

    36,041  
  1,432    

The Children’s Place, Inc. (a)

    57,638  
  6,889    

The Container Store Group, Inc. (a)

    23,629  
  5,188    

The Gap, Inc. (b)

    52,088  
  15,128    

The RealReal, Inc. (a)

    19,061  
  5,677    

Tile Shop Holdings, Inc. (a)

    26,625  
  4,339    

Tilly’s, Inc. - Class A (a)

    33,454  
  6,106    

Torrid Holdings, Inc. (a)(b)

    26,622  
  1,085    

TravelCenters of America, Inc. (a)(b)

    93,853  
  1,714    

Urban Outfitters, Inc. (a)

    47,512  
  1,427    

Victoria’s Secret & Co. (a)(b)

    48,732  
  2,256    

Warby Parker, Inc. - Class A (a)

    23,891  

Number of
Shares


       

Value


 
       

Specialty Retail (Continued)

 

  1,516    

Williams Sonoma, Inc. (b)

  $ 184,437  
  330    

Winmark Corp.

    105,742  
  2,120    

Zumiez, Inc. (a)

    39,093  
           


              4,593,239  
           


       

Technology Hardware, Storage & Peripherals - 0.87%

 

  4,908    

Avid Technology, Inc. (a)

    156,958  
  1,343    

Corsair Gaming, Inc. (a)(b)

    24,644  
  15,211    

Diebold Nixdorf, Inc. (a)

    18,253  
  3,469    

NCR Corp. (a)

    81,834  
  5,014    

Pure Storage, Inc. - Class A (a)

    127,907  
  915    

Super Micro Computer, Inc. (a)(b)

    97,493  
  1,256    

Synaptics, Inc. (a)(b)

    139,605  
  3,443    

Teradata Corp. (a)

    138,684  
  2,946    

Xerox Holdings Corp.

    45,368  
           


              830,746  
           


       

Textiles, Apparel & Luxury Goods - 2.20%

 

  3,391    

Capri Holdings, Ltd. - ADR (a)

    159,377  
  737    

Carter’s, Inc.

    53,005  
  846    

Columbia Sportswear Co.

    76,343  
  2,014    

Crocs, Inc. (a)(b)

    254,650  
  585    

Deckers Outdoor Corp. (a)

    262,987  
  8,398    

Fossil Group, Inc. (a)

    26,874  
  2,482    

G-III Apparel Group, Ltd. (a)

    38,595  
  5,673    

Hanesbrands, Inc. (b)

    29,840  
  2,060    

Kontoor Brands, Inc. (b)

    99,684  
  2,555    

Movado Group, Inc.

    73,507  
  970    

Oxford Industries, Inc. (b)

    102,422  
  9,540    

PLBY Group, Inc. (a)

    18,889  
  1,173    

PVH Corp.

    104,585  
  996    

Ralph Lauren Corp. (b)

    116,203  
  830    

Rocky Brands, Inc.

    19,148  
  1,994    

Skechers U.S.A., Inc. - Class A (a)

    94,755  
  1,971    

Steven Madden, Ltd.

    70,956  
  2,247    

Superior Uniform Group, Inc.

    17,684  
  5,543    

Tapestry, Inc. (b)

    238,959  
  6,655    

Under Armour, Inc. - Class A (a)

    63,156  
  7,580    

Under Armour, Inc. - Class C (a)(b)

    64,657  
  1,790    

Unifi, Inc. (a)

    14,624  
  213    

UniFirst Corp.

    37,537  
  736    

Weyco Group, Inc.

    18,621  
  2,333    

Wolverine World Wide, Inc.

    39,778  
           


              2,096,836  
           


       

Thrifts & Mortgage Finance - 1.15%

 

  898    

Axos Financial, Inc. (a)

    33,154  
  1,240    

Berkshire Hills Bancorp, Inc. (b)

    31,074  
  1,990    

Bridgewater Bancshares, Inc. (a)

    21,572  
  2,098    

Essent Group, Ltd. - ADR

    84,025  
  586    

Federal Agricultural Mortgage Corp. - Class C

    78,049  
  1,873    

Flushing Financial Corp.

    27,889  
  850    

Home Bancorp, Inc.

    28,076  
  1,221    

HomeStreet, Inc.

    21,966  
  2,008    

Merchants Bancorp

    52,288  
  6,500    

MGIC Investment Corp.

    87,230  
  2,979    

Mr Cooper Group, Inc. (a)(b)

    122,050  
  7,900    

New York Community Bancorp, Inc. (b)

    71,416  
  2,319    

NMI Holdings, Inc. - Class A (a)

    51,783  
  1,957    

Northfield Bancorp, Inc.

    23,054  
  1,703    

Northwest Bancshares, Inc.

    20,487  
 

 

See notes to financial statements.

 

63


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Thrifts & Mortgage Finance (Continued)

 

  1,127    

PennyMac Financial Services, Inc.

  $ 67,181  
  1,422    

Provident Financial Services, Inc.

    27,274  
  4,194    

Radian Group, Inc.

    92,687  
  700    

Southern Missouri Bancorp, Inc.

    26,187  
  636    

Walker & Dunlop, Inc.

    48,444  
  1,191    

Washington Federal, Inc. (b)

    35,873  
  1,034    

Waterstone Financial, Inc.

    15,644  
  685    

WSFS Financial Corp.

    25,763  
           


              1,093,166  
           


       

Tobacco - 0.11%

 

  990    

Turning Point Brands, Inc.

    20,790  
  752    

Universal Corp.

    39,773  
  3,407    

Vector Group, Ltd.

    40,918  
           


              101,481  
           


       

Trading Companies & Distributors - 2.43%

 

  484    

Air Lease Corp.

    19,055  
  2,166    

Alta Equipment Group, Inc.

    34,331  
  996    

Applied Industrial Technologies, Inc.

    141,561  
  1,572    

Beacon Roofing Supply, Inc. (a)(b)

    92,512  
  1,602    

BlueLinx Holdings, Inc. (a)

    108,872  
  845    

Core & Main, Inc. - Class A (a)

    19,519  
  2,406    

DXP Enterprises, Inc. (a)

    64,770  
  1,962    

Global Industrial Co.

    52,660  
  2,276    

GMS, Inc. (a)

    131,758  
  1,102    

H&E Equipment Services, Inc.

    48,741  
  336    

Herc Holdings, Inc. (b)

    38,270  
  8,134    

Hudson Technologies, Inc. (a)

    71,010  
  611    

Kaman Corp.

    13,967  
  2,731    

Karat Packaging, Inc.

    36,404  
  4,114    

MRC Global, Inc. (a)

    39,988  
  975    

MSC Industrial Direct Co., Inc. - Class A

    81,900  
  6,286    

NOW, Inc. (a)

    70,089  
  1,262    

Rush Enterprises, Inc. - Class A (b)

    68,905  
  882    

Rush Enterprises, Inc. - Class B

    52,823  
  941    

SiteOne Landscape Supply, Inc. (a)(b)

    128,795  
  1,587    

Textainer Group Holdings, Ltd. - ADR

    50,959  
  2,662    

Titan Machinery, Inc. (a)

    81,058  
  650    

Transcat, Inc. (a)

    58,104  
  954    

Triton International, Ltd. - ADR (b)

    60,312  
  4,754    

Univar Solutions, Inc. (a)

    166,533  
  1,796    

Veritiv Corp.

    242,711  
  519    

Watsco, Inc. (b)

    165,125  
  988    

WESCO International, Inc.

    152,686  
  1,336    

Xometry, Inc. - Class A (a)

    20,000  
           


              2,313,418  
           


       

Water Utilities - 0.16%

 

  244    

American States Water Co.

    21,689  
  470    

Artesian Resources Corp. - Class A

    26,020  
  531    

California Water Service Group

    30,904  
  1,648    

Essential Utilities, Inc.

    71,935  
           


              150,548  
           


       

Wireless Telecommunication Services - 0.03%

 

  1,576    

Telephone & Data Systems, Inc.

    16,564  
  716    

United States Cellular Corp. (a)

    14,842  
           


              31,406  
           


       

Total Common Stocks
(Cost $63,602,101)

    85,528,390  
           


Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 3.58%

 

       

International Equity Funds - 3.58%

 

  24,363    

Vanguard Extended Market ETF

  $ 3,415,693  
           


       

Total Investment Companies
(Cost $3,052,811)

    3,415,693  
           


       

REAL ESTATE INVESTMENT TRUSTS - 4.25%

 

       

Real Estate Investment Trusts - 4.25%

 

  2,287    

Acadia Realty Trust

    31,904  
  483    

Agree Realty Corp.

    33,139  
  677    

American Assets Trust, Inc.

    12,585  
  5,976    

Necessity Retail REIT, Inc. - Class A

    37,529  
  1,957    

American Homes 4 Rent - Class A

    61,548  
  1,519    

Americold Realty Trust, Inc. (b)

    43,216  
  5,448    

Annaly Capital Management, Inc. (b)

    104,111  
  264    

Apartment Income REIT Corp.

    9,454  
  6,603    

Apartment Investment and Management Co. - Class A

    50,777  
  3,391    

Apollo Commercial Real Estate Finance, Inc.

    31,570  
  4,839    

Apple Hospitality REIT, Inc.

    75,101  
  4,100    

Arbor Realty Trust, Inc.

    47,109  
  2,207    

Ares Commercial Real Estate Corp.

    20,062  
  1,690    

Armada Hoffler Properties, Inc.

    19,959  
  1,865    

Blackstone Mortgage Trust, Inc. - Class A

    33,290  
  11,688    

Braemar Hotels & Resorts, Inc.

    45,116  
  3,238    

Brandywine Realty Trust

    15,316  
  4,302    

Brixmor Property Group, Inc. (b)

    92,579  
  1,826    

Broadstone Net Lease, Inc.

    31,060  
  650    

Camden Property Trust

    68,146  
  1,596    

CBL & Associates Properties, Inc.

    40,921  
  4,458    

Chatham Lodging Trust

    46,764  
  3,267    

City Office REIT, Inc.

    22,542  
  4,177    

CoreCivic, Inc. (a)(b)

    38,428  
  1,579    

Corporate Office Properties Trust

    37,438  
  2,150    

Cousins Properties, Inc. (b)

    45,967  
  507    

CubeSmart (b)

    23,434  
  4,239    

DiamondRock Hospitality Co. (b)

    34,463  
  1,770    

Douglas Emmett, Inc. (b)

    21,824  
  3,808    

Dynex Capital, Inc.

    46,153  
  1,084    

Easterly Government Properties, Inc.

    14,894  
  5,645    

Empire State Realty Trust, Inc. - Class A

    36,636  
  1,398    

EPR Properties (b)

    53,264  
  567    

Equity LifeStyle Properties, Inc.

    38,063  
  1,203    

Essential Properties Realty Trust, Inc. (b)

    29,895  
  507    

Federal Realty Investment Trust

    50,107  
  218    

First Industrial Realty Trust, Inc.

    11,598  
  1,492    

Gaming and Leisure Properties, Inc.

    77,674  
  1,216    

Gladstone Commercial Corp.

    15,358  
  1,307    

Global Medical REIT, Inc.

    11,907  
  2,975    

Global Net Lease, Inc. (b)

    38,258  
  4,780    

Hersha Hospitality Trust - Class A

    32,122  
  1,400    

Highwoods Properties, Inc.

    32,466  
  7,240    

Host Hotels & Resorts, Inc.

    119,388  
  3,005    

Hudson Pacific Properties, Inc.

    19,983  
  1,665    

Independence Realty Trust, Inc. (b)

    26,690  
  2,001    

Iron Mountain, Inc.

    105,873  
  1,544    

JBG SMITH Properties

    23,253  
  1,696    

Kilroy Realty Corp. (b)

    54,950  
  6,694    

Kimco Realty Corp.

    130,734  
  3,552    

Kite Realty Group Trust

    74,308  
  1,079    

KKR Real Estate Finance Trust, Inc.

    12,290  
 

 

See notes to financial statements.

 

64


GuideMark Small/Mid Cap Core Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

REAL ESTATE INVESTMENT TRUSTS (Continued)

 

       

Real Estate Investment Trusts (Continued)

 

  519    

Lamar Advertising Co. - Class A

  $ 51,843  
  353    

Life Storage, Inc.

    46,275  
  457    

LTC Properties, Inc.

    16,054  
  1,583    

LXP Industrial Trust

    16,321  
  5,334    

Macerich Co. (b)

    56,540  
  5,837    

Medical Properties Trust, Inc. (b)

    47,980  
  247    

National Health Investors, Inc.

    12,740  
  1,218    

National Retail Properties, Inc.

    53,775  
  415    

National Storage Affiliates Trust (b)

    17,339  
  8,954    

New Residential Investment Corp. (b)

    71,632  
  394    

NexPoint Residential Trust, Inc.

    17,206  
  2,535    

Office Properties Income Trust

    31,180  
  1,106    

Omega Healthcare Investors, Inc. (b)

    30,315  
  3,416    

Orion Office REIT, Inc.

    22,887  
  7,463    

Paramount Group, Inc. (b)

    34,031  
  2,989    

Park Hotels & Resorts, Inc. (b)

    36,944  
  2,889    

Pebblebrook Hotel Trust (b)

    40,562  
  1,052    

Phillips Edison & Co, Inc.

    34,316  
  1,431    

Physicians Realty Trust (b)

    21,365  
  3,538    

Piedmont Office Realty Trust, Inc. - Class A

    25,827  
  1,082    

Plymouth Industrial REIT, Inc.

    22,733  
  1,113    

Postal Realty Trust, Inc. - Class A

    16,940  
  846    

PotlatchDeltic Corp. (b)

    41,877  
  2,811    

Ready Capital Corp. (b)

    28,588  
  1,819    

Regency Centers Corp.

    111,286  
  1,973    

Retail Opportunity Investments Corp.

    27,543  
  171    

Rexford Industrial Realty, Inc. (b)

    10,200  
  2,198    

RLJ Lodging Trust (b)

    23,299  
  3,658    

RPT Realty

    34,788  
  363    

Ryman Hospitality Properties, Inc.

    32,572  
  2,930    

Sabra Health Care REIT, Inc. (b)

    33,695  
  8,877    

Service Properties Trust

    88,415  
  3,318    

SITE Centers Corp.

    40,745  
  892    

SL Green Realty Corp. (b)

    20,980  
  1,424    

Spirit Realty Capital, Inc. (b)

    56,732  
  282    

STAG Industrial, Inc. (b)

    9,537  
  3,266    

Starwood Property Trust, Inc. (b)

    57,776  
  5,458    

Summit Hotel Properties, Inc.

    38,206  
  3,469    

Sunstone Hotel Investors, Inc. (b)

    34,274  
  3,216    

Tanger Factory Outlet Centers, Inc. (b)

    63,130  
  10,316    

The Geo Group, Inc. (a)(b)

    81,393  
  2,520    

Two Harbors Investment Corp.

    37,069  
  3,497    

Uniti Group, Inc. (b)

    12,414  
  1,406    

Urban Edge Properties

    21,174  
  1,582    

Urstadt Biddle Properties, Inc. - Class A

    27,796  
  2,160    

Veris Residential, Inc. (a)

    31,622  
  2,380    

Vornado Realty Trust (b)

    36,581  
  6,037    

Whitestone

    55,540  
  3,015    

Xenia Hotels & Resorts, Inc.

    39,466  
           


       

Total Real Estate Investment Trusts
(Cost $4,767,396)

    4,052,719  
           


Number of
Shares


       

Value


 
       

SHORT TERM INVESTMENTS - 0.95%

 

       

Money Market Funds - 0.95%

 

  906,837    

JPMorgan U.S. Government Money Market Fund Effective Yield, 4.73% (d)

  $ 906,837  
           


       

Total Short Term Investments
(Cost $906,837)

    906,837  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 29.66%

 

  28,266,325    

Mount Vernon Liquid Assets Portfolio, LLC Effective Yield, 4.93% (d)

    28,266,325  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $28,266,325)

    28,266,325  
           


       

Total Investments
(Cost $100,595,470) - 128.19%

    122,169,964  
       

Liabilities in Excess of
Other Assets - (28.19)%

    (26,869,014
           


       

TOTAL NET ASSETS - 100.00%

  $ 95,300,950  
           


Percentages are stated as a percent of net assets.

(a)   Non-income producing security.
(b)   All or portion of this security is on loan.
(c)   Value determined using significant unobservable inputs. Classified as Level 3 in the fair value hierarchy.
(d)   Seven-day yield as of March 31, 2023.
(e)   As of March 31, 2023, the Valuation Committee has fair valued these securities. The value of these securites were $6,710, which represents 0.01% of total net assets.
(f)   These securities have been deemed illiquid according to the Fund’s liquidity guidelines. The value of these securities total $31,237, which represents 0.03% of the total assets.

Glossary of Terms

ADR   -   American Depositary Receipt
 

 

See notes to financial statements.

 

65


GuideMark World ex-US Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS - 96.41%

 

       

Australia - 5.97%

 

  1,541    

Ampol, Ltd.

  $ 31,418  
  9,368    

APA Group - Stapled Security

    63,639  
  456    

Aristocrat Leisure, Ltd.

    11,401  
  9,693    

Aurizon Holdings Ltd.

    21,832  
  8,393    

Australia & New Zealand Banking Group, Ltd.

    129,337  
  27,156    

BHP Billiton, Ltd.

    858,507  
  30,278    

BlueScope Steel, Ltd.

    409,823  
  7,973    

Brambles, Ltd.

    71,886  
  1,623    

Cochlear, Ltd.

    258,382  
  26,268    

Coles Group, Ltd.

    317,387  
  4,886    

Commonwealth Bank of Australia

    322,600  
  902    

CSL, Ltd.

    174,690  
  7,418    

Endeavour Group, Ltd.

    33,702  
  10,797    

Fortescue Metals Group, Ltd.

    162,296  
  8,917    

IDP Education Ltd.

    164,327  
  7,682    

IGO Ltd.

    65,874  
  1,054    

Macquarie Group, Ltd.

    124,793  
  17,941    

Medibank Private, Ltd.

    40,487  
  2,036    

Mineral Resources Ltd.

    110,060  
  13,172    

National Australia Bank, Ltd.

    245,438  
  11,297    

Northern Star Resources, Ltd.

    92,637  
  23,414    

Origin Energy, Ltd.

    130,394  
  42,019    

Pilbara Minerals Ltd.

    111,787  
  15,039    

Qantas Airways, Ltd. (a)

    67,126  
  1,187    

REA Group, Ltd.

    110,680  
  4,624    

Rio Tinto, Ltd.

    371,537  
  15,953    

Santos, Ltd.

    73,422  
  2,679    

Sonic Healthcare, Ltd.

    62,804  
  76,385    

South32, Ltd.

    223,864  
  4,380    

Suncorp Group, Ltd.

    35,588  
  17,261    

Telstra Corp., Ltd.

    48,873  
  102,440    

The Lottery Corp., Ltd.

    352,328  
  6,295    

Transurban Group - Stapled Security

    60,107  
  9,584    

Treasury Wine Estates, Ltd.

    84,136  
  66,229    

Vicinity, Ltd.

    86,618  
  6,713    

Wesfarmers, Ltd.

    226,889  
  13,041    

Westpac Banking Corp.

    189,872  
  1,030    

WiseTech Global, Ltd.

    45,375  
  9,210    

Woodside Energy Group, Ltd.

    205,753  
  13,689    

Woolworths, Ltd.

    348,011  
           


              6,545,680  
           


       

Austria - 0.38%

 

  2,917    

Erste Group Bank AG

    96,639  
  6,936    

OMV AG

    318,524  
           


              415,163  
           


       

Belgium - 0.83%

 

  3,726    

Ageas SA

    161,181  
  3,233    

Anheuser-Busch InBev SA

    215,512  
  790    

D’ieteren Group

    153,721  
  768    

Elia Group SA

    101,420  
  801    

Solvay SA

    91,608  
  1,595    

UCB SA

    142,556  
  1,381    

Umicore SA

    46,845  
           


              912,843  
           


       

Canada - 10.26%

 

  1,883    

Agnico Eagle Mines, Ltd. (a)

    95,996  
  5,917    

Alimentation Couche-Tard, Inc. (a)

    297,492  

Number of
Shares


       

Value


 
       

Canada (Continued)

 

  25,402    

ARC Resources, Ltd. (a)(b)

  $ 288,134  
  3,426    

Bank of Montreal (a)

    305,159  
  5,058    

Barrick Gold Corp. (a)

    93,900  
  1,961    

Brookfield Asset Management Ltd. - Class A (a)

    64,235  
  1,596    

BRP, Inc. (a)

    124,893  
  1,650    

Cameco Corp. (a)

    43,206  
  1,705    

Canadian Imperial Bank of Commerce (a)

    72,300  
  1,121    

Canadian National Railway Co. (a)

    132,272  
  7,088    

Canadian Natural Resources, Ltd. (a)

    392,239  
  2,680    

Canadian Pacific Railway, Ltd. (a)

    206,369  
  2,403    

Canadian Utilities, Ltd. - Class A (a)

    66,960  
  28,169    

Cenovus Energy, Inc. (a)

    491,472  
  1,931    

CGI, Inc. (a)

    186,099  
  282    

Constellation Software, Inc. (a)

    530,179  
  5,138    

Dollarama, Inc. (a)

    307,063  
  12,263    

Element Fleet Management Corp. (a)

    161,057  
  16,112    

Empire Co., Ltd. (a)

    431,918  
  6,422    

Enbridge, Inc. (a)

    244,858  
  311    

Fairfax Financial Holdings, Ltd. (a)

    206,834  
  5,922    

First Quantum Minerals, Ltd.

    136,143  
  513    

FirstService Corp. (a)

    72,283  
  258    

Franco-Nevada Corp.

    37,632  
  2,699    

George Weston, Ltd. (a)

    357,670  
  3,017    

Great-West Lifeco, Inc.

    79,962  
  3,779    

Hydro One, Ltd. (a)

    107,596  
  2,575    

iA Financial Corp., Inc. (a)

    163,207  
  6,792    

Imperial Oil, Ltd. (a)

    345,405  
  964    

Intact Financial Corp. (a)

    137,963  
  5,227    

Loblaw Cos., Ltd. (a)

    476,367  
  7,419    

Lundin Mining Corp. (a)

    50,393  
  999    

Magna International, Inc. (a)

    53,509  
  20,016    

Manulife Financial Corp. (a)

    367,293  
  1,993    

Metro, Inc. (a)

    109,626  
  517    

National Bank of Canada (a)

    36,980  
  3,503    

Nutrien, Ltd. (a)(b)

    258,701  
  4,540    

Pembina Pipeline Corp. (a)

    147,067  
  5,563    

Power Corp. of Canada (b)

    142,172  
  1,510    

Restaurant Brands International, Inc. (a)

    101,371  
  421    

Ritchie Bros Auctioneers, Inc. (a)

    23,687  
  7,442    

Royal Bank of Canada (a)

    711,712  
  3,730    

Saputo, Inc. (a)

    96,514  
  13,180    

Suncor Energy, Inc. (a)

    409,199  
  7,502    

Teck Resources, Ltd. - Class B (a)

    273,935  
  3,757    

The Bank of Nova Scotia (a)

    189,226  
  7,850    

The Toronto-Dominion Bank (a)

    470,187  
  844    

Thomson Reuters Corp. (a)

    109,811  
  4,184    

Tourmaline Oil Corp. (a)

    174,357  
  6,620    

West Fraser Timber Co., Ltd. (a)

    472,192  
  3,022    

WSP GLOBAL, Inc. (a)

    395,845  
           


              11,250,640  
           


       

Cayman Islands - 0.10%

 

  19,464    

Wharf Real Estate Investment Co Ltd.

    112,061  
           


       

Chile - 0.09%

 

  5,106    

Antofagasta PLC

    100,013  
           


       

Denmark - 2.98%

 

  151    

A.P. Moeller - Maersk AS - Class A

    267,881  
  159    

A.P. Moeller - Maersk AS - Class B

    289,016  
  503    

Coloplast AS - Series B

    66,229  
  2,153    

Danske Bank AS (a)

    43,316  
 

 

See notes to financial statements.

 

66


GuideMark World ex-US Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Denmark (Continued)

 

  154    

DSV AS

  $ 29,860  
  322    

Genmab AS (a)

    121,718  
  11,412    

Novo Nordisk AS - Series B

    1,812,469  
  3,300    

Pandora AS

    316,761  
  663    

Rockwool International AS - B Shares

    162,579  
  2,277    

Tryg AS

    49,788  
  905    

Vestas Wind System

    26,376  
  2,346    

William Demant Holdings AS (a)

    82,360  
           


              3,268,353  
           


       

Finland - 0.98%

 

  2,616    

Neste OYJ

    129,241  
  7,849    

Nokia OYJ

    38,530  
  17,312    

Nordea Bank Abp

    184,863  
  8,479    

Orion OYJ - Class B

    378,996  
  4,658    

Sampo OYJ - Series A

    219,789  
  5,679    

Stora Enso OYJ - R Shares

    73,883  
  1,599    

UPM-Kymmene OYJ

    53,708  
           


              1,079,010  
           


       

France - 11.10%

 

  730    

Aeroports de Paris (a)

    104,217  
  1,255    

Air Liquide SA

    210,074  
  1,938    

Alstom SA

    52,765  
  936    

Arkema SA

    92,418  
  12,537    

AXA SA

    382,601  
  1,596    

BioMerieux

    168,245  
  6,047    

BNP Paribas SA

    361,114  
  45,490    

Bollore SA

    281,204  
  826    

Bureau Veritas SA

    23,733  
  305    

Capgemini SE

    56,680  
  18,033    

Carrefour SA

    364,585  
  6,816    

Cie de Saint-Gobain

    387,448  
  22,232    

Credit Agricole SA

    250,805  
  562    

Danone SA

    34,970  
  1,187    

Dassault Aviation SA

    234,825  
  1,454    

Dassault Systemes SE

    59,979  
  2,264    

Edenred

    133,995  
  3,602    

Eiffage SA

    389,796  
  12,722    

Engie SA

    201,323  
  620    

EssilorLuxottica SA

    111,801  
  2,705    

Eurazeo SE

    192,544  
  4,404    

Getlink SE

    72,533  
  291    

Hermes International

    589,352  
  4,309    

Ipsen SA

    474,475  
  296    

Kering SA

    193,120  
  11,463    

La Francaise des Jeux SAEM

    477,753  
  1,463    

L’Oreal SA

    653,734  
  1,503    

LVMH Moet Hennessy Louis Vuitton SE

    1,379,622  
  11,492    

Orange SA

    136,527  
  1,978    

Publicis Groupe SA

    154,403  
  128    

Remy Cointreau SA

    23,307  
  6,552    

Renault SA

    267,035  
  1,017    

Safran SA

    150,554  
  5,846    

Sanofi-Aventis SA

    634,169  
  130    

Sartorius Stedim Biotech

    39,884  
  878    

Schneider Electric SE

    146,735  
  367    

SEB SA

    41,759  
  7,125    

Societe Generale SA

    160,537  
  1,215    

Sodexo SA

    118,670  

Number of
Shares


       

Value


 
       

France (Continued)

 

  1,334    

Thales SA

  $ 197,228  
  15,281    

Total SA (b)

    901,028  
  1,316    

Unibail-Rodamco-Westfield (a)

    70,809  
  6,343    

Valeo SA

    130,158  
  2,687    

Vinci SA

    308,045  
  18,336    

Vivendi SA

    185,406  
  5,446    

Wendel SA

    575,860  
           


              12,177,825  
           


       

Germany - 8.15%

 

  1,947    

adidas AG

    345,151  
  953    

Allianz SE

    219,988  
  5,098    

Bayer AG

    325,670  
  3,239    

Bayerische Motoren Werke AG

    354,992  
  780    

Beiersdorf AG

    101,469  
  682    

Carl Zeiss Meditec AG

    94,997  
  21,293    

Commerzbank AG

    224,179  
  5,547    

Daimler AG

    426,582  
  31,754    

Deutsche Bank AG (b)

    322,914  
  782    

Deutsche Boerse AG

    152,264  
  38,688    

Deutsche Lufthansa AG (a)

    430,309  
  11,721    

Deutsche Post AG

    548,963  
  20,409    

Deutsche Telekom AG

    494,559  
  2,485    

E.ON SE

    31,000  
  8,112    

Fresenius Medical Care AG & Co. KGaA

    344,309  
  11,439    

Fresenius SE & Co. KGaA

    308,891  
  415    

Hannover Rueck SE

    81,166  
  2,673    

HeidelbergCement AG

    195,176  
  11,068    

HelloFresh SE (a)

    263,943  
  961    

Infineon Technologies AG

    39,464  
  1,861    

Knorr-Bremse AG

    123,963  
  985    

Merck KGaA

    183,639  
  314    

MTU Aero Engines AG

    78,576  
  508    

Muenchener Rueckversicherungs-Gesellschaft AG

    177,616  
  4,753    

Nemetschek SE

    328,105  
  3,492    

Puma SE

    216,479  
  466    

Rational AG

    313,239  
  1,079    

Rheinmetall AG

    319,655  
  4,227    

RWE AG

    181,882  
  2,196    

SAP SE

    277,291  
  1,988    

Siemens AG

    322,065  
  13,923    

Siemens Energy AG (a)

    307,024  
  40,454    

Telefonica Deutschland Holding AG

    124,528  
  7,182    

United Internet AG

    123,804  
  1,068    

Volkswagen AG

    183,190  
  8,891    

Zalando SE (a)

    372,628  
           


              8,939,670  
           


       

Hong Kong - 2.31%

 

  19,351    

AIA Group, Ltd.

    202,941  
  26,522    

BOC Hong Kong Holdings, Ltd.

    82,570  
  25,831    

Budweiser Brewing Co., APAC Ltd.

    78,612  
  33,470    

CK Asset Holdings, Ltd.

    202,918  
  44,574    

CK Hutchison Holdings, Ltd.

    275,764  
  4,485    

Galaxy Entertainment Group, Ltd. (a)

    30,001  
  4,480    

Hong Kong Exchange & Clearing, Ltd.

    198,575  
  6,532    

Jardine Matheson Holdings, Ltd.

    317,731  
  72,513    

New World Development Co., Ltd.

    194,378  
  15,765    

Sino Land Co., Ltd.

    21,319  
  116,518    

SITC International Holdings Co., Ltd.

    250,416  
  5,235    

Sun Hung Kai Properties, Ltd.

    73,340  
 

 

See notes to financial statements.

 

67


GuideMark World ex-US Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Hong Kong (Continued)

 

  19,476    

Swire Pacific, Ltd. - Class A

  $ 149,673  
  10,078    

Techtronic Industries Co., Ltd.

    109,196  
  585,065    

WH Group, Ltd.

    348,785  
           


              2,536,219  
           


       

Ireland - 0.60%

 

  31,211    

AIB Group PLC

    126,328  
  15,858    

Bank of Ireland Group PLC

    160,457  
  743    

CRH PLC

    37,537  
  1,635    

DCC PLC

    95,306  
  4,966    

James Hardie Industries PLC

    106,887  
  206    

Kingspan Group PLC

    13,753  
  432    

Kingspan Group PLC

    29,603  
  460    

Flutter Entertainment PLC (a)

    83,707  
           


              653,578  
           


       

Isle Of Man - 0.05%

 

  3,698    

Entain PLC

    57,430  
           


       

Israel - 0.50%

 

  2,155    

Bank Leumi Le-Israel BM

    16,302  
  118,279    

Bezeq the Israel Telecommunication Corp., Ltd.

    161,030  
  158    

Check Point Software Technologies, Ltd. - ADR (a)

    20,540  
  14,932    

ICL Group, Ltd.

    101,173  
  1,495    

Mizrahi Tefahot Bank, Ltd.

    46,866  
  20,863    

Teva Pharmaceutical Industries, Ltd. - ADR (a)

    184,638  
  186    

Wix.com, Ltd. - ADR (a)(b)

    18,563  
           


              549,112  
           


       

Italy - 1.80%

 

  10,170    

Assicurazioni Generali SpA

    202,634  
  34,721    

Eni SpA

    484,234  
  6,120    

FinecoBank Banca Fineco SpA

    93,766  
  8,585    

Infrastrutture Wireless Italiane SpA

    112,793  
  16,500    

Intesa Sanpaolo SpA

    42,346  
  5,801    

Moncler SpA

    400,686  
  20,984    

Poste Italiane SpA

    213,987  
  4,534    

Prysmian SpA

    190,387  
  362    

Recordati SpA

    15,312  
  8,441    

Terna Rete Elettrica Nazionale SpA

    69,279  
  7,803    

UniCredit SpA

    147,070  
           


              1,972,494  
           


       

Japan - 17.65%

 

  3,716    

Advantest Corp.

    344,497  
  2,376    

Aeon Co., Ltd.

    46,096  
  3,659    

Ajinomoto Co., Inc.

    127,289  
  3,487    

ANA Holdings, Inc. (a)(b)

    75,790  
  4,238    

Asahi Group Holdings, Ltd.

    157,730  
  18,469    

Astellas Pharma, Inc.

    262,395  
  5,508    

Bandai Namco Holdings, Inc.

    118,748  
  4,728    

BayCurrent Consulting, Inc.

    196,298  
  2,016    

Bridgestone Corp.

    81,895  
  4,787    

Brother Industries, Ltd.

    72,121  
  3,405    

Canon, Inc.

    75,829  
  6,014    

Capcom Co., Ltd.

    215,245  
  13,297    

Chiba Bank Ltd.

    85,822  
  6,593    

Chugai Pharmaceutical Co., Ltd.

    162,798  
  8,680    

Concordia Financial Group Ltd.

    31,994  
  19,405    

CyberAgent, Inc.

    164,415  

Number of
Shares


       

Value


 
       

Japan (Continued)

 

  8,997    

Dai-ichi Life Holdings, Inc.

  $ 165,396  
  8,060    

Daiichi Sankyo Co., Ltd.

    294,010  
  270    

Daikin Industries, Ltd.

    48,440  
  756    

Dentsu, Inc.

    26,648  
  975    

Disco Corp.

    113,423  
  3,306    

Don Quijote Co., Ltd.

    63,959  
  3,987    

Eisai Co., Ltd.

    226,460  
  654    

Fast Retailing Co., Ltd.

    143,169  
  1,009    

Fujitsu, Ltd.

    136,346  
  2,175    

Hakuhodo DY Holdings, Inc.

    24,659  
  726    

Hamamatsu Photonics KK

    39,162  
  1,164    

Hankyu Hanshin Holdings, Inc.

    34,515  
  714    

Hikari Tsushin, Inc.

    100,336  
  4,390    

Hitachi, Ltd.

    241,277  
  19,279    

Honda Motor Co., Ltd.

    509,952  
  3,432    

Hoya Corp.

    379,278  
  35,984    

Inpex Corp.

    380,802  
  12,729    

ITOCHU Corp.

    414,538  
  8,006    

Japan Airlines Co., Ltd.

    156,102  
  2,374    

Japan Post Bank Co., Ltd.

    19,390  
  38,055    

Japan Post Holdings Co., Ltd.

    308,853  
  17,610    

Japan Post Insurance Co., Ltd.

    274,467  
  6,371    

Japan Tobacco, Inc.

    134,578  
  1,400    

Kao Corp.

    54,495  
  8,293    

KDDI Corp.

    255,738  
  252    

Keyence Corp.

    123,507  
  371    

Kikkoman Corp.

    18,941  
  4,431    

Kintetsu Group Holdings Co., Ltd.

    142,740  
  1,645    

Kirin Holdings Co., Ltd.

    26,025  
  2,182    

Koei Tecmo Holdings Co., Ltd.

    39,436  
  1,396    

Komatsu, Ltd.

    34,656  
  2,794    

Kose Corp.

    332,090  
  38,584    

Marubeni Corp.

    524,732  
  2,712    

MatsukiyoCocokara & Co.

    143,659  
  23,096    

Mazda Motor Corp.

    213,037  
  7,043    

MISUMI Group, Inc.

    176,979  
  13,599    

Mitsubishi Corp.

    488,700  
  8,715    

Mitsubishi Heavy Industries, Ltd.

    321,069  
  44,033    

Mitsubishi UFJ Financial Group, Inc.

    282,193  
  37,633    

Mitsubishi UFJ Lease & Finance Co., Ltd.

    194,327  
  15,869    

Mitsui & Co., Ltd.

    494,634  
  12,565    

Mitsui OSK Lines, Ltd. (b)

    315,101  
  18,464    

Mizuho Financial Group, Inc.

    261,590  
  19,351    

MonotaRO Co., Ltd.

    243,738  
  738    

MS & AD Insurance Group Holdings, Inc. (a)

    22,871  
  560    

NEC Corp.

    21,619  
  3,349    

Nexon Co., Ltd.

    79,970  
  2,612    

NGK Insulators, Ltd.

    34,636  
  2,382    

Nintendo Co., Ltd.

    92,521  
  4,500    

Nippon Paint Holdings Co., Ltd.

    42,314  
  4,469    

Nippon Steel & Sumitomo Metal Corp.

    105,386  
  18,791    

Nippon Telegraph & Telephone Corp.

    561,527  
  14,153    

Nippon Yusen Kabushiki Kaisha (b)

    330,591  
  1,266    

Nissan Chemical Industries, Ltd.

    57,498  
  17,128    

Nissan Motor Co. Ltd.

    64,822  
  375    

Nissin Foods Holdings Co., Ltd.

    34,290  
  803    

Nitori Holdings Co., Ltd.

    96,972  
  10,704    

Olympus Corp.

    187,992  
  1,743    

OMRON Corp.

    102,012  
  3,301    

Ono Pharmaceutical Co., Ltd.

    68,787  
 

 

See notes to financial statements.

 

68


GuideMark World ex-US Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Japan (Continued)

 

  1,906    

Oracle Corp.

  $ 137,653  
  7,117    

ORIX Corp.

    117,345  
  729    

Otsuka Holdings Co., Ltd.

    23,145  
  18,684    

Panasonic Corp.

    167,168  
  14,402    

Persol Holdings Co., Ltd.

    289,983  
  12,383    

Recruit Holdings Co., Ltd.

    340,644  
  2,244    

Renesas Electronics Corp. (a)

    32,495  
  29,119    

Resona Holdings, Inc.

    140,474  
  9,748    

Ricoh Co., Ltd.

    73,121  
  249    

Secom Co., Ltd.

    15,345  
  3,298    

Seiko Epson Corp.

    47,122  
  5,745    

Seven & I Holdings Co., Ltd.

    259,525  
  7,729    

Shiseido Co., Ltd.

    362,361  
  9,042    

Shizuoka Financial Group, Inc.

    64,930  
  15,452    

SoftBank Corp.

    178,375  
  5,427    

SoftBank Group Corp.

    213,354  
  644    

Sompo Holdings, Inc.

    25,519  
  347    

Sony Corp.

    31,606  
  2,925    

Square Enix Holdings Co., Ltd.

    140,563  
  15,388    

Subaru Corp.

    245,648  
  3,276    

Sumitomo Chemical Co., Ltd.

    11,030  
  8,381    

Sumitomo Corp.

    148,472  
  10,196    

Sumitomo Mitsui Financial Group, Inc.

    408,019  
  4,317    

Sumitomo Mitsui Trust Holdings, Inc.

    148,315  
  1,266    

Suntory Beverage & Food, Ltd.

    47,157  
  2,203    

Sysmex Corp.

    144,586  
  1,209    

Taisei Corp.

    37,405  
  1,551    

Taiyo Nippon Sanso Corp.

    28,021  
  9,964    

Takeda Pharmaceutical Co., Ltd.

    327,253  
  2,505    

The Kansai Electric Power Co., Inc.

    24,396  
  3,496    

TIS, Inc.

    92,454  
  1,531    

Tobu Railway Co Ltd.

    36,653  
  8,800    

Tokio Marine Holdings, Inc.

    169,356  
  2,793    

Tokyo Electron, Ltd.

    341,210  
  3,311    

Tokyo Gas Co., Ltd.

    62,224  
  1,396    

Toppan Printing Co., Ltd.

    28,133  
  6,682    

Toray Industries, Inc.

    38,226  
  19,866    

Toyota Motor Corp.

    282,801  
  1,795    

Trend Micro, Inc.

    88,064  
  3,437    

USS Co., Ltd.

    59,631  
  14,448    

Welcia Holdings Co., Ltd.

    309,311  
  2,310    

Yakult Honsha Co., Ltd.

    167,845  
  1,344    

Yamaha Motor Co., Ltd.

    35,174  
  1,935    

Yokogawa Electric Corp.

    31,509  
  14,823    

ZOZO, Inc.

    339,031  
           


              19,358,569  
           


       

Jersey - 0.40%

 

  76,720    

Glencore PLC

    441,461  
           


       

Luxembourg - 0.18%

 

  1,023    

Eurofins Scientific SE

    68,500  
  8,700    

Tenaris SA

    123,273  
           


              191,773  
           


       

Macau - 0.02%

 

  7,328    

Sands China, Ltd. (a)

    25,457  
           


       

Netherlands - 4.87%

 

  10,389    

ABN AMRO Group NV

    164,744  
  23,758    

Aegon NV

    101,997  

Number of
Shares


       

Value


 
       

Netherlands (Continued)

 

  3,339    

AerCap Holdings NV - ADR (a)

  $ 187,752  
  1,225    

Airbus SE

    163,621  
  15,970    

ArcelorMittal

    483,834  
  332    

Argenx SE (a)

    123,291  
  1,656    

ASML Holding NV

    1,128,483  
  14,176    

CNH Industrial NV

    216,910  
  595    

EXOR NV (a)

    49,064  
  518    

Ferrari NV

    140,370  
  1,662    

Heineken Holding NV

    152,486  
  258    

Heineken NV

    27,722  
  11,801    

ING Groep NV

    140,142  
  1,835    

JDE Peet’s NV

    53,326  
  16,450    

Koninklijke Ahold Delhaize NV

    562,019  
  4,458    

Koninklijke Philips NV

    81,880  
  7,331    

NN Group NV

    266,189  
  4,908    

OCI NV

    166,381  
  294    

Prosus NV

    23,022  
  1,049    

Qiagen NV (a)

    47,778  
  4,762    

Randstad Holding NV

    282,696  
  17,126    

Stellantis NV

    311,460  
  2,100    

STMicroelectronics NV

    111,896  
  2,164    

Universal Music Group NV

    54,803  
  2,409    

Wolters Kluwer NV

    304,105  
           


              5,345,971  
           


       

New Zealand - 0.46%

 

  1,088    

EBOS Group Ltd.

    31,704  
  12,639    

Fisher & Paykel Healthcare Corp., Ltd.

    211,285  
  51,127    

Spark New Zealand, Ltd.

    161,981  
  1,714    

Xero, Ltd. (a)

    103,957  
           


              508,927  
           


       

Norway - 0.65%

 

  2,658    

Aker BP ASA

    65,188  
  10,682    

Equinor ASA

    303,672  
  6,408    

Gjensidige Forsikring ASA

    104,785  
  2,889    

Kongsberg Gruppen ASA

    116,781  
  11,488    

Norsk Hydro ASA

    85,740  
  886    

Yara International ASA

    38,506  
           


              714,672  
           


       

Portugal - 0.58%

 

  23,362    

EDP - Energias de Portugal SA

    127,298  
  9,897    

Galp Energia SGPS SA

    111,988  
  17,029    

Jeronimo Martins SGPS SA

    399,721  
           


              639,007  
           


       

Singapore - 1.38%

 

  10,113    

Capitaland Investment, Ltd.

    28,059  
  12,175    

City Developments, Ltd.

    67,559  
  7,071    

DBS Group Holdings, Ltd.

    175,797  
  140,320    

Genting Singapore Ltd.

    118,431  
  11,790    

Jardine Cycle & Carriage, Ltd.

    277,643  
  28,973    

Keppel Corp., Ltd.

    122,924  
  18,377    

Oversea-Chinese Banking Corp., Ltd.

    171,307  
  552,950    

Sembcorp Marine Ltd. (a)

    49,628  
  30,935    

Singapore Airlines, Ltd.

    133,437  
  24,983    

Singapore Exchange, Ltd.

    176,917  
  19,130    

Singapore Telecommunications Ltd.

    35,445  
  7,151    

United Overseas Bank, Ltd.

    160,390  
           


              1,517,537  
           


 

 

See notes to financial statements.

 

69


GuideMark World ex-US Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

Spain - 2.76%

 

  597    

Acciona SA

  $ 119,782  
  6,379    

ACS, Actividades de Construccion y Servicios SA

    203,170  
  470    

Amadeus IT Holdings SA - Class A (a)

    31,529  
  43,291    

Banco Bilbao Vizcaya Argentaria SA

    309,504  
  102,103    

Banco Santander SA

    380,487  
  28,791    

CaixaBank SA

    112,342  
  2,812    

Corp ACCIONA Energias Renovables SA

    109,055  
  1,462    

Ferrovial SA

    43,052  
  24,410    

Iberdrola SA

    304,096  
  15,512    

Industria de Diseno Textil SA

    521,131  
  1,755    

Naturgy Energy Group SA

    52,832  
  2,516    

Red Electrica Corp SA

    44,273  
  34,059    

Repsol SA

    523,757  
  63,335    

Telefonica SA

    272,774  
           


              3,027,784  
           


       

Sweden - 2.15%

 

  4,699    

Alfa Laval AB

    167,788  
  1,962    

Assa Abloy AB - Series B

    46,995  
  14,765    

Atlas Copco AB - A Shares

    187,048  
  12,769    

Atlas Copco AB - B Shares

    146,878  
  2,133    

Boliden AB

    83,793  
  3,995    

EPIROC AB

    68,117  
  4,057    

EPIROC AB

    80,532  
  504    

Evolution AB

    67,525  
  32,109    

Hennes & Mauritz AB - Series B

    459,080  
  2,360    

Indutrade AB

    50,223  
  2,940    

Investor AB

    58,567  
  11,519    

Nibe Industrier AB

    131,306  
  10,333    

Securitas AB - Series B

    91,919  
  6,936    

Skandinaviska Enskilda Banken AB - Class A

    76,561  
  12,139    

Svenska Handelsbanken AB - Class A

    105,134  
  8,436    

Swedbank AB - A Shares

    138,727  
  3,749    

Swedish Orphan Biovitrum AB (a)

    87,354  
  24,900    

Telefonaktiebolaget LM Ericsson - Series B (b)

    145,959  
  31,317    

Telia Co. AB (b)

    79,522  
  1,140    

Volvo AB - A Shares

    24,521  
  1,010    

Volvo AB - B Shares (b)

    20,813  
  9,942    

Volvo Car AB - Class B (a)

    43,493  
           


              2,361,855  
           


       

Switzerland - 7.06%

 

  1,647    

ABB, Ltd.

    56,659  
  234    

Baloise Holding AG

    36,438  
  1,557    

Banque Cantonale Vaudoise

    146,928  
  618    

BKW AG

    97,167  
  1,634    

Cie Financiere Richemont SA

    262,022  
  1,978    

Coca-Cola HBC AG

    54,148  
  176    

EMS-Chemie Holding AG

    145,487  
  382    

Geberit AG

    213,327  
  615    

Julius Baer Group, Ltd.

    42,010  
  1,187    

Kuehne & Nagel International AG

    353,530  
  3,774    

LafargeHolcim, Ltd.

    243,390  
  2,971    

Logitech International SA

    173,407  
  12,134    

Nestle SA

    1,479,505  
  11,240    

Novartis AG

    1,032,040  
  301    

Partners Group Holding AG

    283,459  
  529    

Roche Holding AG

    158,960  
  3,955    

Roche Holdings AG - Non-Voting Shares

    1,130,112  
  124    

SGS SA

    273,513  

Number of
Shares


       

Value


 
       

Switzerland (Continued)

 

  2,179    

SIG Group AG

  $ 56,138  
  561    

Sonova Holding AG

    165,489  
  1,360    

Straumann Holding AG

    203,979  
  145    

Swiss Life Holding AG

    89,480  
  325    

Swiss Re AG

    33,388  
  383    

The Swatch Group AG - Group I

    131,902  
  868    

The Swatch Group AG - Group N

    55,037  
  18,742    

UBS Group AG

    396,596  
  487    

VAT Group AG

    175,945  
  522    

Zurich Insurance Group AG

    250,142  
           


              7,740,198  
           


       

United Kingdom - 12.15%

 

  13,090    

3i Group PLC

    272,840  
  9,079    

Admiral Group PLC

    227,981  
  4,593    

Anglo American PLC

    152,769  
  681    

Ashtead Group PLC

    41,816  
  1,109    

Associated British Foods PLC

    26,614  
  8,426    

AstraZeneca PLC

    1,167,453  
  56,515    

Auto Trader Group PLC

    431,077  
  11,811    

Aviva PLC - B Shares

    58,997  
  22,094    

BAE Systems PLC

    267,251  
  117,452    

Barclays PLC

    211,401  
  30,562    

Barratt Developments PLC

    175,877  
  2,152    

Berkeley Group Holdings PLC

    111,490  
  112,519    

BP PLC

    711,175  
  11,074    

British American Tobacco PLC

    388,190  
  3,422    

Bunzl PLC

    129,257  
  13,702    

Burberry Group PLC

    438,733  
  1,124    

Coca-Cola European Partners PLC - ADR

    66,530  
  10,051    

Compass Group PLC

    252,596  
  7,201    

Diageo PLC

    321,376  
  24,787    

GSK PLC

    437,967  
  28,067    

Hargreaves Lansdown PLC

    278,044  
  4,893    

Hikma Pharmaceuticals PLC

    101,418  
  64,306    

HSBC Holdings PLC

    437,054  
  9,912    

Imperial Brands PLC

    227,932  
  7,541    

Informa PLC

    64,637  
  1,397    

InterContinental Hotels Group PLC

    91,455  
  114,711    

J. Sainsbury PLC

    394,740  
  185,307    

JD Sports Fashion PLC

    408,085  
  1,938    

Johnson Matthey PLC

    47,512  
  48,927    

Kingfisher PLC

    158,156  
  34,855    

Legal & General Group PLC

    103,087  
  317,039    

Lloyds Banking Group PLC

    186,402  
  234    

London Stock Exchange Group PLC

    22,728  
  2,028    

National Grid PLC

    27,433  
  43,379    

NatWest Group PLC

    141,546  
  3,997    

Next PLC

    324,874  
  4,096    

Pearson PLC

    42,864  
  2,781    

Phoenix Group Holdings PLC

    18,789  
  4,147    

Prudential PLC

    56,779  
  1,587    

Reckitt Benckiser Group PLC

    120,734  
  10,539    

RELX PLC

    341,324  
  7,804    

Rio Tinto PLC

    529,717  
  41,997    

Shell PLC

    1,196,849  
  5,520    

Smith & Nephew PLC

    76,731  
  3,743    

Smiths Group PLC

    79,384  
  6,156    

SSE PLC

    137,363  
  18,333    

St. James’s Place PLC

    275,094  
 

 

See notes to financial statements.

 

70


GuideMark World ex-US Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

 

       

United Kingdom (Continued)

 

  21,287    

Standard Chartered PLC

  $ 161,335  
  61,830    

Standard Life Aberdeen PLC

    155,617  
  89,024    

Tesco PLC

    291,858  
  29,375    

The Sage Group PLC

    281,894  
  4,662    

Unilever PLC

    241,579  
  378,738    

Vodafone Group PLC

    417,783  
           


              13,332,187  
           


       

Total Common Stocks
(Cost $83,069,108)

    105,775,489  
           


       

INVESTMENT COMPANIES - 2.63%

 

       

Canada - 0.23%

 

  7,282    

iShares MSCI Canada ETF

    248,899  
           


       

Japan - 2.40%

 

  36,822    

iShares MSCI EAFE ETF (b)

    2,633,509  
           


       

Total Investment Companies
(Cost $2,893,136)

    2,882,408  
           


       

PREFERRED STOCKS - 0.49%

 

       

Germany - 0.49%

 

  3,083    

Bayerische Motoren Werke AG - Preference Shares

    315,140  
  1,651    

Volkswagen AG - Preference Shares

    225,317  
           


       

Total Preferred Stocks
(Cost $486,119)

    540,457  
           


       

REAL ESTATE INVESTMENT TRUSTS - 0.12%

 

       

France - 0.06%

 

  2,969    

Klepierre

    67,314  
           


       

Japan - 0.06%

 

  96    

Japan Retail Fund Investment Corp.

    70,104  
           


       

Total Real Estate Investment Trusts
(Cost $134,490)

    137,418  
           


Number of
Shares


       

Value


 
       

SHORT TERM INVESTMENTS - 0.55%

 

       

Money Market Funds - 0.55%

 

  601,189    

JPMorgan U.S. Government Money Market Fund
Effective Yield, 4.73% (c)

  $ 601,189  
           


       

Total Money Market Funds
(Cost $601,189)

    601,189  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 4.83%

 

  5,299,517    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (c)

    5,299,517  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $5,299,517)

    5,299,517  
           


       

Total Investments
(Cost $92,483,559) - 105.03%

    115,236,478  
       

Liabilities in Excess of
Other Assets - (5.03)%

    (5,521,413
           


       

TOTAL NET ASSETS - 100.00%

  $ 109,715,065  
           


Percentages are stated as a percent of net assets.

(a)   Non-income producing security.
(b)   All or portion of this security is on loan.
(c)   Seven-day yield as of March 31, 2023.

Glossary of Terms

ADR   -   American Depositary Receipt
 

 

See notes to financial statements.

 

71


GuideMark World ex-US Fund

SCHEDULE OF INVESTMENTS BY INDUSTRY

March 31, 2023


 

COMMON STOCKS

        

Aerospace & Defense

     1.39%  

Air Freight & Logistics

     0.76%  

Airlines

     0.51%  

Auto Components

     0.24%  

Automobiles

     2.81%  

Banks

     8.55%  

Beverages

     1.14%  

Biotechnology

     0.46%  

Building Products

     0.94%  

Capital Markets

     2.38%  

Chemicals

     1.25%  

Commercial Services & Supplies

     0.33%  

Communications Equipment

     0.17%  

Construction & Engineering

     1.26%  

Construction Materials

     0.53%  

Containers & Packaging

     0.05%  

Distributors

     0.39%  

Diversified Consumer Services

     0.15%  

Diversified Financial Services

     1.33%  

Diversified Telecommunication Services

     2.34%  

Electric Utilities

     1.40%  

Electrical Equipment

     0.43%  

Electronic Equipment, Instruments & Components

     0.49%  

Energy Equipment & Services

     0.11%  

Entertainment

     0.65%  

Financial Services

     0.04%  

Food & Staples Retailing

     4.93%  

Food Products

     2.40%  

Gas Utilities

     0.16%  

Ground Transportation

     0.05%  

Health Care Equipment & Supplies

     1.93%  

Health Care Providers & Services

     0.68%  

Hotels, Restaurants & Leisure

     1.63%  

Household Durables

     0.58%  

Household Products

     0.16%  

Independent Power and Renewable Electricity Producers

     0.10%  

Industrial Conglomerates

     1.11%  

Insurance

     4.93%  

Interactive Media & Services

     0.49%  

Internet & Direct Marketing Retail

     0.67%  

IT Services

     0.48%  

Leisure Products

     0.22%  

Life Sciences Tools & Services

     0.14%  

Machinery

     2.00%  

Marine

     1.13%  

Marine Transportation

     0.52%  

Media

     0.44%  

Metals & Mining

     4.63%  
          

Multiline Retail

     0.84%  

Multi-Utilities

     0.37%  

Oil, Gas & Consumable Fuels

     7.39%  

Paper & Forest Products

     0.55%  

Passenger Airlines

     0.27%  

Personal Products

     1.32%  

Pharmaceuticals

     8.71%  

Professional Services

     1.97%  

Real Estate Management & Development

     0.84%  

Retail REITs

     0.14%  

Road & Rail

     0.50%  

Semiconductors & Semiconductor Equipment

     1.92%  

Software

     1.79%  

Specialty Retail

     1.77%  

Technology Hardware, Storage & Peripherals

     0.42%  

Textiles, Apparel & Luxury Goods

     4.05%  

Tobacco

     0.68%  

Trading Companies & Distributors

     2.44%  

Transportation Infrastructure

     0.22%  

Wireless Telecommunication Services

     0.74%  
    


TOTAL COMMON STOCKS

     96.41%  
    


INVESTMENT COMPANIES

        

International Equity Funds

     2.63%  
    


TOTAL INVESTMENT COMPANIES

     2.63%  
    


PREFERRED STOCKS

        

Automobiles

     0.49%  
    


TOTAL PREFERRED STOCKS

     0.49%  
    


REAL ESTATE INVESTMENT TRUSTS

        

Real Estate Investment Trusts

     0.12%  
    


TOTAL REAL ESTATE INVESTMENT TRUSTS

     0.12%  
    


SHORT TERM INVESTMENTS

        

Money Market Funds

     0.55%  
    


TOTAL SHORT TERM INVESTMENTS

     0.55%  
    


INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL

        

Private Investment Funds

     4.83%  
    


TOTAL INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL

     4.83%  
    


TOTAL INVESTMENTS

     105.03%  

Liabilities in Excess of Other Assets

     (5.03)%  
    


TOTAL NET ASSETS

     100.00%  
    


Percentages are stated as a percent of net assets.

 

 

See notes to financial statements.

 

72


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Principal
Amount


       

Value


 
       

ASSET BACKED SECURITIES - 8.00%

 

       

Affirm Asset Securitization Trust

       
  6,820    

Series 2020-Z1A, 3.460%, 10/15/2024 (c)(g)

  $ 6,777  
  23,708    

Series 2020-Z2A, 1.900%, 01/15/2025 (c)(g)

    23,341  
  25,000    

American Credit Acceptance Receivables Trust
Series 2022-3, 4.550%, 10/13/2026 (c)

    24,702  
  150,000    

AmeriCredit Automobile Receivables Trust
Series 2019-3D, 2.580%, 09/18/2025

    145,228  
  105,000    

Amur Equipment Finance Receivables XI LLC
Series 2022-2 A-2, 5.300%, 06/21/2028 (c)

    104,592  
  300,000    

ARI FLEET LEASE TR 2023-A
Series 2023-A, 0.000%, 02/17/2032 (c)

    300,037  
  160,000    

Avant Loans Funding Trust
Series 2021-REV1 A, 1.210%, 07/15/2030 (c)(g)

    155,381  
  450,000    

Bain Capital Credit CLO, Ltd.
Series 2017-2A AR2, 5.998% (3 Month LIBOR USD + 1.180%, 1.180% Floor), 07/25/2034 (a)(c)

    439,295  
  47,681    

BHG Securitization Trust
Series 2021-B A, 0.900%, 10/17/2034 (c)(g)

    45,438  
  260,000    

BlueMountain CLO, Ltd.
Series 2019-24A AR, 5.908% (3 Month LIBOR USD + 1.100%, 1.100% Floor), 04/20/2034 (a)(c)

    252,474  
  380,000    

Buckhorn Park CLO, Ltd.
Series 2019-1R A-R, 5.915% (3 Month LIBOR USD + 1.120%, 1.120% Floor), 07/18/2034 (a)(c)

    371,753  
  380,000    

Carvana Auto Receivables Trust
Series 2022-P2, 4.130%, 04/10/2027

    371,776  
  88,162    

CF Hippolyta Issuer LLC
Series 2020-1A2, 1.990%, 07/15/2060 (c)

    74,599  
  607,313    

DB Master Finance LLC
Series 2021-1A A23, 2.791%, 11/20/2051 (c)

    491,405  
  214,000    

Dell Equipment Finance Trust 2023-1
Series 2023-1, 5.650%, 09/22/2028 (c)

    214,942  
       

Domino’s Pizza Master Issuer LLC

       
  181,925    

Series 2018-1, 4.116%, 07/25/2048 (c)(g)

    174,945  
  72,750    

Series 2019-1, 3.668%, 10/25/2049 (c)(g)

    64,833  
  186,675    

Series 2021-1A A2I, 2.662%, 04/25/2051 (c)(g)

    160,517  
  95,328    

Drive Auto Receivables Trust
Series 2019-4, 2.700%, 02/16/2027

    94,091  
  145,000    

Enterprise Fleet Financing 2023-1 LLC
Series 2023-1, 5.420%, 10/20/2029 (c)

    145,267  
       

Exeter Automobile Receivables Trust

       
  194,903    

Series 2019-4, 2.580%, 09/15/2025 (c)

    191,267  
  73,520    

Series 2020-1, 2.730%, 12/15/2025 (c)

    72,064  
  155,000    

Series 2022-1, 2.180%, 06/15/2026

    152,163  
  120,000    

Series 2022-4, 4.570%, 01/15/2027

    118,241  
  62,000    

Series 2022-6, 6.030%, 08/16/2027

    62,368  
       

Flagship Credit Auto Trust

       
  53,000    

Series 2023-1, 5.050%, 01/18/2028 (c)

    52,470  
  204,000    

Series 2022-3, 4.690%, 07/17/2028 (c)

    200,891  
  560,386    

Galaxy XXIII CLO, Ltd.
Series 2017-23A AR, 5.686% (3 Month LIBOR USD + 0.870%, 0.870% Floor), 04/24/2029 (a)(c)

    555,051  
  40,000    

GLS Auto Receivables Issuer Trust
Series 2022-3, 4.920%, 01/15/2027 (c)

    39,537  

Principal
Amount


       

Value


 
       

ASSET BACKED SECURITIES (Continued)

 

  300,000    

GTP Acquisition Partners I LLC
Series 2015-2, 3.482%, 06/15/2050 (c)

  $ 287,013  
  605,000    

Harriman Park CLO, Ltd.
Series 2020-1A A1R, 5.928% (3 Month LIBOR USD + 1.120%, 1.120% Floor), 04/20/2034 (a)(c)

    593,832  
  150,000    

Kubota Credit Owner Trust 2023-1
Series A-3, 5.400%, 06/15/2027 (c)

    150,141  
  57,797    

LCM XX LP
Series 2015-20R, 5.848% (3 Month LIBOR USD + 1.040%, 0.000% Floor), 10/20/2027 (a)(c)

    57,739  
  235,731    

Madison Park Funding XLI, Ltd.
Series 2015-12R, 5.645% (3 Month LIBOR USD + 0.830%, Floor 0.000%), 04/22/2027 (a)(c)

    234,352  
  118,080    

Navient Private Education Refi Loan Trust
Series 2021-E A, 0.970%, 12/16/2069 (c)

    100,286  
  465,000    

Neuberger Berman CLO XX, Ltd.
Series 2015-20RR A-RR, 5.952% (3 Month LIBOR USD + 1.160%, 1.160% Floor), 07/17/2034 (a)(c)

    453,770  
  280,000    

Octagon 61, Ltd.
0.000% (TSFR3M + 2.350%, 2.350% Floor), 04/20/2036 (a)(b)(c)

    280,000  
  155,406    

OZLM VII,, Ltd.
Series 2014-7R, 5.802% (3 Month LIBOR USD + 1.010%, 1.010% Floor), 07/17/2029 (a)(c)

    154,314  
  420,000    

Regatta VI Funding, Ltd.
Series 2016-1A AR2, 5.968% (3 Month LIBOR USD + 1.160%, 1.160% Floor), 04/20/2034 (a)(c)

    409,271  
       

RR, Ltd.

       
  480,000    

Series 2017-1A A1AB, 5.942% (3 Month LIBOR USD + 1.150%, 1.150% Floor), 07/16/2035 (a)(c)

    470,792  
  330,000    

Series 2021-16A A1, 5.902% (3 Month LIBOR USD + 1.110%, 1.110% Floor), 07/15/2036 (a)(c)

    322,893  
  250,000    

Series 2023-26A A2, 6.982% (TSFR3M + 2.250%, 2.250% Floor), 04/15/2038 (a)(c)

    247,653  
       

Santander Drive Auto Receivables Trust

       
  56,817    

Series 2019-3, 2.680%, 10/15/2025

    56,548  
  95,000    

Series 2022-5, 4.430%, 03/15/2027

    93,566  
  65,000    

Series 2022-6, 4.720%, 06/15/2027

    63,950  
  305,000    

Series 2022-4, 4.420%, 11/15/2027

    300,349  
  255,000    

Series 2022-7, 5.950%, 01/18/2028

    259,191  
  115,000    

Series 2023-1, 4.980%, 02/15/2028

    114,243  
       

Sound Point CLO, Ltd.

       
  216,985    

Series 2018-3, 5.742% (3 Month LIBOR USD + 0.950%, 0.000% Floor), 04/16/2029 (a)(c)

    215,285  
  410,000    

Series 2021-1A A, 5.888% (3 Month LIBOR USD + 1.070%, 1.070% Floor), 04/25/2034 (a)(c)

    397,704  
  100,000    

Summit Issuer LLC
Series 2020-1, 2.290%, 12/20/2050 (c)

    89,302  
  728,775    

Taco Bell Funding LLC
Series 2021-1A A2II, 2.294%, 08/25/2051 (c)

    609,797  
  250,000    

Texas Debt Capital CLO 2023-I, Ltd.
0.000% (TSFR3M + 2.300%, 2.300% Floor), 04/20/2036 (a)(c)

    247,653  
 

 

See notes to financial statements.

 

73


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

ASSET BACKED SECURITIES (Continued)

 

  405,000    

THL Credit Wind River CLO, Ltd.
Series 2020-1A, 6.238% (3 Month LIBOR USD + 1.430%, 1.430% Floor), 10/20/2033 (a)(c)

  $ 398,548  
       

Upstart Securitization Trust

       
  27,841    

Series 2021-3, 0.830%, 07/20/2031 (c)

    27,393  
  78,220    

Series 2021-4, 0.840%, 09/20/2031 (c)

    76,361  
       

Venture CLO, Ltd.

       
  410,000    

Series 2021-42A A1A, 5.922% (3 Month LIBOR USD + 1.130%, 1.130% Floor), 04/17/2034 (a)(c)

    398,904  
  180,000    

Series 2021-43A A1, 6.032% (3 Month LIBOR USD + 1.240%, 1.240% Floor), 04/17/2034 (a)(c)

    175,773  
  258,797    

Voya CLO, Ltd.
Series 2015-1, 5.695% (3 Month LIBOR USD + 0.900%, 0.9000% Floor), 01/18/2029 (a)(c)

    257,085  
  370,000    

Wellfleet CLO X, Ltd.
Series 2019-XA A1R, 5.978% (3 Month LIBOR USD + 1.170%, 0.000% Floor), 07/20/2032 (a)(c)

    360,688  
  75,800    

Wendy’s Funding LLC
Series 2018-1, 3.884%, 03/15/2048 (c)(g)

    70,168  
       

Westlake Automobile Receivables Trust

       
  77,893    

Series 2019-3, 2.720%, 11/15/2024 (c)

    77,556  
  225,000    

Series 2022-2, 4.310%, 09/15/2027 (c)

    220,383  
  60,000    

Series 2023-1, 5.410%, 01/18/2028 (c)

    59,888  
  98,750    

Wingstop Funding LLC
Series 2020-1, 2.841%, 12/05/2050 (c)(g)

    86,860  
  100,000    

World Omni Auto Receivables Trust
Series 2023-A B, 5.030%, 05/15/2029

    100,488  
           


       

Total Asset Backed Securities
(Cost $13,881,294)

    13,625,184  
           


       

COLLATERALIZED MORTGAGE OBLIGATIONS - 16.38%

 

  258,773    

510 Asset Backed Trust
Series 2021-NPL2 A-1, 2.116%, 06/25/2061 (c)(k)

    235,800  
  89,754    

Ajax Mortgage Loan Trust
Series 2021-C A, 2.115%, 01/25/2061 (c)(k)

    84,279  
  350,000    

American Tower Trust #1
Series 2023-1, 5.490%, 03/15/2053 (c)

    353,582  
       

Angel Oak Mortgage Trust

       
  3,917    

Series 2019-4, 2.993%, 07/25/2049 (b)(c)

    3,902  
  83,103    

Series 2020-R1, 0.990%, 04/25/2053 (b)(c)

    75,477  
  159,086    

Series 2021-4 A1, 1.035%, 01/20/2065 (b)(c)

    128,261  
  29,608    

Series 2020-6 TR, 1.261%, 05/25/2065 (b)(c)

    26,561  
  104,885    

Series 2021-1, 0.909%, 01/25/2066 (b)(c)

    87,801  
  98,359    

Series 2021-2 A1, 0.985%, 04/25/2066 (b)(c)

    82,659  
  196,832    

Series 2021-3 A1, 1.068%, 05/25/2066 (b)(c)

    162,723  
  248,664    

Series 2021-5 A1, 0.951%, 07/25/2066 (b)(c)

    205,505  
  183,495    

Series 2021-8, 1.820%, 11/25/2066 (b)(c)

    153,413  
  442,107    

Series 2022-1, 2.881%, 12/25/2066 (c)(k)

    389,580  
  100,000    

Arbor Realty Commercial Real Estate Notes 2021-FL2, Ltd.
Series 2021-FL2 A, 5.784% (1 Month LIBOR USD + 1.100%, 1.100% Floor), 05/15/2036 (a)(c)

    98,351  
       

Arroyo Mortgage Trust

       
  62,530    

Series 2019-3, 2.962%, 10/25/2048 (b)(c)

    57,579  
  68,010    

Series 2019-2, 3.347%, 04/25/2049 (b)(c)

    63,901  

Principal
Amount


       

Value


 
       

COLLATERALIZED MORTGAGE OBLIGATIONS (Continued)

 

       

BANK

       
  2,134,217    

Series 2019-BNK23, 0.692%, 12/17/2052 (b)(j)

  $ 77,948  
  999,507    

Series 2023-BNK45, 0.994%, 02/17/2056 (b)(j)

    69,551  
  981,714    

Series 2019-BNK18, 0.891%, 05/17/2062 (b)(j)

    41,743  
  1,156,878    

Series 2019-BNK20, 0.813%, 09/15/2062 (b)(j)

    47,385  
  1,307,871    

Series 2019-BNK22, 0.594%, 11/17/2062 (b)(j)

    41,359  
  984,754    

Series 2019-BNK24, 0.639%, 11/17/2062 (b)(j)

    34,151  
  981,961    

Series 2020-BNK26, 1.223%, 03/16/2063 (b)(j)

    60,088  
  1,525,411    

Series 2020-BNK28, 1.763%, 03/16/2063 (b)(j)

    149,993  
       

BBCMS Mortgage Trust

       
  132,000    

Series 2017-DELC, 5.659% (1 Month LIBOR USD + 0.975%, 0.850% Floor), 08/15/2036 (a)(c)

    130,744  
  100,000    

Series 2022-C16, 4.600%, 06/17/2055 (b)

    96,416  
  125,000    

Series 2022-C18 A4, 5.439%, 12/17/2055 (b)

    128,365  
  40,000    

Series 2022-C18 A5, 5.710%, 12/17/2055 (b)

    41,895  
       

Benchmark Mortgage Trust

       
  230,565    

Series 2019-B11, 3.410%, 05/17/2052

    223,412  
  961,923    

Series 2019-B12, 1.032%, 08/16/2052 (b)(j)

    38,935  
  393,113    

Series 2020-B18, 1.788%, 07/17/2053 (b)(j)

    30,123  
  750,445    

Series 2020-B22, 1.515%, 01/15/2054 (b)(j)

    66,395  
  1,488,594    

Series 2019-B10, 1.220%, 03/17/2062 (b)(j)

    75,037  
  250,000    

Benefit Street Partners CLO XXXI, Ltd.
Series B-1, 7.220% (TSFR3M + 2.350%, 2.35% Floor), 04/25/2036 (a)(c)

    247,653  
  121,214    

BINOM Securitization Trust
Series 2021-INV1, 2.034%, 06/25/2056 (b)(c)

    106,970  
       

BRAVO Residential Funding Trust

       
  71,452    

Series 2021-NQM1 A1, 0.941%, 02/25/2049 (b)(c)

    62,959  
  58,379    

Series 2021-NQM2 A1, 0.970%, 03/25/2060 (b)(c)

    54,679  
  301,094    

Series 2021-C A1, 1.620%, 03/01/2061 (c)(k)

    271,478  
  259,667    

BX Commercial Mortgage Trust 2019-XL
Series 2019-XL, 5.862% (1 Month LIBOR USD + 1.034%, 1.034% Floor), 10/15/2036 (a)(c)

    256,889  
       

CAMB Commercial Mortgage Trust

       
  150,000    

Series 2019-LIFE A, 5.754% (1 Month LIBOR USD + 1.070%, 1.070% Floor), 12/15/2037 (a)(c)

    147,998  
  100,000    

Series 2019-LIFE C, 6.134% (1 Month LIBOR USD + 1.450%, 1.450% Floor), 12/15/2037 (a)(c)

    97,766  
  130,000    

CCG Receivables Trust 2023-1
Series 2023-1, 5.820%, 09/16/2030 (c)

    131,344  
  145,000    

Century Plaza Towers
Series 2019-CPT, 2.865%, 11/16/2039 (c)

    117,971  
  7,028    

Chase Mortgage Finance Trust
Series 2007-A1, 3.960%, 02/25/2037 (b)

    6,610  
       

Citigroup Commercial Mortgage Trust

       
  376,000    

Series 2014-GC19, 4.023%, 03/12/2047

    369,180  
  296,312    

Series 2016-P3, 3.329%, 04/16/2049

    278,672  
  505,000    

Series 2016-P4, 2.902%, 07/12/2049

    466,640  
       

Citigroup Mortgage Loan Trust, Inc.

       
  95,798    

Series 2018-RP2, 3.347%, 02/25/2058 (b)(c)

    91,894  
  38,416    

Series 2018-RP1, 3.000%, 09/25/2064 (b)(c)

    36,699  
  100,049    

Series 2019-E, 6.228%, 11/25/2070 (c)(k)

    99,948  
 

 

See notes to financial statements.

 

74


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

COLLATERALIZED MORTGAGE OBLIGATIONS (Continued)

 

       

COLT Mortgage Loan Trust

       
  308,279    

Series 2020-RPL1 A1, 1.390%, 01/25/2065 (b)(c)

  $ 266,615  
  66,680    

Series 2020-2R A1, 1.325%, 10/26/2065 (b)(c)

    59,856  
  154,583    

Series 2021-1 A1, 0.910%, 06/25/2066 (b)(c)

    125,111  
  293,272    

Series 2021-3 A1, 0.956%, 09/27/2066 (b)(c)

    233,448  
  370,011    

Series 2021-HX1 A1, 1.110%, 10/25/2066 (b)(c)

    297,316  
  439,827    

Series 2022-1 A1, 2.284%, 12/27/2066 (b)(c)

    385,897  
  91,132    

Series 2022-4 A-1, 4.301%, 03/25/2067 (b)(c)

    88,105  
       

COMM Mortgage Trust

       
  120,000    

Series 2013-300P, 4.353%, 08/12/2030 (c)

    115,620  
  100,000    

Series A, 2.819%, 01/10/2039 (c)

    87,673  
  100,000    

Series C, 3.376%, 01/10/2039 (c)

    85,129  
  53,963    

Connecticut Avenue Securities Trust
Series 2022-R08 1M-1, 7.110% (SOFR30A + 2.550%, 2.550% Floor), 07/25/2042 (a)(c)

    54,341  
       

Countrywide Home Loans, Inc.

       
  4,738    

Series 2004-HYB6, 3.996%, 11/20/2034 (b)

    4,396  
  57,206    

Series 2005-11, 5.445% (1 Month LIBOR USD + 0.600%, 0.600% Floor, 10.500% Cap), 03/25/2035 (a)

    39,277  
  217,382    

CSAIL Commercial Mortgage Trust
Series 2016-C6, 2.960%, 01/15/2049

    209,037  
       

CSMC Trust

       
  97,732    

Series 2020-NET, 2.257%, 08/17/2037 (c)

    87,920  
  24,164    

Series 2017-FHA1, 3.250%, 04/25/2047 (b)(c)

    21,773  
  204,995    

Series 2020-RPL4, 2.000%, 01/25/2060 (b)(c)

    179,400  
  104,295    

Series 2021-RPL4 A1, 1.796%, 12/27/2060 (b)(c)

    96,918  
  109,828    

Series 2020-NQM1, 1.208%, 05/25/2065 (c)(k)

    99,284  
  184,448    

Series 2021-NQM2, 1.179%, 02/25/2066 (b)(c)

    156,188  
  146,556    

Series 2021-NQM5 A1, 0.938%, 05/25/2066 (b)(c)

    115,934  
  368,840    

Series 2021-NQM6 A1, 1.174%, 07/25/2066 (b)(c)

    297,652  
  188,435    

Series 2021-NQM8, 1.841%, 10/25/2066 (b)(c)

    163,198  
  473,914    

Series 2022-NQM1, 2.265%, 11/25/2066 (b)(c)

    409,500  
       

DBGS Mortgage Trust

       
  215,000    

Series 2018-C1, 4.466%, 10/17/2051

    204,934  
  11,792,880    

Series 2018-C1, 0.190%, 10/17/2051 (b)(j)

    94,636  
       

DBJPM Mortgage Trust

       
  218,806    

Series 2016-C1, 3.038%, 05/12/2049

    210,002  
  475,000    

Series 2016-C3, 2.890%, 08/12/2049

    437,020  
  309,464    

Series 2020-C9, 1.708%, 08/15/2053 (b)(j)

    20,889  
  65,102    

Deephaven Residential Mortgage Trust
Series 2021-2 A1, 0.899%, 04/25/2066 (b)(c)

    55,931  
       

Ellington Financial Mortgage Trust

       
  67,681    

Series 2021-2 A1, 0.931%, 06/25/2066 (b)(c)

    54,676  
  222,384    

Series 2022-1, 2.206%, 01/25/2067 (b)(c)

    187,448  
  250,000    

Elmwood CLO 23, Ltd.
Series 2023-2A B, 0.000% (TSFR3M + 2.250%, 2.250% Floor), 04/16/2036 (a)(c)

    250,000  
       

FirstKey Homes Trust

       
  114,353    

Series 2022-SFR1, 4.145%, 05/19/2039 (c)

    109,304  
  482,273    

Series 2022-SFR2, 4.250%, 07/19/2039 (c)

    462,156  
       

GCAT Trust

       
  117,974    

Series 2021-NQM1, 0.874%, 01/25/2066 (b)(c)

    99,691  

Principal
Amount


       

Value


 
       

COLLATERALIZED MORTGAGE OBLIGATIONS (Continued)

 

  141,374    

Series 2021-NQM2 A1, 1.036%, 05/25/2066 (b)(c)

  $ 116,293  
  184,187    

Series 2021-NQM3 A1, 1.091%, 05/25/2066 (b)(c)

    151,097  
  255,054    

Series 2021-NQM4, 1.093%, 08/25/2066 (b)(c)

    198,968  
  140,316    

Series 2021-NQM7, 1.915%, 08/25/2066 (b)(c)

    124,196  
       

GS Mortgage Securities Trust

       
  145,000    

Series 2012-BWTR, 2.954%, 11/07/2034 (c)

    107,590  
  35,000    

Series 2022-SHIP, 5.558% (TSFR1M + 0.731%, 0.731% Floor), 08/15/2036 (a)(c)

    34,674  
  35,000    

Series 2015-GC34, 3.506%, 10/13/2048

    33,166  
  1,440,349    

Series 2020-GC45, 0.668%, 02/14/2053 (b)(j)

    46,163  
  220,000    

Hawaii Hotel Trust 2019-MAUI
Series 2019-MAUI, 5.834% (1 Month LIBOR USD + 1.150%, 1.150% Floor), 05/17/2038 (a)(c)

    214,805  
       

Imperial Fund Mortgage Trust

       
  143,660    

Series 2021-NQM2 A-1, 1.073%, 09/25/2056 (b)(c)

    116,417  
  471,769    

Series 2022-NQM2, 3.638%, 03/25/2067 (c)(k)

    440,012  
  90,000    

JPMBB Commercial Mortgage Securities Trust
Series 2020-NNN, 2.812%, 01/16/2037 (c)

    81,888  
       

Legacy Mortgage Asset Trust

       
  78,954    

Series 2021-GS4 A1, 1.650%, 11/25/2060 (c)(k)

    72,613  
  137,249    

Series 2021-GS3 A1, 1.750%, 07/25/2061 (c)(k)

    126,873  
  520,974    

Life 2021-BMR Mortgage Trust
Series A, 5.641% (1 Month LIBOR USD + 0.814%, 0.8140% Floor), 03/15/2038 (a)(c)

    506,062  
  260,000    

MF1, Ltd.
Series 2022-FL8, 6.310% (SOFR30A + 1.750%, 1.750% Floor), 02/20/2037 (a)(c)(g)

    251,499  
       

MFRA Trust

       
  106,360    

Series 2021-NQM2, 1.029%, 11/25/2064 (b)(c)

    87,395  
  24,543    

Series 2020-NQM3 A1, 1.014%, 01/26/2065 (b)

    22,630  
  87,556    

Series 2021-NQM1 A-1, 1.153%, 04/25/2065 (b)(c)

    77,168  
       

Mill City Mortgage Loan Trust

       
  42,005    

Series 2018-2, 3.500%, 05/25/2058 (b)(c)

    41,022  
  186,538    

Series 2019-GS1, 2.750%, 07/25/2059 (b)(c)

    177,211  
  51,315    

Series 2017-3, 2.750%, 01/25/2061 (b)(c)

    49,659  
  45,637    

Series 2018-1, 3.250%, 05/25/2062 (b)(c)

    44,044  
  121,606    

Series 2019-1, 3.250%, 10/25/2069 (b)(c)

    116,163  
  72,986    

Morgan Stanley ABS Capital I, Inc. Trust
Series 2003-NC10, 5.865% (1 Month LIBOR USD + 1.020%, 1.020% Floor), 10/25/2033 (a)

    71,575  
  175,000    

Morgan Stanley Bank of America Merrill Lynch Trust
Series 2016-C29, 3.325%, 05/17/2049

    164,733  
       

New Residential Mortgage Loan Trust

       
  33,645    

Series 2016-2, 3.750%, 11/25/2035 (c)

    31,772  
  76,391    

Series 2018-4, 5.595% (1 Month LIBOR USD + 0.750%, 0.750% Floor), 01/27/2048 (a)(c)

    74,027  
  30,511    

Series 2016-4, 3.750%, 11/25/2056 (b)(c)

    28,196  
  297,183    

Series 2021-NQM3 A1, 1.156%, 11/25/2056 (b)(c)

    244,950  
  47,771    

Series 2017-1, 4.000%, 02/25/2057 (b)(c)

    45,332  
 

 

See notes to financial statements.

 

75


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

COLLATERALIZED MORTGAGE OBLIGATIONS (Continued)

 

  43,180    

Series 2017-2, 4.000%, 03/25/2057 (b)(c)

  $ 40,910  
  24,135    

Series 2017-3, 4.000%, 04/25/2057 (b)(c)

    23,126  
  22,811    

Series 2017-4, 4.000%, 05/25/2057 (b)(c)

    21,256  
  21,257    

Series 2017-5, 6.345% (1 Month LIBOR USD + 1.500%, 1.500% Floor), 06/25/2057 (a)(c)

    20,769  
  37,403    

Series 2017-6, 4.000%, 08/25/2057 (b)(c)

    35,164  
  82,558    

Series 2018-1, 4.000%, 12/25/2057 (b)(c)

    78,453  
  68,516    

Series 2018-2, 4.500%, 02/25/2058 (b)(c)

    65,886  
  174,639    

Series 2018-3, 4.500%, 05/25/2058 (b)(c)

    163,718  
  69,596    

Series 2021-NQM2R A-1, 0.941%, 10/25/2058 (b)(c)

    62,701  
  124,755    

Series 2019-3, 3.750%, 11/25/2058 (b)(c)

    116,443  
  90,070    

Series 2019-5, 3.500%, 08/25/2059 (b)(c)

    84,426  
  24,713    

Series 2019-NQM4, 2.492%, 09/25/2059 (b)(c)

    22,695  
  433,571    

Series 2022-NQM1, 2.277%, 04/25/2061 (b)(c)

    377,732  
  299,849    

NMLT Trust
Series 2021-INV1 A1, 1.185%, 05/25/2056 (b)(c)

    250,323  
       

OBX Trust

       
  180,960    

Series 2021-NQM3 A1, 1.054%, 07/25/2061 (b)(c)

    138,402  
  385,972    

Series 2022-NQM1, 2.305%, 11/25/2061 (b)(c)

    331,392  
  169,059    

Series 2021-NQM1, 1.072%, 02/25/2066 (b)(c)

    138,109  
       

Pretium Mortgage Credit Partners LLC

       
  148,720    

Series 2021-NPL3 A1, 1.868%, 07/25/2051 (c)(k)

    138,164  
  140,625    

Series 2021-RN2 A1, 1.744%, 07/25/2051 (c)(k)

    131,260  
  173,106    

Series 2021-NPL2 A-1, 1.992%, 06/29/2060 (c)(k)

    162,075  
  284,457    

Series 2021-RN1 A1, 1.992%, 02/25/2061 (c)(k)

    267,405  
       

Progress Residential Trust

       
  373,378    

Series 2021-SFR3, 1.637%, 05/17/2026 (c)

    333,157  
  397,838    

Series 2021-SFR1, 1.052%, 04/17/2038 (c)

    350,821  
  328,758    

Series 2021-SFR8, 1.510%, 10/19/2038 (c)

    287,956  
  109,719    

Series 2022-SFR3, 3.200%, 04/19/2039 (c)

    102,076  
  99,148    

Series 2022-SFR5, 4.451%, 06/17/2039 (c)

    95,482  
  144,772    

Series 2022-SFR7, 4.750%, 10/19/2039 (c)

    142,140  
  299,473    

Series 2022-SFR4, 4.438%, 05/17/2041 (c)

    286,056  
       

PRPM Trust

       
  52,294    

Series 2020-6, 2.363%, 11/25/2025 (c)(k)

    50,968  
  136,061    

Series 2021-3 A1, 1.867%, 04/25/2026 (c)(k)

    130,367  
  188,093    

Series 2021-4 A1, 1.867%, 04/25/2026 (c)(k)

    179,711  
  184,780    

Series 2021-5 A1, 1.793%, 06/25/2026 (c)(k)

    174,042  
  167,997    

Series 2021-6 A1, 1.793%, 07/25/2026 (c)(k)

    155,478  
  268,924    

Series 2021-7 A1, 1.867%, 08/25/2026 (c)(k)

    251,586  
  344,224    

Series 2021-9, 2.363%, 10/25/2026 (c)(k)

    326,316  
  155,000    

SBA Tower Trust
Series 2019-1, 2.836%, 01/15/2025 (c)

    146,886  
  64,746    

Seasoned Credit Risk Transfer Trust Series
Series 2019-3, 3.500%, 10/25/2058

    60,257  
       

SG Commercial Mortgage Securities Trust

       
  355,000    

Series 2020-COVE, 2.632%, 04/17/2037 (c)

    331,016  
  75,000    

Series 2016-C5, 3.055%, 10/13/2048

    69,707  
  250,861    

SG Residential Mortgage Trust
Series 2021-1 A-1, 1.160%, 07/25/2061 (b)(c)

    201,876  
       

Starwood Mortgage Residential Trust

       
  19,919    

Series 2020-3, 1.486%, 04/25/2065 (b)(c)

    18,727  

Principal
Amount


       

Value


 
       

COLLATERALIZED MORTGAGE OBLIGATIONS (Continued)

 

  139,251    

Series 2021-1, 1.219%, 05/25/2065 (b)(c)

  $ 120,387  
  55,033    

Series 2021-2 A1, 0.943%, 05/25/2065 (b)(c)

    49,320  
  285,801    

Series 2021-6, 1.920%, 11/25/2066 (b)(c)

    236,615  
  230,000    

Toorak Mortgage Corp.
Series 2021-1 A1, 2.240%, 06/25/2024 (c)(k)

    217,617  
       

Towd Point Mortgage Trust

       
  102,724    

Series 2022-EBO1, 2.161%, 01/25/2052 (b)(c)

    100,789  
  48,642    

Series 2017-1, 2.750%, 10/25/2056 (b)(c)

    47,794  
  54,122    

Series 2017-5, 5.445% (1 Month LIBOR USD + 0.600%, 0.000% Floor), 02/26/2057 (a)(c)

    53,909  
  23,142    

Series 2017-2, 2.750%, 04/25/2057 (b)(c)

    22,907  
  10,392    

Series 2017-3, 2.750%, 06/25/2057 (b)(c)

    10,111  
  96,154    

Series 2017-4, 2.750%, 06/25/2057 (b)(c)

    91,572  
  142,673    

Series 2017-6, 2.750%, 10/25/2057 (b)(c)

    136,352  
  25,620    

Series 2018-1, 3.000%, 01/28/2058 (b)(c)

    24,900  
  86,877    

Series 2018-2, 3.250%, 03/25/2058 (b)(c)

    83,434  
  207,059    

Series 2019-1, 3.750%, 03/25/2058 (b)(c)

    197,205  
  81,372    

Series 2018-3, 3.750%, 05/25/2058 (b)(c)

    77,947  
  143,039    

Series 2020-4, 1.750%, 10/25/2060 (c)

    128,126  
  425,362    

Series 2021-R1 A1, 2.918%, 11/30/2060 (b)(c)

    347,067  
  87,380    

Triangle Re 2021-3, Ltd.
Series 2021-3, 6.460% (SOFR30A + 1.900%, 1.900% Floor), 02/25/2034 (a)(c)

    86,731  
  116,415    

Tricolor Auto Securitization Trust 2023-1
Series 2023-1, 6.480%, 08/17/2026 (c)

    116,393  
  505,000    

Tricon Residential Trust
Series 2022-SFR1, 3.856%, 04/19/2039 (c)

    482,154  
       

VCAT Asset Securitization LLC

       
  52,539    

Series 2021-NPL2 A1, 2.115%, 03/27/2051 (c)(k)

    49,823  
  162,430    

Series 2021-NPL3 A1, 1.743%, 05/25/2051 (c)(k)

    151,134  
  225,513    

Series 2021-NPL4 A1, 1.868%, 08/25/2051 (c)(k)

    209,599  
  292,587    

Series 2021-NPL5, 1.868%, 08/25/2051 (c)(k)

    270,349  
  371,978    

Series 2021-NPL6, 1.917%, 09/25/2051 (c)(k)

    345,626  
       

Vericrest Opportunity Loan Transferee

       
  223,810    

Series 2021-R2 A1, 2.116%, 04/25/2051 (c)(k)

    204,828  
  89,729    

Series 2021-NPL9, 1.992%, 05/25/2051 (c)(k)

    82,566  
  192,269    

Series 2021-CF1 A1, 1.992%, 08/25/2051 (c)(k)

    179,062  
       

Verus Securitization Trust

       
  36,538    

Series 2019-4, 3.142%, 10/25/2059 (b)(c)

    35,072  
  83,753    

Series 2021-R2 A-1, 0.918%, 02/25/2064 (b)(c)

    71,954  
  84,063    

Series 2021-2, 1.031%, 02/25/2066 (b)(c)

    71,627  
  122,972    

Series 2021-4, 0.938%, 07/25/2066 (b)(c)

    98,922  
  320,417    

Series 2021-5 A-1, 1.013%, 09/25/2066 (b)(c)

    260,378  
  199,977    

Series 2021-8, 1.824%, 11/25/2066 (b)(c)

    170,775  
  294,328    

Series 2022-1 A-1, 2.724%, 01/25/2067 (c)(k)

    263,054  
  265,000    

Wells Fargo Commercial Mortgage Trust 2015-NXS1
Series A-5, 3.148%, 05/15/2048

    252,025  
           


       

Total Collateralized Mortgage Obligations
(Cost $31,055,935)

    27,885,890  
           


 

 

See notes to financial statements.

 

76


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

CORPORATE OBLIGATIONS - 24.02%

 

       

Aerospace & Defense - 0.36%

 

       

Boeing Co.

       
  163,000    

5.040%, 05/01/2027

  $ 164,231  
  35,000    

5.150%, 05/01/2030

    35,247  
  120,000    

Lockheed Martin Corp.
4.950%, 10/15/2025

    121,868  
  189,000    

Northrop Grumman Corp.
5.150%, 05/01/2040

    191,198  
       

Raytheon Technologies Corp.

       
  75,000    

5.150%, 02/27/2033

    77,974  
  25,000    

5.375%, 02/27/2053

    26,256  
           


              616,774  
           


       

Banks - 4.57%

 

       

Bank of America Corp.

       
  820,000    

1.922% (SOFR + 1.370%), 10/24/2031 (a)

    654,121  
  515,000    

2.687% (SOFR + 1.320%), 04/22/2032 (a)

    429,815  
  115,000    

2.299% (SOFR + 1.220%), 07/21/2032 (a)

    92,728  
  100,000    

2.572% (SOFR + 1.210%), 10/20/2032 (a)

    81,744  
       

BNP Paribas SA

       
  200,000    

2.219% (SOFR + 2.074%), 06/09/2026 (a)(c)

    183,723  
  235,000    

5.125% (1 Year CMT Rate + 1.450%), 01/16/2029 (a)(c)

    235,433  
  250,000    

BPCE SA
2.045% (SOFR + 1.087%), 10/19/2027 (a)(c)

    218,633  
  280,000    

Credit Agricole SA
5.301%, 07/12/2028 (c)

    283,804  
  200,000    

Danske Bank AS
5.375%, 01/12/2024 (c)

    198,213  
       

Deutsche Bank AG

       
  285,000    

2.129% (SOFR + 1.870%), 11/24/2026 (a)

    245,613  
  150,000    

6.720% (SOFR + 3.180%), 01/18/2029 (a)

    148,948  
       

HSBC Holdings PLC

       
  200,000    

1.589% (SOFR + 1.290%), 05/24/2027 (a)

    176,333  
  305,000    

5.210% (SOFR + 2.610%), 08/11/2028 (a)

    301,908  
  400,000    

4.762% (SOFR + 2.530%), 03/29/2033 (a)

    361,447  
  520,000    

5.402% (SOFR + 2.870%), 08/11/2033 (a)

    509,734  
  200,000    

6.254% (SOFR + 2.390%), 03/09/2034 (a)

    208,959  
       

JPMorgan Chase & Co.

       
  300,000    

3.782% (3 Month LIBOR USD + 1.337%), 02/01/2028 (a)

    286,426  
  425,000    

4.323% (SOFR + 1.560%), 04/26/2028 (a)

    414,345  
  205,000    

4.851% (SOFR + 1.990%), 07/25/2028 (a)

    204,641  
  80,000    

3.509% (3 Month LIBOR USD + 0.945%), 01/23/2029 (a)

    74,934  
  105,000    

2.739% (SOFR + 1.510%), 10/15/2030 (a)

    91,622  
  235,000    

2.545% (SOFR + 1.180%), 11/08/2032 (a)

    194,866  
  200,000    

Lloyds Banking Group PLC
5.871% (1 Year CMT Rate + 1.700%), 03/06/2029 (a)

    201,625  
  250,000    

Manufacturers & Traders Trust Co.
4.700%, 01/27/2028

    234,143  
  200,000    

NatWest Group PLC
5.847% (1 Year CMT Rate + 1.350%), 03/02/2027 (a)

    200,551  
  490,000    

Societe Generale SA
6.221% (1 Year CMT Rate + 3.200%), 06/15/2033 (a)(c)

    455,983  

Principal
Amount


       

Value


 
       

Banks (Continued)

 

  200,000    

Standard Chartered PLC
7.767% (1 Year CMT Rate + 3.450%), 11/16/2028 (a)(c)

  $ 214,475  
  85,000    

Truist Financial Corp.
1.887% (SOFR + 0.862%), 06/07/2029 (a)

    70,951  
       

Wells Fargo & Co.

       
  120,000    

3.000%, 04/22/2026

    113,344  
  135,000    

3.000%, 10/23/2026

    126,280  
  210,000    

4.808% (SOFR + 1.980%), 07/25/2028 (a)

    207,372  
  110,000    

3.350% (SOFR + 1.500%), 03/02/2033 (a)

    95,368  
  190,000    

4.897% (SOFR + 2.100%), 07/25/2033 (a)

    185,446  
  90,000    

5.013% (SOFR + 4.502%), 04/04/2051 (a)

    84,583  
           


              7,788,111  
           


       

Beverages - 0.25%

 

       

Anheuser-Busch InBev Worldwide, Inc.

       
  180,000    

5.450%, 01/23/2039

    188,938  
  60,000    

4.600%, 04/15/2048

    56,729  
  6,000    

Constellation Brands, Inc.
3.150%, 08/01/2029

    5,483  
  200,000    

Diageo Capital PLC
2.000%, 04/29/2030

    170,397  
           


              421,547  
           


       

Biotechnology - 0.57%

 

  175,000    

AbbVie, Inc.
4.250%, 11/21/2049

    154,086  
       

Amgen, Inc.

       
  115,000    

5.150%, 03/02/2028

    117,384  
  40,000    

5.250%, 03/02/2030

    40,865  
  170,000    

5.250%, 03/02/2033 (e)

    174,631  
  85,000    

5.750%, 03/02/2063

    87,794  
       

CSL Finance PLC

       
  170,000    

4.050%, 04/27/2029 (c)

    164,014  
  110,000    

4.250%, 04/27/2032 (c)

    106,598  
  160,000    

Gilead Sciences, Inc.
1.650%, 10/01/2030

    131,745  
           


              977,117  
           


       

Capital Markets - 2.36%

 

       

BP Capital Markets America, Inc.

       
  100,000    

3.633%, 04/06/2030

    94,908  
  115,000    

2.721%, 01/12/2032

    100,248  
  125,000    

4.812%, 02/13/2033

    126,890  
  125,000    

2.939%, 06/04/2051

    86,507  
  45,000    

3.379%, 02/08/2061 (e)

    32,461  
       

Credit Suisse Group AG

       
  250,000    

6.442% (SOFR + 3.700%), 08/11/2028 (a)(c)

    248,575  
  750,000    

6.537% (SOFR + 3.920%), 08/12/2033 (a)(c)

    772,500  
       

Intercontinental Exchange, Inc.

       
  55,000    

4.350%, 06/15/2029

    54,340  
  30,000    

4.600%, 03/15/2033

    29,817  
  20,000    

4.950%, 06/15/2052

    19,547  
       

Morgan Stanley

       
  255,000    

2.475% (SOFR + 1.000%), 01/21/2028 (a)

    232,655  
  340,000    

3.591% (3 Month LIBOR USD + 1.340%), 07/22/2028 (a)

    320,882  
  35,000    

5.123% (SOFR + 1.730%), 02/01/2029 (a)

    35,235  
  210,000    

2.699% (SOFR + 1.143%), 01/22/2031 (a)

    180,905  
  285,000    

1.794% (SOFR + 1.034%), 02/13/2032 (a)

    223,111  
  145,000    

1.928% (SOFR + 1.020%), 04/28/2032 (a)

    114,100  
 

 

See notes to financial statements.

 

77


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

CORPORATE OBLIGATIONS (Continued)

 

       

Capital Markets (Continued)

 

  60,000    

2.511% (SOFR + 1.200%), 10/20/2032 (a)

  $ 49,158  
  30,000    

5.948% (5 Year CMT Rate + 2.430%), 01/19/2038 (a)

    29,841  
       

The Goldman Sachs Group, Inc.

       
  120,000    

4.482% (SOFR + 1.725%), 08/23/2028 (a)

    117,366  
  70,000    

1.992% (SOFR + 1.090%), 01/27/2032 (a)

    55,812  
  560,000    

2.615% (SOFR + 1.281%), 04/22/2032 (a)

    467,050  
  225,000    

2.383% (SOFR + 1.248%), 07/21/2032 (a)(e)

    182,536  
  40,000    

2.650% (SOFR + 1.264%), 10/21/2032 (a)

    33,055  
  60,000    

3.102% (SOFR + 1.410%), 02/24/2033 (a)

    51,397  
  200,000    

UBS Group AG
4.751% (1 Year CMT Rate + 1.750%), 05/12/2028 (a)(c)

    191,093  
  195,000    

Willis North America, Inc.
2.950%, 09/15/2029

    171,069  
           


              4,021,058  
           


       

Chemicals - 0.25%

 

  230,000    

Celanese US Holdings LLC
6.165%, 07/15/2027

    232,450  
  235,000    

The Sherwin-Williams Co.
2.300%, 05/15/2030

    199,435  
           


              431,885  
           


       

Consumer Finance - 0.23%

 

       

Capital One Financial Corp.

       
  30,000    

5.468% (SOFR + 2.080%), 02/01/2029 (a)

    29,240  
  390,000    

5.247% (SOFR + 2.600%), 07/26/2030 (a)

    367,849  
           


              397,089  
           


       

Diversified Consumer Services - 0.08%

 

       

Howard University

       
  100,000    

2.901%, 10/01/2031

    84,704  
  75,000    

3.476%, 10/01/2041

    57,981  
           


              142,685  
           


       

Diversified Financial Services - 0.82%

 

  235,000    

Athene Global Funding
2.646%, 10/04/2031 (c)

    186,780  
  150,000    

Corebridge Financial, Inc.
3.850%, 04/05/2029 (c)

    136,906  
  300,000    

DAE Funding LLC
1.550%, 08/01/2024 (c)

    282,210  
  340,000    

Equitable Financial Life Global Funding
1.800%, 03/08/2028 (c)

    286,464  
       

National Rural Utilities Cooperative Finance Corp.

       
  85,000    

4.800%, 03/15/2028

    85,781  
  185,000    

4.150%, 12/15/2032

    176,022  
  45,000    

5.800%, 01/15/2033

    47,928  
       

Shell International Finance BV

       
  180,000    

3.250%, 04/06/2050

    137,012  
  80,000    

3.000%, 11/26/2051

    57,514  
           


              1,396,617  
           


       

Diversified Telecommunication Services - 0.49%

 

       

AT&T, Inc.

       
  175,000    

4.500%, 05/15/2035

    164,247  
  80,000    

3.650%, 06/01/2051

    60,483  
  148,000    

3.500%, 09/15/2053

    107,037  
  91,000    

3.550%, 09/15/2055

    65,181  
  53,000    

3.800%, 12/01/2057

    39,388  

Principal
Amount


       

Value


 
       

Diversified Telecommunication Services (Continued)

 

       

Verizon Communications, Inc.

       
  420,000    

2.355%, 03/15/2032

  $ 344,590  
  85,000    

2.650%, 11/20/2040

    60,724  
           


              841,650  
           


       

Electric Utilities - 3.43%

 

  165,000    

Alabama Power Co.
3.450%, 10/01/2049

    123,678  
  65,000    

Cleco Corporate Holdings LLC
3.375%, 09/15/2029

    56,312  
  130,000    

Consolidated Edison Co. of New York, Inc.
3.200%, 12/01/2051

    93,388  
       

Duke Energy Carolinas LLC

       
  150,000    

2.550%, 04/15/2031

    128,716  
  156,000    

5.300%, 02/15/2040

    160,552  
       

Duke Energy Corp.

       
  474,000    

2.550%, 06/15/2031

    396,494  
  175,000    

4.500%, 08/15/2032

    169,289  
  55,000    

Duke Energy Indiana, Inc.
4.900%, 07/15/2043

    53,127  
  95,000    

Duke Energy Ohio, Inc.
5.250%, 04/01/2033

    97,748  
  200,000    

Enel Finance International NV
5.000%, 06/15/2032 (c)

    187,984  
  45,000    

Evergy Metro, Inc.
2.250%, 06/01/2030

    38,151  
       

Evergy, Inc.

       
  80,000    

2.450%, 09/15/2024

    76,650  
  155,000    

2.900%, 09/15/2029

    138,915  
  45,000    

Eversource Energy
5.450%, 03/01/2028 (e)

    46,625  
  155,000    

Exelon Corp.
5.150%, 03/15/2028 (e)

    157,699  
  60,000    

Florida Power & Light Co.
5.100%, 04/01/2033

    62,177  
       

Georgia Power Co.

       
  130,000    

2.100%, 07/30/2023

    128,604  
  120,000    

4.700%, 05/15/2032

    118,873  
  50,000    

4.750%, 09/01/2040

    46,135  
  120,000    

ITC Holdings Corp.
2.950%, 05/14/2030 (c)

    105,712  
  65,000    

Kentucky Utilities Co.
5.450%, 04/15/2033

    67,578  
  65,000    

Louisville Gas and Electric Co.
5.450%, 04/15/2033

    67,560  
       

NextEra Energy Capital Holdings, Inc.

       
  30,000    

6.051%, 03/01/2025

    30,519  
  365,000    

4.625%, 07/15/2027

    364,000  
  325,000    

2.250%, 06/01/2030

    274,768  
  40,000    

5.050%, 02/28/2033

    40,110  
  145,000    

Oglethorpe Power Corp.
5.050%, 10/01/2048

    131,809  
       

Pacific Gas and Electric Co.

       
  490,000    

5.450%, 06/15/2027

    485,229  
  110,000    

4.550%, 07/01/2030

    103,005  
  470,000    

2.500%, 02/01/2031

    380,926  
  120,000    

3.250%, 06/01/2031

    101,733  
  30,000    

6.150%, 01/15/2033

    30,812  
  140,000    

4.950%, 07/01/2050

    115,145  
  35,000    

6.750%, 01/15/2053

    36,140  
 

 

See notes to financial statements.

 

78


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

CORPORATE OBLIGATIONS (Continued)

 

       

Electric Utilities (Continued)

 

  60,000    

PacifiCorp
2.700%, 09/15/2030

  $ 53,128  
       

Puget Energy, Inc.

       
  135,000    

3.650%, 05/15/2025

    130,419  
  45,000    

4.100%, 06/15/2030

    41,591  
       

Southern California Edison Co.

       
  40,000    

5.850%, 11/01/2027

    42,135  
  70,000    

5.300%, 03/01/2028

    71,750  
  90,000    

2.850%, 08/01/2029

    80,463  
  225,000    

2.250%, 06/01/2030

    191,484  
  110,000    

2.750%, 02/01/2032

    94,396  
  1,000    

4.125%, 03/01/2048

    826  
  45,000    

3.650%, 02/01/2050

    34,610  
  160,000    

Southwestern Electric Power Co.
5.300%, 04/01/2033

    161,222  
       

The Southern Co.

       
  100,000    

3.700%, 04/30/2030

    93,241  
  25,000    

4.400%, 07/01/2046

    21,781  
  145,000    

Virginia Electric and Power Co.
5.000%, 04/01/2033

    146,094  
  55,000    

Xcel Energy, Inc.
4.600%, 06/01/2032

    53,420  
           


              5,832,723  
           


       

Electrical Equipment - 0.22%

 

       

Regal Rexnord Corp.

       
  250,000    

6.050%, 04/15/2028 (c)

    250,161  
  115,000    

6.300%, 02/15/2030 (c)

    115,832  
           


              365,993  
           


       

Electronic Equipment, Instruments & Components - 0.15%

 

       

CDW LLC / CDW Finance Corp.

       
  60,000    

2.670%, 12/01/2026

    54,001  
  55,000    

3.569%, 12/01/2031

    47,357  
  150,000    

Microchip Technology, Inc.
2.670%, 09/01/2023

    147,921  
           


              249,279  
           


       

Energy Equipment & Services - 0.06%

 

  99,000    

Schlumberger Holdings Corp.
4.300%, 05/01/2029 (c)

    96,846  
           


       

Equity Real Estate Investment Trusts (REITs) - 0.25%

 

  150,000    

American Tower Corp.
3.650%, 03/15/2027

    142,154  
       

VICI Properties LP

       
  125,000    

4.950%, 02/15/2030

    117,307  
  170,000    

5.125%, 05/15/2032

    160,317  
           


              419,778  
           


       

Food Products - 0.30%

 

       

Cargill, Inc.

       
  165,000    

2.125%, 11/10/2031 (c)

    136,923  
  105,000    

4.000%, 06/22/2032 (c)

    100,190  
  230,000    

Conagra Brands, Inc.
4.850%, 11/01/2028

    228,925  
  45,000    

General Mills, Inc.
4.950%, 03/29/2033

    45,652  
           


              511,690  
           


Principal
Amount


       

Value


 
       

Health Care Equipment & Supplies - 0.11%

 

  200,000    

Alcon Finance Corp.
2.750%, 09/23/2026 (c)

  $ 187,409  
           


       

Health Care Providers & Services - 0.73%

 

  120,000    

Cigna Group/The
5.400%, 03/15/2033

    124,588  
  70,000    

CommonSpirit Health
2.760%, 10/01/2024

    67,845  
       

CVS Health Corp.

       
  45,000    

4.300%, 03/25/2028

    44,161  
  125,000    

5.125%, 02/21/2030

    126,700  
  55,000    

5.250%, 02/21/2033

    55,997  
  100,000    

4.125%, 04/01/2040

    85,836  
  15,000    

5.125%, 07/20/2045

    14,220  
       

Elevance Health, Inc.

       
  5,000    

5.350%, 10/15/2025

    5,049  
  155,000    

2.875%, 09/15/2029

    140,637  
  60,000    

Humana, Inc.
5.875%, 03/01/2033

    64,613  
  15,000    

Sutter Health
3.361%, 08/15/2050

    10,942  
       

UnitedHealth Group, Inc.

       
  85,000    

5.300%, 02/15/2030

    89,577  
  100,000    

4.200%, 05/15/2032

    97,923  
  145,000    

5.350%, 02/15/2033

    154,003  
  10,000    

3.500%, 08/15/2039

    8,508  
  80,000    

5.875%, 02/15/2053

    89,929  
  30,000    

4.950%, 05/15/2062

    29,186  
  25,000    

6.050%, 02/15/2063

    28,396  
           


              1,238,110  
           


       

Healthcare Providers & Services - 0.08%

 

       

Kaiser Foundation Hospitals

       
  70,000    

2.810%, 06/01/2041

    51,238  
  115,000    

3.002%, 06/01/2051

    80,743  
           


              131,981  
           


       

Hotels, Restaurants & Leisure - 0.16%

 

  105,000    

GLP Capital LP / GLP Financing II, Inc.
5.300%, 01/15/2029

    100,055  
       

McDonald’s Corp.

       
  50,000    

4.600%, 05/26/2045

    46,440  
  15,000    

4.875%, 12/09/2045

    14,524  
  55,000    

3.625%, 09/01/2049

    43,878  
  75,000    

4.200%, 04/01/2050

    65,495  
           


              270,392  
           


       

Industrial Conglomerates - 0.14%

 

       

NXP BV / NXP Funding LLC / NXP USA, Inc.

       
  147,000    

4.875%, 03/01/2024

    145,950  
  90,000    

4.300%, 06/18/2029

    86,398  
           


              232,348  
           


       

Insurance - 0.51%

 

       

Aon Corp / Aon Global Holdings PLC

       
  45,000    

5.350%, 02/28/2033

    46,629  
  70,000    

3.900%, 02/28/2052

    56,405  
  190,000    

Brighthouse Financial Global Funding
1.750%, 01/13/2025 (c)

    177,751  
  90,000    

Marsh & McLennan Cos, Inc.
4.750%, 03/15/2039

    85,447  
 

 

See notes to financial statements.

 

79


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

CORPORATE OBLIGATIONS (Continued)

 

       

Insurance (Continued)

 

  70,000    

Marsh & McLennan Cos., Inc.
4.050%, 10/15/2023

  $ 69,816  
  360,000    

Metropolitan Life Global Funding I
2.400%, 01/11/2032 (c)

    301,384  
  130,000    

Principal Financial Group, Inc.
5.375%, 03/15/2033

    129,942  
           


              867,374  
           


       

Internet & Direct Marketing Retail - 0.12%

 

       

Amazon.com, Inc.

       
  70,000    

3.875%, 08/22/2037

    65,167  
  150,000    

4.100%, 04/13/2062

    131,648  
           


              196,815  
           


       

Machinery - 0.25%

 

  490,000    

Otis Worldwide Corp.
2.565%, 02/15/2030

    429,707  
           


       

Media - 1.56%

 

       

Charter Communications Operating LLC / Charter Communications Operating Capital

       
  210,000    

2.250%, 01/15/2029

    175,068  
  29,000    

3.500%, 03/01/2042

    19,584  
  150,000    

5.375%, 05/01/2047

    123,580  
  55,000    

5.750%, 04/01/2048

    47,380  
  75,000    

5.125%, 07/01/2049

    59,255  
  160,000    

4.800%, 03/01/2050

    121,725  
  45,000    

3.700%, 04/01/2051

    28,747  
  170,000    

3.900%, 06/01/2052

    112,195  
  70,000    

4.400%, 12/01/2061

    47,734  
       

Comcast Corp.

       
  35,000    

3.200%, 07/15/2036

    29,485  
  255,000    

3.750%, 04/01/2040

    219,298  
  75,000    

2.937%, 11/01/2056

    49,752  
       

Cox Communications, Inc.

       
  101,000    

3.150%, 08/15/2024 (c)

    98,474  
  120,000    

2.600%, 06/15/2031 (c)

    99,137  
       

Discovery Communications LLC

       
  18,000    

4.125%, 05/15/2029

    16,730  
  179,000    

5.200%, 09/20/2047

    148,014  
  103,000    

5.300%, 05/15/2049

    85,762  
  75,000    

4.650%, 05/15/2050

    57,274  
       

Paramount Global

       
  45,000    

4.200%, 06/01/2029

    41,302  
  15,000    

4.950%, 01/15/2031

    13,827  
  255,000    

4.200%, 05/19/2032 (e)

    219,009  
  130,000    

4.375%, 03/15/2043

    92,353  
  40,000    

5.850%, 09/01/2043

    34,580  
       

Time Warner Cable, Inc.

       
  30,000    

5.500%, 09/01/2041

    25,916  
  50,000    

4.500%, 09/15/2042

    38,330  
       

Warnermedia Holdings, Inc.

       
  210,000    

4.279%, 03/15/2032 (c)(e)

    187,379  
  580,000    

5.141%, 03/15/2052 (c)

    470,555  
           


              2,662,445  
           


       

Metals & Mining - 0.18%

 

  205,000    

Anglo American Capital PLC
3.875%, 03/16/2029 (c)

    188,568  

Principal
Amount


       

Value


 
       

Metals & Mining (Continued)

 

  120,000    

BHP Billiton Finance USA, Ltd.
4.900%, 02/28/2033

  $ 122,422  
           


              310,990  
           


       

Multi-Utilities - 0.68%

 

       

Berkshire Hathaway Energy Co.

       
  50,000    

3.250%, 04/15/2028

    47,450  
  65,000    

6.125%, 04/01/2036

    71,600  
       

Dominion Energy, Inc.

       
  34,000    

3.375%, 04/01/2030

    30,804  
  361,000    

5.375%, 11/15/2032

    370,092  
  10,000    

6.300%, 03/15/2033

    10,913  
       

NiSource, Inc.

       
  379,000    

3.600%, 05/01/2030

    349,806  
  45,000    

1.700%, 02/15/2031

    35,632  
       

Sempra Energy

       
  150,000    

3.400%, 02/01/2028

    140,864  
  35,000    

3.700%, 04/01/2029

    32,485  
  75,000    

4.000%, 02/01/2048

    61,063  
           


              1,150,709  
           


       

Oil, Gas & Consumable Fuels - 2.26%

 

  80,000    

Amerada Hess Corp.
7.875%, 10/01/2029

    89,874  
  50,000    

Boston Gas Co.
3.757%, 03/16/2032 (c)

    45,072  
  80,000    

ConocoPhillips Co.
3.800%, 03/15/2052

    66,136  
       

Diamondback Energy, Inc.

       
  160,000    

6.250%, 03/15/2033

    169,298  
  20,000    

6.250%, 03/15/2053

    20,685  
  270,000    

Enbridge, Inc.
5.700%, 03/08/2033

    280,729  
       

Energy Transfer LP

       
  105,000    

5.550%, 02/15/2028

    106,366  
  115,000    

6.250%, 04/15/2049

    113,637  
  5,000    

Energy Transfer Operating LP
6.125%, 12/15/2045

    4,837  
       

Enterprise Products Operating LLC

       
  50,000    

2.800%, 01/31/2030

    44,356  
  100,000    

5.350%, 01/31/2033 (e)

    103,618  
  30,000    

4.800%, 02/01/2049

    27,463  
       

Equinor ASA

       
  95,000    

3.625%, 04/06/2040

    81,754  
  70,000    

3.700%, 04/06/2050

    58,813  
  145,000    

Exxon Mobil Corp.
4.227%, 03/19/2040

    135,811  
  189,970    

Galaxy Pipeline Assets Bidco, Ltd.
2.940%, 09/30/2040 (c)

    154,348  
  200,000    

Greensaif Pipelines Bidco Sarl
6.129%, 02/23/2038 (c)(e)

    206,136  
  70,000    

Hess Corp.
7.300%, 08/15/2031

    78,017  
  100,000    

KeySpan Gas East Corp.
5.994%, 03/06/2033 (c)

    103,305  
       

MPLX LP

       
  35,000    

4.250%, 12/01/2027

    33,891  
  55,000    

4.950%, 09/01/2032

    53,797  
  90,000    

5.200%, 03/01/2047

    80,505  
  10,000    

4.950%, 03/14/2052

    8,681  
 

 

See notes to financial statements.

 

80


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

CORPORATE OBLIGATIONS (Continued)

 

       

Oil, Gas & Consumable Fuels (Continued)

 

       

ONEOK, Inc.

       
  55,000    

4.550%, 07/15/2028

  $ 53,125  
  135,000    

3.100%, 03/15/2030

    118,013  
  62,000    

6.350%, 01/15/2031

    64,774  
  30,000    

6.100%, 11/15/2032

    31,067  
  50,000    

5.200%, 07/15/2048

    43,165  
  45,000    

Ovintiv, Inc.
7.375%, 11/01/2031

    48,566  
  75,000    

Phillips 66
4.950%, 12/01/2027

    75,306  
  60,000    

Pioneer Natural Resources Co.
5.100%, 03/29/2026

    60,231  
       

Plains All American Pipeline LP / PAA Finance Corp.

       
  45,000    

3.550%, 12/15/2029

    40,267  
  80,000    

3.800%, 09/15/2030

    71,325  
  35,000    

Sabine Pass Liquefaction LLC
4.500%, 05/15/2030 (e)

    33,758  
  10,000    

Southern Co. Gas Capital Corp.
2.450%, 10/01/2023

    9,841  
  5,000    

Sunoco Logistics Partners Operations LP
5.300%, 04/01/2044

    4,427  
  95,000    

Targa Resources Corp.
6.125%, 03/15/2033

    98,444  
  235,000    

Targa Resources Partners LP / Targa Resources Partners Finance Corp.
4.000%, 01/15/2032

    205,074  
  245,000    

The Brooklyn Union Gas Co.
4.866%, 08/05/2032 (c)

    235,508  
       

The Williams Companies, Inc.

       
  95,000    

2.600%, 03/15/2031

    79,729  
  155,000    

4.650%, 08/15/2032

    149,395  
  120,000    

5.650%, 03/15/2033

    123,913  
  125,000    

TransCanada PipeLines, Ltd.
2.500%, 10/12/2031

    102,187  
  70,000    

TransCanada PipeLines, Ltd.
4.100%, 04/15/2030

    65,676  
  70,000    

Transcontinental Gas Pipe Line Co., LLC
3.250%, 05/15/2030

    63,331  
           


              3,844,251  
           


       

Personal Products - 0.22%

 

  295,000    

Haleon US Capital LLC
3.375%, 03/24/2029

    271,747  
  105,000    

Kenvue, Inc.
5.100%, 03/22/2043 (c)

    108,240  
           


              379,987  
           


       

Pharmaceuticals - 0.34%

 

       

Royalty Pharma PLC

       
  190,000    

1.750%, 09/02/2027

    164,644  
  260,000    

2.200%, 09/02/2030

    211,676  
  210,000    

2.150%, 09/02/2031

    166,014  
  60,000    

3.350%, 09/02/2051

    39,455  
           


              581,789  
           


       

Semiconductors & Semiconductor Equipment - 0.67%

 

       

Broadcom, Inc.

       
  45,000    

4.300%, 11/15/2032

    41,354  
  45,000    

3.419%, 04/15/2033 (c)

    37,610  

Principal
Amount


       

Value


 
       

Semiconductors & Semiconductor Equipment (Continued)

 

  300,000    

3.187%, 11/15/2036 (c)

  $ 227,710  
  66,000    

4.926%, 05/15/2037 (c)

    60,025  
       

Intel Corp.

       
  45,000    

4.875%, 02/10/2028

    45,705  
  50,000    

5.125%, 02/10/2030

    50,924  
  165,000    

5.200%, 02/10/2033

    167,903  
  80,000    

3.050%, 08/12/2051

    54,529  
  40,000    

5.700%, 02/10/2053

    40,732  
  160,000    

5.050%, 08/05/2062

    147,601  
  25,000    

5.900%, 02/10/2063

    25,667  
       

Marvell Technology, Inc.

       
  30,000    

2.450%, 04/15/2028

    26,279  
  95,000    

2.950%, 04/15/2031

    79,348  
  150,000    

NVIDIA Corp.
3.500%, 04/01/2040

    128,724  
           


              1,134,111  
           


       

Software - 0.51%

 

       

Oracle Corp.

       
  80,000    

2.300%, 03/25/2028

    71,489  
  160,000    

6.150%, 11/09/2029

    170,313  
  50,000    

2.950%, 04/01/2030

    44,130  
  185,000    

4.300%, 07/08/2034

    169,071  
  25,000    

3.900%, 05/15/2035

    21,842  
  50,000    

3.800%, 11/15/2037

    41,530  
  212,000    

3.600%, 04/01/2040

    164,402  
  187,000    

3.600%, 04/01/2050

    132,188  
  65,000    

4.100%, 03/25/2061 (e)

    47,617  
           


              862,582  
           


       

Specialty Retail - 0.25%

 

       

Lowe’s Cos, Inc.

       
  30,000    

3.750%, 04/01/2032

    27,715  
  85,000    

5.625%, 04/15/2053

    85,113  
  175,000    

O’Reilly Automotive, Inc.
4.700%, 06/15/2032 (e)

    172,352  
  155,000    

Penske Truck Leasing Co. LP / PTL Finance Corp.
4.400%, 07/01/2027 (c)

    148,749  
           


              433,929  
           


       

Tobacco - 0.63%

 

       

BAT Capital Corp.

       
  135,000    

2.259%, 03/25/2028

    115,331  
  100,000    

3.462%, 09/06/2029

    88,389  
  75,000    

BAT International Finance PLC
4.448%, 03/16/2028

    71,293  
       

Philip Morris International, Inc.

       
  180,000    

5.125%, 11/17/2027

    184,173  
  250,000    

4.875%, 02/15/2028

    252,264  
  80,000    

5.625%, 11/17/2029 (e)

    83,470  
  170,000    

5.125%, 02/15/2030

    171,845  
  15,000    

5.375%, 02/15/2033

    15,328  
  85,000    

Reynolds American, Inc.
5.700%, 08/15/2035

    80,400  
           


              1,062,493  
           


       

Wireless Telecommunication Services - 0.23%

 

  50,000    

Rogers Communications, Inc.
4.550%, 03/15/2052 (c)

    41,134  
       

T-Mobile USA, Inc.

       
  65,000    

2.050%, 02/15/2028

    57,672  
 

 

See notes to financial statements.

 

81


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

CORPORATE OBLIGATIONS (Continued)

 

       

Wireless Telecommunication Services (Continued)

 

  180,000    

3.875%, 04/15/2030

  $ 168,940  
  110,000    

5.050%, 07/15/2033

    110,538  
           


              378,284  
           


       

Total Corporate Obligations
(Cost $44,251,545)

    40,866,548  
           


       

FOREIGN GOVERNMENT DEBT OBLIGATIONS - 1.21%

 

       

Bermuda Government International Bond

       
  200,000    

2.375%, 08/20/2030

    171,520  
  200,000    

5.000%, 07/15/2032 (c)

    200,492  
  285,000    

Finance Department Government of Sharjah
3.625%, 03/10/2033

    231,943  
  210,000    

Hungary Government International Bond
5.250%, 06/16/2029 (c)

    204,950  
       

Mexico Government International Bond

       
  200,000    

4.280%, 08/14/2041

    163,790  
  280,000    

4.750%, 03/08/2044

    238,343  
  210,000    

Panama Government International Bond
4.500%, 04/16/2050

    160,489  
       

Romanian Government International Bond

       
  246,000    

3.000%, 02/27/2027 (c)

    224,349  
  338,000    

3.000%, 02/14/2031

    278,839  
  200,000    

Saudi Government International Bond
5.000%, 01/18/2053 (c)

    186,316  
           


       

Total Foreign Government Debt Obligations
(Cost $2,427,749)

    2,061,031  
           


       

MORTGAGE BACKED SECURITIES - U.S. GOVERNMENT AGENCY - 37.73%

 

       

Federal Home Loan Mortgage Corp.

       
  384    

Pool #D9-6291 4.500%, 09/01/2023

    381  
  1,466    

Pool #G1-3624 5.000%, 08/01/2024

    1,478  
  82,000    

Series K-068, 3.244%, 08/25/2027

    78,780  
  333,576    

Series K-110, 1.697%, 04/25/2030 (b)(j)

    30,333  
  1,320,351    

Series K-111, 1.571%, 05/25/2030 (b)(j)

    115,636  
  930,597    

Series K-114, 1.116%, 06/25/2030 (b)(j)

    59,748  
  298,651    

Series K-122, 0.881%, 11/25/2030 (b)(j)

    15,404  
  53,534    

Series 2329, 6.500%, 06/15/2031

    54,950  
  29,306    

Series 2338, 6.500%, 07/15/2031

    30,840  
  27,641    

Pool #78-0447 3.296% (1 Year CMT Rate + 2.250% 2.250% Floor, 9.350% Cap), 04/01/2033 (a)

    27,847  
  44    

Pool #A4-3129 5.500%, 02/01/2036

    45  
  31,407    

Series 4216, 1.700%, 10/15/2039

    30,399  
  29,360    

Series 3883, 3.000%, 05/15/2041

    27,730  
  110,299    

Pool #U9-0688 4.000%, 05/01/2042

    107,879  
  197,741    

Pool #Q4-9389 3.500%, 07/01/2047

    186,747  
  172,483    

Pool #Q5-2093 3.500%, 11/01/2047

    162,785  
  381,471    

Series 5170, 2.000%, 07/25/2050

    333,431  
  1,728,138    

Pool #SD-8123 3.000%, 01/01/2051

    1,557,777  
  1,930,078    

Pool #QC-8858 2.500%, 10/01/2051

    1,684,746  
  4,870,362    

Pool #QD-4104 2.000%, 01/01/2052

    4,033,973  
  147,041    

Pool #QE-0827 2.000%, 04/01/2052

    121,719  
       

Federal National Mortgage Association

       
  108,136    

Pool #AJ8325 3.000%, 12/01/2026

    105,378  
  464    

Pool #544859 3.964% (11th District Cost of Funds Index + 1.695%, 1.695% Floor, 13.695% Cap), 08/01/2029 (a)

    457  
  713,030    

Series K-104, 1.125%, 01/25/2030 (b)(j)

    42,637  

Principal
Amount


       

Value


 
       

MORTGAGE BACKED SECURITIES - U.S. GOVERNMENT AGENCY (Continued)

 

  18,987    

Pool #BC4938 2.500%, 04/01/2031

  $ 17,909  
  40,633    

Pool #786848 7.000%, 10/01/2031

    41,812  
  1,325    

Pool #727181 5.000%, 08/01/2033

    1,354  
  670    

Pool #730727 5.000%, 08/01/2033

    684  
  208    

Pool #741862 5.500%, 09/01/2033

    214  
  273    

Pool #766197 5.500%, 02/01/2034

    280  
  58    

Pool #776974 5.500%, 04/01/2034

    60  
  30,417    

Pool #888504 3.006% (1 Year CMT Rate + 2.006%, 2.006% Floor, 9.222% Cap), 04/01/2034 (a)

    30,375  
  107,344    

Pool #MA1870 4.500%, 04/01/2034

    107,016  
  2,376    

Pool #775776 5.500%, 05/01/2034

    2,437  
  1,522,864    

Series 2019-M21, 1.201%, 06/25/2034 (b)(j)

    133,904  
  77,577    

Pool #802783 3.862% (12 Month LIBOR USD + 1.612%, 1.612% Floor, 10.270% Cap), 10/01/2034 (a)

    76,346  
  1,797    

Pool #781629 5.500%, 12/01/2034

    1,855  
  1,549    

Pool #822815 5.500%, 04/01/2035

    1,580  
  2,372    

Pool #357850 5.500%, 07/01/2035

    2,448  
  1,672    

Pool #820242 5.000%, 07/01/2035

    1,708  
  320    

Pool #838452 5.500%, 09/01/2035

    323  
  1,792    

Pool #865854 6.000%, 03/01/2036

    1,863  
  2,406    

Pool #891474 6.000%, 04/01/2036

    2,506  
  3,300,000    

Pool #TBA 1.500%, 04/15/2036 (h)

    2,898,534  
  1,333    

Pool #906000 6.000%, 01/01/2037

    1,389  
  24    

Pool #928062 5.500%, 02/01/2037

    25  
  26    

Pool #899119 5.500%, 04/01/2037

    26  
  146,615    

Pool #AS9772 3.500%, 06/01/2037

    141,231  
  62    

Pool #970131 5.500%, 03/01/2038

    63  
  40    

Pool #985108 5.500%, 07/01/2038

    41  
  46    

Pool #964930 5.500%, 08/01/2038

    46  
  23    

Pool #987032 5.500%, 08/01/2038

    24  
  21    

Pool #968371 5.500%, 09/01/2038

    21  
  15    

Pool #993050 5.500%, 12/01/2038

    15  
  6,660    

Pool #993579 4.000%, 05/01/2039

    6,516  
  1,170    

Pool #AA5840 4.000%, 06/01/2039

    1,144  
  26,500    

Pool #AA8715 4.000%, 06/01/2039

    25,927  
  70,369    

Pool #AD0586 4.500%, 12/01/2039

    70,763  
  157,019    

Pool #AD4062 5.000%, 05/01/2040

    160,415  
  131,826    

Pool #AD6929 5.000%, 06/01/2040

    134,683  
  3,340    

Pool #AD9896 4.000%, 08/01/2040

    3,267  
  4,111    

Pool #AB1500 4.000%, 09/01/2040

    4,022  
  4,378    

Pool #AD9856 4.000%, 09/01/2040

    4,283  
  1,901    

Pool #AE2559 4.000%, 09/01/2040

    1,860  
  683    

Pool #AE2562 4.000%, 09/01/2040

    669  
  478    

Pool #AE2566 4.000%, 09/01/2040

    468  
  7,471    

Pool #AE4124 4.000%, 10/01/2040

    7,310  
  4,403    

Pool #AE4888 4.000%, 10/01/2040

    4,307  
  5,434    

Pool #AE3916 4.000%, 11/01/2040

    5,316  
  832    

Pool #AE5147 4.000%, 11/01/2040

    814  
  9,446    

Pool #AE8715 4.000%, 11/01/2040

    9,242  
  1,399    

Pool #AH0006 4.000%, 12/01/2040

    1,369  
  4,541    

Pool #AH0020 4.000%, 12/01/2040

    4,442  
  5,916    

Pool #AH0599 4.000%, 12/01/2040

    5,788  
  1,513    

Pool #AH0601 4.000%, 12/01/2040

    1,480  
  4,479    

Pool #AH1263 4.000%, 01/01/2041

    4,383  
  21,535    

Pool #AL5233 4.000%, 01/01/2041

    21,070  
  1,265    

Pool #AH4659 4.000%, 02/01/2041

    1,237  
  22,246    

Pool #AH5653 4.000%, 02/01/2041

    21,765  
 

 

See notes to financial statements.

 

82


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

MORTGAGE BACKED SECURITIES - U.S. GOVERNMENT AGENCY (Continued)

 

  32,532    

Pool #AL0934 5.000%, 02/01/2041

  $ 33,237  
  52,116    

Pool #AD1889 4.500%, 03/01/2041

    52,408  
  3,812    

Pool #AH6150 4.000%, 03/01/2041

    3,729  
  30,196    

Pool #AL0215 4.500%, 04/01/2041

    30,364  
  2,000,000    

Pool #TBA 4.000%, 04/15/2041 (h)

    1,910,469  
  11,118,000    

Pool #TBA 4.500%, 04/15/2041 (h)

    10,882,611  
  3,300,000    

Pool #TBA 5.000%, 04/15/2041 (h)

    3,289,430  
  4,405,000    

Pool #TBA 5.500%, 04/15/2041 (h)

    4,446,125  
  25,646    

Pool #AL0187 5.000%, 05/01/2041

    26,201  
  4,685    

Pool #AL0456 5.000%, 06/01/2041

    4,787  
  20,578    

Pool #AI8842 4.500%, 08/01/2041

    20,693  
  15,811    

Pool #AL0815 4.000%, 09/01/2041

    15,724  
  18,166    

Series 2012-21, 2.000%, 09/25/2041

    16,689  
  7,569    

Pool #AJ1562 4.000%, 10/01/2041

    7,528  
  3,518    

Pool #AJ1972 4.000%, 10/01/2041

    3,465  
  211,122    

Pool #AJ2212 4.500%, 10/01/2041

    212,303  
  8,377    

Pool #AJ4756 4.000%, 10/01/2041

    8,331  
  6,689    

Pool #AJ3330 4.000%, 11/01/2041

    6,659  
  6,066    

Pool #AJ4549 4.000%, 11/01/2041

    6,038  
  6,029    

Pool #AJ4698 4.000%, 11/01/2041

    6,002  
  11,372    

Pool #AJ5424 4.000%, 11/01/2041

    11,313  
  3,621    

Pool #AJ7840 4.000%, 11/01/2041

    3,609  
  7,026    

Pool #AB3995 4.000%, 12/01/2041

    6,992  
  6,653    

Pool #AI0848 4.000%, 12/01/2041

    6,623  
  5,377    

Pool #AJ4187 4.000%, 12/01/2041

    5,353  
  6,537    

Pool #AJ5736 4.000%, 12/01/2041

    6,501  
  3,552    

Pool #AJ5968 4.000%, 12/01/2041

    3,475  
  6,595    

Pool #AJ6061 4.000%, 12/01/2041

    6,565  
  6,419    

Pool #AJ7868 4.000%, 12/01/2041

    6,391  
  11,379    

Pool #AJ8104 4.000%, 12/01/2041

    11,302  
  8,963    

Pool #AJ8109 4.000%, 12/01/2041

    8,922  
  4,426    

Pool #AJ8171 4.000%, 12/01/2041

    4,389  
  9,879    

Pool #AJ8341 4.000%, 12/01/2041

    9,835  
  14,757    

Pool #AJ8436 4.000%, 12/01/2041

    14,681  
  5,407    

Pool #AJ8912 4.000%, 12/01/2041

    5,382  
  6,030    

Pool #AJ9248 4.000%, 12/01/2041

    6,003  
  30,642    

Series 2012-18, 2.000%, 12/25/2041

    27,948  
  515,000    

Series 2022-90, 4.500%, 12/25/2041

    520,035  
  4,008    

Pool #AJ2446 4.000%, 01/01/2042

    3,921  
  10,018    

Pool #AJ7538 4.000%, 01/01/2042

    9,973  
  2,693    

Pool #AJ8001 4.000%, 01/01/2042

    2,644  
  7,552    

Pool #AJ8369 4.000%, 01/01/2042

    7,518  
  8,357    

Pool #AJ9162 4.000%, 01/01/2042

    8,320  
  43,288    

Pool #AJ9330 4.000%, 01/01/2042

    43,094  
  2,734    

Pool #AJ9779 4.000%, 01/01/2042

    2,736  
  6,735    

Pool #AK0170 4.000%, 01/01/2042

    6,705  
  16,376    

Pool #AK0543 4.000%, 01/01/2042

    16,302  
  7,545    

Pool #AK0563 4.000%, 01/01/2042

    7,511  
  12,699    

Pool #AK1827 4.000%, 01/01/2042

    12,642  
  99,451    

Pool #AL2752 5.000%, 03/01/2042

    101,604  
  28,020    

Series 2012-52, 3.500%, 05/25/2042

    26,904  
  18,338    

Pool #AB5529 4.000%, 07/01/2042

    17,915  
  60,450    

Pool #AB6228 3.500%, 09/01/2042

    57,628  
  57,147    

Series 415, 3.000%, 11/01/2042

    53,568  
  359,788    

Series 2012-120 ZB, 3.500%, 11/25/2042

    338,817  
  107,859    

Series 4961, 2.500%, 12/15/2042

    98,718  
  163,835    

Pool #AQ9316 2.500%, 01/01/2043

    143,879  
  39,392    

Series 2015-48, 3.000%, 02/25/2043

    37,626  
  440,020    

Pool #AT2720 3.000%, 05/01/2043

    405,758  

Principal
Amount


       

Value


 
       

MORTGAGE BACKED SECURITIES - U.S. GOVERNMENT AGENCY (Continued)

 

  268,545    

Pool #AT5900 3.000%, 06/01/2043

  $ 247,634  
  32,829    

Series 2013-77, 1.700%, 06/25/2043

    31,413  
  165,535    

Pool #AU1625 3.500%, 07/01/2043

    157,547  
  30,312    

Series 2017-26, 3.500%, 07/25/2044

    29,570  
  190,571    

Pool #AS5469 4.000%, 07/01/2045

    185,742  
  263,336    

Pool #AZ0832 4.000%, 07/01/2045

    256,663  
  33,543    

Pool #AS5597 3.500%, 08/01/2045

    31,645  
  24,516    

Series 2016-38, 3.000%, 01/25/2046

    22,904  
  44,299    

Series 2016-11, 2.500%, 03/25/2046

    40,959  
  130,826    

Pool #AS7170 3.500%, 05/01/2046

    123,421  
  125,020    

Pool #AS7242 3.500%, 05/01/2046

    117,943  
  232,370    

Pool #BC9468 3.000%, 06/01/2046

    213,417  
  88,414    

Pool #AS7492 4.000%, 07/01/2046

    86,192  
  164,865    

Pool #AS8947 3.500%, 03/01/2047

    155,532  
  217,000    

Series 2017-16, 3.000%, 03/25/2047

    191,373  
  18,652    

Series 2017-34, 3.000%, 05/25/2047

    17,776  
  21,056    

Pool #MA3038 4.500%, 06/01/2047

    20,985  
  1,333,036    

Pool #CA0858 3.500%, 12/01/2047

    1,251,541  
  62,050    

Series 2018-23, 3.500%, 04/25/2048

    59,319  
  396,519    

Pool #BN5279 4.000%, 02/01/2049

    386,171  
  63,943    

Series 2019-07, 3.500%, 03/25/2049

    61,254  
  83,040    

Series 2019-14, 3.500%, 04/25/2049

    79,715  
  70,873    

Series 2019-45, 3.000%, 08/25/2049

    65,318  
  1,413,000    

Pool #TBA 2.500%, 09/25/2049 (h)

    1,217,912  
  1,150,000    

Pool #TBA 2.000%, 09/25/2050 (h)

    949,807  
  2,077,843    

Pool #MA4307 3.000%, 04/01/2051

    1,871,143  
  1,929,399    

Pool #FM7678 2.500%, 06/01/2051

    1,675,275  
  361,676    

Pool #BT7155 2.000%, 08/01/2051

    299,794  
  1,944,079    

Pool #FS1108 2.500%, 09/01/2051

    1,685,522  
  1,957,332    

Pool #FM9491 2.500%, 11/01/2051

    1,690,567  
  430,716    

Pool #FS1069 2.000%, 12/01/2051

    356,869  
  787,326    

Pool #BV1380 2.000%, 01/01/2052

    652,004  
  246,022    

Pool #BT2317 2.000%, 03/01/2052

    203,582  
  877,701    

Pool #BV2993 2.000%, 04/01/2052

    726,834  
  145,176    

Pool #FS1598 2.000%, 04/01/2052

    120,150  
  2,370,286    

Pool #MA4577 2.000%, 04/01/2052

    1,961,401  
  176,823    

Pool #BV9804 2.000%, 05/01/2052

    146,391  
  35,590    

Series 2017-35, 3.500%, 04/25/2053

    34,764  
  37,414    

Series 2017-84, 3.500%, 04/25/2053

    36,390  
  34,313    

Series 2017-49, 4.000%, 07/25/2053

    33,877  
  46,793    

Series 2018-70, 3.500%, 10/25/2056

    45,342  
  75,386    

Series 2019-12, 3.500%, 11/25/2057

    72,212  
  198,758    

Series 2020-1, 3.500%, 08/25/2058

    190,742  
       

Government National Mortgage Association

       
  5,572    

Pool #TBA 5.000%, 04/15/2033 (h)

    5,680  
  10,925    

Pool #TBA 5.000%, 02/15/2039 (h)

    11,232  
  282,132    

Pool #TBA 5.000%, 10/15/2039 (h)

    290,872  
  21,466    

Series 2015-56, 1.500%, 04/16/2040

    21,043  
  106,843    

Pool #TBA 3.500%, 09/15/2041 (h)

    103,766  
  33,815    

Series 2013-37, 2.000%, 01/20/2042

    31,971  
  2,250,000    

Pool #TBA 4.000%, 04/15/2042 (h)

    2,163,516  
  2,500,000    

Pool #TBA 3.000%, 04/15/2045 (h)

    2,274,389  
  1,250,000    

Pool #TBA 3.500%, 04/15/2045 (h)

    1,169,824  
  7,278    

Series 2015-151, 1.700%, 10/20/2045

    7,200  
  22,966    

Pool #TBA 4.000%, 07/20/2047 (h)

    22,414  
  65,208    

Pool #TBA 4.000%, 08/20/2047 (h)

    61,933  
  121,732    

Pool #TBA 3.500%, 10/20/2047 (h)

    115,593  
  85,618    

Pool #TBA 4.000%, 10/20/2047 (h)

    83,559  
  98,903    

Pool #TBA 4.500%, 10/20/2047 (h)

    98,884  
 

 

See notes to financial statements.

 

83


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Principal
Amount


       

Value


 
       

MORTGAGE BACKED SECURITIES - U.S. GOVERNMENT AGENCY (Continued)

 

  2,100,000    

Pool #TBA 2.500%, 04/15/2050 (h)

  $ 1,848,123  
  2,700,000    

Pool #TBA 2.000%, 04/15/2051 (h)

    2,289,887  
           


       

Total Mortgage Backed Securities - U.S. Government Agency
(Cost $65,491,303)

    64,236,122  
           


       

MUNICIPAL DEBT OBLIGATIONS - 1.87%

 

       

California, GO,

       
  30,000    

7.550%, 04/01/2039

    38,917  
  60,000    

7.300%, 10/01/2039

    74,588  
  105,000    

Chicago Transit Authority Sales & Transfer Tax Receipts, Series B, Revenue Bond,
Series B, 6.899%, 12/01/2040

    121,453  
  20,000    

Chicago Transit Authority Sales Tax Receipts Fund
3.912%, 12/01/2040

    17,535  
  270,000    

Commonwealth of Massachusetts
4.110%, 07/15/2031

    267,359  
       

County of Riverside CA

       
  345,000    

2.963%, 02/15/2027

    324,042  
  345,000    

3.070%, 02/15/2028

    320,632  
  155,000    

Dallas Fort Worth International Airport
Series A, 4.507%, 11/01/2051

    143,655  
  125,000    

District of Columbia
3.432%, 04/01/2042

    102,416  
       

Metropolitan Transportation Authority

       
  255,000    

5.175%, 11/15/2049

    232,624  
  100,000    

5.000%, 11/15/2050

    103,133  
  60,000    

New York State Thruway Authority - Class M
2.900%, 01/01/2035

    50,918  
  300,000    

New York Transportation Development Corp.
4.248%, 09/01/2035

    294,169  
  355,000    

Philadelphia Authority for Industrial Development
6.550%, 10/15/2028

    379,974  
  215,000    

Port Authority of New York & New Jersey
1.086%, 07/01/2023

    212,935  
  250,000    

State Board of Administration Finance Corp.
1.258%, 07/01/2025

    232,554  
  225,000    

Texas Natural Gas Securitization Finance Corp.
5.102%, 04/01/2035

    231,367  
  35,000    

University of California Medical Center, Series H Revenue Bond,
6.548%, 05/15/2048

    41,150  
           


       

Total Municipal Debt Obligations
(Cost $3,393,393)

    3,189,421  
           


       

U.S. TREASURY OBLIGATIONS - 24.06%

 

       

U.S. Treasury Bonds - 14.42%

 

  1,651,876    

0.750%, 07/15/2028 (f)

    1,620,078  
  1,555,541    

0.250%, 07/15/2029 (f)

    1,474,289  
  105,017    

0.125%, 07/15/2030 (f)

    97,749  
  2,234,657    

1.125%, 01/15/2033 (f)

    2,229,646  
  2,190,000    

3.375%, 08/15/2042

    2,054,323  
  2,820,000    

3.125%, 02/15/2043

    2,533,043  
  1,225,000    

3.875%, 02/15/2043

    1,234,092  
  795,000    

3.750%, 11/15/2043

    784,255  
  2,220,000    

3.125%, 08/15/2044

    1,977,968  
  240,000    

3.000%, 11/15/2045

    208,444  
  950,000    

2.500%, 02/15/2046

    753,135  
  2,510,000    

3.000%, 02/15/2047

    2,179,190  
  1,050,000    

2.750%, 11/15/2047

    871,213  

Principal
Amount


       

Value


 
       

U.S. Treasury Bonds (Continued)

 

  500,000    

3.000%, 02/15/2048

  $ 434,941  
  940,000    

3.125%, 05/15/2048

    836,710  
  320,007    

0.250%, 02/15/2050 (f)

    232,488  
  2,996,000    

1.250%, 05/15/2050

    1,734,988  
  390,000    

1.375%, 08/15/2050

    233,375  
  1,020,000    

1.625%, 11/15/2050

    651,684  
  300,916    

0.125%, 02/15/2052 (f)

    209,288  
  1,660,000    

3.000%, 08/15/2052

    1,452,241  
  710,000    

4.000%, 11/15/2052

    750,603  
           


              24,553,743  
           


       

U.S. Treasury Notes - 9.64%

       
  4,340,000    

2.000%, 11/15/2026 (i)

    4,079,854  
  1,605,000    

1.500%, 11/30/2028

    1,430,864  
  5,260,000    

1.875%, 02/28/2029

    4,775,608  
  1,445,000    

3.250%, 06/30/2029

    1,415,761  
  708,000    

1.625%, 08/15/2029

    631,088  
  1,030,000    

1.375%, 11/15/2031

    868,821  
  1,075,000    

2.875%, 05/15/2032

    1,022,300  
  2,320,000    

2.750%, 08/15/2032

    2,181,706  
           


              16,406,002  
           


       

Total U.S. Treasury Obligations
(Cost $46,350,405)

    40,959,745  
           


Number of
Shares


           
       

SHORT TERM INVESTMENTS - 6.28%

 

       

Money Market Funds - 6.28%

 

  10,700,062    

JPMorgan US Government Money Market Fund
Effective Yield, 4.73% (d)

    10,700,062  
           


       

Total Short Term Investments
(Cost $10,700,062)

    10,700,062  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 0.99%

 

  1,689,338    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (d)

    1,689,338  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $1,689,338)

    1,689,338  
           


       

Total Investments
(Cost $219,241,024) - 120.54%

    205,213,341  
       

Liabilities in Excess of
Other Assets - (20.54)%

    (34,965,713
           


       

TOTAL NET ASSETS - 100.00%

  $ 170,247,628  
           


Percentages are stated as a percent of net assets.

Principal amounts are denominated in the currency in which the security was purchased.

(a)   Variable rate security based on a reference index and spread. Certain securities are fixed to variable and currently in the fixed phase. The rate reported is the rate in effect as of March 31, 2023.
(b)   Variable rate security. The coupon is based on an underlying pool of assets. The rate reported is the rate in effect as of March 31, 2023.
(c)   Securities were purchased exempt from registration in the U.S. pursuant to Rule 144A of the Securities Act of 1933 (the “Act”) or were acquired in a private placement, and, unless registered under the Act, may only be sold to “qualified institutional buyers” (as defined in the Act) or pursuant to another

 

 

See notes to financial statements.

 

84


GuideMark Core Fixed Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

  exemption from registration. The value of these securities total $44,348,180, which represents 26.05% of total net assets.
(d)   Seven-Day yield as of March 31, 2023.
(e)   All or portion of this security is on loan.
(f)   Represents a U.S. Treasury Inflation Protected Security.
(g)   These securities have been deemed illiquid pursuant to the Fund’s liquidity guidelines. The value of these securities total $1,039,759, which represents 0.61% of total net assets.
(h)   Security purchased on a when-issued basis. On March 31, 2023, the total value of investments purchased on a when-issued basis was $36,134,560 or 21.22% of total net assets.
(i)   All or a portion of this security is held as collateral for certain swap, options written and futures contracts. The approximate value of the portion of this security held as collateral is $1,205,483.
(j)   Represents an interest-only security that entitles holders to receive only interest payments on the underlying mortgages. The yield-to-maturity of an
  interest-only security is extremely sensitive to the rate of principal payments on the underlying mortgage assets. A rapid (slow) rate of principal repayments may have an adverse (positive) effect on yield to maturity. The principal amount shown is the underlying mortgages. Interest rate disclosed represents yield upon the estimated timing and amount of future cash flows at March 31, 2023. These securities are considered liquid pursuant to the Fund’s liquidity guidelines and the value of these securities total $1,292,058, which represents 0.76% of total net assets.
(k)   Step-up bond; the interest rate shown is the rate in effect as of March 31, 2023.

Glossary of Terms

LIBOR   -   London Interbank Offered Rate
CMT   -   Constant Maturing Treasury Rate
SOFR   -   Secured Overnight Financing Rate
TSFR   -   Term Secured Overnight Financing Rate
 

 

See notes to financial statements.

 

85


GuideMark Core Fixed Income Fund

SCHEDULE OF OPEN FUTURES CONTRACTS

March 31, 2023


 

Description


    

Number  of
Contracts
Purchased/(Sold)


       Long/Short

       Notional
Value


       Settlement
Month


       Unrealized
Appreciation
(Depreciation)


 

U.S. Treasury 2 Year Bond Future

       129          Long        $ 26,632,453          Jun-23        $ 196,794  

U.S. Treasury 5 Year Bond Future

       41          Long          4,489,820          Jun-23          3,791  

U.S. Treasury 10 Year Note Future

       (43        Short          (4,941,641        Jun-23          (86,403

U.S. Treasury Long Bond Future

       (33        Short          (4,328,156        Jun-23          (181,204

U.S. Treasury Ultra Long Bond Future

       (5        Short          (705,625        Jun-23          (4,291

U.S. Treasury Ultra 10 Year Note Future

       (20        Short          (2,422,813        Jun-23          (77,735
                                                  


                                                   $ (149,048
                                                  


GuideMark Core Fixed Income Fund

SCHEDULE OF OPTIONS WRITTEN

March 31, 2023


 

Notional
Amount


       

Value


 
       

Credit Default Swaptions

       
       

Call Options

       
$ 8,465,000    

U.S. Dollar - Euro
Buy Protection CDX.NA.IG.40
Reference Rate: 1.000%
Frequency: Quarterly
Counterparty: Goldman Sachs
Expiration: April 2023
Exercise Price: $85.00

  $ (5,389
       

Put Options

       
  8,465,000    

U.S. Dollar - Euro
Buy Protection CDX.NA.IG.40
Reference Rate: 1.000%
Frequency: Quarterly
Counterparty: Goldman Sachs
Expiration: April 2023
Exercise Price: $85.00

    (38,844
           


       

Total Options Written (Premiums Received $50,197)

  $ (44,233
           


GuideMark Core Fixed Income Fund

SCHEDULE OF OPEN SWAP CONTRACTS

CREDIT DEFAULT SWAPS ON CREDIT INDICES — SELL PROTECTION(1)

March 31, 2023


 

Reference Obligation


   Implied
Credit
Spread at
3/31/2023(2)


     Fixed
Pay
Rate


     Maturity
Date


  

Counterparty


   Payment
Frequency


     Notional
Amount(3)


     Fair
Value


     Upfront
Premiums
Paid
(Received)


     Unrealized
Appreciation
(Depreciation)


 

CDX-NAIGS39V1-5Y*

     72.76%        1.000%      12/20/2027    Morgan Stanley      Quarterly      $ 3,735,000      $ 43,248      $ 44,722      $ (1,474
                                                  


  


  


                                                   $ 43,248      $ 44,722      $ (1,474
                                                  


  


  


 

See notes to financial statements.

 

86


GuideMark Core Fixed Income Fund

SCHEDULE OF OPEN SWAP CONTRACTS (Continued)

INTEREST RATE SWAPS

March 31, 2023


 

Pay/Receive
Floating  Rate


  Floating Rate Index and Rate
at 03/31/2023


    Floating
Payment
Frequency


    Fixed
Pay
Rate


 

Fixed
Payment
Frequency


  Maturity
Date


    Counterparty

    Notional
Amount


    Fair
Value


    Upfront
Premiums
Paid
(Received)


    Unrealized
Appreciation
(Depreciation)


 

Receive

    USD-SOFR-COMPOUND** 4.87%       Annually     1.5600%   Annually     12/15/2051       Morgan Stanley     $ 565,000     $ 152,750     $ (3,366   $ 156,117  

Receive

    USD-SOFR-COMPOUND** 4.87%       Annually     2.9700%   Annually     3/15/2053       Morgan Stanley       1,395,000       (1,778     4,501       (6,279

Receive

    USD-SOFR-COMPOUND** 4.87%       Annually     2.8800%   Annually     3/15/2053       Morgan Stanley       310,000       5,034       3,623       1,410  
                                                   


 


 


                                                    $ 156,006     $ 4,758     $ 151,248  
                                                   


 


 


 

1)   If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced index or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced index.
2)   Implied credit spreads, represented in absolute terms, utilized in determining the fair value of credit default swap agreements on U.S. municipal issues, corporate issues or sovereign issues of an emerging country as of year end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as “Defaulted” indicates a credit event has occurred for the referenced entity or obligation.
3)   The maximum potential amount the Fund could be required to pay as seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement.
*   Centrally cleared swap, clearing agent: ICE
**   Centrally cleared swap, clearing agent: LCH Group

 

See notes to financial statements.

 

87


GuidePath Growth Allocation Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 98.97%

 

       

Domestic Equity Funds - 72.68%

 

  1,410,197    

AMCAP Fund - Class F3

  $ 47,171,106  
  737,949    

American Funds - Fundamental Investors - Class F3

    46,933,562  
  488,019    

American Funds - New Economy Fund - Class F3

    23,478,591  
  450,338    

American Funds - New Perspective Fund - Class F3

    23,498,650  
  577,843    

American Funds - SMALLCAP World Fund, Inc. - Class F3

    35,271,550  
  1,071,660    

American Funds - The Growth Fund of America - Class F3

    58,984,146  
  22,197    

Invesco QQQ Trust Series 1 (a)

    7,123,683  
  437,611    

iShares Core S&P Small-Cap ETF

    42,316,984  
  965,768    

Schwab U.S. Large-Cap ETF (a)

    46,714,198  
  906,958    

Schwab U.S. Large-Cap Growth ETF (a)

    59,106,453  
  436,191    

SPDR S&P 600 Small Cap Growth ETF

    32,169,086  
  751,036    

Vanguard Russell 1000 Growth ETF (a)

    47,232,654  
  106,875    

Vanguard Russell 2000 Growth ETF

    17,639,719  
  451,477    

Vanguard S&P 500 ETF (a)

    169,786,955  
  240,601    

Vanguard Value ETF

    33,229,404  
           


              690,656,741  
           


       

International Equity Funds - 23.81%

 

  1,133,120    

iShares Core MSCI Emerging Markets ETF

    55,284,925  
  36,247    

iShares Core MSCI Europe ETF

    1,898,618  
  322,097    

iShares MSCI ACWI ETF (a)

    29,362,363  
  168,438    

iShares MSCI Switzerland ETF

    7,633,610  
  276,196    

JPMorgan Beta Builders Canada ETF (a)

    16,441,948  
  161,244    

Vanguard FTSE All World ex-US Small-Cap ETF (a)

    17,614,294  
  2,169,374    

Vanguard FTSE Developed Markets ETF (a)

    97,990,624  
           


              226,226,382  
           


Number of
Shares


       

Value


 
       

Real Estate Funds - 2.48%

 

  199,974    

Vanguard Global ex-U.S. Real Estate ETF

  $ 8,112,945  
  185,767    

Vanguard Real Estate ETF (a)

    15,426,092  
           


              23,539,037  
           


       

Total Investment Companies
(Cost $695,329,845)

    940,422,160  
           


       

SHORT TERM INVESTMENTS - 1.47%

 

       

Money Market Funds -1.47%

 

  13,967,727    

JPMorgan U.S. Government Money Market Fund
Effective Yield, 4.73% (b)

    13,967,727  
           


       

Total Short Term Investments
(Cost $13,967,727)

    13,967,727  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 15.83%

 

  150,405,813    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (b)

    150,405,813  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $150,405,813)

    150,405,813  
           


       

Total Investments
(Cost $859,703,385) - 116.27%

    1,104,795,700  
       

Liabilities in Excess of
Other Assets - (16.27)%

    (154,609,942
           


       

TOTAL NET ASSETS - 100.00%

  $ 950,185,758  
           


Percentages are stated as a percent of net assets.

(a)   All or portion of this security is on loan.
(b)   Seven-day yield as of March 31, 2023.
 

 

See notes to financial statements.

 

88


GuidePath Conservative Allocation Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 98.90%

 

       

Alternative Funds - 1.54%

 

  168,741    

SPDR Gold MiniShares Trust (a)(b)

  $ 6,599,460  
           


       

Domestic Equity Funds - 23.21%

 

  218,744    

American Funds - Mutual Fund - Class F3

    10,615,670  
  203,544    

American Funds - Washington Mutual Investors Fund - Class F3

    10,645,342  
  149,814    

iShares Core S&P Small-Cap ETF

    14,487,014  
  186,562    

iShares Edge MSCI Min Vol USA ETF (a)

    13,570,520  
  100,544    

Vanguard High Dividend Yield ETF

    10,607,392  
  58,137    

Vanguard S&P 500 ETF (a)

    21,863,582  
  127,496    

Vanguard Value ETF (a)

    17,608,472  
           


              99,397,992  
           


       

Domestic Fixed Income Funds - 45.99%

 

  1,152,397    

American Funds - High-Income Trust - Class F3

    10,579,006  
  1,867,519    

American Funds - Multi-Sector Income Fund - Class F3

    16,975,752  
  1,452,033    

American Funds - The Bond Fund of America - Class F3

    16,858,105  
  119,621    

iShares 7-10 Year Treasury Bond ETF (a)

    11,856,833  
  259,694    

iShares Broad USD High Yield Corporate Bond ETF (a)

    9,232,122  
  104,685    

iShares Broad USD Investment Grade Corporate Bond ETF (a)

    5,303,342  
  169,024    

iShares Core U.S. Aggregate Bond ETF

    16,841,551  
  26,744    

iShares iBoxx High Yield Corporate Bond ETF (a)

    2,020,509  
  50,789    

iShares 10+ Year Investment Grade Corporate Bond ETF (a)

    2,660,836  
  48,029    

iShares TIPS Bond ETF (a)

    5,295,197  
  39,844    

SPDR Portfolio Short Term Treasury ETF

    1,164,640  
  6,909,784    

Vanguard High-Yield Corporate Fund - Admiral Shares

    36,207,271  
  63,235    

Vanguard Intermediate-Term Corporate Bond ETF (a)

    5,072,712  
  191,066    

Vanguard Long-Term Treasury ETF

    12,516,734  
  125,365    

Vanguard Mortgage-Backed Securities ETF

    5,835,741  
  22,008    

Vanguard Short-Term Corporate Bond ETF (a)

    1,677,670  
  17,292    

Vanguard Total Bond Market ETF

    1,276,668  
  708,550    

WisdomTree Floating Rate Treasury Fund

    35,618,808  
           


              196,993,497  
           


       

Hybrid Funds - 18.12%

 

  315,136    

American Funds - Capital Income Builder - Class F3

    20,102,530  
  889,756    

American Funds - The Income Fund of America - Class F3

    20,126,278  
  317,654    

iShares Core Aggressive Allocation ETF

    20,199,618  
  343,429    

iShares Core Growth Allocation ETF

    17,181,753  
           


              77,610,179  
           


Number of
Shares


       

Value


 
       

International Equity Funds - 7.80%

 

  121,542    

iShares Core MSCI Emerging Markets ETF (a)

  $ 5,930,034  
  57,976    

iShares Core MSCI Europe ETF (a)

    3,036,783  
  50,113    

iShares MSCI EAFE Min Vol Factor ETF

    3,390,144  
  92,093    

iShares MSCI Switzerland ETF

    4,173,655  
  50,924    

JPMorgan Beta Builders Canada ETF (a)

    3,031,506  
  307,013    

Vanguard FTSE Developed Markets ETF (a)

    13,867,777  
           


              33,429,899  
           


       

International Fixed Income Funds - 1.18%

 

  26,566    

iShares J.P. Morgan USD Emerging Markets Bond ETF

    2,292,114  
  47,730    

SPDR Bloomberg International Treasury Bond ETF

    1,103,518  
  34,193    

Vanguard Total International Bond ETF (a)

    1,672,722  
           


              5,068,354  
           


       

Real Estate Funds - 1.06%

 

  26,905    

Vanguard Global ex-U.S. Real Estate ETF

    1,091,536  
  41,356    

Vanguard Real Estate ETF (a)

    3,434,202  
           


              4,525,738  
           


       

Total Investment Companies
(Cost $396,956,094)

    423,625,119  
           


       

SHORT TERM INVESTMENTS - 0.00% (d)

 

       

Money Market Funds - 0.00%

 

  718    

JPMorgan U.S. Government Money Market Fund
Effective Yield, 4.73%, (c)

    718  
           


       

Total Short Term Investments
(Cost $718)

    718  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 14.57%

 

  62,421,423    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (c)

    62,421,423  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $62,421,423)

    62,421,423  
           


       

Total Investments
(Cost $459,378,235) - 113.47%

    486,047,260  
       

Liabilities in Excess of
Other Assets - (13.47)%

    (57,708,814
           


       

TOTAL NET ASSETS - 100.00%

  $ 428,338,446  
           


Percentages are stated as a percent of net assets.

(a)   All or portion of this security is on loan.
(b)   Non-income producing security.
(c)   Seven-day yield as of March 31, 2023.
(d)   Less than 0.01%.
 

 

See notes to financial statements.

 

89


GuidePath Tactical Allocation Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS - 70.21%

 

       

Air Freight & Logistics - 2.91%

 

  132,381    

Expeditors International of Washington, Inc. (a)

  $ 14,577,796  
           


       

Biotechnology - 7.21%

 

  15,327    

Regeneron Pharmaceuticals, Inc. (b)

    12,593,736  
  49,164    

United Therapeutics Corp. (b)

    11,010,769  
  39,754    

Vertex Pharmaceuticals, Inc. (b)

    12,525,293  
           


              36,129,798  
           


       

Building Products - 3.19%

 

  180,401    

Builders FirstSource, Inc. (b)

    16,016,001  
           


       

Chemicals - 1.69%

 

  153,054    

Olin Corp.

    8,494,497  
           


       

Electric Utilities - 4.65%

 

  409,160    

NRG Energy, Inc. (a)

    14,030,097  
  247,043    

OGE Energy Corp. (a)

    9,303,639  
           


              23,333,736  
           


       

Food Products - 2.58%

 

  162,683    

Archer-Daniels-Midland Co. (a)

    12,959,328  
           


       

Health Care Equipment & Supplies - 2.43%

 

  48,381    

Danaher Corp. (a)

    12,193,947  
           


       

Health Care Providers & Services - 4.26%

 

  109,741    

CVS Health Corp.

    8,154,854  
  57,544    

Laboratory Corp of America Holdings

    13,201,744  
           


              21,356,598  
           


       

Household Products - 3.22%

 

  108,634    

Procter & Gamble Co.

    16,152,789  
           


       

Insurance - 8.00%

 

  219,423    

Aflac, Inc.

    14,157,172  
  221,946    

Hartford Financial Services Group, Inc.

    15,467,416  
  265,155    

Unum Group

    10,489,532  
           


              40,114,120  
           


       

Interactive Media & Services - 0.97%

 

  46,948    

Alphabet, Inc. - Class A (b)

    4,869,916  
           


       

Machinery - 2.43%

 

  49,279    

Snap-on, Inc. (a)

    12,166,492  
           


       

Media - 2.88%

 

  53,229    

Nexstar Media Group, Inc. (a)

    9,190,519  
  310,568    

TEGNA, Inc.

    5,251,705  
           


              14,442,224  
           


       

Metals & Mining - 2.48%

 

  109,803    

Steel Dynamics, Inc. (a)

    12,414,327  
           


       

Multi-Utilities - 1.79%

 

  93,797    

Consolidated Edison, Inc. (a)

    8,973,559  
           


       

Oil, Gas & Consumable Fuels - 2.15%

 

  50,508    

Devon Energy Corp. (a)

    2,556,210  
  190,094    

PBF Energy, Inc.

    8,242,476  
           


              10,798,686  
           


Number of
Shares


       

Value


 
       

Pharmaceuticals - 2.65%

 

  325,955    

Pfizer, Inc.

  $ 13,298,964  
           


       

Professional Services - 2.02%

 

  125,954    

Robert Half International, Inc. (a)

    10,148,114  
           


       

Road & Rail - 2.90%

 

  256,607    

Knight-Swift Transportation Holdings, Inc. - Class A (a)

    14,518,824  
           


       

Semiconductors & Semiconductor Equipment - 2.59%

 

  157,919    

ON Semiconductor Corp. (a)(b)

    12,999,892  
           


       

Software - 3.56%

 

  61,939    

Microsoft Corp.

    17,857,014  
           


       

Technology Hardware, Storage & Peripherals - 3.65%

 

  110,855    

Apple, Inc.

    18,279,990  
           


       

Total Common Stocks
(Cost $319,864,953)

    352,096,612  
           


       

SHORT TERM INVESTMENTS - 29.31%

 

       

Money Market Funds - 29.31%

 

  147,014,890    

JPMorgan U.S. Government Money Market Fund
Effective Yield, 4.73%, (c)(d)

    147,014,890  
           


       

Total Short Term Investments
(Cost $147,014,890)

    147,014,890  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 20.84%

 

  104,514,306    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (c)

    104,514,306  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $104,514,306)

    104,514,306  
           


       

Total Investments
(Cost $571,394,149) - 120.36%

    603,625,808  
       

Liabilities in Excess of
Other Assets - (20.36)%

    (102,111,211
           


       

TOTAL NET ASSETS - 100.00%

  $ 501,514,597  
           


Percentages are stated as a percent of net assets.

(a)   All or portion of this security is on loan.
(b)   Non-income producing security.
(c)   Seven-day yield as of March 31, 2023.
(d)   Fair value of this security exceeds 25% of the Fund’s net assets. Additional information for this security, including financial statements, is available from the SEC’s EDGAR database at www.sec.gov.
 

 

See notes to financial statements.

 

90


GuidePath Absolute Return Allocation Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 99.01%

 

       

Alternative Funds - 4.96%

 

  2,646    

Invesco DB Agriculture Fund

  $ 54,058  
  2,611    

Invesco DB Energy Fund (a)

    53,641  
  466    

Invesco DB Precious Metals Fund

    23,784  
  153,084    

ProShares Investment Grade-Interest Rate Hedged ETF

    10,996,024  
           


              11,127,507  
           


       

Domestic Equity Funds - 0.27%

 

  1,593    

Vanguard S&P 500 ETF

    599,079  
           


       

Domestic Fixed Income Funds - 83.10%

 

  1,805,813    

BlackRock Low Duration Bond Portfolio - Institutional Shares

    16,162,029  
  498,943    

DoubleLine Core Fixed Income Fund - Institutional Shares

    4,695,056  
  851,019    

DoubleLine Flexible Income Fund - Institutional Shares

    7,165,576  
  1,697,300    

DoubleLine Low Duration Bond Fund - Institutional Shares

    16,056,458  
  477,317    

DoubleLine Shiller Enhanced CAPE - Institutional Shares

    6,042,838  
  2,572,622    

DoubleLine Total Return Bond Fund - Institutional Shares

    23,076,420  
  115,421    

iShares 7-10 Year Treasury Bond ETF (a)

    11,440,530  
  45,719    

Schwab Short-Term U.S. Treasury ETF (a)

    2,230,630  
  2,376    

SPDR Bloomberg 1-3 Month T-Bill ETF

    218,164  
  1,190,902    

T. Rowe Price Institutional Floating Rate Fund - Investor Shares

    11,039,661  
  5,400,521    

Vanguard High-Yield Corporate Fund - Admiral Shares

    28,298,731  
  155,701    

Vanguard Intermediate-Term Corporate Bond ETF (a)

    12,490,334  
  53,226    

Vanguard Long-Term Treasury ETF (a)

    3,486,835  
  614,966    

Vanguard Mortgage-Backed Securities ETF (a)

    28,626,667  
  109,629    

Vanguard Short-Term Corporate Bond ETF (a)

    8,357,019  
  94,438    

Vanguard Total Bond Market ETF

    6,972,358  
           


              186,359,306  
           


Number of
Shares


       

Value


 
       

International Equity Funds - 0.14%

 

  1,820    

iShares Core MSCI Emerging Markets ETF (a)

  $ 88,798  
  5,139    

Vanguard FTSE Developed Markets ETF (a)

    232,128  
           


              320,926  
           


       

International Fixed Income Funds - 7.33%

 

  263,754    

Vanguard Emerging Markets Government Bond ETF

    16,434,512  
           


       

Opportunistic Fixed Income Funds - 3.21%

 

  777,369    

BlackRock Strategic Income Opportunities Portfolio - Institutional Shares

    7,190,660  
           


       

Total Investment Companies
(Cost $222,140,685)

    222,031,990  
           


       

SHORT TERM INVESTMENTS - 0.96%

 

       

Money Market Funds - 0.96%

 

  2,162,658    

JPMorgan U.S. Government Money Market Fund
Effective Yield, 4.73%, (b)

    2,162,658  
           


       

Total Short Term Investments
(Cost $2,162,658)

    2,162,658  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 11.20%

 

  25,105,887    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (b)

    25,105,887  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $25,105,887)

    25,105,887  
           


       

Total Investments
(Cost $249,409,230) - 111.17%

    249,300,535  
       

Liabilities in Excess of
Other Assets - (11.17)%

    (25,047,024
           


       

TOTAL NET ASSETS - 100.00%

  $ 224,253,511  
           


Percentages are stated as a percent of net assets.

(a)   All or portion of this security is on loan.
(b)   Seven-day yield as of March 31, 2023.
 

 

See notes to financial statements.

 

91


GuidePath Multi-Asset Income Allocation Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 98.95%

 

       

Domestic Equity Funds - 32.77%

 

  32,041    

BlackRock High Equity Income Fund - Institutional Shares

  $ 868,626  
  229,443    

Global X US Preferred ETF (a)

    4,556,738  
  33,704    

iShares Select Dividend ETF (a)

    3,949,435  
  67,282    

Schwab US Dividend Equity ETF

    4,922,350  
  88,474    

SPDR Portfolio S&P 500 High Dividend ETF (a)

    3,362,012  
  46,938    

Vanguard High Dividend Yield ETF (a)

    4,951,958  
  1,436    

Vanguard S&P 500 ETF

    540,037  
  65,325    

WisdomTree U.S. SmallCap Dividend Fund (a)

    1,865,682  
  66,337    

WisdomTree US LargeCap Dividend Fund

    4,103,607  
           


              29,120,445  
           


       

Domestic Fixed Income Funds - 39.03%

 

  112,764    

iShares 0-5 Year High Yield Corporate Bond ETF

    4,700,003  
  12,391    

iShares 7-10 Year Treasury Bond ETF (a)

    1,228,196  
  47,946    

iShares Broad USD Investment Grade Corporate Bond ETF (a)

    2,428,944  
  40,067    

iShares Convertible Bond ETF

    2,909,666  
  8,810    

iShares iBoxx $Investment Grade Corporate Bond ETF (a)

    965,664  
  12,056    

Schwab U.S. TIPS ETF

    646,322  
  14,244    

SPDR Portfolio Aggregate Bond ETF (a)

    367,353  
  51,140    

SPDR Portfolio Long Term Corporate Bond ETF

    1,207,927  
  35,116    

SPDR Portfolio Short Term Treasury ETF

    1,026,441  
  254,161    

T. Rowe Price Institutional Floating Rate Fund - Investor Shares

    2,356,077  
  1,914,317    

Vanguard High-Yield Corporate Fund - Admiral Shares

    10,031,022  
  8,862    

Vanguard Intermediate-Term Treasury ETF (a)

    531,366  
  34,234    

Vanguard Long-Term Treasury ETF (a)

    2,242,669  
  12,961    

Vanguard Mortgage-Backed Securities ETF

    603,335  
  68,528    

WisdomTree Floating Rate Treasury Fund (a)

    3,444,903  
           


              34,689,888  
           


       

International Equity Funds - 16.50%

 

  218,789    

iShares Emerging Markets Dividend ETF

    5,369,082  
  14,757    

iShares International Dividend Growth ETF (a)

    894,569  
  151,656    

iShares International Select Dividend ETF (a)

    4,169,023  
  29,511    

SPDR S&P Global Dividend ETF

    1,740,098  
  72,684    

SPDR S&P International Dividend ETF

    2,491,608  
           


              14,664,380  
           


Number of
Shares


       

Value


 
       

International Fixed Income Funds - 1.96%

 

  27,893    

Vanguard Emerging Markets Government Bond ETF

  $ 1,738,013  
           


       

Multi-Asset Funds - 5.13%

 

  213,892    

Loomis Sayles Global Allocation Fund - Class Y

    4,562,319  
           


       

Opportunistic Fixed Income Funds - 0.66%

 

  63,716    

BlackRock Strategic Income Opportunities Portfolio - Institutional Shares

    589,374  
           


       

Real Estate Funds - 2.90%

 

  31,039    

Vanguard Real Estate ETF (a)

    2,577,479  
           


       

Total Investment Companies
(Cost $81,096,214)

    87,941,898  
           


       

SHORT TERM INVESTMENTS - 1.04%

 

       

Money Market Funds - 1.04%

 

  922,727    

JPMorgan U.S. Government Money Market Fund
Effective Yield 4.73%, (b)

    922,727  
           


       

Total Money Market Funds
(Cost $922,727)

    922,727  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 21.25%

 

  18,881,022    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93%, (b)

    18,881,022  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $18,881,022)

    18,881,022  
           


       

Total Investments
(Cost $100,899,963) - 121.24%

    107,745,647  
       

Liabilities in Excess of
Other Assets - (21.24)%

    (18,873,418
           


       

TOTAL NET ASSETS - 100.00%

  $ 88,872,229  
           


Percentages are stated as a percent of net assets.

(a)   All or portion of this security is on loan.
(b)   Seven-day yield as of March 31, 2022.
 

 

See notes to financial statements.

 

92


GuidePath Flexible Income Allocation Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 98.13%

 

       

Alternative Funds - 3.28%

 

  370,869    

WisdomTree Bloomberg U.S. Dollar Bullish Fund

  $ 9,668,555  
           


       

Domestic Equity Funds - 3.41%

 

  143,016    

iShares U.S. Home Construction ETF (a)

    10,052,595  
           


       

Domestic Fixed Income Funds - 83.20%

 

  234,565    

iShares 7-10 Year Treasury Bond ETF

    23,250,083  
  89,612    

iShares Agency Bond ETF (a)

    9,698,707  
  137,110    

iShares iBoxx $ Investment Grade Corporate Bond ETF (a)

    15,028,627  
  460,084    

Schwab Intermediate-Term U.S. Treasury ETF

    23,202,036  
  801,324    

SPDR Portfolio Intermediate Term Treasury ETF

    23,190,316  
  377,514    

SPDR Portfolio Aggregate Bond ETF (a)

    9,736,086  
  299,932    

SPDR Portfolio Intermediate Term Corporate Bond ETF (a)

    9,744,791  
    1,466,296    

SPDR Portfolio Short Term Treasury ETF

    42,859,832  
  121,728    

Vanguard Intermediate-Term Corporate Bond ETF (a)

    9,765,020  
  280,524    

Vanguard Intermediate-Term Treasury ETF (a)

    16,820,219  
  726,068    

Vanguard Long-Term Treasury ETF (a)

    47,564,715  
  84,444    

Vanguard Short-Term Treasury ETF

    4,943,352  
  132,028    

Vanguard Total Bond Market ETF

    9,747,627  
           


              245,551,411  
           


       

Emerging Markets Fixed Income Funds - 4.85%

 

  229,535    

Vanguard Emerging Markets Government Bond ETF

    14,302,326  
           


       

International Developed Equity Funds - 3.39%

 

  114,135    

iShares MSCI Kokusai ETF (a)(b)

    10,010,370  
           


       

Total Investment Companies
(Cost $287,159,665)

    289,585,257  
           


Number of
Shares


       

Value


 
       

SHORT TERM INVESTMENTS - 1.95%

 

       

Money Market Funds - 1.95%

 

  5,769,035    

JPMorgan U.S. Government Money Market Fund
Effective Yield, 4.73% (c)

  $ 5,769,035  
           


       

Total Short Term Investments
(Cost $5,769,035)

    5,769,035  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 19.89%

 

  58,689,441    

Mount Vernon Liquid Assets Portfolio, LLC Effective Yield, 4.93% (c)

    58,689,441  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral (Cost $58,689,441)

    58,689,441  
           


       

Total Investments
(Cost $351,618,141) - 119.97%

    354,043,733  
       

Liabilities in Excess of
Other Assets - (19.97)%

    (58,928,441
           


       

TOTAL NET ASSETS - 100.00%

  $ 295,115,292  
           


 

Percentages   are stated as a percent of net assets.
(a)   All or portion of this security is on loan.
(b)   Affiliated company as defined by the Investment Company Act of 1940. Please refer to Note 8 for further disclosures related to this affiliated security.
(c)   Seven-day yield as of March 31, 2023.
 

 

See notes to financial statements.

 

93


GuidePath Managed Futures Strategy Fund

CONSOLIDATED SCHEDULE OF INVESTMENTS

March 31, 2023


 

Principal
Amount


       

Value


 
       

SHORT TERM INVESTMENTS - 97.42%

 

       

Certificate of Deposits - 52.86%

 

       

Bank of America NA

       
$ 8,000,000    

5.050%, 04/12/2023

  $ 8,000,000  
  10,000,000    

5.200%, 10/10/2023

    9,985,608  
       

Bank of Montreal

       
  7,000,000    

3.600%, 06/23/2023

    6,975,079  
  5,000,000    

5.000%, 10/06/2023

    4,988,839  
       

Bank of Nova Scotia

       
  4,000,000    

4.990% (SOFR + 0.680%), 08/16/2023 (a)

    4,005,727  
  10,000,000    

5.010% (SOFR + 0.700%), 08/17/2023 (a)

    10,015,106  
  5,000,000    

4.730% (SOFR + 0.420%), 01/26/2024 (a)

    4,995,604  
       

CIBC

       
  6,000,000    

3.590%, 06/26/2023

    5,977,153  
  5,000,000    

5.200%, 09/21/2023

    4,994,718  
  5,000,000    

5.600%, 03/06/2024

    5,006,389  
       

Commonwealth Bank of Australia

       
  14,000,000    

4.910% (SOFR + 0.360%), 04/20/2023 (a)

    14,000,033  
  6,500,000    

4.490% (SOFR + 0.690%), 06/05/2023 (a)

    6,506,329  
       

Cooperatieve Centrale Raiffe

       
  10,000,000    

5.020% (SOFR + 0.710%), 11/24/2023 (a)

    10,015,089  
  10,500,000    

5.300%, 12/14/2023

    10,497,672  
  15,000,000    

DNB Bank ASA
4.750%, 04/05/2023

    15,000,000  
       

Mitsubishi Trust & Banking Corp.

       
  10,000,000    

4.520%, 04/21/2023

    10,000,054  
  7,000,000    

4.520%, 04/21/2023

    7,000,038  
  3,000,000    

5.280%, 05/17/2023

    3,000,037  
       

Mizuho Bank, Ltd.

       
  10,000,000    

5.000%, 04/28/2023

    10,000,000  
  10,000,000    

5.350%, 02/07/2024

    9,994,390  
       

Nordea Bank

       
  10,000,000    

3.790% (SOFR + 0.770%), 10/23/2023 (a)

    10,018,347  
  5,000,000    

4.820% (SOFR + 0.270%), 02/16/2024 (a)

    4,986,862  
       

Royal Bank of Canada

       
  7,000,000    

3.890%, 05/08/2023

    7,000,000  
  3,000,000    

3.000%, 06/05/2023

    2,987,655  
  10,000,000    

Skandinaviska Enskilda Bank
4.820%, 05/24/2023

    10,000,000  
  10,000,000    

Sumitomo Mitsui Banking Corp.
5.090%, 08/23/2023

    9,994,497  
  15,000,000    

Sumitomo Mitsui Trust Bank, Ltd.
4.870%, 05/17/2023

    15,000,189  
       

Svenska Handelsbanken - A Shares

       
  2,000,000    

3.460%, 06/13/2023

    1,993,256  
  8,000,000    

5.100% (SOFR + 0.790%), 10/25/2023 (a)

    8,013,781  
       

Toronto Dominion Bank

       
  3,000,000    

4.020%, 08/22/2023

    2,984,033  
  15,000,000    

5.320%, 09/27/2023

    14,992,749  
       

Westpac Banking Corp.

       
  10,000,000    

4.600%, 04/11/2023

    10,000,000  
  5,000,000    

4.780% (SOFR + 0.230%), 02/22/2024 (a)

    4,988,487  
           


              263,917,721  
           


Number of
Shares


       

Value


 
       

Money Market Funds - 3.92%

 

  19,553,395    

JPMorgan US Government Money Market Fund
Effective Yield, 4.73% (b)(c)

  $ 19,553,395  
           


Principal
Amount


           
       

U.S. Treasury Bills - 40.64%

 

$ 14,000,000    

4.331%, 04/04/2023 (c)(d)

    13,995,077  
  27,000,000    

4.596%, 04/06/2023 (d)(e)

    26,981,879  
  18,000,000    

4.626%, 04/17/2023 (d)

    17,963,680  
  10,000,000    

4.156%, 04/18/2023 (d)

    9,980,757  
  13,000,000    

4.743%, 04/25/2023 (d)

    12,959,852  
  3,000,000    

4.656%, 04/27/2023 (d)

    2,990,163  
  30,000,000    

4.694%, 05/02/2023 (d)

    29,881,425  
  22,000,000    

4.722%, 05/11/2023 (c)(d)(e)

    21,887,460  
  10,000,000    

4.447%, 05/16/2023 (d)

    9,945,688  
  5,000,000    

4.756%, 06/06/2023 (d)

    4,959,698  
  28,000,000    

5.005%, 06/08/2023 (d)(e)

    27,766,227  
  12,000,000    

4.669%, 06/22/2023 (d)

    11,877,084  
  12,000,000    

4.801%, 09/21/2023 (d)

    11,733,240  
           


              202,922,230  
           


       

Total Short Term Investments
(Cost $486,451,185)

    486,393,346  
           


       

Total Investments
(Cost $486,451,185) - 171.33%

    486,393,346  
       

Liabilities in Excess of
Other Assets - 2.58%

    12,877,141  
           


       

TOTAL NET ASSETS - 100.00%

  $ 499,270,487  
           


 

Percentages   are stated as a percent of net assets.
(a)   Variable rate security based on a reference index and spread. Certain securities are fixed to variable and currently in the fixed phase. The rate reported is the rate in effect as of March 31, 2023.
(b)   Seven-day yield as of March 31, 2023.
(c)   All or a portion of this security is held by GuidePath Managed Futures Strategy Cayman Fund Ltd.
(d)   Zero coupon bond. The effective yield is listed.
(e)   All or a portion of this security is held as collateral for certain futures contracts. The approximate value of the portion of these securities held as collateral is $66,642,688.
 

 

See notes to financial statements.

 

94


GuidePath Managed Futures Strategy Fund

CONSOLIDATED SCHEDULE OF OPEN FUTURES CONTRACTS

March 31, 2023


 

Description


  

Number  of
Contracts
Purchased/(Sold)


       Long/Short

       Notional
Value


       Settlement
Month


       Value/Unrealized
Appreciation
(Depreciation)


 

90-Day Bank Bill Futures

     398          Long        $ 263,721,310          Sep-23        $ (74,484

Australian 10-Year Treasury Bond Futures

     501          Long          41,153,811          Jun-23          (125,605

Australian 3-Year Treasury Bond Futures

     1,370          Long          99,650,705          Jun-23          (211,768

Brazilian Real Futures

     144          Long          2,826,000          Apr-23          39,738  

British Pound Futures

     79          Long          6,100,281          Jun-23          (18,042

CAC40 Index Futures

     203          Long          16,146,126          Apr-23          596,724  

Canadian 10-Year Bond Futures

     137          Long          12,788,694          Jun-23          (93,608

Cocoa Futures (a)

     100          Long          2,894,000          Jul-23          23,223  

Copper Futures (a)

     37          Long          3,787,413          May-23          (11,017

DAX® Index Futures

     30          Long          12,848,939          Jun-23          467,094  

ECX Emissions Futures (a)

     33          Long          3,290,051          Dec-23          (205,002

E-mini NASDAQ 100 Futures

     62          Long          16,494,170          Jun-23          588,474  

E-mini S&P 500 Futures

     2          Long          413,775          Jun-23          4,386  

Euro Fx Futures

     152          Long          20,716,650          Jun-23          19,709  

Euro Stoxx 50® Index Futures

     497          Long          22,966,738          Jun-23          1,024,509  

Euro Stoxx 600 Futures

     185          Long          4,559,393          Jun-23          193,344  

FTSE 100 Index Futures

     125          Long          11,779,273          Jun-23          193,473  

FTSE JSE Top 40 Futures

     68          Long          2,720,535          Jun-23          42,598  

FTSE MIB Index Futures

     95          Long          13,731,563          Jun-23          413,904  

FTSE Taiwan Index Futures

     190          Long          10,548,800          Apr-23          39,228  

Gold 100 Oz. Futures (a)

     146          Long          28,998,520          Jun-23          (127,367

IBEX 35® Index Futures

     98          Long          9,770,666          Apr-23          280,563  

Live Cattle Futures (a)

     262          Long          16,990,700          Jun-23          216,971  

LME Aluminium Futures (a)(b)

     30          Long          1,807,875          Jun-23          (71,372

LME Copper Futures (a)(b)

     9          Long          2,023,313          Jun-23          (42,023

LME Nickel Futures (a)(b)

     26          Long          3,717,324          Jun-23          (789,857

LME Zinc Futures (a)(b)

     27          Long          1,974,206          Jun-23          (336,755

Mexican Peso Futures

     1,192          Long          32,583,320          Jun-23          307,081  

MSCI EAFE Index Futures

     72          Long          7,547,400          Jun-23          191,516  

MSCI Singapore Index Futures

     54          Long          1,242,674          Apr-23          5,432  

Nikkei 225 Futures

     36          Long          7,602,636          Jun-23          38,695  

OMXS30 Futures

     299          Long          6,386,051          Apr-23          213,941  

Platinum Futures (a)

     20          Long          1,003,100          Jul-23          13,741  

RBOB Gasoline Futures (a)

     15          Long          1,689,030          Apr-23          (36,591

SGX Iron Ore 62% Futures (a)

     260          Long          3,258,320          May-23          (142,229

Silver Futures (a)

     32          Long          3,864,960          May-23          11,978  

Soybean Meal Futures (a)

     223          Long          10,286,990          Jul-23          (114,123

SPI 200 Index Futures

     40          Long          4,806,818          Jun-23          94,851  

Sugar No. 11 Futures (a)

     582          Long          14,229,667          Jun-23          717,992  

Swiss Franc Futures

     49          Long          6,756,181          Jun-23          19,245  

Topix Index Futures

     94          Long          14,184,071          Jun-23          (99,724

3 Month SOFR Futures

     (332        Short          (79,177,850        Dec-23          50,330  

Australian Dollar Futures

     (631        Short          (42,283,310        Jun-23          (224,853

Bank Accept Futures

     (90        Short          (15,873,196        Sep-23          48,618  

Brent Crude Futures (a)

     (198        Short          (15,818,220        Apr-23          (1,213,791

Canadian Dollar Futures

     (610        Short          (45,133,900        Jun-23          (481,527

Coffee ‘C’ Futures (a)

     (40        Short          (2,545,500        Jul-23          149  

Corn Futures (a)

     (423        Short          (13,451,400        Jul-23          (473,227

Cotton No. 2 Futures (a)

     (112        Short          (4,635,680        May-23          45,538  

DJIA E-Mini CBOT Futures

     (32        Short          (5,353,600        Jun-23          (166,549

E-mini Russell 2000 Futures

     (160        Short          (14,508,000        Jun-23          (489,132

E-mini S&P Mid Cap 400 Futures

     (17        Short          (4,300,490        Jun-23          (238,093

Euribor 3 Month Futures

     (801        Short          (209,321,276        Sep-23          126,365  

Euro-Bobl Futures

     (308        Short          (39,375,152        Jun-23          (789,954

Euro-BTP Futures

     (8        Short          (1,000,781        Jun-23          (38,464

Euro-BTP Futures - Short

     (189        Short          (21,597,833        Jun-23          (273,461

Euro-Bund Futures

     (140        Short          (20,624,675        Jun-23          (642,370

Euro-Buxl® 30 Year Futures

     (60        Short          (9,165,799        Jun-23          (453,597

Euro-OAT Futures

     (209        Short          (29,518,122        Jun-23          (905,261

Euro-Schatz Futures

     (1,047        Short          (120,014,169)          Jun-23          (974,505

 

See notes to financial statements.

 

95


GuidePath Managed Futures Strategy Fund

CONSOLIDATED SCHEDULE OF OPEN FUTURES CONTRACTS (Continued)

March 31, 2023


 

Description


  

Number  of
Contracts
Purchased/(Sold)


       Long/Short

       Notional
Value


       Settlement
Month


       Value/Unrealized
Appreciation
(Depreciation)


 

FTSE China A50 Index Futures

     (193        Short        $ (2,568,058        Apr-23        $ (44,786

Hang Seng Index Futures

     (6        Short          (782,723        Apr-23          (29,239

HSCEI Index Futures

     (12        Short          (535,956        Apr-23          (23,173

ICE 3 Month Sonia Futures

     (190        Short          (55,900,276        Dec-23          26,096  

Indian Rupee Futures

     (274        Short          (6,656,556        Apr-23          (43,273

Japanese Yen Futures

     (154        Short          (14,673,313        Jun-23          (275,784

KC HRW Wheat Future (a)

     (42        Short          (1,809,675        Jul-23          (45,760

Lean Hogs Futures (a)

     (186        Short          (6,816,900        Jun-23          346,928  

LME Aluminium Futures (a)(b)

     (169        Short          (10,184,363        Jun-23          (89,843

LME Copper Futures (a)(b)

     (5        Short          (1,124,063        Jun-23          (36,465

LME Nickel Futures (a)(b)

     (39        Short          (5,575,986        Jun-23          235,242  

LME Zinc Futures (a)(b)

     (61        Short          (4,460,244        Jun-23          81,042  

Long Gilt Futures

     (49        Short          (6,247,101        Jun-23          (216,781

Low Sulphur Gas Oil Futures (a)

     (84        Short          (6,314,700        May-23          (74,300

MSCI Emerging Markets Index Futures

     (168        Short          (8,362,200        Jun-23          (284,959

Natural Gas Futures (a)

     (469        Short          (10,393,040        Apr-23          1,202,922  

New Zealand Dollar Futures

     (290        Short          (18,127,900        Jun-23          (268,602

NY Harbor ULSD Futures (a)

     (52        Short          (5,723,390        Apr-23          (43,871

Palladium Futures (a)

     (20        Short          (2,936,000        Jun-23          (27,346

S&P/TSX 60 Index Futures

     (18        Short          (3,220,955        Jun-23          (90,876

South African Rand Futures

     (741        Short          (20,683,162        Jun-23          (633,201

Soybean Futures (a)

     (40        Short          (2,951,000        Jul-23          (109,380

Soybean Oil Futures (a)

     (308        Short          (10,278,576        Jul-23          96,841  

U.S. Treasury 10-Year Note Futures

     (142        Short          (16,318,906        Jun-23          (574,377

U.S. Treasury 2-Year Note Futures

     (361        Short          (74,529,578        Jun-23          (770,723

U.S. Treasury 5-Year Note Futures

     (275        Short          (30,114,649        Jun-23          (798,430

U.S. Treasury Long Bond Futures

     (45        Short          (5,902,031        Jun-23          (327,184

U.S. Treasury Ultra Bond Futures

     (33        Short          (4,657,125        Jun-23          (220,574

U.S. Ultra 10 Year Future

     (55        Short          (6,662,734        Jun-23          (263,638

Wheat Futures (a)

     (254        Short          (8,947,150        Jul-23          127,354  

WTI Crude Futures (a)

     (237        Short          (17,933,790        Apr-23          (1,345,071
                                                


                                                 $ (8,356,152
                                                


 

(a)   All or a portion of this security is held by GuidePath Managed Futures Strategy Cayman Fund Ltd.
(b)   London Metal Exchange (“LME”) futures contracts settle on their respective maturity date, and do not have daily cash movements like other futures contracts. The unrealized appreciation on these contracts is a receivable for unsettled open futures contracts and the unrealized depreciation is a payable for unsettled open futures contracts on the Fund’s consolidated statement of assets and liabilities.

GuidePath Managed Futures Strategy Fund

CONSOLIDATED SCHEDULE OF OPEN FORWARD CURRENCY CONTRACTS

March 31, 2023


 

Forward
Expiration  Date


 

Counterparty


 

Currency to be  received


 

Amount of

Currency to
be received


   

Currency to be  delivered


 

Amount of
Currency to
be delivered


   

Unrealized
Appreciation
(Depreciation)


 
6/21/2023  

UBS AG

 

Chinese Yuan Renminbi

    51,000,000     U.S. Dollar     7,483,181     $ (12,263
6/21/2023  

UBS AG

 

New Turkish Lira

    26,400,000     U.S. Dollar     1,322,130       (120,003
6/21/2023  

UBS AG

 

Norwegian Krone

    126,000,000     U.S. Dollar     11,962,788       117,214  
6/21/2023  

UBS AG

 

Polish Zloty

    157,500,000     U.S. Dollar     35,873,594       427,086  
6/21/2023  

UBS AG

 

Singapore Dollar

    180,625,000     U.S. Dollar     135,151,407       943,550  
6/21/2023  

UBS AG

 

Swedish Krona

    94,000,000     U.S. Dollar     8,950,921       145,207  
6/21/2023  

UBS AG

 

U.S. Dollar

    18,241,217     Chinese Yuan Renminbi     126,000,000       (216,346
6/21/2023  

UBS AG

 

U.S. Dollar

    1,154,620     New Turkish Lira     26,400,000       (47,507
6/21/2023  

UBS AG

 

U.S. Dollar

    39,466,422     Norwegian Krone     414,000,000       (225,010
6/21/2023  

UBS AG

 

U.S. Dollar

    10,960,166     Polish Zloty     48,500,000       (218,138
6/21/2023  

UBS AG

 

U.S. Dollar

    61,315,695     Singapore Dollar     82,500,000       (846,865
6/21/2023  

UBS AG

 

U.S. Dollar

    19,966,054     Swedish Krona     210,000,000       (355,085
                               


                                $ (408,160
                               


 

See notes to financial statements.

 

96


GuidePath Conservative Income Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 42.09%

 

       

Domestic Fixed Income Funds - 42.09%

 

  35,639    

Invesco Senior Loan ETF (a)

  $ 741,291  
  17,894    

iShares 0-5 Year High Yield Corporate Bond ETF

    745,822  
  20,557    

iShares 0-5 Year Investment Grade Corporate Bond ETF

    996,604  
  81,345    

SPDR Bloomberg Investment Grade Floating Rate ETF (a)

    2,475,329  
           


       

Total Investment Companies
(Cost $4,950,117)

      4,959,046  
           


       

SHORT TERM INVESTMENTS - 57.88%

 

       

Money Market Funds - 39.12%

 

  4,608,659    

JPMorgan U.S. Government Money Market Fund Effective Yield, 4.73% (b)(c)

    4,608,659  
           


Principal

Amount


           
       

U.S. Treasury Bills - 6.31%

 

  750,000    

0.000%, 06/15/2023

    742,964  
           


       

U.S. Treasury Notes - 12.45%

 

  750,000    

1.375%, 09/30/2023

    737,871  
  750,000    

0.500%, 11/30/2023

    729,340  
           


              1,467,211  
           


       

Total Short Term Investments
(Cost $6,824,290)

    6,818,834  
           


Number of
Units


       

Value


 
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 11.25%

 

  1,325,946    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (c)

  $ 1,325,946  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $1,325,946)

    1,325,946  
           


       

Total Investments
(Cost $13,100,353) - 111.23%

    13,103,826  
       

Liabilities in Excess of
Other Assets - (11.23)%

    (1,322,473
           


       

TOTAL NET ASSETS - 100.00%

  $ 11,781,353  
           


Percentages are stated as a percent of net assets.

(a)   All or portion of this security is on loan.
(b)   Fair value of this security exceeds 25% of the Fund’s net assets. Additional information for this security, including financial statements, is available from the SEC’s EDGAR database at www.sec.gov.
(c)   Seven-day yield as of March 31, 2023.
 

 

See notes to financial statements.

 

97


GuidePath Income Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

INVESTMENT COMPANIES - 97.55%

 

       

Domestic Fixed Income Funds - 97.55%

 

  204,498    

iShares Core U.S. Aggregate Bond ETF (a)

  $ 20,376,181  
  70,394    

iShares J.P. Morgan USD Emerging Markets Bond ETF

    6,073,594  
  413,658    

Schwab Intermediate-Term U.S. Treasury ETF (a)

    20,860,773  
  430,635    

VanEck Vectors Emerging Markets High Yield Bond ETF (b)

    7,932,297  
           


       

Total Investment Companies
(Cost $54,882,436)

    55,242,845  
           


       

SHORT-TERM INVESTMENTS - 2.33%

 

       

Money Market Funds - 2.33%

 

  1,321,403    

JPMorgan U.S. Government Money Market Fund
Effective Yield 4.73%, (c)

    1,321,403  
           


       

Total Money Market Funds
(Cost $1,321,403)

    1,321,403  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 0.54%

 

  305,100    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield 4.93% (c)

    305,100  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $305,100)

    305,100  
           


       

Total Investments
(Cost $56,508,939) - 100.42%

    56,869,348  
       

Liabilities in Excess of
Other Assets - (0.42)%

    (235,158
           


       

TOTAL NET ASSETS - 100.00%

  $ 56,634,190  
           


Percentages are stated as a percent of net assets.

(a)   Fair value of this security exceeds 25% of the Fund’s net assets. Additional information for this security, including the financial statements, is available from the SEC’s EDGAR database at www.sec.gov.
(b)   All or portion of this security is on loan.
(c)   Seven-day yield as of March 31, 2022.
 

 

See notes to financial statements.

 

98


GuidePath Growth and Income Fund

SCHEDULE OF INVESTMENTS

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS - 35.03%

       
       

Aerospace & Defense - 0.50%

       
  728    

General Dynamics Corp.

  $ 166,137  
  775    

Lockheed Martin Corp.

    366,366  
           


              532,503  
           


       

Air Freight & Logistics - 0.52%

       
  2,847    

United Parcel Service, Inc. - Class B (a)

    552,290  
           


       

Banks - 1.20%

       
  5,250    

Citizens Financial Group, Inc. (a)

    159,443  
  17,272    

Huntington Bancshares, Inc. (a)

    193,446  
  822    

M&T Bank Corp. (a)

    98,287  
  1,213    

PNC Financial Services Group, Inc.

    154,172  
  10,827    

Regions Financial Corp. (a)

    200,949  
  8,359    

Truist Financial Corp.

    285,042  
  5,186    

U.S. Bancorp (a)

    186,955  
           


              1,278,294  
           


       

Beverages - 2.32%

       
  20,003    

Coca-Cola Co.

    1,240,787  
  6,743    

PepsiCo, Inc.

    1,229,249  
           


              2,470,036  
           


       

Biotechnology - 2.07%

       
  8,803    

AbbVie, Inc. (a)

    1,402,934  
  3,351    

Amgen, Inc. (a)

    810,104  
           


              2,213,038  
           


       

Building Products - 0.27%

       
  4,797    

Johnson Controls International PLC - ADR (a)

    288,875  
           


       

Capital Markets - 1.30%

       
  528    

BlackRock, Inc.

    353,295  
  3,050    

Blackstone, Inc. (a)

    267,912  
  1,255    

CME Group, Inc.

    240,358  
  3,977    

State Street Corp.

    301,019  
  2,073    

T. Rowe Price Group, Inc. (a)

    234,042  
           


              1,396,626  
           


       

Chemicals - 0.77%

       
  1,599    

Air Products & Chemicals, Inc. (a)

    459,249  
  3,918    

LyondellBasell Industries NV - Class A - ADR (a)

    367,861  
           


              827,110  
           


       

Communications Equipment - 0.87%

       
  17,825    

Cisco Systems, Inc.

    931,802  
           


       

Consumer Finance - 0.51%

       
  3,547    

Capital One Financial Corp.

    341,080  
  6,868    

Synchrony Financial (a)

    199,721  
           


              540,801  
           


       

Diversified Telecommunication Services - 1.11%

 

  21,270    

AT&T, Inc.

    409,448  
  20,026    

Verizon Communications, Inc.

    778,811  
           


              1,188,259  
           


       

Electric Utilities - 0.55%

       
  2,258    

American Electric Power Co., Inc. (a)

    205,455  
  1,098    

Eversource Energy

    85,929  
  4,412    

Xcel Energy, Inc.

    297,546  
           


              588,930  
           


Number of
Shares


       

Value


 
       

Electrical Equipment - 0.95%

       
  2,996    

Eaton Corp. PLC - ADR

  $ 513,334  
  5,705    

Emerson Electric Co.

    497,134  
           


              1,010,468  
           


       

Food Products - 1.02%

       
  3,299    

Archer-Daniels-Midland Co.

    262,798  
  4,767    

General Mills, Inc. (a)

    407,388  
  6,035    

Mondelez International, Inc. - Class A (a)

    420,760  
           


              1,090,946  
           


       

Health Care Equipment & Supplies - 0.41%

 

  5,391    

Medtronic PLC - ADR

    434,622  
           


       

Health Care Providers & Services - 0.47%

 

  6,776    

CVS Health Corp.

    503,525  
           


       

Hotels, Restaurants & Leisure - 1.42%

 

  3,713    

McDonald’s Corp.

    1,038,192  
  4,624    

Starbucks Corp.

    481,497  
           


              1,519,689  
           


       

Household Durables - 0.12%

       
  968    

Whirlpool Corp. (a)

    127,795  
           


       

Household Products - 1.93%

       
  6,049    

Colgate-Palmolive Co.

    454,582  
  1,905    

Kimberly-Clark Corp.

    255,689  
  9,123    

Procter & Gamble Co.

    1,356,499  
           


              2,066,770  
           


       

Industrial Conglomerates - 1.27%

       
  5,615    

3M Co.

    590,193  
  4,052    

Honeywell International, Inc.

    774,418  
           


              1,364,611  
           


       

Insurance - 0.76%

       
  6,003    

Aflac, Inc. (a)

    387,314  
  3,700    

Hartford Financial Services Group, Inc.

    257,853  
  991    

Travelers Cos., Inc.

    169,867  
           


              815,034  
           


       

IT Services - 1.38%

       
  2,356    

Automatic Data Processing, Inc.

    524,516  
  5,814    

International Business Machines Corp.

    762,158  
  1,655    

Paychex, Inc.

    189,646  
           


              1,476,320  
           


       

Leisure Products - 0.06%

       
  1,162    

Hasbro, Inc. (a)

    62,388  
           


       

Machinery - 1.14%

       
  2,702    

Caterpillar, Inc.

    618,325  
  1,378    

Cummins, Inc. (a)

    329,177  
  1,107    

Illinois Tool Works, Inc. (a)

    269,499  
           


              1,217,001  
           


       

Media - 0.98%

       
  23,240    

Comcast Corp. - Class A (a)

    881,028  
  7,426    

Paramount Global - Class B (a)

    165,674  
           


              1,046,702  
           


       

Multiline Retail - 0.39%

       
  2,512    

Target Corp. (a)

    416,063  
           


       

Multi-Utilities - 0.95%

       
  3,317    

Ameren Corp.

    286,556  
  2,196    

Consolidated Edison, Inc. (a)

    210,091  
 

 

See notes to financial statements.

 

99


GuidePath Growth and Income Fund

SCHEDULE OF INVESTMENTS (Continued)

March 31, 2023


 

Number of
Shares


       

Value


 
       

COMMON STOCKS (Continued)

       
       

Multi-Utilities (Continued)

       
  1,861    

DTE Energy Co.

  $ 203,854  
  2,065    

Sempra Energy

    312,145  
           


              1,012,646  
           


       

Oil, Gas & Consumable Fuels - 0.80%

       
  22,605    

Kinder Morgan, Inc. (a)

    395,814  
  3,372    

Marathon Petroleum Corp.

    454,646  
           


              850,460  
           


       

Pharmaceuticals - 3.37%

       
  8,501    

Johnson & Johnson

    1,317,656  
  11,779    

Merck & Co., Inc.

    1,253,168  
  25,085    

Pfizer, Inc.

    1,023,468  
           


              3,594,292  
           


       

Road & Rail - 0.39%

       
  2,073    

Union Pacific Corp.

    417,212  
           


       

Semiconductors & Semiconductor Equipment - 3.09%

 

  902    

Analog Devices, Inc.

    177,892  
  1,732    

Broadcom, Inc.

    1,111,147  
  15,390    

Intel Corp. (a)

    502,791  
  5,633    

QUALCOMM, Inc.

    718,658  
  4,255    

Texas Instruments, Inc. (a)

    791,473  
           


              3,301,961  
           


       

Specialty Retail - 1.55%

       
  2,118    

Advance Auto Parts, Inc.

    257,570  
  971    

Best Buy Co., Inc. (a)

    76,000  
  4,468    

Home Depot, Inc. (a)

    1,318,596  
           


              1,652,166  
           


       

Technology Hardware, Storage & Peripherals - 0.20%

 

  7,231    

HP, Inc.

    212,230  
           


       

Tobacco - 0.39%

       
  4,269    

Philip Morris International, Inc.

    415,160  
           


       

Total Common Stocks
(Cost $32,984,718)

    37,416,625  
           


       

INVESTMENT COMPANIES - 35.78%

       
       

Domestic Equity Funds - 26.71%

       
  195,987    

Global X MLP ETF (a)

    8,153,058  
  405,625    

Schwab U.S. Large-Cap ETF

    19,620,082  
  7,047    

Vanguard High Dividend Yield ETF (a)

    743,459  
           


              28,516,599  
           


       

Domestic Fixed Income Funds - 0.68%

       
  7,941    

SPDR Bloomberg 1-3 Month T-Bill ETF

    729,143  
           


       

International Equity Funds - 8.39%

       
  144,692    

Vanguard International High Dividend Yield ETF

    8,963,669  
           


       

Total Investment Companies
(Cost $37,069,563)

    38,209,411  
           


Number of
Shares


       

Value


 
       

SHORT TERM INVESTMENTS - 28.89%

 

       

Money Market Funds - 20.62%

       
  22,024,000    

JPMorgan U.S. Government Money Market Fund
Effective Yield, 4.73% (b)

  $ 22,024,000  
           


Principal
Amount


           
       

U.S. Treasury Notes - 5.49%

       
  3,000,000    

1.375%, 09/30/2023 (c)

    2,951,485  
  3,000,000    

0.500%, 11/30/2023 (c)

    2,917,360  
           


              5,868,845  
           


       

U.S. Treasury Bills - 2.78%

       
  3,000,000    

0.00%, 06/15/2023

    2,971,855  
           


       

Total Short Term Investments
(Cost $30,886,522)

    30,864,700  
           


Number of
Units


           
       

INVESTMENTS PURCHASED WITH PROCEEDS FROM SECURITIES LENDING COLLATERAL - 11.78%

 

  12,585,208    

Mount Vernon Liquid Assets Portfolio, LLC
Effective Yield, 4.93% (b)

    12,585,208  
           


       

Total Investments Purchased with Proceeds from Securities Lending Collateral
(Cost $12,585,208)

    12,585,208  
           


       

Total Investments
(Cost $113,526,011) - 111.48%

    119,075,944  
       

Liabilities in Excess of
Other Assets - (11.48)%

    (12,258,770
           


       

TOTAL NET ASSETS - 100.00%

  $ 106,817,174  
           


Percentages are stated as a percent of net assets.

(a)   All or portion of this security is on loan.
(b)   Seven-day yield as of March 31, 2023.
(c)   All or portion of this security is held as collateral for certain options written contracts. The approximate value of the portion on these securities held as collateral is $5,377,195.

Glossary of Terms

ADR   -   American Depositary Receipt
 

 

See notes to financial statements.

 

100


GuidePath Growth and Income Fund

SCHEDULE OF OPEN FUTURES CONTRACTS

March 31, 2023


 

Description


     Number of
Contracts
Purchased/(Sold)


       Long/Short

       Notional
Value


       Settlement
Month


     Value/Unrealized
Appreciation
(Depreciation)


 

E-mini S&P 500 Futures

       21          Long        $ 4,344,638        Jun-23      $ 145,604  
                                              


                                               $ 145,604  
                                              


GuidePath Growth and Income Fund

SCHEDULE OF OPTIONS WRITTEN

March 31, 2023


 

Notional
Amount


    Number of
Contracts


       

Value


 
                Options on Equities        
                Put Options        
$ 4,010,000       10    

CBOE S&P 500 Index
Counterparty: Interactive Brokers
Expiration: April 06, 2023
Exercise Price: $4,010.00

  $ (4,600
  3,890,000       10    

CBOE S&P 500 Index
Counterparty: Interactive Brokers
Expiration: April 14, 2023
Exercise Price: $3,890.00

    (7,100
  5,835,000       15    

CBOE S&P 500 Index
Counterparty: Interactive Brokers
Expiration: April 21, 2023
Exercise Price: $3,890.00

    (18,780
  4,000,000       10    

CBOE S&P 500 Index
Counterparty: Interactive Brokers
Expiration: April 28, 2023
Exercise Price: $4,000.00

    (36,400
  4,070,000       10    

CBOE S&P 500 Index
Counterparty: Interactive Brokers
Expiration: May 5, 2023
Exercise Price: $4,070.00

    (68,200
  3,900,000       10    

S&P 500 Index
Counterparty: Interactive Brokers
Expiration: April 21, 2023
Exercise Price: $3,900.00

    (12,900
                   


               

Total Written Options
(Premiums Received $604,110)

  $ (147,980
                   


 

See notes to financial statements.

 

101


GuideMark Funds & GuidePath Funds

STATEMENTS OF ASSETS & LIABILITIES

March 31, 2023


 

     Large Cap
Core Fund


    Emerging
Markets Fund


     Small/Mid Cap
Core Fund


 

ASSETS:

                         

Investments, at value (cost $508,829,090, $43,958,351 and $100,595,470, respectively)1

   $ 706,062,954     $ 49,532,953      $ 122,169,964  

Foreign currencies (cost $0, $6,203, and $0, respectively)

           6,273         

Cash

     5,045              790  

Income receivable

     551,435       181,530        107,550  

Receivable for dividend reclaims

     736       2,779         

Receivable from Investment Advisor

           2,359         

Receivable for fund shares sold

     2,037,482       124,642        1,800,239  

Other assets

     35,203       15,156        21,840  
    


 


  


Total Assets

     708,692,855       49,865,692        124,100,383  
    


 


  


LIABILITIES:

                         

Payable for collateral on securities loaned

     99,549,037       2,941,322        28,266,325  

Payable for investment securities purchased

                  340,364  

Payable for fund shares redeemed

     737,599       1,005,260        43,220  

Payable to Investment Advisor

     349,140              64,681  

Payable to custodian

     4,005       25,999        1,508  

Accrued Trustee fees and expenses

     2,885       495        964  

Accrued shareholder servicing fees

     39,724       6,760        5,871  

Deferred tax

           112,650         

Other accrued expenses

     166,831       73,942        76,500  
    


 


  


Total Liabilities

     100,849,221       4,166,428        28,799,433  
    


 


  


NET ASSETS

   $ 607,843,634     $ 45,699,264      $ 95,300,950  
    


 


  


NET ASSETS CONSIST OF:

                         

Capital stock

     410,071,965       40,960,922        74,542,447  

Total distributable earnings

     197,771,669       4,738,342        20,758,503  
    


 


  


Total Net Assets

   $ 607,843,634     $ 45,699,264      $ 95,300,950  
    


 


  


Institutional Shares

                         

Shares outstanding (unlimited shares of no par value authorized)

     75               

Net assets

     1,810               

Net asset value, offering and redemption price per share

   $ 24.237 2    $      $  
    


 


  


Service Shares

                         

Shares outstanding (unlimited shares of no par value authorized)

     25,518,611       4,437,167        5,685,087  

Net assets

     607,841,824       45,699,264        95,300,950  

Net asset value, offering and redemption price per share

   $ 23.820     $ 10.299      $ 16.763  
    


 


  


1Includes loaned securities with a value of:

   $ 99,108,475     $ 2,871,760      $ 28,014,227  
    


 


  


2Differences in actual and calculated net asset value shown are due to rounding.

                         

 

 

See notes to financial statements.

 

102


GuideMark Funds & GuidePath Funds

STATEMENTS OF ASSETS & LIABILITIES (Continued)

March 31, 2023


 

     World
ex-US Fund


    Core
Fixed Income
Fund


    Growth
Allocation
Fund


 

ASSETS:

                        

Investments, at value (cost $92,483,559, $219,241,024 and $859,703,385, respectively)1

   $ 115,236,478     $ 205,213,341     $ 1,104,795,700  

Foreign currencies (cost $69,286, $0, and $0, respectively)

     67,948              

Cash

           4,157        

Appreciation on swap agreements

           157,527        

Income receivable

     632,568       1,018,006       48,722  

Receivable for dividend and interest reclaims

     440,672       3,119        

Receivable for investment securities sold

           588,288       18,190,470  

Receivable for fund shares sold

     125,339       1,665,776       1,420,761  

Net swap premiums paid

           49,480        

Other assets

     15,792       16,822       67,352  
    


 


 


Total Assets

     116,518,797       208,716,516       1,124,523,005  
    


 


 


LIABILITIES:

                        

Options written at value (Premium received $0, $50,197 and $0, respectively)

           44,233        

Depreciation on swap agreements

           7,753        

Variation margin on futures

           38,007        

Payable for collateral on securities loaned

     5,299,517       1,689,338       150,405,813  

Payable for investment securities purchased (When issued securities of $0, $34,974,462, and $0, respectively)

           36,070,935       22,784,999  

Payable for fund shares redeemed

     1,273,758       189,029       458,839  

Payable to Investment Advisor

     79,020       91,561       389,882  

Payable to custodian

     7,343       5,397       9,994  

Accrued Trustee fees and expenses

     986       1,649       7,965  

Accrued shareholder servicing fees

     13,308       10,376       86,328  

Due to broker for swaps for margin

           212,690        

Other accrued expenses

     129,800       107,920       193,427  
    


 


 


Total Liabilities

     6,803,732       38,468,888       174,337,247  
    


 


 


NET ASSETS

   $ 109,715,065     $ 170,247,628     $ 950,185,758  
    


 


 


NET ASSETS CONSIST OF:

                        

Capital stock

     83,929,229       197,876,553       717,191,507  

Total distributable earnings (loss)

     25,785,836       (27,628,925     232,994,251  
    


 


 


Total Net Assets

   $ 109,715,065     $ 170,247,628     $ 950,185,758  
    


 


 


Institutional Shares

                        

Shares outstanding (unlimited shares of no par value authorized)

     27             518  

Net assets

     269             7,255  

Net asset value, offering and redemption price per share

   $ 10.028 2    $     $ 14.000 2 
    


 


 


Service Shares

                        

Shares outstanding (unlimited shares of no par value authorized)

     11,279,642       20,595,662       68,339,523  

Net assets

     109,714,796       170,247,628       950,178,503  

Net asset value, offering and redemption price per share

   $ 9.727     $ 8.266     $ 13.904  
    


 


 


1Includes loaned securities with a value of:

   $ 5,106,814     $ 1,662,252     $ 148,809,275  
    


 


 


2Differences in actual and calculated net asset value shown are due to rounding.

                        

 

See notes to financial statements.

 

103


GuideMark Funds & GuidePath Funds

STATEMENTS OF ASSETS & LIABILITIES (Continued)

March 31, 2023


 

     Conservative
Allocation
Fund


    Tactical
Allocation
Fund


     Absolute
Return
Allocation
Fund


 

ASSETS:

                         

Investments, at value (cost $459,378,235, $571,394,149 and $249,409,230, respectively)1

   $ 486,047,260     $ 603,625,808      $ 249,300,535  

Income receivable

     374,120       640,312        528,300  

Receivable for investment securities sold

     51,660,567       1,674,368         

Receivable for fund shares sold

     820,759       791,469        343,455  

Other assets

     53,280       30,762        38,497  
    


 


  


Total Assets

     538,955,986       606,762,719        250,210,787  
    


 


  


LIABILITIES:

                         

Payable for collateral on securities loaned

     62,421,423       104,514,306        25,105,887  

Payable for investment securities purchased

     46,615,486              348,659  

Loan payable

     960,000               

Payable for fund shares redeemed

     335,686       295,089        288,653  

Payable to Investment Advisor

     127,835       249,481        48,283  

Payable to custodian

     9,371       6,408        9,001  

Accrued Trustee fees and expenses

     3,301       3,682        2,384  

Accrued shareholder servicing fees

     36,025       39,803        22,300  

Other accrued expenses

     108,413       139,353        132,109  
    


 


  


Total Liabilities

     110,617,540       105,248,122        25,957,276  
    


 


  


NET ASSETS

   $ 428,338,446     $ 501,514,597      $ 224,253,511  
    


 


  


NET ASSETS CONSIST OF:

                         

Capital stock

     415,092,414       500,782,767        251,940,413  

Total distributable earnings (loss)

     13,246,032       731,830        (27,686,902
    


 


  


Total Net Assets

   $ 428,338,446     $ 501,514,597      $ 224,253,511  
    


 


  


Institutional Shares

                         

Shares outstanding (unlimited shares of no par value authorized)

     1,030       50,399        2,832  

Net assets

     10,563       539,126        26,541  

Net asset value, offering and redemption price per share

   $ 10.260 2    $ 10.697      $ 9.372  
    


 


  


Service Shares

                         

Shares outstanding (unlimited shares of no par value authorized)

     42,139,311       47,428,565        23,868,740  

Net assets

     428,327,883       500,975,471        224,226,970  

Net asset value, offering and redemption price per share

   $ 10.165     $ 10.563      $ 9.394  
    


 


  


1Includes loaned securities with a value of:

   $ 61,536,495     $ 103,926,502      $ 24,691,536  
    


 


  


2Differences in actual and calculated net asset value shown are due to rounding.

                         

 

See notes to financial statements.

 

104


GuideMark Funds & GuidePath Funds

STATEMENTS OF ASSETS & LIABILITIES (Continued)

March 31, 2023


 

     Multi-Asset
Income
Allocation
Fund


    Flexible
Income
Allocation
Fund


    Managed
Futures
Strategy
Fund2


 

ASSETS:

                        

Investments, at value (cost $100,899,963, $341,891,538 and $486,451,185, respectively)1

   $ 107,745,647     $ 344,033,363     $ 486,393,346  

Investments in affiliates, at value (cost $0, $9,726,603, and $0, respectively)

           10,010,370        

Cash held as collateral for forward contracts

                 5,320,053  

Income receivable

     90,025       116,404       3,108,828  

Deposits with broker for futures

                 7,031,275  

Receivable for fund shares sold

     10,198       746,674       929,314  

Receivable for unsettled open futures contracts

                 317,532  

Appreciation on forward currency contracts

                 1,633,057  

Other assets

     26,241       34,238       30,563  
    


 


 


Total Assets

     107,872,111       354,941,049       504,763,968  
    


 


 


LIABILITIES:

                        

Depreciation on forward currency contracts

                 2,041,217  

Variation margin on futures

                 799,311  

Payable for collateral on securities loaned

     18,881,022       58,689,441        

Payable for investment securities purchased

           807,315        

Payable for fund shares redeemed

     27,605       111,822       451,775  

Payable for unsettled open futures contracts

                 1,367,563  

Payable to Investment Advisor

     45,015       91,614       580,861  

Payable to custodian

     3,808       4,597       3,992  

Accrued Trustee fees and expenses

     613       1,932       3,026  

Accrued shareholder servicing fees

     7,742       26,933       44,906  

Other accrued expenses

     34,077       92,103       200,830  
    


 


 


Total Liabilities

     18,999,882       59,825,757       5,493,481  
    


 


 


NET ASSETS

   $ 88,872,229     $ 295,115,292     $ 499,270,487  
    


 


 


NET ASSETS CONSIST OF:

                        

Capital stock

     90,688,428       343,309,057       580,560,093  

Total distributable earnings (loss)

     (1,816,199     (48,193,765     (81,289,606
    


 


 


Total Net Assets

   $ 88,872,229     $ 295,115,292     $ 499,270,487  
    


 


 


Institutional Shares

                        

Shares outstanding (unlimited shares of no par value authorized)

           926       38,783  

Net assets

           8,353       331,615  

Net asset value, offering and redemption price per share

   $     $ 9.021     $ 8.550 3 
    


 


 


Service Shares

                        

Shares outstanding (unlimited shares of no par value authorized)

     8,741,423       32,883,204       60,480,801  

Net assets

     88,872,229       295,106,939       498,938,872  

Net asset value, offering and redemption price per share

   $ 10.167     $ 8.974     $ 8.250  
    


 


 


1Includes loaned securities with a value of:

   $ 18,509,059     $ 57,976,455     $  
    


 


 


2Consolidated Statement of Assets & Liabilities (see Note 3b).

                        

3Differences in actual and calculated net asset value shown are due to rounding.

                        

 

 

 

See notes to financial statements.

 

105


GuideMark Funds & GuidePath Funds

STATEMENTS OF ASSETS & LIABILITIES (Continued)

March 31, 2023


 

     Conservative
Income
Fund


    Income
Fund


    Growth &
Income
Fund


 

ASSETS:

                        

Investments, at value (cost $13,100,353, $56,508,939, and $113,526,011 respectively)1

   $ 13,103,826     $ 56,869,348     $ 119,075,944  

Income receivable

     17,794       5,768       140,536  

Receivable for dividend reclaims

                 1,345  

Receivable for investment securities sold

           118,251       139,831  

Receivable for fund shares sold

           404       978  

Deposits with broker for futures

                 235,604  

Variation margin on futures

                 84,000  

Other assets

     15,302       20,101       23,074  
    


 


 


Total Assets

     13,136,922       57,013,872       119,701,312  
    


 


 


LIABILITIES:

                        

Options written, at value (premiums received $0, $0, and $604,110)

                 147,980  

Payable for collateral on securities loaned

     1,325,946       305,100       12,585,208  

Payable for investment securities purchased

                 162  

Payable for fund shares redeemed

     2,286       7,637       16,247  

Payable to Investment Advisor

     4,177       37,374       75,858  

Payable to custodian

     208       516       4,046  

Payable for audit and tax fees

     16,243       16,243       21,746  

Payable for legal fees

     546       1,257       4,745  

Payable for printing and mailing fees

     1,072       2,567       6,530  

Payable for transfer agent fees and expenses

     710       780       881  

Accrued Trustee fees and expenses

     82       325       595  

Other accrued expenses

     4,299       7,883       20,140  
    


 


 


Total Liabilities

     1,355,569       379,682       12,884,138  
    


 


 


NET ASSETS

   $ 11,781,353     $ 56,634,190     $ 106,817,174  
    


 


 


NET ASSETS CONSIST OF:

                        

Capital stock

     12,285,121       65,598,293       106,571,542  

Total distributable earnings (loss)

     (503,768     (8,964,103     245,632  
    


 


 


Total Net Assets

   $ 11,781,353     $ 56,634,190     $ 106,817,174  
    


 


 


Shares outstanding (unlimited shares of no par value authorized)

     1,223,574       6,691,530       10,209,003  

Net assets

     11,781,353       56,634,190       106,817,174  

Net asset value, offering and redemption price per share

   $ 9.629     $ 8.464     $ 10.463  
    


 


 


1Includes loaned securities with a value of:

   $ 1,294,782     $ 299,730     $ 12,472,025  
    


 


 


 

See notes to financial statements.

 

106


GuideMark Funds & GuidePath Funds

STATEMENTS OF OPERATIONS

For the Year Ended March 31, 2023


 

     Large Cap
Core Fund


    Emerging
Markets Fund


    Small/Mid Cap
Core Fund


 

INVESTMENT INCOME:

                        

Dividend income (net of withholding tax of $2,164, $274,401, and $1,455, respectively)

   $ 8,965,063     $ 2,175,013     $ 1,516,234  

Interest income

     93,844       7,050       17,401  
    


 


 


Total investment income

     9,058,907       2,182,063       1,533,635  
    


 


 


EXPENSES:

                        

Investment advisory fees

     2,414,505       303,578       553,065  

Administrative service fees – Service Shares

     1,329,418       126,792       241,431  

Shareholder servicing fees – Service Shares

     536,538       51,454       97,029  

Reports to shareholders

     98,142       15,375       27,819  

Administration fees

     95,463       30,578       38,495  

Fund accounting fees

     84,011       118,335       67,591  

Legal fees

     81,796       22,025       13,556  

Trustee fees and expenses

     57,640       6,123       10,711  

Federal and state registration fees

     41,528       36,348       37,659  

Custody fees

     27,044       167,553       7,515  

Audit and tax fees

     24,219       55,135       24,790  

Transfer agent fees and expenses

     14,533       5,010       5,958  

Compliance fees

     14,352       1,382       2,716  

Insurance fees

     10,616       1,277       1,640  

Miscellaneous expenses

     1,233       3,880       979  

Interest expenses

     576       4,213        
    


 


 


Total expenses

     4,831,614       949,058       1,130,954  
    


 


 


Fees waived by the Advisor (See Note 4)

           (219,516      

Less securities lending credit (See Note 6)

     (184,550     (4,973     (104,192
    


 


 


Net expenses

     4,647,064       724,569       1,026,762  
    


 


 


Net investment income

     4,411,843       1,457,494       506,873  
    


 


 


NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

                        

Net realized gain (loss) on:

                        

Investments (net of foreign capital gains tax of $0, $132,550, and $0, respectively)

     32,878,693       436,209       1,256,717  

Foreign currencies

           (27,581      
    


 


 


Total

     32,878,693       408,628       1,256,717  
    


 


 


Net change in unrealized appreciation (depreciation) on:

                        

Investments (net change in deferred foreign capital gains tax of $0, $318,693, and $0, respectively)

     (99,052,414     (9,652,713     (12,936,836

Foreign currencies

           12        
    


 


 


Total

     (99,052,414     (9,652,701     (12,936,836
    


 


 


Net realized and unrealized gain (loss)

     (66,173,721     (9,244,073     (11,680,119
    


 


 


NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (61,761,878   $ (7,786,579   $ (11,173,246
    


 


 


 

See notes to financial statements.

 

107


GuideMark Funds & GuidePath Funds

STATEMENTS OF OPERATIONS (Continued)

For the Year Ended March 31, 2023


 

     World
ex-US Fund


    Core
Fixed Income
Fund


    Growth
Allocation
Fund


 

INVESTMENT INCOME:

                        

Dividend income (net of withholding tax of $470,700, $0, and $0, respectively)

   $ 3,615,004     $     $ 14,804,414  

Interest income

     12,331       5,928,563       252,229  
    


 


 


Total investment income

     3,627,335       5,928,563       15,056,643  
    


 


 


EXPENSES:

                        

Investment advisory fees

     499,720       725,518       2,420,239  

Administrative service fees – Service Shares

     248,491       449,495       2,419,083  

Shareholder servicing fees – Service Shares

     99,941       181,379       968,020  

Reports to shareholders

     77,604       17,938       90,681  

Administration fees

     39,606       44,169       127,317  

Fund accounting fees

     112,658       203,205       112,211  

Legal fees

     16,302       34,165       152,096  

Trustee fees and expenses

     11,159       19,668       105,755  

Federal and state registration fees

     37,382       39,140       53,161  

Custody fees

     75,726       36,079       62,692  

Audit and tax fees

     27,082       26,330       18,220  

Transfer agent fees and expenses

     5,942       7,794       23,677  

Compliance fees

     2,686       5,073       26,992  

Insurance fees

     2,005       3,195       17,888  

Miscellaneous expenses

     914       1,028       1,264  

Interest expenses

     2,348             65,529  
    


 


 


Total expenses

     1,259,566       1,794,176       6,664,825  
    


 


 


Fees waived by the Advisor (See Note 4)

     (110,946     (80,939      

Fees recouped by the Advisor (See Note 4)

     10,557              

Less securities lending credit (See Note 6)

     (17,475     (8,271     (460,860
    


 


 


Net expenses

     1,141,702       1,704,966       6,203,965  
    


 


 


Net investment income

     2,485,633       4,223,597       8,852,678  
    


 


 


NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

                        

Net realized gain (loss) on:

                        

Investments

     2,908,393       (14,986,790     (5,720,251

Foreign currencies

     (23,973            

Swaps

           (383,947      

Net long-term capital gain distributions received from registered investment companies

                 7,609,092  

Futures contracts

           2,558,042        

Options written

           732,170        
    


 


 


Total

     2,884,420       (12,080,525     1,888,841  
    


 


 


Net change in unrealized depreciation on:

                        

Investments

     (9,268,827     (4,529,120     (120,272,532

Foreign currencies

     (7,578            

Swaps

           (137,133      

Futures contracts

           (422,107      

Options written

           (2,867      
    


 


 


Total

     (9,276,405     (5,091,227     (120,272,532
    


 


 


Net realized and unrealized loss

     (6,391,985     (17,171,752     (118,383,691
    


 


 


NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (3,906,352   $ (12,948,155   $ (109,531,013
    


 


 


 

See notes to financial statements.

 

108


GuideMark Funds & GuidePath Funds

STATEMENTS OF OPERATIONS (Continued)

For the Year Ended March 31, 2023


 

     Conservative
Allocation
Fund


    Tactical
Allocation
Fund


    Absolute
Return
Allocation
Fund


 

INVESTMENT INCOME:

                        

Dividend income

   $ 13,265,477     $ 5,509,728     $ 11,423,236  

Interest income

     111,824       5,191,121       115,010  
    


 


 


Total investment income

     13,377,301       10,700,849       11,538,246  
    


 


 


                          

EXPENSES:

                        

Investment advisory fees

     1,084,258       1,726,048       1,125,924  

Administrative service fees – Service Shares

     1,084,004       1,231,422       804,002  

Shareholder servicing fees – Service Shares

     433,669       492,619       321,651  

Reports to shareholders

     68,139       94,662       77,863  

Administration fees

     65,406       76,964       45,860  

Fund accounting fees

     55,994       61,915       44,886  

Legal fees

     67,390       79,376       64,598  

Trustee fees and expenses

     45,702       51,972       33,100  

Federal and state registration fees

     41,664       39,487       72,798  

Custody fees

     61,085       35,531       50,102  

Audit and tax fees

     17,422       17,438       16,401  

Transfer agent fees and expenses

     13,130       13,917       10,880  

Compliance fees

     12,026       13,734       9,922  

Insurance fees

     7,969       8,061       3,467  

Miscellaneous expenses

     1,153       1,216       1,188  

Interest expenses

     27,566             98,496  
    


 


 


Total expenses

     3,086,577       3,944,362       2,781,138  
    


 


 


Fees waived by the Advisor (See Note 4)

     (671,969           (692,243

Less securities lending credit (See Note 6)

     (435,496     (64,982     (221,237
    


 


 


Net expenses

     1,979,112       3,879,380       1,867,658  
    


 


 


Net investment income

     11,398,189       6,821,469       9,670,588  
    


 


 


NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

                        

Net realized gain (loss) on:

                        

Investments

     (14,039,751     (33,147,870     (27,416,167

Net long-term capital gain distributions received

     1,442,164             978,212  
    


 


 


Total

     (12,597,587     (33,147,870     (26,437,955
    


 


 


Net change in unrealized appreciation (depreciation) on:

                        

Investments

     (27,287,849     10,865,970       1,390,097  
    


 


 


Total

     (27,287,849     10,865,970       1,390,097  
    


 


 


Net realized and unrealized gain (loss)

     (39,885,436     (22,281,900     (25,047,858
    


 


 


NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (28,487,247   $ (15,460,431   $ (15,377,270
    


 


 


 

See notes to financial statements.

 

109


GuideMark Funds & GuidePath Funds

STATEMENTS OF OPERATIONS (Continued)

For the Year Ended March 31, 2023


 

     Multi-Asset
Income
Allocation
Fund


    Flexible
Income
Allocation
Fund


    Managed
Futures
Strategy
Fund
1


 

INVESTMENT INCOME:

                        

Dividend income

   $ 3,928,801     $ 8,683,146     $  

Dividends from affiliate investments

           356,993        

Interest income

     23,449       415,449       13,248,897  
    


 


 


Total investment income

     3,952,250       9,455,588       13,248,897  
    


 


 


EXPENSES:

                        

Investment advisory fees

     331,962       792,628       4,574,211  

Administrative service fees – Service Shares

     237,116       792,609       1,088,864  

Shareholder servicing fees – Service Shares

     94,846       317,043       435,546  

Reports to shareholders

     3,330       27,919       85,143  

Administration fees

     14,500       41,606       62,297  

Fund accounting fees

     11,250       41,718       76,017  

Legal fees

     7,140       52,045       94,501  

Trustee fees and expenses

     10,178       33,486       40,458  

Federal and state registration fees

     35,259       43,576       78,102  

Custody fees

     23,686       29,361       20,420  

Audit and tax fees

     16,273       17,358       33,876  

Transfer agent fees and expenses

     4,507       10,709       12,746  

Compliance fees

     2,627       8,931       12,076  

Insurance fees

     1,858       5,292       3,801  

Miscellaneous expenses

     903       1,154       1,297  

Interest expenses

     6,960       7,121        
    


 


 


Total expenses

     802,395       2,222,556       6,619,355  
    


 


 


Fees waived by the Advisor (See Note 4)

           (308,528      

Fees recouped by the Advisor (See Note 4)

           17,224        

Less securities lending credit (See Note 6)

     (246,537     (338,902     (4,732
    


 


 


Net expenses

     555,858       1,592,350       6,614,623  
    


 


 


Net investment income

     3,396,392       7,863,238       6,634,274  
    


 


 


NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS:

                        

Net realized gain (loss) on:

                        

Investments

     (1,758,148     (46,890,106     (17,765

Investments in affiliates

           (224,871      

Foreign currencies

                 (1,096,592

Forward currency contracts

                 1,098,762  

Futures contracts

                 12,851,862  

Net long-term capital gain distributions received from registered investment companies

     397,102       17,270        

Net long-term capital gain distributions received from affiliated registered investment companies

           362,269        
    


 


 


Total

     (1,361,046     (46,735,438     12,836,267  
    


 


 


Net change in unrealized appreciation (depreciation) on:

                        

Investments

     (9,822,082     12,979,383       (46,891

Investments in affiliates

           178,490        

Foreign currencies

                 (392,787

Forward currency contracts

                 1,410,840  

Futures contracts

                 (25,728,371
    


 


 


Total

     (9,822,082     13,157,873       (24,757,209
    


 


 


Net realized and unrealized gain (loss)

     (11,183,128     (33,577,565     (11,920,942
    


 


 


NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS

   $ (7,786,736   $ (25,714,327   $ (5,286,668
    


 


 


1Consolidated Statement of Operations for the year (see Note 3b).

                        

 

See notes to financial statements.

 

110


GuideMark Funds & GuidePath Funds

STATEMENTS OF OPERATIONS (Continued)

For the Year Ended March 31, 2023


 

     Conservative
Income
Fund


    Income
Fund


    Growth &
Income
Fund


 

INVESTMENT INCOME:

                        

Dividend income

   $ 263,745     $ 1,481,778     $ 2,449,800  

Interest income

     187,573       38,359       708,474  
    


 


 


Total investment income

     451,318       1,520,137       3,158,274  
    


 


 


EXPENSES:

                        

Investment advisory fees

     57,506       247,542       451,330  

Administrative service fees

     41,076       137,523       250,739  

Shareholder servicing fees

     116       386       901  

Reports to shareholders

     1,408       976       1,281  

Administration fees

     2,281       7,551       15,937  

Fund accounting fees

     2,254       6,068       14,248  

Legal fees

     2,550       6,998       15,302  

Trustee fees and expenses

     1,660       5,442       10,531  

Federal and state registration fees

     25,468       27,597       26,160  

Custody fees

     1,097       3,036       24,512  

Audit and tax fees

     16,256       16,257       20,787  

Transfer agent fees and expenses

     3,835       4,157       4,598  

Compliance fees

     470       1,520       2,778  

Insurance fees

     303       728       1,551  

Miscellaneous expenses

     244       305       305  

Interest expenses

                 101,415  
    


 


 


Total expenses

     156,524       466,086       942,375  
    


 


 


Fees waived by the Advisor (See Note 4)

     (31,182     (18,873     (2,958

Fees recouped by the Advisor (See Note 4)

           7,197       57,714  

Less securities lending credit (See Note 6)

     (20,188     (19,837     (103,380
    


 


 


Net expenses

     105,154       434,573       893,751  
    


 


 


Net investment income

     346,164       1,085,564       2,264,523  
    


 


 


NET REALIZED AND UNREALIZED LOSS ON INVESTMENTS:

                        

Net realized loss on:

                        

Investments

     (341,288     (6,245,008     (996,695

Options written

                 (1,033,354

Futures contracts

                 (1,228,020
    


 


 


Total

     (341,288     (6,245,008     (3,258,069
    


 


 


Net change in unrealized appreciation (depreciation) on:

                        

Investments

     50,611       1,652,884       (1,704,056

Options written

                 (132,960

Futures contracts

                 91,575  
    


 


 


Total

     50,611       1,652,884       (1,745,441
    


 


 


Net realized and unrealized loss

     (290,677     (4,592,124     (5,003,510
    


 


 


NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS

   $ 55,487     $ (3,506,560   $ (2,738,987
    


 


 


 

See notes to financial statements.

 

111


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS

 


 

     Large Cap Core Fund

    Emerging Markets Fund

 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                                

Net investment income

   $ 4,411,843     $ 2,272,053     $ 1,457,494     $ 1,217,861  

Net realized gain on investment transactions

     32,878,693       33,586,242       408,628       8,873,790  

Net change in unrealized appreciation (depreciation) on investments

     (99,052,414     35,262,507       (9,652,701     (18,511,855
    


 


 


 


Net increase (decrease) in net assets resulting from operations

     (61,761,878     71,120,802       (7,786,579     (8,420,204
    


 


 


 


CAPITAL SHARE TRANSACTIONS:

                                

Institutional Shares

                                

Shares sold

     2,596       68,056              

Shares issued to holders in reinvestment of dividends

     158       11,114              

Shares redeemed

     (192,141     (532,561            
    


 


 


 


Net decrease

     (189,387     (453,391            
    


 


 


 


Service Shares

                                

Shares sold

     280,903,875       184,811,275       7,279,116       12,108,881  

Shares issued to holders in reinvestment of dividends

     46,117,712       21,862,003       7,031,403       7,603,555  

Shares redeemed

     (303,253,972     (166,111,709     (25,571,030     (28,803,390
    


 


 


 


Net increase (decrease)

     23,767,615       40,561,569       (11,260,511     (9,090,954
    


 


 


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                                

Net dividends and distributions – Institutional Shares

     (158     (11,114            

Net dividends and distributions – Service Shares

     (46,117,717     (21,862,004     (7,033,679     (7,604,672
    


 


 


 


Total dividends and distributions

     (46,117,875     (21,873,118     (7,033,679     (7,604,672
    


 


 


 


INCREASE (DECREASE) IN NET ASSETS

     (84,301,525     89,355,862       (26,080,769     (25,115,830

NET ASSETS:

                                

Beginning of year

     692,145,159       602,789,297       71,780,033       96,895,863  
    


 


 


 


End of year

   $ 607,843,634     $ 692,145,159     $ 45,699,264     $ 71,780,033  
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Institutional Shares

                                

Shares sold

     95       2,293              

Shares issued to holders in reinvestment of dividends

     7       356              

Shares redeemed

     (7,078     (18,931            
    


 


 


 


Net decrease

     (6,976     (16,282            
    


 


 


 


Service Shares

                                

Shares sold

     11,356,474       6,340,347       652,729       768,538  

Shares issued to holders in reinvestment of dividends

     2,051,226       710,405       702,227       522,653  

Shares redeemed

     (11,916,928     (5,674,316     (2,206,058     (1,874,588
    


 


 


 


Net increase (decrease)

     1,490,772       1,376,436       (851,102     (583,397
    


 


 


 


 

See notes to financial statements.

 

112


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 


 

     Small/Mid Cap Core Fund

    World ex-US Fund

 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                                

Net investment income

   $ 506,873     $ 10,830     $ 2,485,633     $ 1,685,046  

Net realized gain on investment transactions

     1,256,717       7,166,955       2,884,420       6,684,551  

Net change in unrealized depreciation on investments

     (12,936,836     (6,144,525     (9,276,405     (8,039,202
    


 


 


 


Net increase (decrease) in net assets resulting from operations

     (11,173,246     1,033,260       (3,906,352     330,395  
    


 


 


 


CAPITAL SHARE TRANSACTIONS:

                                

Institutional Shares

                                

Shares sold

                 151       12,233  

Shares issued to holders in reinvestment of dividends

                 8       741  

Shares redeemed

                 (26,154     (72,840
    


 


 


 


Net decrease

                 (25,995     (59,866
    


 


 


 


Service Shares

                                

Shares sold

     26,442,019       40,939,693       38,594,673       23,919,033  

Shares issued to holders in reinvestment of dividends

     2,058,851       12,188,589       2,939,056       1,529,269  

Shares redeemed

     (27,073,552     (27,623,574     (50,009,329     (37,238,743
    


 


 


 


Net increase (decrease)

     1,427,318       25,504,708       (8,475,600     (11,790,441
    


 


 


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                                

Net dividends and distributions – Institutional Shares

                 (8     (741

Net dividends and distributions – Service Shares

     (2,058,851     (12,188,589     (2,939,065     (1,529,272
    


 


 


 


Total dividends and distributions

     (2,058,851     (12,188,589     (2,939,073     (1,530,013
    


 


 


 


INCREASE (DECREASE) IN NET ASSETS

     (11,804,779     14,349,379       (15,347,020     (13,049,925

NET ASSETS:

                                

Beginning of year

     107,105,729       92,756,350       125,062,085       138,112,010  
    


 


 


 


End of year

   $ 95,300,950     $ 107,105,729     $ 109,715,065     $ 125,062,085  
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Institutional Shares

                                

Shares sold

                 16       1,069  

Shares issued to holders in reinvestment of dividends

                 1       64  

Shares redeemed

                 (2,652     (6,671
    


 


 


 


Net decrease

                 (2,635     (5,538
    


 


 


 


Service Shares

                                

Shares sold

     1,544,637       1,921,507       4,197,627       2,184,015  

Shares issued to holders in reinvestment of dividends

     125,678       595,117       322,230       136,945  

Shares redeemed

     (1,586,525     (1,318,150     (5,372,342     (3,403,084
    


 


 


 


Net increase (decrease)

     83,790       1,198,474       (852,485     (1,082,124
    


 


 


 


 

See notes to financial statements.

 

113


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 


 

     Core Fixed Income Fund

    Growth Allocation Fund

 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                                

Net investment income

   $ 4,223,597     $ 2,243,841     $ 8,852,678     $ 8,821,839  

Net realized gain (loss) on investment transactions

     (12,080,525     (23,486     1,888,841       47,296,585  

Net change in unrealized depreciation on investments

     (5,091,227     (12,718,312     (120,272,532     (272,220
    


 


 


 


Net increase (decrease) in net assets resulting from operations

     (12,948,155     (10,497,957     (109,531,013     55,846,204  
    


 


 


 


CAPITAL SHARE TRANSACTIONS:

                                

Institutional Shares

                                

Shares sold

                 25,114       366,994  

Shares issued to holders in reinvestment of dividends

                 278       37,028  

Shares redeemed

                 (757,103     (2,541,121
    


 


 


 


Net decrease

                 (731,711     (2,137,099
    


 


 


 


Service Shares

                                

Shares sold

     46,197,572       77,062,970       242,390,203       246,731,954  

Shares issued to holders in reinvestment of dividends

     4,263,565       4,697,207       35,500,660       32,026,349  

Shares redeemed

     (63,562,199     (54,038,488     (319,224,478     (241,243,938
    


 


 


 


Net increase (decrease)

     (13,101,062     27,721,689       (41,333,615     37,514,365  
    


 


 


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                                

Net dividends and distributions – Institutional Shares

                 (278     (37,028

Net dividends and distributions – Service Shares

     (4,263,587     (4,697,233     (35,500,660     (32,026,349
    


 


 


 


Total dividends and distributions

     (4,263,587     (4,697,233     (35,500,938     (32,063,377
    


 


 


 


INCREASE (DECREASE) IN NET ASSETS

     (30,312,804     12,526,499       (187,097,277     59,160,093  

NET ASSETS:

                                

Beginning of year

     200,560,432       188,033,933       1,137,283,035       1,078,122,942  
    


 


 


 


End of year

   $ 170,247,628     $ 200,560,432     $ 950,185,758     $ 1,137,283,035  
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Institutional Shares

                                

Shares sold

                 1,652       21,781  

Shares issued to holders in reinvestment of dividends

                 21       2,115  

Shares redeemed

                 (50,994     (157,429
    


 


 


 


Net decrease

                 (49,321     (133,533
    


 


 


 


Service Shares

                                

Shares sold

     5,508,964       7,992,605       17,445,883       14,795,143  

Shares issued to holders in reinvestment of dividends

     519,559       488,605       2,735,028       1,846,218  

Shares redeemed

     (7,694,344     (5,603,826     (22,742,123     (14,505,542
    


 


 


 


Net increase (decrease)

     (1,665,821     2,877,384       (2,561,212     2,135,819  
    


 


 


 


 

See notes to financial statements.

 

114


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 


 

     Conservative Allocation Fund

    Tactical Allocation Fund

 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                                

Net investment income

   $ 11,398,189     $ 9,061,342     $ 6,821,469     $ 1,976,066  

Net realized gain (loss) on investment transactions

     (12,597,587     9,055,589       (33,147,870     69,033,903  

Net change in unrealized appreciation (depreciation) on investments

     (27,287,849     (6,618,739     10,865,970       (22,265,126
    


 


 


 


Net increase (decrease) in net assets resulting from operations

     (28,487,247     11,498,192       (15,460,431     48,744,843  
    


 


 


 


CAPITAL SHARE TRANSACTIONS:

                                

Institutional Shares

                                

Shares sold

     6,520       142,707       42,267       128,879  

Shares issued to holders in reinvestment of dividends

     251       19,960       23,875       95,752  

Shares redeemed

     (267,848     (1,163,521     (271,333     (744,369
    


 


 


 


Net decrease

     (261,077     (1,000,854     (205,191     (519,738
    


 


 


 


Service Shares

                                

Shares sold

     119,398,201       143,881,416       108,999,781       110,745,122  

Shares issued to holders in reinvestment of dividends

     8,621,246       17,723,039       22,530,273       49,222,037  

Shares redeemed

     (172,393,902     (106,687,033     (111,208,633     (110,078,244
    


 


 


 


Net increase (decrease)

     (44,374,455     54,917,422       20,321,421       49,888,915  
    


 


 


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                                

Net dividends and distributions – Institutional Shares

     (251     (19,960     (23,875     (95,752

Net dividends and distributions – Service Shares

     (8,621,246     (17,723,039     (22,530,274     (49,222,036
    


 


 


 


Total dividends and distributions

     (8,621,497     (17,742,999     (22,554,149     (49,317,788
    


 


 


 


INCREASE (DECREASE) IN NET ASSETS

     (81,744,276     47,671,761       (17,898,350     48,796,232  

NET ASSETS:

                                

Beginning of year

     510,082,722       462,410,961       519,412,947       470,616,715  
    


 


 


 


End of year

   $ 428,338,446     $ 510,082,722     $ 501,514,597     $ 519,412,947  
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Institutional Shares

                                

Shares sold

     627       12,238       3,855       10,641  

Shares issued to holders in reinvestment of dividends

     25       1,726       2,263       8,163  

Shares redeemed

     (25,517     (103,371     (24,401     (63,755
    


 


 


 


Net decrease

     (24,865     (89,407     (18,283     (44,951
    


 


 


 


Service Shares

                                

Shares sold

     11,742,067       12,598,971       10,065,407       9,337,653  

Shares issued to holders in reinvestment of dividends

     872,949       1,544,088       2,160,348       4,229,060  

Shares redeemed

     (16,915,702     (9,358,518     (10,290,244     (9,261,795
    


 


 


 


Net increase

     (4,300,686     4,784,541       1,935,511       4,304,918  
    


 


 


 


 

See notes to financial statements.

 

115


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 


 

     Absolute Return
Allocation Fund


    Multi-Asset Income
Allocation Fund


 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                                

Net investment income

   $ 9,670,588     $ 4,759,974     $ 3,396,392     $ 3,325,148  

Net realized gain (loss) on investment transactions

     (26,437,955     1,198,754       (1,361,046     4,292,287  

Net change in unrealized appreciation (depreciation) on investments

     1,390,097       (12,428,090     (9,822,082     (3,308,389
    


 


 


 


Net increase (decrease) in net assets resulting from operations

     (15,377,270     (6,469,362     (7,786,736     4,309,046  
    


 


 


 


CAPITAL SHARE TRANSACTIONS:

                                

Institutional Shares

                                

Shares sold

     6,756       77,360              

Shares issued to holders in reinvestment of dividends

     677       7,241              

Shares redeemed

     (202,020     (316,904            
    


 


 


 


Net decrease

     (194,587     (232,303            
    


 


 


 


Service Shares

                                

Shares sold

     324,648,665       91,788,044       22,572,633       19,831,921  

Shares issued to holders in reinvestment of dividends

     7,994,097       4,472,150       3,695,270       3,347,756  

Shares redeemed

     (321,055,015     (61,979,678     (37,801,710     (45,073,938
    


 


 


 


Net increase (decrease)

     11,587,747       34,280,516       (11,533,807     (21,894,261
    


 


 


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                                

Net dividends and distributions – Institutional Shares

     (677     (7,241            

Net dividends and distributions – Service Shares

     (7,994,097     (4,472,150     (3,695,270     (3,347,756
    


 


 


 


Total dividends and distributions

     (7,994,774     (4,479,391     (3,695,270     (3,347,756
    


 


 


 


INCREASE (DECREASE) IN NET ASSETS

     (11,978,884     23,099,460       (23,015,813     (20,932,971

NET ASSETS:

                                

Beginning of year

     236,232,395       213,132,935       111,888,042       132,821,013  
    


 


 


 


End of year

   $ 224,253,511     $ 236,232,395     $ 88,872,229     $ 111,888,042  
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Institutional Shares

                                

Shares sold

     709       7,268              

Shares issued to holders in reinvestment of dividends

     74       690              

Shares redeemed

     (20,721     (30,333            
    


 


 


 


Net decrease

     (19,938     (22,375            
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Service Shares

                                

Shares sold

     33,601,635       8,737,172       2,182,285       1,705,565  

Shares issued to holders in reinvestment of dividends

     870,248       424,585       369,390       285,830  

Shares redeemed

     (34,015,775     (5,853,630     (3,648,647     (3,873,950
    


 


 


 


Net increase (decrease)

     456,108       3,308,127       (1,096,972     (1,882,555
    


 


 


 


 

See notes to financial statements.

 

116


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 


 

     Flexible Income
Allocation Fund


    Managed Futures
Strategy Fund1


 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                                

Net investment income (loss)

   $ 7,863,238     $ 6,467,892     $ 6,634,274     $ (3,161,620

Net realized gain (loss) on investment transactions

     (46,735,438     1,219,012       12,836,267       27,516,644  

Net change in unrealized appreciation (depreciation) on investments

     13,157,873       (17,128,034     (24,757,209     11,567,031  
    


 


 


 


Net increase (decrease) in net assets resulting from operations

     (25,714,327     (9,441,130     (5,286,668     35,922,055  
    


 


 


 


CAPITAL SHARE TRANSACTIONS:

                                

Institutional Shares

                                

Shares sold

     1,584       1,684       366,815       86,012  

Shares issued to holders in reinvestment of dividends

     313       239       35,142       25,077  

Shares redeemed

     (1,275     (638     (203,416     (438,693
    


 


 


 


Net increase (decrease)

     622       1,285       198,541       (327,604
    


 


 


 


Service Shares

                                

Shares sold

     122,385,834       188,621,759       498,941,528       71,484,905  

Shares issued to holders in reinvestment of dividends

     9,653,021       8,321,885       110,142,951       19,330,980  

Shares redeemed

     (149,331,897     (111,252,166     (245,996,973     (63,742,265
    


 


 


 


Net increase (decrease)

     (17,293,042     85,691,478       363,087,506       27,073,620  
    


 


 


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                                

Net dividends and distributions – Institutional Shares

     (313     (239     (35,142     (25,078

Net dividends and distributions – Service Shares

     (9,653,021     (8,321,884     (110,142,951     (19,330,980
    


 


 


 


Total dividends and distributions

     (9,653,334     (8,322,123     (110,178,093     (19,356,058
    


 


 


 


INCREASE (DECREASE) IN NET ASSETS

     (52,660,081     67,929,510       247,821,286       43,312,013  

NET ASSETS:

                                

Beginning of year

     347,775,373       279,845,863       251,449,201       208,137,188  
    


 


 


 


End of year

   $ 295,115,292     $ 347,775,373     $ 499,270,487     $ 251,449,201  
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Institutional Shares

                                

Shares sold

     170       158       35,855       8,939  

Shares issued to holders in reinvestment of dividends

     34       22       3,755       2,894  

Shares redeemed

     (131     (59     (18,259     (45,310
    


 


 


 


Net increase (decrease)

     73       121       21,351       (33,477
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Service Shares

                                

Shares sold

     13,137,850       17,984,644       47,336,914       7,704,764  

Shares issued to holders in reinvestment of dividends

     1,074,891       787,857       12,187,999       2,283,366  

Shares redeemed

     (16,137,435     (10,621,780     (24,444,350     (6,994,195
    


 


 


 


Net increase (decrease)

     (1,924,694     8,150,721       35,080,563       2,993,935  
    


 


 


 


1Consolidated Statements of Changes in Net Assets (see note 3b).

 

See notes to financial statements.

 

117


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 


 

     Conservative Income Fund

    Income Fund

 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                                

Net investment income

   $ 346,164     $ 69,869     $ 1,085,564     $ 920,118  

Net realized loss on investment transactions

     (341,288     (92,583     (6,245,008     (2,118,319

Net change in unrealized appreciation (depreciation) on investments

     50,611       (102,101     1,652,884       (1,507,377
    


 


 


 


Net increase (decrease) in net assets resulting from operations

     55,487       (124,815     (3,506,560     (2,705,578
    


 


 


 


CAPITAL SHARE TRANSACTIONS:

                                

Shares sold

     14,707,129       6,864,164       24,537,832       14,999,784  

Shares issued to holders in reinvestment of dividends

     333,851       76,343       1,084,689       918,443  

Shares redeemed

     (13,893,111     (11,753,692     (8,867,473     (5,855,535
    


 


 


 


Net increase (decrease)

     1,147,869       (4,813,185     16,755,048       10,062,692  
    


 


 


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                                

Net dividends and distributions

     (333,852     (76,343     (1,084,689     (918,444
    


 


 


 


Total dividends and distributions

     (333,852     (76,343     (1,084,689     (918,444
    


 


 


 


INCREASE (DECREASE) IN NET ASSETS

     869,504       (5,014,343     12,163,799       6,438,670  

NET ASSETS:

                                

Beginning of year

     10,911,849       15,926,192       44,470,391       38,031,721  
    


 


 


 


End of year

   $ 11,781,353     $ 10,911,849     $ 56,634,190     $ 44,470,391  
    


 


 


 


CHANGES IN SHARES OUTSTANDING

                                

Shares sold

     1,509,965       692,076       2,760,584       1,509,807  

Shares issued to holders in reinvestment of dividends

     34,676       7,690       127,816       92,304  

Shares redeemed

     (1,437,264     (1,186,080     (1,028,707     (592,617
    


 


 


 


Net increase (decrease)

     107,377       (486,314     1,859,693       1,009,494  
    


 


 


 


 

See notes to financial statements.

 

118


GuideMark Funds & GuidePath Funds

STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 


 

     Growth & Income Fund

 
     Year Ended
March 31,
2023


    Year Ended
March 31,
2022


 

OPERATIONS:

                

Net investment income

   $ 2,264,523     $ 985,853  

Net realized gain (loss) on investment transactions

     (3,258,069     3,574,209  

Net change in unrealized appreciation (depreciation) on investments

     (1,745,441     2,729,306  
    


 


Net increase (decrease) in net assets resulting from operations

     (2,738,987     7,289,368  
    


 


CAPITAL SHARE TRANSACTIONS:

                

Shares sold

     27,064,823       33,406,696  

Shares issued to holders in reinvestment of dividends

     2,147,781       15,108,720  

Shares redeemed

     (34,342,235     (10,695,867
    


 


Net increase (decrease)

     (5,129,631     37,819,549  
    


 


DIVIDENDS AND DISTRIBUTIONS TO SHAREHOLDERS:

                

Net dividends and distributions

     (2,147,781     (15,108,720
    


 


Total dividends and distributions

     (2,147,781     (15,108,720
    


 


INCREASE (DECREASE) IN NET ASSETS

     (10,016,399     30,000,197  

NET ASSETS:

                

Beginning of year

     116,833,573       86,833,376  
    


 


End of year

   $ 106,817,174     $ 116,833,573  
    


 


CHANGES IN SHARES OUTSTANDING

                

Shares sold

     2,586,598       2,763,459  

Shares issued to holders in reinvestment of dividends

     208,178       1,297,682  

Shares redeemed

     (3,184,948     (894,613
    


 


Net increase (decrease)

     (390,172     3,166,528  
    


 


 

See notes to financial statements.

 

119


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Large Cap Core Fund

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $29.278        $27.015        $16.348        $18.650        $17.755  

Income from investment operations:

                                            

Net investment income1

     0.101        0.194        0.195        0.234        0.175  

Net realized and unrealized gains (losses) on investments

     (2.770      3.110        10.688        (2.234      1.194  
    


  


  


  


  


Total from investment operations

     (2.669      3.304        10.883        (2.000      1.369  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.230      (0.234      (0.216      (0.116      (0.191

Distributions from net realized gains

     (2.142      (0.807             (0.186      (0.283
    


  


  


  


  


Total distributions

     (2.372      (1.041      (0.216      (0.302      (0.474
    


  


  


  


  


Net asset value, end of year

     $24.237        $29.278        $27.015        $16.348        $18.650  
    


  


  


  


  


Total return

     (8.62)%        11.99%        66.66%        (11.07)%        8.09%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $1,810        $206,440        $630,350        $479,829        $538,016  

Ratio of expenses to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense2

     0.53%        0.55%        0.56%        0.59%        0.63%  

After expense reimbursement (recapture) and securities lending credit including interest expense2

     0.52%        0.54%        0.51%        0.56%        0.60%  

Ratio of net investment income to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit

     0.35%        0.64%        0.80%        1.16%        0.91%  

After expense reimbursement (recapture) and securities lending credit

     0.36%        0.65%        0.85%        1.19%        0.94%  

Portfolio turnover rate

     46.39%        25.18%        34.13%        28.54%        45.31%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00% respectively.

 

See notes to financial statements.

 

120


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

    Large Cap Core Fund

 
    Service

 
    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2021


    Year Ended
March 31,
2020


    Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                       

Net asset value, beginning of year

    $28.797       $26.584       $16.106       $18.401       $17.503  

Income from investment operations:

                                       

Net investment income1

    0.205       0.096       0.059       0.114       0.073  

Net realized and unrealized gains (losses) on investments

    (2.879     3.045       10.515       (2.202     1.184  
   


 


 


 


 


Total from investment operations

    (2.674     3.141       10.574       (2.088     1.257  
   


 


 


 


 


Less distributions:

                                       

Distributions from net investment income

    (0.161     (0.121     (0.096     (0.021     (0.076

Distributions from net realized gains

    (2.142     (0.807           (0.186     (0.283
   


 


 


 


 


Total distributions

    (2.303     (0.928     (0.096     (0.207     (0.359
   


 


 


 


 


Net asset value, end of year

    $23.820       $28.797       $26.584       $16.106       $18.401  
   


 


 


 


 


Total return

    (8.81)%       11.59%       65.69%       (11.59)%       7.47%  

Supplemental data and ratios:

                                       

Net assets, end of year

    $607,841,824       $691,938,719       $602,158,947       $326,952,939       $332,500,169  

Ratio of expenses to average net assets

                                       

Before expense reimbursement (recapture) and securities lending credit including interest expense2

    0.90%       0.89%       1.15%       1.18%       1.22%  

After expense reimbursement (recapture) and securities lending credit including interest expense2

    0.87%       0.89%       1.10%       1.14%       1.19%  

Ratio of net investment income (loss) to average net assets

                                       

Before expense reimbursement (recapture) and securities lending credit

    0.79%       0.33%       0.21%       0.55%       0.37%  

After expense reimbursement (recapture) and securities lending credit

    0.82%       0.33%       0.26%       0.59%       0.40%  

Portfolio turnover rate

    46.39%       25.18%       34.13%       28.54%       45.31%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.

 

See notes to financial statements.

 

121


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Emerging Markets Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $13.573        $16.502        $10.516        $13.278        $17.063  

Income from investment operations:

                                            

Net investment income1

     0.324        0.214        0.049        0.175        0.109  

Net realized and unrealized gains (losses) on investments

     (1.870      (1.727      5.968        (2.690      (2.028
    


  


  


  


  


Total from investment operations

     (1.546      (1.513      6.017        (2.515      (1.919
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.486      (0.258      (0.031      (0.247      (1.196

Distributions from net realized gains

     (1.242      (1.158                    (0.670
    


  


  


  


  


Total distributions

     (1.728      (1.416      (0.031      (0.247      (1.866
    


  


  


  


  


Net asset value, end of year

     $10.299        $13.573        $16.502        $10.516        $13.278  
    


  


  


  


  


Total return

     (11.02)%        (9.75)%        57.85%3        (19.40)%        (10.05)%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $45,699,264        $71,780,033        $96,895,863        $64,153,851        $85,623,549  

Ratio of expenses to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense2

     1.84%        1.40%        1.55%        1.79%        1.69%  

After expense reimbursement (recapture) and securities lending credit including interest expense2

     1.40%        1.39%        1.64%        1.65%        1.66%  

Ratio of net investment income to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit

     2.39%        1.32%        0.43%        1.20%        0.72%  

After expense reimbursement (recapture) and securities lending credit

     2.83%        1.33%        0.34%        1.34%        0.75%  

Portfolio turnover rate

     43.50%        47.80%        58.36%        42.60%        47.18%  

 

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.01%, 0.00%, 0.00%, 0.00% and 0.01%, respectively.
3    The returns reflect the actual performance for each period and do not include the impact of any adjustments made for financial reporting required by Generally Accepted Accounting Principles (GAAP).

 

See notes to financial statements.

 

122


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Small/Mid Cap Core Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $19.122        $21.067        $10.765        $14.385        $14.908  

Income from investment operations:

                                            

Net investment income (loss)1

     0.089        0.002        (0.040      (0.007      (0.022

Net realized and unrealized gains (losses) on investments

     (2.074      0.447        10.720        (3.393      0.348  
    


  


  


  


  


Total from investment operations

     (1.985      0.449        10.680        (3.400      0.326  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.063      (0.046      (0.024      (0.016       

Distributions from net realized gains

     (0.311      (2.348      (0.354      (0.204      (0.849
    


  


  


  


  


Total distributions

     (0.374      (2.394      (0.378      (0.220      (0.849
    


  


  


  


  


Net asset value, end of year

     $16.763        $19.122        $21.067        $10.765        $14.385  
    


  


  


  


  


Total return

     (10.34)%        1.38%        99.76%        (24.10)%        2.99%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $95,300,950        $107,105,729        $92,756,350        $52,904,611        $63,904,945  

Ratio of expenses to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense2

     1.17%        1.17%        1.46%        1.50%        1.56%  

After expense reimbursement (recapture) and securities lending credit including interest expense2

     1.06%        1.14%        1.31%        1.39%        1.45%  

Ratio of net investment income to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit

     0.41%        (0.03)%        (0.40)%        (0.16)%        (0.25)%  

After expense reimbursement (recapture) and securities lending credit

     0.52%        0.01%        (0.25)%        (0.05)%        (0.14)%  

Portfolio turnover rate

     24.59%        36.38%        37.81%        26.54%        39.01%  

 

1    Net investment income/(loss) per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.

 

See notes to financial statements.

 

123


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     World ex-US Fund

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $10.611        $10.768        $7.537        $9.100        $9.759  

Income from investment operations:

                                            

Net investment income1

     0.327        0.158        0.125        0.222        0.194  

Net realized and unrealized gains (losses) on investments

     (0.581      (0.136      3.386        (1.610      (0.680
    


  


  


  


  


Total from investment operations

     (0.254      0.022        3.511        (1.388      (0.486
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.257      (0.179      (0.280      (0.175      (0.173

Distributions from net realized gains

     (0.072                            
    


  


  


  


  


Total distributions

     (0.329      (0.179      (0.280      (0.175      (0.173
    


  


  


  


  


Net asset value, end of year

     $10.028        $10.611        $10.768        $7.537        $9.100  
    


  


  


  


  


Total return

     (2.18)%        0.08%        46.72%        (15.69)%        (4.79)%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $269        $28,243        $88,302        $78,232        $534,233  

Ratio of expenses to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense2

     0.76%        0.89%        0.79%        0.77%        0.80%  

After expense reimbursement (recapture) and securities lending credit including interest expense2

     0.79%        0.79%        0.79%        0.79%        0.79%  

Ratio of net investment income to average net assets

                                            

Before expense reimbursement (recapture) and securities lending credit

     3.23%        1.29%        1.30%        2.43%        2.04%  

After expense reimbursement (recapture) and securities lending credit

     3.20%        1.39%        1.30%        2.41%        2.05%  

Portfolio turnover rate

     54.13%        33.89%        46.15%        25.52%        59.18%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.

 

See notes to financial statements.

 

124


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

    World ex-US Fund

 
    Service

 
    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2021


    Year Ended
March 31,
2020


    Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                       

Net asset value, beginning of year

    $10.306       $10.445       $7.303       $8.856       $9.507  

Income from investment operations:

                                       

Net investment income1

    0.229       0.131       0.081       0.142       0.121  

Net realized and unrealized gains (losses) on investments

    (0.526     (0.150     3.263       (1.538     (0.643
   


 


 


 


 


Total from investment operations

    (0.297     (0.019     3.344       (1.396     (0.522
   


 


 


 


 


Less distributions:

                                       

Distributions from net investment income

    (0.210     (0.120     (0.202     (0.157     (0.129

Distributions from net realized gains

    (0.072                        
   


 


 


 


 


Total distributions

    (0.282     (0.120     (0.202     (0.157     (0.129
   


 


 


 


 


Net asset value, end of year

    $9.727       $10.306       $10.445       $7.303       $8.856  
   


 


 


 


 


Total return

    (2.70)%       (0.27)%       45.89%       (16.16)%       (5.36)%  

Supplemental data and ratios:

                                       

Net assets, end of year

    $109,714,796       $125,033,842       $138,023,708       $110,561,165       $216,435,566  

Ratio of expenses to average net assets

                                       

Before expense reimbursement (recapture) and securities lending credit including interest expense2

    1.26%       1.25%       1.38%       1.36%       1.40%  

After expense reimbursement (recapture) and securities lending credit including interest expense2

    1.14%       1.14%       1.37%       1.35%       1.39%  

Ratio of net investment income to average net assets

                                       

Before expense reimbursement (recapture) and securities lending credit

    2.37%       1.08%       0.88%       1.58%       1.32%  

After expense reimbursement (recapture) and securities lending credit

    2.49%       1.19%       0.89%       1.59%       1.33%  

Portfolio turnover rate

    54.13%       33.89%       46.15%       25.52%       59.18%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.

 

See notes to financial statements.

 

125


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

    Core Fixed Income Fund

 
    Service

 
    Year Ended
March 31,
2023


    Year Ended
March 31,
2022


    Year Ended
March 31,
2021


    Year Ended
March 31,
2020


    Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                       

Net asset value, beginning of year

    $9.009       $9.700       $9.798       $9.270       $9.131  

Income from investment operations:

                                       

Net investment income1

    0.194       0.110       0.112       0.170       0.176  

Net realized and unrealized gains (losses) on investments

    (0.740     (0.571     0.1413       0.490       0.144  
   


 


 


 


 


Total from investment operations

    (0.546     (0.461     0.253       0.660       0.320  
   


 


 


 


 


Less distributions:

                                       

Distributions from net investment income

    (0.197     (0.124     (0.184     (0.108     (0.181

Distributions from net realized gains

          (0.106     (0.167     (0.024      
   


 


 


 


 


Total distributions

    (0.197     (0.230     (0.351     (0.132     (0.181
   


 


 


 


 


Net asset value, end of year

    $8.266       $9.009       $9.700       $9.798       $9.270  
   


 


 


 


 


Total return

    (6.02)%       (4.88)%       2.47%       7.16%       3.57%  

Supplemental data and ratios:

                                       

Net assets, end of year

    $170,247,628       $200,560,432       $188,033,933       $135,386,961       $132,792,238  

Ratio of expenses to average net assets

                                       

Before expense reimbursement (recapture) and securities lending credit including interest expense2

    0.99%       0.99%       1.28%       1.29%       1.34%  

After expense reimbursement (recapture) and securities lending credit including interest expense2

    0.94%       0.94%       1.19%       1.19%       1.19%  

Ratio of net investment income to average net assets

                                       

Before expense reimbursement (recapture) and securities lending credit

    2.28%       1.09%       1.01%       1.67%       1.80%  

After expense reimbursement (recapture) and securities lending credit

    2.33%       1.14%       1.10%       1.77%       1.95%  

Portfolio turnover rate

    252.14%       263.72%       283.45%       278.67%       239.11%  

 

1    Net investment income/(loss) per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
3    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.

 

See notes to financial statements.

 

126


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Growth Allocation Fund

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $16.192        $15.776        $10.139        $11.553        $11.534  

Income from investment operations:

                                            

Net investment income1

     (0.023      0.168        0.140        0.199        0.227  

Net realized and unrealized gains (losses) on investments

     (1.597 )5       0.751        5.843        (1.407      (0.003)5  
    


  


  


  


  


Total from investment operations

     (1.620      0.919        5.983        (1.208      0.224  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.066      (0.173      (0.147      (0.206      (0.193

Distributions from net realized gains

     (0.506      (0.330      (0.199             (0.012
    


  


  


  


  


Total distributions

     (0.572      (0.503      (0.346      (0.206      (0.205
    


  


  


  


  


Net asset value, end of year

     $14.000        $16.192        $15.776        $10.139        $11.553  
    


  


  


  


  


Total return

     (9.75)%        5.59%        59.19%        (10.82)%        2.22%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $7,255        $806,977        $2,892,788        $4,402,611        $5,450,557  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.33%        0.33%        0.34%        0.38%        0.40%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.28%        0.29%        0.30%        0.33%        0.35%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     (0.20)%        0.96%        0.99%        1.60%        1.92%  

After expense reimbursement (recapture) and securities lending credit

     (0.15)%        1.00%        1.03%        1.65%        1.97%  

Portfolio turnover rate

     22.84%        17.09%        39.58%        37.80%        53.89%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.01%, respectively.
4    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.
5    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.

 

See notes to financial statements.

 

127


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Growth Allocation Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $16.029        $15.636        $10.062        $11.477        $11.458  

Income from investment operations:

                                            

Net investment income1

     0.127        0.126        0.064        0.128        0.160  

Net realized and unrealized gains (losses) on investments

     (1.718      0.726        5.780        (1.402      0.0035  
    


  


  


  


  


Total from investment operations

     (1.591      0.852        5.844        (1.274      0.163  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.028      (0.129      (0.072      (0.141      (0.132

Distributions from net realized gains

     (0.506      (0.330      (0.198             (0.012
    


  


  


  


  


Total distributions

     (0.534      (0.459      (0.270      (0.141      (0.144
    


  


  


  


  


Net asset value, end of year

     $13.904        $16.029        $15.636        $10.062        $11.477  
    


  


  


  


  


Total return

     (9.69)%        5.22%        58.23%        (11.35)%        1.61%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $950,178,503        $1,136,476,058        $1,075,230,154        $739,949,997        $788,314,442  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.69%        0.68%        0.94%        0.97%        1.00%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.64%        0.64%        0.90%        0.93%        0.95%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     0.87%        0.71%        0.44%        1.03%        1.35%  

After expense reimbursement (recapture) and securities lending credit

     0.92%        0.75%        0.48%        1.07%        1.40%  

Portfolio turnover rate

     22.84%        17.09%        39.58%        37.80%        53.89%  

Portfolio Turnover is calculated for the Fund as a whole.

1   Net investment income per share has been calculated based on average shares outstanding during the year.
2   These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3   Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.01%, 0.00%, 0.00%, 0.00% and 0.01%, respectively.
4   Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.
5    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.

 

See notes to financial statements.

 

128


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Conservative Allocation Fund

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $11.071        $11.164        $9.204        $9.677        $9.538  

Income from investment operations:

                                            

Net investment income1

     0.272        0.247        0.262        0.288        0.255  

Net realized and unrealized gains (losses) on investments

     (0.829      0.101        1.978        (0.491      0.104  
    


  


  


  


  


Total from investment operations

     (0.557      0.348        2.240        (0.203      0.359  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.215      (0.246      (0.244      (0.270      (0.205

Distributions from net realized gains

     (0.039      (0.195      (0.036             (0.015
    


  


  


  


  


Total distributions

     (0.254      (0.441      (0.280      (0.270      (0.220
    


  


  


  


  


Net asset value, end of year

     $10.260        $11.071        $11.164        $9.204        $9.677  
    


  


  


  


  


Total return

     (4.97)%        2.95%        24.42%        (2.41)%        3.97%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $10,563        $286,674        $1,287,200        $1,713,169        $2,268,382  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.33%        0.35%        0.36%        0.40%        0.42%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.10%        0.10%        0.10%        0.10%        0.10%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     2.33%        1.89%        2.22%        2.57%        2.35%  

After expense reimbursement (recapture) and securities lending credit

     2.56%        2.14%        2.48%        2.87%        2.67%  

Portfolio turnover rate

     48.39%        28.28%        38.17%        58.96%        69.19%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
4    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

129


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Conservative Allocation Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $10.978        $11.070        $9.137        $9.617        $9.482  

Income from investment operations:

                                            

Net investment income1

     0.266        0.207        0.199        0.226        0.196  

Net realized and unrealized gains (losses) on investments

     (0.865      0.098        1.959        (0.490      0.107  
    


  


  


  


  


Total from investment operations

     (0.599      0.305        2.158        (0.264      0.303  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.175      (0.202      (0.189      (0.216      (0.153

Distributions from net realized gains

     (0.039      (0.195      (0.036             (0.015
    


  


  


  


  


Total distributions

     (0.214      (0.397      (0.225      (0.216      (0.168
    


  


  


  


  


Net asset value, end of year

     $10.165        $10.978        $11.070        $9.137        $9.617  
    


  


  


  


  


Total return

     (5.39)%        2.60%        23.67%        (2.99)%        3.35%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $428,327,883        $509,796,048        $461,123,761        $314,935,864        $337,130,990  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.71%        0.70%        0.96%        0.99%        1.02%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.45%        0.45%        0.70%        0.70%        0.70%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     2.37%        1.56%        1.64%        1.98%        1.75%  

After expense reimbursement (recapture) and securities lending credit

     2.63%        1.81%        1.90%        2.27%        2.07%  

Portfolio turnover rate

     48.39%        28.28%        38.17%        58.96%        69.19%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
4    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

130


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Tactical Allocation Fund

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $11.499        $11.487        $10.019        $10.962        $10.950  

Income from investment operations:

                                            

Net investment income1

     0.183        0.088        0.073        0.129        0.138  

Net realized and unrealized gains (losses) on investments

     (0.485      1.167        1.958        (0.517      0.408  
    


  


  


  


  


Total from investment operations

     (0.302      1.255        2.031        (0.388      0.546  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

            (0.101      (0.051      (0.108      (0.128

Distributions from net realized gains

     (0.500      (1.142      (0.512      (0.447      (0.406
    


  


  


  


  


Total distributions

     (0.500      (1.243      (0.563      (0.555      (0.534
    


  


  


  


  


Net asset value, end of year

     $10.697        $11.499        $11.487        $10.019        $10.962  
    


  


  


  


  


Total return

     (2.56)%        10.71%        20.69%        (4.27)%        5.59%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $539,126        $789,761        $1,305,328        $1,553,075        $1,506,030  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.45%        0.46%        0.47%        0.50%        0.51%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.44%        0.43%        0.45%        0.46%        0.43%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     1.66%        0.70%        0.65%        1.10%        1.15%  

After expense reimbursement (recapture) and securities lending credit

     1.67%        0.73%        0.67%        1.14%        1.23%  

Portfolio turnover rate

     248.27%        406.19%        443.30%        500.28%        336.60%  

Portfolio Turnover is calculated for the Fund as a whole.

 

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
4    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

131


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Tactical Allocation Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $11.400        $11.394        $9.960        $10.919        $10.907  

Income from investment operations:

                                            

Net investment income1

     0.149        0.047        0.010        0.061        0.074  

Net realized and unrealized gains (losses) on investments

     (0.486      1.154        1.941        (0.515      0.410  
    


  


  


  


  


Total from investment operations

     (0.337      1.201        1.951        (0.454      0.484  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

            (0.053      (0.005      (0.058      (0.066

Distributions from net realized gains

     (0.500      (1.142      (0.512      (0.447      (0.406
    


  


  


  


  


Total distributions

     (0.500      (1.195      (0.517      (0.505      (0.472
    


  


  


  


  


Net asset value, end of year

     $10.563        $11.400        $11.394        $9.960        $10.919  
    


  


  


  


  


Total return

     (2.90)%        10.32%        19.96%        (4.83)%        4.96%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $500,975,471        $518,623,186        $469,311,387        $323,199,482        $341,839,666  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.80%        0.81%        1.07%        1.10%        1.11%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.79%        0.78%        1.05%        1.06%        1.03%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     1.37%        0.36%        0.07%        0.50%        0.58%  

After expense reimbursement (recapture) and securities lending credit

     1.38%        0.39%        0.09%        0.54%        0.66%  

Portfolio turnover rate

     248.27%        406.19%        443.30%        500.28%        336.60%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
4    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

132


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Absolute Return Allocation Fund

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $10.053        $10.554        $10.005        $10.402        $10.335  

Income from investment operations:

                                            

Net investment income1

     0.346        0.267        0.256        0.329        0.346  

Net realized and unrealized gains (losses) on investments

     (0.775      (0.516      0.6382        (0.367      (0.003)2  
    


  


  


  


  


Total from investment operations

     (0.429      (0.249      0.894        (0.038      0.343  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.252      (0.252      (0.345      (0.359      (0.276
    


  


  


  


  


Total distributions

     (0.252      (0.252      (0.345      (0.359      (0.276
    


  


  


  


  


Net asset value, end of year

     $9.372        $10.053        $10.554        $10.005        $10.402  
    


  


  


  


  


Total return

     (4.21)%        (2.46)%        8.92%        (0.53)%        3.43%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $26,541        $228,905        $476,449        $1,133,623        $667,898  

Ratio of expenses to average net assets3

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense4

     0.50%        0.47%        0.49%        0.50%        0.51%  

After expense reimbursement (recapture) and securities lending credit including interest expense4

     0.22%        0.20%        0.21%        0.21%        0.20%  

Ratio of net investment income to average net assets5

                                            

Before expense reimbursement (recapture) and securities lending credit

     3.31%        2.26%        2.15%        2.82%        3.04%  

After expense reimbursement (recapture) and securities lending credit

     3.59%        2.53%        2.43%        3.11%        3.35%  

Portfolio turnover rate

     152.99%        27.64%        65.03%        161.00%        146.82%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Realized and unrealized gains and losses per share in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with the aggregate gains and losses in the Statement of Operations due to share transactions for the year.
3    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
4    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.02%, 0.00%, 0.01%, 0.01% and 0.00%, respectively.
5    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

133


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Absolute Return Allocation Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $10.080        $10.578        $10.010        $10.402        $10.348  

Income from investment operations:

                                            

Net investment income1

     0.286        0.227        0.195        0.266        0.283  

Net realized and unrealized gains (losses) on investments

     (0.750      (0.515      0.6345        (0.368      (0.001)5  
    


  


  


  


  


Total from investment operations

     (0.464      (0.288      0.829        (0.102      0.282  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.222      (0.210      (0.261      (0.290      (0.228
    


  


  


  


  


Total distributions

     (0.222      (0.210      (0.261      (0.290      (0.228
    


  


  


  


  


Net asset value, end of year

     $9.394        $10.080        $10.578        $10.010        $10.402  
    


  


  


  


  


Total return

     (4.56)%        (2.80)%        8.26%        (1.11)%        2.81%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $224,226,970        $236,003,490        $212,656,486        $391,177,265        $312,866,645  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.86%        0.82%        1.09%        1.10%        1.11%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.58%        0.55%        0.81%        0.81%        0.80%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     2.73%        1.87%        1.57%        2.22%        2.44%  

After expense reimbursement (recapture) and securities lending credit

     3.01%        2.14%        1.85%        2.51%        2.75%  

Portfolio turnover rate

     152.99%        27.64%        65.03%        161.00%        146.82%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.03%, 0.00%, 0.01%, 0.01% and 0.00%, respectively.
4    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.
5    Realized and unrealized gains and losses per share in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with the aggregate gains and losses in the Statement of Operations due to share transactions for the year.

 

See notes to financial statements.

 

134


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Multi-Asset Income Allocation Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $11.373        $11.332        $9.056        $10.660        $10.603  

Income from investment operations:

                                            

Net investment income1

     0.370        0.313        0.270        0.344        0.358  

Net realized and unrealized gains (losses) on investments

     (1.169      0.044        2.272        (1.632      0.062  
    


  


  


  


  


Total from investment operations

     (0.799      0.357        2.542        (1.288      0.420  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.407      (0.316      (0.266      (0.313      (0.363

Distributions from net realized gains

                          (0.003       
    


  


  


  


  


Total distributions

     (0.407      (0.316      (0.266      (0.316      (0.363
    


  


  


  


  


Net asset value, end of year

     $10.167        $11.373        $11.332        $9.056        $10.660  
    


  


  


  


  


Total return

     (6.92)%        3.09%        28.42%        (12.53)%        4.13%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $88,872,229        $111,888,042        $132,821,013        $112,044,753        $132,260,092  

Ratio of expenses to average net assets2

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense3

     0.85%        0.84%        1.09%        1.12%        1.15%  

After expense reimbursement (recapture) and securities lending credit including interest expense3

     0.59%        0.70%        0.96%        0.92%        0.82%  

Ratio of net investment income to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     3.32%        2.55%        2.48%        2.99%        3.08%  

After expense reimbursement (recapture) and securities lending credit

     3.58%        2.69%        2.61%        3.19%        3.41%  

Portfolio turnover rate

     65.66%        24.21%        73.27%        85.15%        44.77%  

 

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
3    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.01%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
4    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

135


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Flexible Income Allocation Fund

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $10.080        $10.582        $9.368        $9.422        $9.577  

Income from investment operations:

                                            

Net investment income1

     0.270        0.254        0.511        0.391        0.426  

Net realized and unrealized gains (losses) on investments

     (0.971      (0.453      0.9892        (0.076)2        (0.183
    


  


  


  


  


Total from investment operations

     (0.701      (0.199      1.500        0.315        0.243  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.291      (0.236      (0.286      (0.369      (0.398

Distributions from net realized gains

     (0.067      (0.067                     
    


  


  


  


  


Total distributions

     (0.358      (0.303      (0.286      (0.369      (0.398
    


  


  


  


  


Net asset value, end of year

     $9.021        $10.080        $10.582        $9.368        $9.422  
    


  


  


  


  


Total return

     (6.92)%        (2.02)%        16.10%        3.38%        2.58%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $8,353        $8,598        $7,747        $34,154        $26,280  

Ratio of expenses to average net assets3

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense4

     0.30%        0.30%        0.37%        0.45%        0.56%  

After expense reimbursement (recapture) and securities lending credit including interest expense4

     0.15%        0.15%        0.15%        0.15%        0.16%  

Ratio of net investment income to average net assets5

                                            

Before expense reimbursement (recapture) and securities lending credit

     2.74%        2.24%        4.84%        3.81%        4.07%  

After expense reimbursement (recapture) and securities lending credit

     2.89%        2.39%        5.06%        4.11%        4.47%  

Portfolio turnover rate

     483.66%        195.55%        211.84%        517.05%        380.48%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Realized and unrealized gains and losses per share in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with the aggregate gains and losses in the Statement of Operations due to share transactions for the year.
3    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
4    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.01%, respectively.
5    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

136


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Flexible Income Allocation Fund

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $9.991        $10.497        $9.304        $9.366        $9.525  

Income from investment operations:

                                            

Net investment income1

     0.230        0.213        0.250        0.331        0.361  

Net realized and unrealized gains (losses) on investments

     (0.960      (0.445      1.1752        (0.076 )2       (0.173
    


  


  


  


  


Total from investment operations

     (0.730      (0.232      1.425        0.255        0.188  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.220      (0.207      (0.232      (0.317      (0.347

Distributions from net realized gains

     (0.067      (0.067                     
    


  


  


  


  


Total distributions

     (0.287      (0.274      (0.232      (0.317      (0.347
    


  


  


  


  


Net asset value, end of year

     $8.974        $9.991        $10.497        $9.304        $9.366  
    


  


  


  


  


Total return

     (7.27)%        (2.33)%        15.38%        2.76%        2.00%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $295,106,939        $347,766,775        $279,838,116        $98,516,379        $59,741,077  

Ratio of expenses to average net assets3

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense4

     0.70%        0.70%        0.99%        1.05%        1.15%  

After expense reimbursement (recapture) and securities lending credit including interest expense4

     0.50%        0.50%        0.75%        0.75%        0.77%  

Ratio of net investment income to average net assets5

                                            

Before expense reimbursement (recapture) and securities lending credit

     2.28%        1.83%        2.17%        3.20%        3.45%  

After expense reimbursement (recapture) and securities lending credit

     2.48%        2.03%        2.41%        3.50%        3.83%  

Portfolio turnover rate

     483.66%        195.55%        211.84%        517.05%        380.48%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income per share has been calculated based on average shares outstanding during the year.
2    Realized and unrealized gains and losses per share in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with the aggregate gains and losses in the Statement of Operations due to share transactions for the year.
3    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
4    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.02%, respectively.
5    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.

 

See notes to financial statements.

 

137


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Managed Futures Strategy Fund (Consolidated)

 
     Institutional

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $10.136        $9.504        $8.813        $8.067        $8.665  

Income from investment operations:

                                            

Net investment income (loss)1

     0.241        (0.106      (0.084      0.063        0.081  

Net realized and unrealized gains (losses) on investments

     0.557 3       1.607        1.079        1.097        (0.679
    


  


  


  


  


Total from investment operations

     0.798        1.501        0.995        1.160        (0.598
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (1.085      (0.262             (0.131       

Distributions from net realized gains

     (1.299      (0.607      (0.304      (0.283       
    


  


  


  


  


Total distributions

     (2.384      (0.869      (0.304      (0.414       
    


  


  


  


  


Net asset value, end of year

     $8.550        $10.136        $9.504        $8.813        $8.067  
    


  


  


  


  


Total return

     5.85%        17.34%        11.46%        14.70%        (6.90)%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $331,615        $176,686        $483,785        $1,220,564        $961,919  

Ratio of expenses to average net assets

                                            

Before expense reimbursement (recapture) and fees waived including interest expense2

     1.21%        1.19%        1.21%        1.25%        1.27%  

After expense reimbursement (recapture) and fees waived including interest expense2

     1.21%        1.19%        1.29%        1.30%        1.30%  

Ratio of net investment gain (loss) to average net assets

                                            

Before expense reimbursement (recapture) and fees waived

     2.52%        (1.12)%        (0.87)%        0.79%        1.03%  

After expense reimbursement (recapture) and fees waived

     2.52%        (1.12)%        (0.95)%        0.74%        1.00%  

Portfolio turnover rate

     0.00%        0.00%        0.00%        0.00%        0.00%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income (loss) per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
3    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.

 

See notes to financial statements.

 

138


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Managed Futures Strategy Fund (Consolidated)

 
     Service

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     Year Ended
March 31,
2019


 

Per share data for a share of capital stock outstanding for the entire year and selected information for the year are as follows:

                                            

Net asset value, beginning of year

     $9.893        $9.268        $8.648        $7.914        $8.551  

Income from investment operations:

                                            

Net investment income (loss)1

     0.160        (0.136      (0.129      0.011        0.035  

Net realized and unrealized gains (losses) on investments

     0.542 3       1.570        1.053        1.077        (0.672
    


  


  


  


  


Total from investment operations

     0.702        1.434        0.924        1.088        (0.637
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (1.046      (0.202             (0.071       

Distributions from net realized gains

     (1.299      (0.607      (0.304      (0.283       
    


  


  


  


  


Total distributions

     (2.345      (0.809      (0.304      (0.354       
    


  


  


  


  


Net asset value, end of year

     $8.250        $9.893        $9.268        $8.648        $7.914  
    


  


  


  


  


Total return

     5.04%        16.94%        10.84%        14.03%        (7.45)%  

Supplemental data and ratios:

                                            

Net assets, end of year

     $498,938,872        $251,272,515        $207,653,403        $221,868,264        $156,397,141  

Ratio of expenses to average net assets

                                            

Before expense reimbursement (recapture) and fees waived including interest expense2

     1.52%        1.54%        1.80%        1.85%        1.87%  

After expense reimbursement (recapture) and fees waived including interest expense2

     1.52%        1.54%        1.81%        1.90%        1.90%  

Ratio of net investment gain (loss) to average net assets

                                            

Before expense reimbursement (recapture) and fees waived

     1.52%        (1.47)%        (1.47)%        0.18%        0.47%  

After expense reimbursement (recapture) and fees waived

     1.52%        (1.47)%        (1.48)%        0.13%        0.44%  

Portfolio turnover rate

     0.00%        0.00%        0.00%        0.00%        0.00%  

Portfolio Turnover is calculated for the Fund as a whole.

1    Net investment income (loss) per share has been calculated based on average shares outstanding during the year.
2    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.00%, 0.00% and 0.00%, respectively.
3    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.

 

See notes to financial statements.

 

139


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Conservative Income Fund

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     April 30, 20181
through
March  31,
2019


 

Per share data for a share of capital stock outstanding for the entire period/year and selected information for the period/year are as follows:

                                            

Net asset value, beginning of period/year

     $9.776        $9.938        $9.899        $9.987        $10.000  

Income from investment operations:

                                            

Net investment income2

     0.204        0.049        0.029        0.177        0.153  

Net realized and unrealized gains (losses) on investments

     (0.136      (0.159      0.044        (0.092      (0.020)7  
    


  


  


  


  


Total from investment operations

     0.068        (0.110      0.073        0.085        0.133  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.215      (0.052      (0.034      (0.173      (0.144

Distributions from net realized gains

                                 (0.002
    


  


  


  


  


Total distributions

     (0.215      (0.052      (0.034      (0.173      (0.146
    


  


  


  


  


Net asset value, end of period/year

     $9.629        $9.776        $9.938        $9.899        $9.987  
    


  


  


  


  


Total return

     0.71%        (1.12)%        0.74%        0.85%        1.34%3  

Supplemental data and ratios:

                                            

Net assets, end of period/year

     $11,781,353        $10,911,849        $15,926,192        $6,724,818        $973,527  

Ratio of expenses to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit

     0.95%        1.06%        1.14%        2.23%        43.40%5  

After expense reimbursement (recapture) and securities lending credit

     0.64%        0.64%        0.64%        0.64%        0.64%5  

Ratio of net investment income to average net assets6

                                            

Before expense reimbursement (recapture) and fees waived

     1.81%        0.08%        (0.20)%        0.18%        (41.09)%5  

After expense reimbursement (recapture) and fees waived

     2.12%        0.50%        0.30%        1.77%        1.67%5  

Portfolio turnover rate

     398.32%        161.18%        190.65%        190.99%        388.79%3  

 

1    Commencement of operations.
2    Net investment income per share has been calculated based on average shares outstanding during the period/year.
3    Not annualized.
4    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
5    Annualized.
6    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.
7    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.

 

See notes to financial statements.

 

140


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Income Fund

 
     Year Ended
March 31,
2023


     Year Ended
March 31,
2022


     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     April 30, 20181
through
March  31,
2019


 

Per share data for a share of capital stock outstanding for the entire period/year and selected information for the period/year are as follows:

                                            

Net asset value, beginning of period/year

     $9.204        $9.950        $9.857        $9.892        $10.000  

Income from investment operations:

                                            

Net investment income2

     0.169        0.208        0.186        0.284        0.079  

Net realized and unrealized gains (losses) on investments

     (0.742      (0.745      0.0907        (0.048)7        0.0167  
    


  


  


  


  


Total from investment operations

     (0.573      (0.537      0.276        0.236        0.095  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.167      (0.209      (0.183      (0.266      (0.203

Distributions from net realized gains

                          (0.005       
    


  


  


  


  


Total distributions

     (0.167      (0.209      (0.183      (0.271      (0.203
    


  


  


  


  


Net asset value, end of period/year

     $8.464        $9.204        $9.950        $9.857        $9.892  
    


  


  


  


  


Total return

     (6.21)%        (5.53)%        2.79%        2.34%        0.99%3  

Supplemental data and ratios:

                                            

Net assets, end of period/year

     $56,634,190        $44,470,391        $38,031,721        $32,494,874        $3,619,628  

Ratio of expenses to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense8

     0.85%        0.88%        0.92%        1.18%        16.23%5  

After expense reimbursement (recapture) and securities lending credit including interest expense8

     0.79%        0.79%        0.80%        0.79%        0.79%5  

Ratio of net investment income to average net assets6

                                            

Before expense reimbursement (recapture) and fees waived

     1.91%        2.02%        1.73%        2.39%        (14.57)%5  

After expense reimbursement (recapture) and fees waived

     1.97%        2.11%        1.85%        2.79%        0.87%5  

Portfolio turnover rate

     300.76%        222.96%        194.13%        247.58%        801.50%3  

 

1    Commencement of operations.
2    Net investment income per share has been calculated based on average shares outstanding during the period/year.
3    Not annualized.
4    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
5    Annualized.
6    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.
7    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.
8    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.00%, 0.00%, 0.01%, 0.00% and 0.00%, respectively.

 

See notes to financial statements.

 

141


GuideMark Funds & GuidePath Funds

FINANCIAL HIGHLIGHTS

 


 

     Growth & Income Fund

 
     Year Ended
March 31,

2023

     Year Ended
March 31,

2022

     Year Ended
March 31,
2021


     Year Ended
March 31,
2020


     April 30, 20181
through
March  31,
2019


 

Per share data for a share of capital stock outstanding for the entire period/year and selected information for the period/year are as follows:

                                            

Net asset value, beginning of period/year

     $11.023        $11.683        $8.717        $9.772        $10.000  

Income from investment operations:

                                            

Net investment income2

     0.236        0.110        0.134        0.189        0.331  

Net realized and unrealized gains (losses) on investments

     (0.575      0.888        2.959        (1.094      (0.320)7  
    


  


  


  


  


Total from investment operations

     (0.339      0.998        3.093        (0.905      0.011  
    


  


  


  


  


Less distributions:

                                            

Distributions from net investment income

     (0.221      (0.139      (0.127      (0.146      (0.239

Distributions from net realized gains

            (1.519             (0.004       
    


  


  


  


  


Total distributions

     (0.221      (1.658      (0.127      (0.150      (0.239
    


  


  


  


  


Net asset value, end of period/year

     $10.463        $11.023        $11.683        $8.717        $9.772  
    


  


  


  


  


Total return

     (3.02)%        7.90%        35.67%        (9.45)%        0.14%3  

Supplemental data and ratios:

                                            

Net assets, end of period/year

     $106,817,174        $116,833,573        $86,833,376        $33,927,659        $4,519,060  

Ratio of expenses to average net assets4

                                            

Before expense reimbursement (recapture) and securities lending credit including interest expense8

     0.94%        0.87%        0.95%        1.34%        27.58%5  

After expense reimbursement (recapture) and securities lending credit including interest expense8

     0.89%        0.81%        0.80%        0.79%        0.79%5  

Ratio of net investment income to average net assets6

                                            

Before expense reimbursement (recapture) and fees waived

     2.21%        0.86%        1.13%        1.34%        (23.11)%5  

After expense reimbursement (recapture) and fees waived

     2.26%        0.92%        1.28%        1.89%        3.68%5  

Portfolio turnover rate

     73.19%        174.37%        108.96%        159.34%        123.50%3  

 

1    Commencement of operations.
2    Net investment income per share has been calculated based on average shares outstanding during the period/year.
3    Not annualized.
4    These ratios exclude the impact of the expenses of the underlying investment companies and exchange-traded funds in which the Fund invests.
5    Annualized.
6    Recognition of the net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies and exchange-traded funds in which the Fund invests.
7    Realized and unrealized gains and losses per shares in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the year, and may not reconcile with aggregate gains and losses in the Statement of Operations due to share transactions for the year.
8    Includes interest expense where applicable. See Note 5 in the Notes to the Financial Statements. Interest expense was 0.10%, 0.02%, 0.01%, 0.00% and 0.00%, respectively.

 

See notes to financial statements.

 

142


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS

March 31, 2023


 

1.   Organization

GPS Funds I and GPS Funds II (the “Trusts”) are organized as Delaware statutory trusts under Declarations of Trusts dated January 2, 2001 and October 20, 2010, respectively. The Trusts are registered under the Investment Company Act of 1940, as amended (the “1940 Act”), as open-end management investment companies. GPS Funds I is comprised of the following 5 funds: GuideMark Large Cap Core Fund, GuideMark Emerging Markets Fund, GuideMark Small/Mid Cap Core Fund, GuideMark World ex-US Fund, GuideMark Core Fixed Income. GPS Funds II is comprised of the following 10 funds: GuidePath Growth Allocation Fund, GuidePath Conservative Allocation Fund, GuidePath Tactical Allocation Fund, GuidePath Absolute Return Allocation Fund, GuidePath Multi-Asset Income Allocation Fund, GuidePath Flexible Income Allocation Fund, GuidePath Managed Futures Strategy Fund, GuidePath Conservative Income Fund, GuidePath Income Fund and GuidePath Growth and Income Fund (collectively, the “Funds”). All of the Funds are classified and operate as diversified funds under the 1940 Act. Each Fund represents a distinct portfolio with its own investment objectives and policies. The assets of each Fund are segregated, and a shareholder’s interest is limited to the Fund in which shares are held. GuidePath Growth Allocation Fund, GuidePath Conservative Allocation Fund, GuidePath Tactical Allocation Fund and GuidePath Absolute Return Allocation Fund were seeded on March 4, 2011 and the prospectus went effective on April 1, 2011. The GuidePath Growth Allocation Fund, GuidePath Conservative Allocation Fund, GuidePath Tactical Allocation Fund and GuidePath Absolute Return Allocation Fund commenced operations on April 29, 2011. The GuidePath Multi-Asset Income Allocation Fund and GuidePath Flexible Income Allocation Fund commenced operations on August 31, 2012. The GuidePath Managed Futures Strategy Fund commenced operations on January 19, 2016. The GuidePath Conservative Income Fund, GuidePath Income Fund and GuidePath Growth and Income Fund commenced operations on April 30, 2018. Each Fund offers two classes of shares: Service Shares and Institutional Shares, except GuidePath Conservative Income Fund, GuidePath Income Fund and GuidePath Growth and Income Fund, which are only offered with a single share class. Certain Fund classes were without shares as of the year end; any share activity related to those classes is presented in the Statements of Changes in Net Assets. The Funds are investment companies and accordingly follow the investment company accounting and reporting guidance of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification Topic 946 Financial Services – Investment Companies.

 

2.   Fund of Funds

The GuidePath Growth Allocation Fund, GuidePath Conservative Allocation Fund, GuidePath Absolute Return Allocation Fund, GuidePath Multi-Asset Income Allocation Fund, GuidePath Flexible Income Allocation Fund, GuidePath Conservative Income Fund, GuidePath Income Fund and GuidePath Growth and Income Fund each operate as a “Fund of Funds,” investing primarily or, in the case of the GuidePath Tactical Allocation Fund, between 10% and 100% of its assets, in registered investment companies, including mutual funds and exchange-traded funds (“ETFs”). The funds in which the Fund of Funds may invest are referred to herein as the “Underlying Funds.” The Advisor believes that investing in Underlying Funds provides

each Fund of Funds with an efficient means of creating a portfolio that provides investors with indirect exposure to a broad range of securities. By investing in a Fund of Funds, you will indirectly bear fees and expenses of the Underlying Funds in addition to the Fund’s direct fees and expenses. In order to obtain exposure to certain markets, asset classes or active management styles, each Fund of Funds may buy Underlying Funds managed by the Advisor or its affiliates, which in turn, invest in various securities, including ETFs. The Fund of Funds may also invest directly in securities and other exchange-traded products, such as exchange-traded notes.

 

3.   Significant Accounting Policies

The following is a summary of significant accounting policies consistently followed by the Funds in the preparation of the financial statements. These policies are in conformity with U.S. generally accepted accounting principles (“GAAP”).

 

  (a)   Investment Valuation

The Funds value their investments at fair value. Portfolio securities listed on a national or foreign securities exchange, except those listed on NASDAQ, for which market quotations are available are valued at the last quoted sale price on each business day. Portfolio securities traded on NASDAQ are valued at the NASDAQ Official Closing Price (“NOCP”) on each business day. If there is no reported sale on an exchange or NASDAQ, the portfolio security will be valued at the mean between the most recent quoted bid and asked price. Price information on listed securities is taken from the exchange where the security is primarily traded.

All equity securities that are not traded on a listed exchange are valued at the last sale price in the over-the-counter market. If a non-exchange traded security does not trade on a particular day, then the mean between the last quoted closing bid and asked price will be used. Non-exchange traded ADRs are priced with an evaluated price as determined by the current evaluated pricing procedures of, and provided by, the pricing vendor.

Fixed income securities that have a maturity of greater than 60 days are generally valued on the basis of evaluations obtained from third party pricing services, which take into account appropriate factors such as institutional-sized trading in similar groups of securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics and other market data. Short term investments having a maturity of less than 60 days are generally valued at amortized cost, which approximates fair value.

Investments in mutual funds are valued at the closing net asset value per share of each mutual fund on the day of valuation. These investments in mutual funds may include investments in affiliated mutual funds. Investments in mutual funds are generally priced using values supplied by the underlying funds themselves. Units of Mount Vernon Liquid Assets Portfolio are not traded on an exchange and are valued at the investment company’s NAV per share.

Securities for which no market quotations are readily available or when a significant event has occurred between the time of the security’s last close and the time that a Fund next calculates its net asset value will be valued at their fair value in accordance

 

 

143


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

with the requirements of Rule 2a-5. The Board designated the Advisor as Valuation Designee of the Trusts. The Valuation Designee has established a Valuation Committee to oversee the implementation of the valuation procedures on behalf of the Funds.

The Funds have adopted authoritative fair valuation accounting standards which establish an authoritative definition of fair value and set out a hierarchy for measuring fair value. These standards require additional disclosures about the various inputs and valuation techniques used to develop the measurements of fair value and a discussion in changes in valuation techniques and related inputs, if any, during the year. In addition, these standards require expanded disclosure for each major category of assets. These inputs are summarized in the three broad levels listed below:

Level 1 – Quoted prices in active markets for identical securities (including equity securities, open-end investment companies, and futures contracts).

Level 2 – Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3 – Significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments).

During the year, certain securities and other instruments held by the Funds were categorized as Level 2 or Level 3 based upon the inputs and methodologies used to determine the fair value of the security or instrument. Descriptions of the inputs and valuation methodologies used to determine the fair values of each class of investments within Level 2 and Level 3 are set forth below.

Level 2 Investments.  The Funds’ investments that were categorized as Level 2 include: (1) certain fixed income securities, including asset-backed securities, collateralized mortgage obligations, corporate obligations, U.S. and foreign government obligations, mortgage-backed securities and municipal bonds; (2) certain foreign common stocks, preferred stocks, participatory notes, and real estate investment trusts; and (3) certain over-the-counter derivative instruments, including forward currency contracts, options written, and swaps.

Fixed income securities are normally valued by pricing vendors that use broker-dealer quotations, reported trades or valuation estimates from their internal pricing models. The service providers’ internal models typically use inputs that are observable such as institutional-sized trading in similar groups of securities, yield, credit quality, coupon rate, maturity, type of issue, trading characteristics and other market data.

Certain common stocks that trade on foreign exchanges are subject to valuation adjustments. These valuation adjustments are applied to the foreign exchange-traded common stocks to account for the market movement between the close of the foreign market in which the security is traded and the close of the New York Stock Exchange. These securities are valued using pricing vendors that consider the correlation patterns of price movements of the foreign security to the intraday trading in the U.S. markets.

Forward currency contracts and swaps derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These instruments are normally valued using pricing vendors. Depending upon the instrument, its value may be provided by a pricing vendor using a series of techniques, including pricing models. The pricing models typically use inputs that are observed from active markets such as indices, spreads, interest rates, curves, dividends and exchange rates.

Level 3 Investments.  The Funds’ investments that were categorized as Level 3 include: fair valued securities for which observable inputs are not available.

Fair valued securities are normally valued by pricing vendors using relevant observable inputs, as described above. In certain circumstances, the types of observable inputs that are typically used by a pricing service may be unavailable or deemed by the pricing service to be unreliable. In these instances, the pricing vendor may value the security based upon significant unobservable inputs, or the pricing vendor may not provide a value for the security. To the extent that a pricing vendor does not provide a value for a particular security, or the pricing vendor provides a value that the Valuation Committee does not believe accurately reflects the value of the security, the security will be valued by the Valuation Committee based upon the information available to the Committee at the time of valuation and in accordance with procedures approved by the Board. These methodologies may require subjective judgments and determinations about the value of a particular security. When significant unobservable inputs are used to value a security, the security is categorized as Level 3.

To verify Level 3 unobservable inputs, the Valuation Committee uses a variety of techniques as appropriate to substantiate these valuation approaches including a regular review of key inputs and assumptions, transaction back-testing or disposition analysis and review of related market activity.

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

 

 

144


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

The following is a summary of the inputs used to value the Funds’ net assets as of March 31, 2023:

GuideMark Large Cap Core Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Common Stocks

   $ 572,560,931      $        0      $ 572,560,931  

Investment Companies

     19,692,529                      19,692,529  

Real Estate Investment Trusts

     8,742,408                      8,742,408  

Short Term Investments

     5,518,049                      5,518,049  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          99,549,037  
    


  


  


  


Total Investments in Securities

   $ 606,513,917      $      $      $ 706,062,954  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

Below is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value.

 

Description


   Common Stock

 

Balance as of April 1, 2022

   $ 140,204  

Purchases

      

Sales proceeds and paydowns

      

Accreted discounts, net

      

Corporate Actions

      

Realized gain (loss)

      

Change in unrealized appreciation (depreciation)

     (140,204

Transfers into/(out of) Level 3

      
    


Balance as of March 31, 2023

   $ 0  
    


Change in unrealized appreciation (depreciation) during the year for Level 3 investments held at March 31, 2023.

   $ (140,204
    


Fair valuation inputs are presented when the Fund had a significant amount of Level 3 investments at the beginning and/or end of the reporting period, in relation to net assets.

GuideMark Emerging Markets Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Common Stocks

                                   

Communication Services

   $ 142,195      $ 3,705,376      $      $ 3,847,571  

Consumer Discretionary

     1,046,029        5,071,271               6,117,300  

Consumer Staples

     735,906        3,357,168        0        4,093,074  

Energy

     319,830        2,500,147        0        2,819,977  

Financials

     766,952        6,792,627        0        7,559,579  

Health Care

     40,095        2,195,385               2,235,480  

Industrials

     175,634        2,916,112               3,091,746  

Information Technology

     76,865        8,614,253        0        8,691,118  

Materials

     789,252        2,100,434        0        2,889,686  

Real Estate

            597,041        22,633        619,674  

Utilities

     160,607        444,153               604,760  
    


  


  


  


Total Common Stocks

     4,253,365        38,293,967        22,633        42,569,965  

Investment Companies

     2,711,675                      2,711,675  

Preferred Stocks

                                   

Consumer Discretionary

            68,397               68,397  

Energy

     235,858                      235,858  

Financials

     258,196                      258,196  

Information Technology

            179,151               179,151  

Materials

     118,871        87,023               205,894  

Utilities

     145,488                      145,488  
    


  


  


  


Total Preferred Stocks

     758,413        334,571               1,092,984  

Real Estate Investment Trusts

     20,379                      20,379  

Short Term Investments

     196,628                      196,628  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          2,941,322  
    


  


  


  


Total Investments in Securities

   $ 7,940,460      $ 38,628,538      $ 22,633      $ 49,532,953  
    


  


  


  


 

145


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statement of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

Below is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value.

 

Description


   Common Stock

 

Balance as of April 1, 2022

   $ 0  

Purchases

      

Sales proceeds and paydowns

      

Accreted discounts, net

      

Realized gain (loss)

      

Change in unrealized appreciation (depreciation)

      

Transfers into/(out of) Level 3

     22,633
    


Balance as of March 31, 2023

   $ 22,633  
    


Change in unrealized appreciation (depreciation) during the year for Level 3 investments held at March 31, 2023.

   $ (60,407
    


 

  *   Three common stocks transferred from Level 2 to Level 3 due to a lack of observable market data.

Fair valuation inputs are presented when the Fund had a significant amount of Level 3 investments at the beginning and/or end of the reporting period, in relation to net assets.

GuideMark Small/Mid Cap Core Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Common Stocks

   $ 85,521,680      $      $ 6,710      $ 85,528,390  

Investment Companies

     3,415,693                      3,415,693  

Real Estate Investment Trusts

     4,052,719                      4,052,719  

Short Term Investments

     906,837                      906,837  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          28,266,325  
    


  


  


  


Total Investments in Securities

   $ 93,896,929      $      $ 6,710      $ 122,169,964  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

Below is a reconciliation of Level 3 assets for which significant unobservable inputs were used to determine fair value.

 

Description


   Common Stocks

     Rights

 

Balance as of April 1, 2022

   $ 23,760      $ 322  

Purchases

             

Sales proceeds and paydowns

             

Accreted discounts, net

             

Corporate Actions

     6,935         

Realized gain (loss)

     544        (2,026

Change in unrealized appreciation (depreciation)

     (24,529      1,704  

Transfers into/(out of) Level 3

             
    


  


Balance as of March 31, 2023

   $ 6,710      $  
    


  


Change in unrealized appreciation (depreciation) during the year for Level 3 investments held at March 31, 2023.

   $ (24,529    $  
    


  


Fair valuation inputs are presented when the Fund had a significant amount of Level 3 investments at the beginning and/or end of the reporting period, in relation to net assets.

 

146


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

GuideMark World ex-US Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Common Stocks

                                   

Communication Services

   $      $ 4,959,016      $      $ 4,959,016  

Consumer Discretionary

     646,522        14,595,953               15,242,475  

Consumer Staples

     1,937,487        9,797,795               11,735,282  

Energy

     2,535,937        5,690,718               8,226,655  

Financials

     2,947,230        15,778,769               18,725,999  

Health Care

     184,638        12,892,441               13,077,079  

Industrials

     1,055,736        15,962,515               17,018,251  

Information Technology

     755,381        5,028,491               5,783,872  

Materials

     1,418,892        6,272,910               7,691,802  

Real Estate

     72,283        1,006,734               1,079,017  

Utilities

     174,556        2,061,485               2,236,041  
    


  


  


  


Total Common Stocks

     11,728,662        94,046,827               105,775,489  

Investment Companies

     2,882,408                      2,882,408  

Preferred Stocks

            540,457               540,457  

Real Estate Investment Trusts

            137,418               137,418  

Short Term Investments

     601,189                      601,189  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          5,299,517  
    


  


  


  


Total Investments in Securities

   $ 15,212,259      $ 94,724,702      $      $ 115,236,478  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

GuideMark Core Fixed Income Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Fixed Income

                                   

Asset Backed Securities

   $      $ 13,625,184      $      $ 13,625,184  

Collateralized Mortgage Obligations

            27,885,890               27,885,890  

Corporate Obligations

            40,866,548               40,866,548  

Foreign Government Debt Obligations

            2,061,031               2,061,031  

Mortgage Backed Securities – U.S. Government Agency

            64,236,122               64,236,122  

Municipal Debt Obligations

            3,189,421               3,189,421  

U.S. Treasury Obligations

            40,959,745               40,959,745  
    


  


  


  


Total Fixed Income

            192,823,941               192,823,941  

Short Term Investments

     10,700,062                      10,700,062  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          1,689,338  
    


  


  


  


Total Investments in Securities

   $ 10,700,062        192,823,941      $      $ 205,213,341  
    


  


  


  


Other Financial Instruments**

                                   

Futures

   $ (149,048    $      $      $ (149,048

Options Written

            (44,233             (44,233

Swaps

            149,774               149,774  

 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

 

  **   Other financial instruments are derivative instruments not reflected in the Schedule of Investments, such as futures, options written and swaps. Futures and swaps are reflected as the unrealized appreciation (depreciation) on the instrument, while options written are reflected at fair value.

For further information regarding security characteristics, see the Schedule of Investments.

 

 

147


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

GuidePath Growth Allocation Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Investment Companies

   $ 940,422,160      $      $      $ 940,422,160  

Short Term Investments

     13,967,727                      13,967,727  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          150,405,813  
    


  


  


  


Total Investments in Securities

   $ 954,389,887      $      $      $ 1,104,795,700  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

GuidePath Conservative Allocation Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Investment Companies

   $ 423,625,119      $      $      $ 423,625,119  

Short Term Investments

     718                      718  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          62,421,423  
    


  


  


  


Total Investments in Securities

   $ 423,625,837      $      $      $ 486,047,260  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

GuidePath Tactical Allocation Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Common Stocks

   $ 352,096,612      $      $      $ 352,096,612  

Short Term Investments

     147,014,890                      147,014,890  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          104,514,306  
    


  


  


  


Total Investments in Securities

   $ 499,111,502      $      $      $ 603,625,808  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

GuidePath Absolute Return Allocation Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Investment Companies

   $ 222,031,990      $      $      $ 222,031,990  

Short Term Investments

     2,162,658                      2,162,658  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          25,105,887  
    


  


  


  


Total Investments in Securities

   $ 224,194,648      $      $      $ 249,300,535  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

 

148


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

GuidePath Multi-Asset Income Allocation Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Investment Companies

   $ 87,941,898      $      $      $ 87,941,898  

Short Term Investments

     922,727                      922,727  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          18,881,022  
    


  


  


  


Total Investments in Securities

   $ 88,864,625      $      $      $ 107,745,647  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

GuidePath Flexible Income Allocation Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Investment Companies

   $ 289,585,257      $      $      $ 289,585,257  

Short Term Investments

     5,769,035                      5,769,035  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          58,689,441  
    


  


  


  


Total Investments in Securities

   $ 295,354,292      $      $      $ 354,043,733  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

GuidePath Managed Futures Strategy Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Short Term Investments

   $ 16,882,323      $ 469,511,023      $      $ 486,393,346  
    


  


  


  


Total Investments in Securities

   $ 16,882,323      $ 469,511,023      $        486,393,346  
    


  


  


  


Other Financial Instruments*

                                   

Futures

   $ (8,356,152    $      $        (8,356,152

Forward Currency Contracts

   $      $ (408,160    $      $ (408,160

 

  *   Other financial instruments are derivative instruments not reflected in the Consolidated Schedule of Investments, such as futures and forward currency contracts. Futures and forward currency contracts are reflected as the unrealized appreciation (depreciation) on the instrument.

For further information regarding security characteristics, see the Consolidated Schedule of Investments.

GuidePath Conservative Income Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Investment Companies

   $ 4,959,046      $      $      $ 4,959,046  

Short Term Investments

     4,608,659        2,210,175               6,818,834  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          1,325,946  
    


  


  


  


Total Investments in Securities

   $ 9,567,705      $ 2,210,175      $      $ 13,103,826  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

 

149


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

GuidePath Income Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Investment Companies

   $ 55,242,845      $      $      $ 55,242,845  

Short Term Investments

     1,321,403                      1,321,403  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          305,100  
    


  


  


  


Total Investments in Securities

   $ 56,564,248      $      $      $ 56,869,348  
    


  


  


  


 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

For further information regarding security characteristics, see the Schedule of Investments.

GuidePath Growth & Income Fund

 

     Level 1

     Level 2

     Level 3

     Total

 

Common Stocks

   $ 37,416,625      $      $      $ 37,416,625  

Investment Companies

     38,209,411                      38,209,411  

Short Term Investments

     22,024,000        8,840,700               30,864,700  

Investments Purchased with Proceeds from Securities Lending Collateral*

                          12,585,208  
    


  


  


  


Total Investments in Securities

   $ 97,650,036      $ 8,840,700      $      $ 119,075,944  
    


  


  


  


Other Financial Instruments**

                                   

Futures

   $ 145,604      $      $      $ 145,604  

Options Written

     (147,980                    (147,980

 

  *   Certain investments that are measured at fair value using the net asset value per share (or its equivalent) practical expedient have not been categorized in the fair value hierarchy. The fair value amounts presented in the table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Statements of Assets and Liabilities.

 

  **   Other financial instruments are derivative instruments not reflected in the Schedule of Investments, such as futures and written options. Futures are reflected as unrealized appreciation (depreciation) on the instrument, while options written are reflected at fair value.

For further information regarding security characteristics, see the Schedule of Investments.

 

  (b)   Consolidation of Subsidiary

The GuidePath Managed Futures Strategy Fund may invest up to 25% of its total assets in GuidePath Managed Futures Strategy Cayman Fund Ltd. (the “Subsidiary”). The Subsidiary, which is organized under the laws of the Cayman Islands, is wholly-owned and controlled by GuidePath Managed Futures Strategy Fund. The financial statements of the GuidePath Managed Futures Strategy Fund include the operations of the Subsidiary. All intercompany accounts and transactions have been eliminated in consolidation. The Subsidiary acts as an investment vehicle in order to invest in commodity-linked derivative instruments consistent with the Fund’s investment objectives and policies. The GuidePath Managed Futures Strategy Fund had 3.42% of its total assets invested in the Subsidiary as of March 31, 2023.

The Subsidiary is an exempted Cayman Islands investment company and as such is not subject to Cayman Islands taxes at the present time. For U.S. income tax purposes, the Subsidiary is a Controlled Foreign Corporation (“CFC”) not subject to U.S. income taxes. As a wholly-owned CFC, however, the Subsidiary’s net income and capital gains, if any, will be included each year in the Fund’s investment company taxable income.

 

  (c)   Subsequent Events Evaluation

In preparing these financial statements, the Funds have evaluated events and transactions through the date of issuance

for potential recognition or disclosure resulting from subsequent events. This evaluation did not result in any subsequent events that necessitated disclosures and/or adjustments to the financial statements.

 

  (d)   Repurchase Agreements

Each Fund may enter into repurchase agreements with banks and securities dealers. These transactions involve the purchase of securities with a simultaneous commitment to sell the securities to the bank or the dealer at an agreed-upon date and price. A repurchase agreement is accounted for as an investment by the Fund, collateralized by securities, which are delivered to the Fund’s Custodian or to an agent bank under a tri-party agreement. The securities are marked-to-market daily and additional securities are acquired as needed, to ensure that their value equals or exceeds the repurchase price plus accrued interest.

 

  (e)   Federal Income Taxes

The Funds intend to continue to comply with the requirements of sub-chapter M of the Internal Revenue Code necessary to qualify as regulated investment companies and to make the requisite distributions of income and capital gains to shareholders sufficient to relieve the Funds from all or substantially all Federal income taxes. Therefore, no Federal income tax provision is required.

 

 

150


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

The Funds have adopted financial reporting rules regarding recognition and measurement of tax positions taken or expected to be taken on a tax return. In order to avoid imposition of the excise tax applicable to regulated investment companies, it is also each Fund’s intention to declare as dividends in each calendar year at least 98% of its net investment income (earned during the calendar year) and 98.2% of its net realized capital gains (earned during the twelve months ended October 31) plus undistributed amounts from prior years. The Funds have reviewed all open tax years and major jurisdictions and concluded that no provision for income tax is required in the Funds’ financial statements. As of and during the year ended March 31, 2023, the Funds did not have any tax positions that did not meet the “more-likely-than-not” threshold of being sustained by the applicable tax authority and did not have liabilities for any unrecognized tax benefits. The Funds recognize interest and penalties, if any, related to unrecognized tax benefits as income tax expense on the Statements of Operations. During the fiscal year ended March 31, 2023, the Funds did not incur any interest or penalties. The Funds’ Federal and state income and Federal excise tax returns for tax years for which the applicable statutes of limitations have not expired are subject to examination by the Internal Revenue Service and state departments of revenue.

 

  (f)   Use of Estimates

The preparation of financial statements in conformity with 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 revenues and expenses during the reported period. Actual results could differ from those estimates.

 

  (g)   Indemnifications

Under each Trust’s organizational documents, its officers and trustees are indemnified against certain liability arising out of their performance of their duties to the Funds. In addition, in the normal course of business, the Funds enter into contracts that contain a variety of representations and warranties 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, the Funds expect the risk of loss to be remote.

 

  (h)   Expenses

Many expenses of the Funds can be directly attributed to a specific Fund. Additionally, some expenses can be directly attributed to a specific Trust, in which case the expense is apportioned among the Funds within that Trust based on relative net assets. Expenses that cannot be directly attributed to a specific Fund or Trust are apportioned among all the Funds based on relative net assets. Income, other non-class-specific expenses, and realized and unrealized gains and losses on investments are allocated to each class of shares based on its relative net assets.

  (i)   Organization and Offering Costs

Organization costs consist of costs incurred to establish a Fund and enable it legally to do business. The Funds expense organizational costs as incurred. These expenses were advanced by the Advisor, and the Advisor has agreed to reimburse the Funds for these expenses, subject to potential recovery (see Note 4). Offering costs are accounted for as deferred costs until operations begin. Offering costs include legal fees regarding the preparation of the initial registration statement. Offering costs are then amortized to expense over twelve months on a straight-line basis.

 

  (j)   Security Transactions and Income Recognition

Security transactions are accounted for on trade date. Dividend income is recognized on the ex-dividend date. Non-cash dividends included in dividend income or separately disclosed, if any, are recorded at the fair value of the security received. Interest recorded using the effective yield method is accrued daily. Withholding taxes on foreign dividends and taxes on capital gains, which are included as a component of net investment income and realized gain (loss) on investments, respectively, have been provided in accordance with the Trusts’ understanding of the applicable country’s tax rules and rates. Realized gains and losses on investment transactions are determined using the high cost method. Return of capital distributions received from REIT securities are recorded as an adjustment to the cost of the security and thus may impact unrealized or realized gains or losses on the security. Gains and losses from paydowns on mortgage and asset backed securities are recorded as adjustments to interest income. Distributions from underlying investment companies are classified as investment income or realized gains based on the U.S. income tax characteristics of the distribution.

 

  (k)   Distributions to Shareholders

The Funds, with the exception of the Core Fixed Income Fund, Multi-Asset Income Allocation Fund, Flexible Income Allocation Fund, Conservative Income Fund, Income Fund and Growth and Income Fund will distribute any net investment income at least annually. The Core Fixed Income Fund, Multi-Asset Income Allocation Fund and Flexible Income Allocation Fund will distribute any net investment income quarterly. The Conservative Income Fund, Income Fund and Growth and Income Fund will generally distribute any net investment income monthly. All of the Funds will generally distribute any net realized long or short-term capital gains at least annually. Certain Funds also utilize earnings and profits distributed to shareholders on redemptions of shares as part of the dividends paid deduction. Distributions to shareholders are recorded on the ex-dividend date. The Funds may also pay a special distribution at the end of the calendar year to comply with Federal tax requirements.

 

  (l)   Derivatives

Each Fund may invest in derivative securities including call and put options, futures, forward currency contracts and swaps. These instruments may be used by a Fund for hedging purposes as well as direct investment.

 

 

151


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

Forward Currency Contracts

The Funds may enter into forward currency contracts, obligating the Funds to deliver and receive currency at a specified future date. Transactions involving forward currency contracts may serve as long hedges (for example, if a Fund seeks to buy a security denominated in a foreign security, it may purchase a forward currency contract to lock in the U.S. dollar price of the security) or as short hedges (if a Fund anticipates selling a security denominated in a foreign currency, it may sell a forward currency contract to lock in the U.S. dollar equivalent of the anticipated sales proceeds). Forward contracts are valued daily and unrealized appreciation or depreciation is recorded daily as the difference between the contract exchange rate and the closing forward rate applied to the face amount of the contract.

Options

The Funds may purchase and write call or put options on securities and indices and enter into related closing transactions. All of the Funds may invest in options that are listed on U.S. exchanges or traded over the counter. Exchange-traded options are valued at the last reported sale price on the exchange on which the security underlying the option is principally traded. If no sales are reported on a particular day for exchange-traded options, or the options are not exchange-traded, the options are valued at the mean between the most recent quoted bid and asked quotations at the close of the exchange. The premium that a Fund pays when purchasing a call option or receives when writing a call option will reflect, among other things, the market price of the security, the relationship of the exercise price to the market price of the security, the relationship of the exercise price to the volatility of the security, the length of the option period and supply and demand factors. The premium is the value of an option at the date of purchase.

A purchaser (holder) of a put option pays a non-refundable premium to the seller (writer) of a put option to obtain the right to sell a specified amount of a security at a fixed price (the exercise price) during a specified period (exercise period). Conversely, the seller (writer) of a put option, upon payment by the holder of the premium, has the obligation to buy the security from the holder of the put option at the exercise price during the exercise period.

Futures

Each Fund has the ability to buy and sell stock index futures contracts traded on domestic stock exchanges to hedge the value of its portfolio against changes in market conditions. A stock index futures contract is an agreement between two parties to take or make delivery of an amount of cash equal to a specified dollar amount, times the difference between stock index value at the close of the last trading day of the contract and the price at which the futures contract is originally struck. A stock index futures contract does not involve the physical delivery of the underlying stocks in the index. Although stock index futures contracts call for the actual taking of delivery of cash, in most cases a Fund expects to liquidate its stock index futures positions through offsetting transactions, which may result in a gain or loss, before cash settlement is required.

The Funds may purchase or sell other types of futures contracts, including those based on particular interest rates, securities, foreign currencies, securities indices and other financial instruments and indices. The Funds may also purchase and write call and put options on such futures contracts, in order to seek to increase total return or to hedge against changes in interest rates, securities prices, or currency exchange rates, or, to the extent permitted by its investment policies, to otherwise manage its portfolio of investments.

Futures contracts are valued at the daily quoted settlement prices.

Swaps

The Funds may enter into interest rate, mortgage, credit, currency and total return swaps, interest rate caps, floors and collars. The Funds may also purchase and write (sell) options contracts on swaps, referred to as “swaptions”. The Funds may enter into swap transactions for hedging purposes or to seek to increase total return. Since interest rate, mortgage, credit and currency swaps and interest rate caps, floors and collars are individually negotiated, the Funds expect to achieve an acceptable degree of correlation between their portfolio investments and their swap, cap, floor and collar positions.

Swap agreements are valued using the daily mean and unrealized appreciation or depreciation is recorded daily as the difference between the prior day and current day closing price.

Derivative Instruments and Hedging Activities

Each Trust has adopted derivative instruments disclosure standards, in order to enable the investor to understand how and why an entity used derivatives, how derivatives are accounted for, and how derivative instruments affect an entity’s results of operations and financial position.

In general, the use of derivatives may increase the risk within the Funds. The use of over-the-counter derivatives involves the risk that the counterparty to the contract will fail to make required payments or otherwise comply with the terms of the contract. The results achieved by the use of derivatives in the Funds may not match or fully offset changes in the value of the underlying financial assets being hedged or the investment opportunity the Funds were pursuing, thereby failing to achieve, to an extent, the original purpose for using the derivatives. Certain types of derivatives may create leverage insofar as the Funds may receive returns (or suffer losses) exceeding the initial amounts the Funds committed in connection with the derivatives. The use of derivatives can result in losses or gains to the Funds exceeding the amount the Funds would have experienced in the absence of using derivatives. A relatively small price movement in a derivative may result in an immediate and substantial loss, or gain, to the Funds.

GuideMark Core Fixed Income Fund

During the period, the Fund used fixed income derivatives including U.S. Treasury futures and credit default swaps on investment grade fixed income indices (CDX and CMBX), for both hedging and investment purposes, primarily duration management, risk management, and the pursuit of relative value opportunities. Futures contracts used in the Fund during the period included those based on short, medium, and long-term U.S. Treasury debt.

 

 

152


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

The Fund used futures contracts during the period primarily to manage interest rate risk. The Fund used investment grade CDX, CMBX, purchased and sold (wrote) options to efficiently manage investment grade credit exposure.

Statements of Assets and Liabilities – Values of Derivative Instruments as of March 31, 2023

 

      

Asset Derivatives


      

Liability Derivatives


 
       Statements of Assets and
Liabilities Location
     Value        Statements of Assets and
Liabilities Location
     Value  
Credit Contracts – Swaps      Appreciation on swap agreements      $        Depreciation on swap agreements      $ 1,474  
Interest Rate Contracts – Swaps      Appreciation on swap agreements        157,527        Depreciation on swap agreements        6,279  
Interest Rate Contracts – Futures*      Unrealized appreciation on futures contracts**        200,585        Unrealized depreciation on futures contracts**        349,633  
Credit Contracts – Options      Options written, at value               Options written, at value        44,233  
Total             $ 358,112               $ 401,619  

 

  *   Includes cumulative appreciation/depreciation as reported on the Schedule of Open Futures Contracts.
  **   Included in total distributable earnings on the Statements of Assets and Liabilities.

 

The Effect of Derivative Instruments on the Statements of Operations for the year ended March 31, 2023  
Amount of Realized Gain or (Loss) on Derivatives  
     Futures
Contracts
       Swaps        Options        Total  
Credit Contracts    $        $ (659,000      $ 732,170        $ 73,170  
Interest Rate Contracts      2,558,042          275,053                   2,833,095  
Total    $ 2,558,042        $ (383,947      $ 732,170        $ 2,906,265  

 

Change in Unrealized Appreciation or (Depreciation) on Derivatives  
     Futures
Contracts
       Swaps        Options        Total  
Credit Contracts    $        $ (1,474      $ (2,867      $ (4,341
Interest Rate Contracts      (422,107        (135,659                 (557,766
Total    $ (422,107      $ (137,133      $ (2,867      $ (562,107

GuidePath Managed Futures Strategy Fund

The Fund uses a set of proprietary quantitative models to identify price trends in equity, fixed income, currency and commodity instruments, and may have both short and long exposures within an asset class based on an analysis of asset price trends. Under normal market conditions, the Fund will make extensive use of derivative instruments, in particular futures contracts, to capture the exposures suggested by its absolute return strategy while also adding value through volatility management. These market exposures, which are expected to change over time, may include exposures to global equity and fixed income securities, securities indices, currencies, commodities and other instruments. During the year ended March 31, 2023, the Fund used long and short contracts on U.S. and foreign government bonds, U.S. and foreign equity market indices, foreign currencies, commodities (through investments in the subsidiary) and short-term interest rates to capture the exposures suggested by the quantitative investment models.

 

153


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

Consolidated Statements of Assets and Liabilities – Values of Derivative Instruments as of March 31, 2023

 

      

Asset Derivatives


      

Liability Derivatives


 
       Statements of Assets and
Liabilities Location
     Value        Statements of Assets and
Liabilities Location
     Value  
Commodity Contracts – Futures*      Unrealized appreciation on futures contracts**      $ 3,119,921        Unrealized depreciation on futures contracts**      $ 5,335,390  
Equity Contracts – Futures*      Unrealized appreciation on futures contracts**        4,388,732        Unrealized depreciation on futures contracts**        1,466,531  

Foreign Exchange Contracts –

Forward Currency Contracts

     Unrealized appreciation on forward currency contracts        1,633,057        Unrealized depreciation on forward currency contracts        2,041,217  
Foreign Exchange Contracts – Futures*      Unrealized appreciation on futures contracts**        385,773        Unrealized depreciation on futures contracts**        1,945,282  
Interest Rate Contracts – Futures*      Unrealized appreciation on futures contracts**        251,409        Unrealized depreciation on futures contracts**        7,754,784  
Total             $ 9,778,892               $ 18,543,204  

 

  *   Includes cumulative appreciation/depreciation as reported on the Consolidated Schedule of Open Futures Contracts.
  **   Included in total distributable earnings on the Consolidated Statements of Assets and Liabilities.

 

The Effect of Derivative Instruments on the Consolidated Statements of Operations for the year ended March 31, 2023  
Amount of Realized Gain (Loss) on Derivatives  
     Futures
Contracts
       Forward
Currency
Contracts
 
Commodity Contracts    $ (10,342,180      $  
Equity Contracts      (28,982,320         
Foreign Exchange Contracts      17,145,207          1,098,762  
Interest Rate Contracts      35,031,155           
Total    $ 12,851,862        $ 1,098,762  
Change in Unrealized Appreciation (Depreciation) on Derivatives  
     Futures
Contracts
       Forward
Currency
Contracts
 

Commodity Contracts

   $ (6,216,962      $  

Equity Contracts

     3,753,839           

Foreign Exchange Contracts

     (3,347,609        1,410,840  
Interest Rate Contracts      (19,917,639         
Total    $ (25,728,371      $ 1,410,840  

GuidePath Growth and Income Fund

During the year, the Fund used equity derivatives including S&P 500 Index futures and S&P 500 Index and ETFs options, for both hedging and investment purposes, primarily risk management, and the pursuit of excess premium opportunities. The Fund used futures contracts during the year primarily to manage portfolio risk (volatility). The Fund wrote collateralized put options in an attempt to generate returns through receiving the option premiums; together with investments in fixed income instruments, it intended to lower the volatility relative to as if the Fund held the S&P 500 index.

 

154


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

Statements of Assets and Liabilities – Values of Derivative Instruments as of March 31, 2023

 

      

Asset Derivatives


      

Liability Derivatives


 
       Statements of Assets and
Liabilities Location
     Value        Statements of Assets and
Liabilities Location
     Value  
Equity Contracts – Futures*      Unrealized appreciation on futures contracts**      $ 145,604        Unrealized depreciation on futures contracts**      $  
Equity Contracts – Options      Options written, at value               Options written, at value        147,980  
Total             $ 145,604               $ 147,980  

 

  *   Includes cumulative appreciation/depreciation as reported on the Schedule of Open Futures Contracts.
  **   Included in total distributable earnings on the Statements of Assets and Liabilities.

 

The Effect of Derivative Instruments on the Statements of Operations for the year ended March 31, 2023  
Amount of Realized Gain (Loss) on Derivatives  
     Futures
Contracts
       Options
Written
 
Equity Contracts    $ (1,228,020      $ (1,033,354
Total    $ (1,228,020      $ (1,033,354
Change in Unrealized Appreciation (Depreciation) on Derivatives  
     Futures
Contracts
       Options
Written
 
Equity Contracts    $ 91,575        $ (132,960
Total    $ 91,575        $ (132,960

Volume Disclosures

The average monthly value outstanding of options written during the year ended March 31, 2023 were as follows:

 

     GuideMark
Core Fixed
Income Fund
       GuidePath
Managed Futures
Strategy Fund
       GuidePath
Growth and
Income Fund
 
Options Written    $ (64,537      $             —        $ (596,076

The average monthly notional amount outstanding of futures, forwards and swaps during the year ended March 31, 2023 were as follows:

 

Long Positions    GuideMark
Core Fixed
Income Fund
       GuidePath
Managed Futures
Strategy Fund
       GuidePath
Growth and
Income Fund
 
Futures    $ 8,847,898        $ 264,039,565        $ 1,780,974  
Forwards    $        $ 105,051,097        $  
Swaps    $ 3,791,923        $        $  

 

Short Positions    GuideMark
Core Fixed
Income Fund
       GuidePath
Managed Futures
Strategy Fund
       GuidePath
Growth and
Income Fund
 
Futures    $ (23,125,406      $ (1,652,302,143      $ (7,396,279
Forwards    $        $ (78,371,822      $  

Derivative Risks

The risks of using the various types of derivatives in which the Funds may engage include: the risk that movements in the value of the derivative may not fully offset or complement instruments currently held in the Funds in the manner intended by the Advisor or sub-advisor; the risk that the counterparty to a derivative contract may fail to comply with its obligations to the Funds; the risk that there may not be a liquid secondary market for the derivative at a time when the Funds would look to disengage the position; the risk that additional capital from the Funds may be called upon to fulfill the conditions of the derivative contract; the risk that the use of derivatives in the Funds may induce leverage in the Funds, and the risk that the cost of the derivative contracts may reduce the overall returns experienced by the Funds.

 

155


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

Offsetting Assets and Liabilities

GuideMark Core Fixed Income Fund

The Fund is subject to various Master Netting Arrangements, which govern the terms of certain transactions with select counterparties. The Master Netting Arrangements allow the Fund to close out and net its total exposure to a counterparty in the event of a default with respect to all the transactions governed under a single agreement with a counterparty. The Master Netting Arrangements also specify collateral posting arrangements at pre-arranged exposure levels. Under the Master Netting Arrangements, collateral is routinely transferred if the total net exposure to certain transactions (net of existing collateral already in place) governed under the relevant Master Netting Arrangement with a counterparty in a given account exceeds a specified threshold depending on the counterparty and the type of Master Netting Arrangement.

The table below, as of March 31, 2023, discloses both gross information and net information about instruments and transactions eligible for offset in the Statements of Assets and Liabilities, and instruments and transactions that are subject to an agreement similar to a master netting agreement as well as amounts related to collateral held at clearing brokers and counterparties. For financial reporting purposes, the Fund does not offset derivative assets and liabilities, and any related collateral received or pledged, on the Statements of Assets and Liabilities, except in the case of futures contracts.

 

Assets                         Gross Amounts not offset in
the Statements of
Assets and Liabilities


        
     Gross Amounts
of Recognized
Assets


     Gross Amounts
Offset in the
Statements of
Assets and Liabilities


     Net Amounts
Presented in the
Statements of
Assets and Liabilities


     Financial
Instruments


     Collateral
Received


     Net
Amount


 

Description / Counterparty

                                                     

Swaps

                                                     

Morgan Stanley

   $ 157,527      $      $ 157,527      $ (7,753)      $      $ 149,774  
    


  


  


  


  


  


     $ 157,527      $             —      $ 157,527      $ (7,753)      $             —      $ 149,774  
    


  


  


  


  


  


 

Liabilities                         Gross Amounts not offset in
the Statements of
Assets and Liabilities


        
     Gross Amounts
of Recognized
Liabilities


     Gross Amounts
Offset in the
Statements of
Assets and Liabilities


     Net Amounts
Presented in the
Statements of
Assets and Liabilities


     Financial
Instruments


     Collateral
Pledged


     Net
Amount


 

Description / Counterparty

                                                     

Futures*

                                                     

Citigroup

   $ 38,007      $      $ 38,007      $ (38,007)      $             —      $             —  

Options written

                                                     

Goldman Sachs

     44,233               44,233        (44,233)                

Swaps

                                                     

Morgan Stanley

     7,753               7,753        (7,753)                
    


  


  


  


  


  


     $ 89,993      $             —      $ 89,993      $ (89,993)      $             —      $             —  
    


  


  


  


  


  


 

*   Cumulative appreciation/depreciation on futures contracts is reported in the Schedule of Open Futures Contracts – variation margin and receivable/payable for unsettled open futures contracts presented above is presented in the Statements of Assets and Liabilities.

GuidePath Managed Futures Strategy Fund

The Fund is subject to various Master Netting Arrangements, which govern the terms of certain transactions with select counterparties. The Master Netting Arrangements allow the Fund to close out and net its total exposure to a counterparty in the event of a default with respect to all the transactions governed under a single agreement with a counterparty. The Master Netting Arrangements also specify collateral posting arrangements at pre-arranged exposure levels. Under the Master Netting Arrangements, collateral is routinely transferred if the total net exposure to certain transactions (net of existing collateral already in place) governed under the relevant Master Netting Arrangement with a counterparty in a given account exceeds a specified threshold depending on the counterparty and the type of Master Netting Arrangement.

 

156


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

The table below, as of March 31, 2023, discloses both gross information and net information about instruments and transactions eligible for offset in the Consolidated Statements of Assets and Liabilities, and instruments and transactions that are subject to an agreement similar to a master netting agreement as well as amounts related to collateral held at clearing brokers and counterparties. For financial reporting purposes, the Fund does not offset derivative assets and liabilities, and any related collateral received or pledged, on the Consolidated Statements of Assets and Liabilities, except in the case of futures contracts.

 

Assets                         Gross Amounts not offset
in the Consolidated
Statements of
Assets and Liabilities


        
     Gross Amounts
of Recognized
Assets


     Gross Amounts
Offset in the
Consolidated
Statements of
Assets and Liabilities


     Net Amounts
Presented in the
Consolidated
Statements of
Assets and Liabilities


     Financial
Instruments


     Collateral
Received


     Net
Amount

 

Description / Counterparty

                                                     

Forward

                                                     

UBS AG

   $ 1,633,057      $      $ 1,633,057      $ (1,633,057    $      $             —  

Futures*

                                                     

Goldman Sachs

     2,863,109        (2,545,577      317,532        (317,532              
    


  


  


  


  


  


     $ 4,496,166      $ (2,545,577    $ 1,950,589      $ (1,950,589    $             —      $             —  
    


  


  


  


  


  


 

Liabilities                         Gross Amounts not offset
in the Consolidated
Statements of
Assets and Liabilities


        
     Gross Amounts
of Recognized
Liabilities


     Gross Amounts
Offset in the
Consolidated
Statements of
Assets and Liabilities


     Net Amounts
Presented in the
Consolidated
Statements of
Assets and Liabilities


     Financial
Instruments


     Collateral
Pledged


     Net
Amount

 

Description / Counterparty

                                                     

Forward

                                                     

UBS AG

   $ 2,041,217      $      $ 2,041,217      $ (1,633,057    $ (408,160    $  

Futures*

                                                     

Goldman Sachs

     4,712,451        (2,545,577      2,166,874        (317,532      (1,849,342       
    


  


  


  


  


  


     $ 6,753,668      $ (2,545,577    $ 4,208,091      $ (1,950,589    $ (2,257,502    $             —  
    


  


  


  


  


  


 

*   Cumulative appreciation/ depreciation on futures contracts is reported in the Consolidated Schedule of Open Futures Contracts – variation margin and recievable/payable for unsettled open futures contracts presented above is presented in the Consolidated Statements of Assets and Liabilities.

In some instances, the collateral amounts disclosed in the tables were adjusted due to the requirement to limit the collateral amounts to avoid the effect of overcollateralization. Actual collateral received/pledged may be more than the amounts disclosed herein.

GuidePath Growth and Income Fund

The Fund is subject to various Master Netting Arrangements, which govern the terms of certain transactions with select counterparties. The Master Netting Arrangements allow the Fund to close out and net its total exposure to a counterparty in the event of a default with respect to all the transactions governed under a single agreement with a counterparty. The Master Netting Arrangements also specify collateral posting arrangements at pre-arranged exposure levels. Under the Master Netting Arrangements, collateral is routinely transferred if the total net exposure to certain transactions (net of existing collateral already in place) governed under the relevant Master Netting Arrangement with a counterparty in a given account exceeds a specified threshold depending on the counterparty and the type of Master Netting Arrangement.

 

157


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

The table below, as of March 31, 2023, discloses both gross information and net information about instruments and transactions eligible for offset in the Statements of Assets and Liabilities, and instruments and transactions that are subject to an agreement similar to a master netting agreement as well as amounts related to collateral held at clearing brokers and counterparties. For financial reporting purposes, the Fund does not offset derivative assets and liabilities, and any related collateral received or pledged, on the Statements of Assets and Liabilities, except in the case of futures contracts.

 

Assets                         Gross Amounts not offset
in the Statement of
Assets and Liabilities


        
     Gross Amounts
of Recognized
Assets


     Gross Amounts
Offset in the
Statement of
Assets and Liabilities


     Net Amounts
Presented in the
Statement of

Assets and  Liabilities

     Financial
Instruments


     Collateral
Received


     Net
Amount


 

Description / Counterparty

                                                     

Futures

                                                     

Morgan Stanley

   $ 84,000      $             —      $ 84,000      $             —      $             —      $ 84,000  
    


  


  


  


  


  


     $ 84,000      $      $ 84,000      $      $      $ 84,000  
    


  


  


  


  


  


 

Liabilities                         Gross Amounts not offset
in the Statements of
Assets and Liabilities


        
     Gross Amounts
of Recognized
Liabilities


     Gross Amounts
Offset in the
Statements of
Assets and Liabilities


     Net Amounts
Presented in the
Statements of
Assets and Liabilities


     Financial
Instruments


     Collateral
Pledged


     Net
Amount


 

Description / Counterparty

                                                     

Options Written

                                                     

Interactive Brokers

   $ 147,980      $             —      $ 147,980      $ (147,980    $             —      $             —  
    


  


  


  


  


  


     $ 147,980      $      $ 147,980      $ (147,980    $      $  
    


  


  


  


  


  


Due to the absence of a master netting agreement relating to the Funds’ participation in securities lending, no additional disclosures have been made on behalf of the Funds. Please reference Note 7 for collateral related to securities on loan.

 

  (m)   Securities Purchased or Sold on a Forward-Commitment Basis The Funds may enter into when-issued or other purchase or sale transactions that specify forward delivery of a financial security. In connection with this ability, the Funds may enter into mortgage “dollar rolls” in which a Fund sells securities in the current month for delivery and simultaneously contracts with the same counterparty to repurchase similar (same type, coupon and maturity), but not identical securities on a specified future date. The party that is obligated to buy a security in the future will retain the use of their funds, and will benefit from any interest that is earned on those funds from the day that they enter into the forward contract until the day that they take delivery and pay for the security.

 

  (n)   Foreign Securities – For purposes of these financial statements, foreign securities are defined as securities issued by companies that are organized outside the United States. Investing in these types of securities make a fund more susceptible to additional risks. These risks include currency fluctuations, political and economic instability, less government regulation, less publicly available information, limited trading markets, differences in financial reporting standards, fewer protections for passive investors and less stringent regulation of securities markets. Moreover, securities of many foreign companies and foreign governments and their markets may be less liquid and their prices more volatile than those of securities of comparable U.S. companies and the U.S. government. Occasionally, events that affect these values and exchange rates may occur after the close of the exchange on which such securities are traded. If such
  events materially affect the value of a Fund’s securities, these securities may be valued at their fair value pursuant to procedures adopted by the Board.

 

  (o)   Foreign Currency Translation

The accounting records of the Funds are maintained in U.S. dollars. Investment securities and all other assets and liabilities of the Funds denominated in a foreign currency are translated into U.S. dollars at current exchange rates. Purchases and sales of securities, income receipts, and expense payments are translated into U.S. dollars at the exchange rate in effect on the dates of the respective transactions. The Funds do not isolate the portion of the fluctuations on investments resulting from changes in foreign currency exchange rates from the fluctuations in market prices of investments held. Such fluctuations are included with the net realized and unrealized gain or loss from investments.

Net realized gain (loss) on foreign currencies include those gains and losses arising from the sale of foreign currencies, currency gains or losses realized between the trade and settlement dates on foreign currency transactions, the differences between the amounts of dividends, and foreign withholding taxes recorded on a Fund’s books, and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized appreciation (depreciation) on investments includes changes in the value of investments resulting from exchange rates.

 

 

158


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

The value of the Funds’ foreign holdings as measured in U.S. dollars may be affected unfavorably by changes in foreign currency exchange rates, as a change in the value of a foreign currency against the U.S. dollar generally will result in a corresponding change in the U.S. dollar value of securities denominated in that currency held by a Fund. In addition to the risks of foreign currency exchange rates generally, trading in the currencies of certain countries may face periods of limited liquidity or the political risk of exchange controls or currency repatriation restrictions, which may in turn make such holdings denominated in those currencies difficult to value. The Funds may also incur losses in connection with conversions between various currencies.

 

  (p)   Restricted and Illiquid Securities

No Fund may acquire any illiquid investment if, immediately after the acquisition, the Fund would have invested more than 15% of it’s net assets in illiquid investments that are assets. The Advisor, with the assistance of the sub-advisors and/or pricing services, will determine the value of such securities in good faith pursuant to procedures adopted by the applicable Board of Trustees. Illiquid securities present the risks that a Fund may have difficulty valuing these holdings and/or may be unable to sell these holdings at the time or price desired. There are no restrictions on each Fund’s ability to invest in restricted securities (that is, securities that are not registered pursuant to the Securities Act of 1933), except to the extent such securities may be considered illiquid. Securities issued pursuant to Rule 144A of the Securities Act of 1933 will be considered liquid if determined to be so under the Funds’ liquidity guidelines.

 

  (q)   Auction Rate Securities

The Core Fixed Income Fund and each of the GPS Funds II portfolios may invest in auction rate municipal securities. Auction rate securities usually permit the holder to sell the securities in an auction at par value at specified intervals. The dividend is reset by “Dutch” auction in which bids are made by broker-dealers and other institutions for a certain amount of securities at a specified minimum yield. The dividend rate set by the auction is the lowest interest or dividend rate that covers all securities offered for sale. While this process is designed to permit auction rate securities to be traded at par value, there is a risk that an auction will fail due to insufficient demand for the securities.

 

  (r)   Short Sales

Although not currently part of any Fund’s principal investment strategy, each Fund has the ability to make equity short sales. Short sales are transactions where a Fund sells securities it does not own in anticipation of a decline in the value of the securities.

 

  (s)   Trustee Compensation

Effective April 1, 2023, for the services performed as Trustees of the consolidated Board of GPS Funds I and GPS Funds II, the Independent Trustees receive a retainer fee of $110,000 per year, $5,000 for each quarterly meeting and annual agreement renewal review meeting, whether held in-person or telephonically, $5,000 for each special meeting attended in person and $2,500 for each special meeting attended telephonically, as well as reimbursement for expenses incurred in connection with attendance at such meetings. The fees are

allocated proportionally to each Fund within the Trusts based on total assets under management.

During the fiscal year ended March 31, 2023, the Independent Trustees received a retainer fee of $90,000 per year, $5,000 for each quarterly meeting and annual agreement renewal review meeting, whether held in-person or telephonically, $5,000 for each special meeting attended in person and $2,500 for each special meeting attended telephonically, as well as reimbursement for expenses incurred in connection with attendance at such meetings.

The “interested persons” who serve as Trustees of the Trusts receive no compensation from the Trusts for their services as Trustees. The Funds reimburse the Advisor an allocated amount for the compensation and related expenses of certain officers of the Trusts who provide compliance services to the Funds. The aggregate amount of all such reimbursements is determined by the Trustees. No other compensation or retirement benefits are received by any Trustee or officer from the Funds.

 

  (t)   Pending Litigation

The Funds are subject to claims and suits that arise from time to time in the ordinary course of business. Although management currently believes that resolving claims against us, individually or in aggregate, will not have a material adverse impact on financial position, results of operations, or cash flows, these matters are subject to inherent uncertainties and management’s view of these matters may change in the future.

 

  (u)   Participatory Notes (“participation notes”)

Each Fund may invest in participation notes. Participation notes are unsecured, bearer securities typically issued by financial institutions, the return of which is generally linked to the performance of the underlying listed shares of a company in an emerging market (for example, the shares in a company incorporated in India and listed on the Bombay Stock Exchange). Participation notes are often used to gain exposure to securities of companies in the markets that restrict foreign ownership of local companies.

The terms of participation notes vary widely. Investors in participation notes do not have or receive any rights relating to the underlying shares, and the issuers of the notes may not be obligated to hold any shares in the underlying companies. Participation notes are not currently regulated by the governments of the countries upon which securities the notes are based. These instruments, issued by brokers with global registration, bear counterparty risk and may bear additional liquidity risk. These securities have been deemed to be liquid as of March 31, 2023.

 

4.   Investment Advisor

Each Trust has an Investment Advisory Agreement (the “Agreement”) with AssetMark, Inc. (the “Advisor” or “AssetMark”), with whom certain officers and trustees of the Trust are affiliated, to furnish investment advisory services to the Funds. The Cayman subsidiary of the GuidePath Managed Futures Strategy Fund aslo has an Investment Advisory Agreement with AssetMark, with whom certain officers and trustees of the Trust are affiliated, to furnish investment advisory services to the Fund.

 

 

159


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

Under the terms of the Agreement, the Funds compensate the Advisor monthly for its management services at the following annual contractual rates, based on each Fund’s average daily net assets:

 

Large Cap Core Fund

     0.45%  

Emerging Markets Fund

     0.59%  

Small/Mid Cap Core Fund

     0.57%  

World ex-US Fund

     0.50%  

Core Fixed Income Fund

     0.40%  

Growth Allocation Fund

     0.25%  

Conservative Allocation Fund

     0.25%  

Tactical Allocation Fund

     0.35%  

Absolute Return Allocation Fund

     0.35%  

Multi-Asset Income Allocation Fund

     0.35%  

Flexible Income Allocation Fund

     0.25%  

Managed Futures Strategy Fund

     1.05%  

Conservative Income Fund

     0.35%  

Income Fund

     0.45%  

Growth and Income Fund

     0.45%  

AssetMark also provides certain administrative services to the shares of the Conservative Income Fund, Income Fund and Growth and Income Fund, and to the Service Shares of the remaining Funds, pursuant to Administrative Services Agreements between the Funds and AssetMark, for which AssetMark receives a monthly fee at an annual rate of 0.25% of the average daily net assets of the applicable class of shares of each Fund. Pursuant to an administrative services agreement, AssetMark provides services in connection with the operation and administration of the AssetMark Platform, including, among other things, back-office, administrative, custodial support and clerical services. Investors holding shares of the Funds outside of the AssetMark Platform are subject to these administrative services fees, but may not receive all of the related services.

In addition, GPS Funds I and the Advisor have also entered into a Fee Waiver Agreement designed to provide Fund shareholders with the economic benefits of economies of scale that may be realized as Fund assets increase. Under the Fee Waiver Agreement, the Advisor has contractually agreed to waive, 0.025% of each Fund’s annual advisory fee on GPS Funds I assets in excess of $6 billion and an additional 0.025% of each Fund’s annual advisory fee on GPS Funds I assets in excess of $12 billion.

Each Fund and the Advisor have also entered into an Expense Limitation Agreement under which the Advisor has agreed to waive, through July 31, 2024, its management fee and/or reimburse each Fund’s other expenses to the extent necessary to ensure that the Fund’s net annual operating expenses (excluding taxes, interest, trading costs, acquired fund expenses, expenses paid with securities lending expense offset credits and non-routine expenses) do not exceed the following rates (“Expense Limits”), based on daily net assets of each class of each Fund:

 

     Service
Class


     Institutional
Class


     Single
Class


 

Large Cap Core Fund

     0.99%        0.64%        —     

Emerging Markets Fund

     1.40%        1.05%        —     

Small/Mid Cap Core Fund

     1.20%        0.85%        —     

World ex-US Fund

     1.14%        0.79%        —     

Core Fixed Income Fund

     0.94%        0.59%        —     

Growth Allocation Fund

     0.75%        0.40%        —     

Conservative Allocation Fund

     0.45%        0.10%        —     

Tactical Allocation Fund

     0.85%        0.50%        —     

Absolute Return Allocation Fund

     0.55%        0.20%        —     

Multi-Asset Income Allocation Fund

     0.85%        0.50%        —     

Flexible Income Allocation Fund

     0.50%        0.15%        —     

Managed Futures Strategy Fund

     1.65%        1.30%        —     

Conservative Income Fund

     —           —           0.64%  

Income Fund

     —           —           0.79%  

Growth and Income Fund

     —           —           0.79%  

Any such contractual waiver or reimbursement is subject to later adjustment to allow the Advisor to recoup amounts waived or reimbursed to the extent actual fees and expenses for a fiscal period are less than each Fund’s Expense Limits at the time of the waiver, provided, however, that the Advisor shall only be entitled to recoup such amounts for a period of three years after the end of the calendar month in which the fee or expense was waived or reimbursed. As of March 31, 2023, Large Cap Core Fund, Emerging Markets Fund Service Class Shares, Small/Mid Cap Core Fund, Growth Allocation Fund, Tactical Allocation Fund, Multi-Asset Income Allocation Fund and Managed Futures Strategy Fund have recouped all potential recoverable waivers or reimbursed expenses.

 

 

The Advisor is currently waiving fees and, in some cases, reimbursing expenses in the Funds listed below in order to keep these Funds at their Expense Limits. Waived expenses subject to potential recovery are as follows:

 

     Year of
Expiration
03/31/2024


       Year of
Expiration
03/31/2025


       Year of
Expiration
03/31/2026


 

Emerging Markets Fund

   $        $        $ 219,516  

World ex-US Fund

     20          144,468          110,946  

Core Fixed Income Fund

     123,677          89,424          80,939  

Conservative Allocation Fund

     725,482          812,082          671,969  

Absolute Return Allocation Fund

     590,940          312,450          692,243  

Flexible Income Allocation Fund

     289,266          212,963          308,528  

Conservative Income Fund

     38,716          53,047          31,182  

Income Fund

     25,172          3,614          18,873  

Growth and Income Fund

     79,155          43,413          2,958  

Sub-advisory services are provided to certain of the Funds, pursuant to agreements between the Advisor and various sub-advisors. Under the terms of these sub-advisory agreements, the Advisor compensates each sub-advisor based on the portion of each Fund’s average daily net assets that is allocated to the sub-advisor.

 

160


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

5.   Service, Custody, and Line of Credit Agreements

The Funds have entered into Service Agreements with U.S. Bancorp Fund Services, LLC, doing business as U.S. Bank Global Fund Services (“Fund Services”) and a Custody Agreement with U.S. Bank, N.A. (“USB” or the “Custodian”), an affiliate of Fund Services. Under these agreements, Fund Services and the Custodian provide certain transfer agency, administrative, accounting and custody services.

The Funds have established a line of credit (“LoC”) with USB to be used for temporary or emergency purposes, primarily for financing

redemption payments, using the securities in the Funds’ portfolios as collateral. The LoC was renewed July 26, 2022 and will mature, unless renewed, on July 25, 2023. Borrowing under the LoC is limited to the lesser of 20% of the gross market value of a Fund, 20% of specific marketable securities acceptable to USB, or $250,000,000 for all Funds. The interest rate paid by the Funds on outstanding borrowings is equal to the prime rate, which was 8.00% at March 31, 2023. The Funds have authorized USB to charge any of the custody accounts of the Funds for any missed payments by the Funds. Interest expense incurred for the Funds is disclosed on the Statements of Operations.

 

 

During the year April 1, 2022 to March 31, 2023, the details of the borrowings were as follows:

 

Fund


   Average Daily
Borrowings


       Weighted Average Annualized
Interest Rate


     Maximum
Borrowings


 

Large Cap Core Fund

   $ 8,008          7.09    $ 852,000  

Emerging Markets Fund

     75,652          5.49      3,712,000  

World ex-US Fund

     32,301          7.35      3,036,000  

Growth Allocation Fund

     1,142,592          5.68      77,574,000  

Conservative Allocation Fund

     544,822          5.45      43,493,000  

Absolute Return Allocation Fund

     1,479,195          6.57      87,465,000  

Multi-Asset Income Allocation Fund

     122,118          5.62      7,927,000  

Flexible Income Allocation Fund

     136,277          5.16      21,521,000  

Growth and Income Fund

     83,808          3.62      14,512,000  

As of March 31, 2023, the GuidePath Conservative Allocation Fund had outstanding borrowings of $960,000. No other Fund had outstanding borrowings as of March 31, 2023.

 

6.   Securities Lending

The Trusts, on behalf of certain of the Funds, entered into securities lending arrangements with the Custodian. Under the terms of the agreement, the Custodian is authorized to loan securities on behalf of the Funds to approved brokers. In exchange, under normal market conditions, the Funds receive cash collateral in the amount of at least 102% of the value of securities loaned for domestic securities, and 105% of the value of securities loaned with respect to foreign securities. The cash collateral is invested in the Mount Vernon Liquid Assets Portfolio, LLC of which the investment objective is to seek to maximize income to the extent consistent with the preservation of capital and liquidity and maintain a stable Net Asset Value (“NAV”) of $1.00. Although risk is mitigated by the collateral, the Funds could experience a delay in recovering their securities and possible loss of income or value if the borrower fails to return the borrowed securities. In addition, the Funds bear the risk of loss associated with the investment of cash collateral received. After predetermined rebates to brokers, a percentage of

the net securities lending revenue is credited to the Funds to be used as an offset against costs and other charges incurred by the Funds with the Custodian or its affiliates or, as directed in writing by the Funds, other service providers. The Custodian is paid a fee for administering a securities lending program for the Funds, equal to the remaining percentage of the net securities lending revenues generated under the agreement.

During the year ended March 31, 2023, the Funds had loaned securities that were collateralized by cash. The Funds continue to receive interest payments or dividends on the securities loaned during the borrowing year. The cash collateral received was invested in securities as listed in each Fund’s Schedule of Investments. Income earned from these investments is allocated to each Fund based on each Fund’s portion of total cash collateral received. The Funds also receive compensation in the form of fees which depend on a number of factors including the type of security and length of the loan. Securities lending income is disclosed in each Fund’s Statement of Operations as a securities lending credit.

 

 

161


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

Secured Borrowings

 

Securities Lending Transactions


     

Overnight and Continuous


  Investments Purchased with
Proceeds from Securities
Lending Collateral


 

Large Cap Core Fund

  $ 99,549,037  

Emerging Markets Fund

    2,941,322  

Small/Mid Cap Core Fund

    28,266,325  

World ex-US Fund

    5,299,517  

Core Fixed Income Fund

    1,689,338  

Growth Allocation Fund

    150,405,813  

Conservative Allocation Fund

    62,421,423  

Tactical Allocation Fund

    104,514,306  

Absolute Return Allocation Fund

    25,105,887  

Multi-Asset Income Allocation Fund

    18,881,022  

Flexible Income Allocation Fund

    58,689,441  

Managed Futures Strategy Fund

     

Conservative Income Fund

    1,325,946  

Income Fund

    305,100  

Growth & Income Fund

    12,585,208  

Amounts related to agreements not included in offsetting disclosure in Note 3 (Offsetting Assets and Liabilities).

  $  571,979,685  

 

7.   Investment Transactions

The aggregate purchases and sales of securities, excluding short-term investments, for the year ended March 31, 2023 are summarized below.

 

    Purchases

    Sales

 

Large Cap Core Fund

  $ 251,234,201     $ 271,717,517  

Emerging Markets Fund

    22,537,417       38,110,860  

Small/Mid Cap Core Fund

    23,788,231       24,624,987  

World ex-US Fund

    54,247,019       61,935,163  

Core Fixed Income Fund*

    533,397,557       562,514,590  

Growth Allocation Fund

    220,780,326       278,386,615  

Conservative Allocation Fund

    208,693,921       247,945,279  

Tactical Allocation Fund

    778,093,366       711,881,955  
    Purchases

    Sales

 

Absolute Return Allocation Fund

  $ 526,432,090     $ 511,937,691  

Multi-Asset Income Allocation Fund

    61,858,757       72,975,476  

Flexible Income Allocation Fund

    1,432,162,254       1,432,595,576  

Managed Futures Strategy Fund

           

Conservative Income Fund

    32,221,083       30,368,087  

Income Fund

    175,673,672       159,680,888  

Growth and Income Fund

    52,736,436       57,302,603  

 

  *   Included in these amounts were $491,182,880 of purchases and $506,817,803 of sales of U.S. Government Securities.
 

 

8.   Transactions with Affiliates

The GuidePath Flexible Income Allocation Fund owned 5% or more of the voting securities of the following company during the year ended March 31, 2023. As a result, this company is deemed to be an affiliated company. The below table represents fair value:

 

Issuer


   Value as of
April 1, 2022


     Purchases

     Sales

     Realized Gain
(Loss)


 

WisdomTree Bloomberg U.S. Dollar Bullish Fund1

   $ 11,530,173      $ 14,539,175      $ 16,061,856      $ (233,659

iShares MSCI Kokasui ETF

            11,060,244        1,342,429        8,788  
    


  


  


  


     $ 11,530,173      $ 25,599,419      $ 17,404,285      $ (224,871
    


  


  


  


 

Issuer


   Change in
Unrealized
Appreciation
(Depreciation)


    Distributions
Received


    Fair Value
as of
March 31,
2023


     Share Balance
as of
March 31,
2023


 

WisdomTree Bloomberg U.S. Dollar Bullish Fund1

   $ (105,277   $ 719,262 2    $ 9,668,556        370,869  

iShares MSCI Kokasui ETF

     283,767             10,010,370        114,135  
    


 


 


  


     $ 178,490     $ 719,262     $ 19,678,926        485,004  
    


 


 


  


 

  1   No longer an affiliate as of March 31, 2023.
  2   Includes Dividends from affiliated investments and Net long-term capital gain distributions received from affiliated registered investment companies on the Statement of Operations.

 

9.   Covid-19 Pandemic

The global outbreak of COVID-19, first detected in China in December 2019, has disrupted economic markets and the long-term economic impact is uncertain. The operational and financial

performance of the issuers of securities in which a Fund invests depends on future developments, including the duration and spread of the outbreak, and such uncertainty may in turn impact the value of the Funds’ investments.

 

 

162


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

10.   LIBOR Discontinuation

Certain variable rate securities use the London Interbank Offered Rate (“LIBOR”) as a reference interest rate. On July 27, 2017, the head of the United Kingdom’s Financial Conduct Authority announced a planned phase out of LIBOR by the end of 2021. Although many LIBOR rates were phased out at the end of 2021 as originally intended, certain widely used US dollar (USD) LIBOR rate settings (overnight, 1-, 3- ,6-, and 12-month) will continue to be published in representative forms until June 30, 2023 in order to assist with the market transition away from LIBOR-based instruments. Actions by regulators have resulted in the establishment of alternative reference rates to LIBOR in most major currencies. The transition to alternative rates may adversely affect the value or liquidity of certain LIBOR-based investments or reduce the effectiveness of related transactions such as hedges and the ultimate impact of the transition on markets generally remains uncertain.

 

11.   Ukraine/Russia War

On February 24, 2022, Russia commenced a military attack on Ukraine. This has led to various countries, including the US, imposing economic sanctions on certain Russian individuals and entities. In response to these events, the Russian government has imposed capital controls to restrict movements of capital entering and exiting the country. The conflict and related events have and may continue to result in price volatility and liquidity constraints. Future market disruptions as a result of the war cannot be predicted, but could be significant and may include adverse effects on global economic growth as well as the markets for certain securities and commodities, such as oil and natural gas, among other sectors. The duration of the conflict, potential for escalation and ultimate effects on the Funds cannot currently be predicted.

 

12.   Financials Sector

Financial services companies are subject to risks related to changes in governmental regulation, the availability and cost of capital, changes in interest rates and/or monetary policy and competitive pressures. In addition, financial services companies are often more highly leveraged than other companies, which carries additional inherent risk, particularly during times of market volatility or monetary tightening. Deterioration of the credit markets generally may cause an adverse impact in a broad range of markets, including U.S. and international credit and interbank money markets, negatively affecting a wide range of financial institutions and markets. Certain events in the financials sector may cause an unusually high degree of volatility in the global financial markets and may cause certain financial services companies to incur substantial losses. The value of securities issued by companies in the financials sector may dramatically decline if financial services issuers experience substantial declines in the valuations of their assets, take action to raise capital (such as the issuance of debt or equity securities), or cease operations. Adverse economic or political developments could also adversely affect financial institutions engaged in mortgage related finance or other lending or investing activities directly or indirectly connected to the value of real estate.

 

13.   Other Tax Information

Net investment income and realized gains and losses for Federal income tax purposes may differ from that reported on the financial statements because of permanent book-to-tax differences. GAAP requires that permanent differences between financial reporting and tax reporting be reclassified between various components of net assets.

 

These differences are primarily due to CFC income reversal, distribution in excess of taxable income, non-deductable excise tax paid, partnerships and equalization. On the Statements of Assets and Liabilities, the following adjustments were made:

 

     Total Distributable
Earnings (Loss)


       Capital Stock

 

Large Cap Core Fund

   $ (1,144,681      $ 1,144,681  

Emerging Markets Fund

     499,425          (499,425

Small/Mid Cap Core Fund

               

World ex-US Fund

     (1,451,625        1,451,625  

Core Fixed Income Fund

               

Growth Allocation Fund

     (6,212,695        6,212,695  

Conservative Allocation Fund

     14,294          (14,294

Tactical Allocation Fund

               

Absolute Return Allocation Fund

     16,347          (16,347

Multi-Asset Income Allocation Fund

               

Flexible Income Allocation Fund

     1,659          (1,659

Managed Futures Strategy Fund

     10,032,796          (10,032,796

Conservative Income Fund

               

Income Fund

     554          (554

Growth and Income Fund

               

 

163


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

The Funds intend to utilize capital loss carryforwards to offset future realized capital gains. Losses are carried forward indefinitely and any corresponding loss character is retained. Capital loss carryforwards available for Federal income tax purposes are as follows:

 

     Capital losses

          
     Short Term

       Long Term

       Utilized

 

Large Cap Core Fund

   $        $        $  

Emerging Markets Fund

                        

Small/Mid Cap Core Fund

                        

World ex-US Fund

                        

Core Fixed Income Fund

     7,636,772          6,023,841           

Growth Allocation Fund

                        

Conservative Allocation Fund

     2,603,613          7,701,402           

Tactical Allocation Fund

     7,351,658          8,645,327           

Absolute Return Allocation Fund

     11,046,175          14,359,697           

Multi-Asset Income Allocation Fund

     565,064          4,491,439          144,419  

Flexible Income Allocation Fund

     38,986,676          9,472,286           

Managed Futures Strategy Fund

                        

Conservative Income Fund

     462,161          50,222           

Income Fund

     5,421,355          1,104,747           

Growth and Income Fund

     1,022,669          3,079,690           

Additionally, at March 31, 2023, the Funds deferred on a tax basis losses as follows:

 

     Ordinary Late
Year Loss


       Capital Loss

 

Large Cap Core Fund

   $        $  

Emerging Markets Fund

     87,320          506,958  

Small/Mid Cap Core Fund

     77,932          364,519  

World ex-US Fund

               

Core Fixed Income Fund

               

Growth Allocation Fund

               

Conservative Allocation Fund

               

Tactical Allocation Fund

               

Absolute Return Allocation Fund

               

Multi-Asset Income Allocation Fund

               

Flexible Income Allocation Fund

               

Managed Futures Strategy Fund

     7,759,883          71,122,613  

Conservative Income Fund

               

Income Fund

               

Growth and Income Fund

               

A regulated investment company may elect for any taxable year to treat any portion of the qualified late year loss as arising on the first day of the next taxable year. Qualified late year losses are certain capital and ordinary losses which occur during the portion of the taxable year subsequent to October 31 and December 31, respectively.

The character of distributions for tax purposes paid during the fiscal years ended March 31, 2023 and March 31, 2022 are as follows:

 

     Year Ended March 31, 2023

 
     Ordinary
Income
Distributions


       Long-Term
Capital Gain
Distributions


       Return of
Capital


 

Large Cap Core Fund

   $ 3,230,813        $ 42,887,062        $  

Emerging Markets Fund

     1,979,243          5,054,436           

Small/Mid Cap Core Fund

     415,207          1,643,644           

World ex-US Fund

     2,185,741          753,332           

Core Fixed Income Fund

     4,236,587                    

Growth Allocation Fund

     2,497,998          33,002,940           

Conservative Allocation Fund

     7,210,860          1,410,637           

Tactical Allocation Fund

     13,932,446          8,621,703           

Absolute Return Allocation Fund

     7,994,774                    

Multi-Asset Income Allocation Fund

     3,695,270                    

Flexible Income Allocation Fund

     7,455,369          2,197,965           

Managed Futures Strategy Fund

     77,138,457          33,039,636           

Conservative Income Fund

     333,852                    

Income Fund

     1,084,689                    

Growth and Income Fund

     2,147,781                    

 

164


GuideMark Funds & GuidePath Funds

NOTES TO FINANCIAL STATEMENTS (Continued)

March 31, 2023


 

     Year Ended March 31, 2022

 
     Ordinary
Income
Distributions


       Long-Term
Capital Gain
Distributions


       Return of
Capital


 

Large Cap Core Fund

   $ 4,380,405        $ 17,492,713        $  

Emerging Markets Fund

     2,454,324          5,150,349           

Small/Mid Cap Core Fund

     1,322,987          10,865,602           

World ex-US Fund

     1,530,013                    

Core Fixed Income Fund

     2,772,722          1,924,511           

Growth Allocation Fund

     15,113,758          16,949,619           

Conservative Allocation Fund

     11,536,921          6,206,078           

Tactical Allocation Fund

     39,531,728          9,786,060           

Absolute Return Allocation Fund

     4,479,391                    

Multi-Asset Income Allocation Fund

     3,347,756                    

Flexible Income Allocation Fund

     8,322,123                    

Managed Futures Strategy Fund

     14,193,380          5,162,678           

Conservative Income Fund

     69,357                   6,986  

Income Fund

     918,444                    

Growth and Income Fund

     6,681,000          8,349,427          78,293  

At March 31, 2023, the components of accumulated earnings (losses) on a tax basis were as follows:

 

     Large Cap Core
Fund


    Emerging
Markets Fund


    Small/Mid
Cap Core
Fund


    World
ex-US
Fund


    Core
Fixed Income
Fund


 

Cost of Portfolio*

   $ 509,500,945     $ 44,091,727     $ 100,968,953     $ 93,420,022     $ 219,518,983  
    


 


 


 


 


Gross Unrealized Appreciation

   $ 220,341,637     $ 11,760,660     $ 31,665,485     $ 26,493,785     $ 1,281,587  

Gross Unrealized Depreciation

     (23,779,628     (6,428,040     (10,464,474     (4,426,421     (15,630,736
    


 


 


 


 


Net Unrealized Appreciation/(Depreciation)

     196,562,009       5,332,620       21,201,011       22,067,364       (14,349,149
    


 


 


 


 


Undistributed Ordinary Income

     1,209,660                   2,469,488       380,837  

Undistributed Long-Term Cap Gains

                       1,248,984        

Other Accumulated Gains/(Losses)

           (594,278     (442,508           (13,660,613
    


 


 


 


 


Total Distributable Earnings/(Loss)

     197,771,669       4,738,342       20,758,503       25,785,836       (27,628,925
    


 


 


 


 


     Growth
Allocation
Fund


    Conservative
Allocation
Fund


    Tactical
Allocation
Fund


    Absolute
Return
Allocation
Fund


    Multi-Asset
Income
Allocation
Fund


 

Cost of Portfolio*

   $ 878,808,763     $ 468,284,753     $ 593,708,303     $ 254,307,846     $ 104,704,992  
    


 


 


 


 


Gross Unrealized Appreciation

   $ 251,635,775     $ 42,492,539     $ 36,602,716     $ 3,348,597     $ 9,524,974  

Gross Unrealized Depreciation

     (25,648,838     (24,730,031     (26,685,211     (8,355,908     (6,484,319
    


 


 


 


 


Net Unrealized Appreciation/(Depreciation)

     225,986,937       17,762,508       9,917,505       (5,007,311     3,040,655  
    


 


 


 


 


Undistributed Ordinary Income

     7,014,607       5,795,832       6,818,603       2,733,574       199,649  

Undistributed Long-Term Cap Gains

                              

Other Accumulated Gains/(Losses)

     (7,293     (10,312,308     (16,004,278     (25,413,165     (5,056,503
    


 


 


 


 


Total Distributable Earnings/(Loss)

     232,994,251       13,246,032       731,830       (27,686,902     (1,816,199
    


 


 


 


 


 

     Flexible
Income
Allocation
Fund


    Managed
Futures
Strategy
Fund


    Conservative
Income
Fund


    Income
Fund


    Growth and
Income
Fund


 

Cost of Portfolio*

   $ 354,174,661     $ 486,451,185     $ 13,104,358     $ 59,316,553     $ 114,776,202  
    


 


 


 


 


Gross Unrealized Appreciation

   $ 3,456,496     $ 2,827,097     $ 17,217     $ 439,125     $ 7,465,863  

Gross Unrealized Depreciation

     (3,587,424     (2,107,540     (17,749     (2,886,328     (3,166,694
    


 


 


 


 


Net Unrealized Appreciation/(Depreciation)

     (130,928     719,557       (532     (2,447,203     4,299,169  
    


 


 


 


 


Undistributed Ordinary Income

     396,125             9,147       9,202       48,822  

Undistributed Long-Term Cap Gains

                              

Other Accumulated Gains/(Losses)

     (48,458,962     (82,009,163     (512,383     (6,526,102     (4,102,359
    


 


 


 


 


Total Distributable Earnings/(Loss)

     (48,193,765     (81,289,606     (503,768     (8,964,103     245,632  
    


 


 


 


 


The differences between book-basis and tax-basis unrealized appreciation and depreciation are primarily attributable to the tax deferral of losses on wash sales and other temporary differences.

 

  *   Portfolio includes investments and derivative contracts

 

165


GuideMark Funds & GuidePath Funds

REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM


 

To the Shareholders and Board of Trustees of GPS Funds I and GPS Funds II

Opinion on the Financial Statements

We have audited the accompanying statements of assets and liabilities, including the schedules of investments, open futures contracts, options written, and open swap contracts (including the consolidated statement of assets and liabilities and consolidated schedules of investments, open futures contracts, and open forward currency contracts of GuidePath® Managed Futures Strategy Fund), of GPS Funds I and GPS Funds II comprising the funds listed below (the “Funds”) as of March 31, 2023, the related statements of operations, the statements of changes in net assets, the related notes, and the financial highlights for each of the periods indicated below (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of March 31, 2023, the results of their operations, the changes in net assets, and the financial highlights for each of the periods indicated below in conformity with accounting principles generally accepted in the United States of America.

 

Fund Name


 

Statements of Operations


  

Statements of Changes
in Net Assets


  

Financial Highlights


GuideMark® Large Cap Core Fund,

  For the year ended March 31, 2023    For the years ended March 31, 2023 and 2022    For the years ended March 31, 2023, 2022, 2021, 2020, and 2019

GuideMark® Emerging Markets Fund,

GuideMark® Small/Mid Cap Core Fund,

GuideMark® World ex-US Fund,

GuideMark® Core Fixed Income Fund,

             

GuidePath® Growth Allocation Fund,

             

GuidePath® Conservative Allocation Fund,

             

GuidePath® Tactical Allocation Fund,

             

GuidePath® Absolute Return Allocation Fund,

             

GuidePath® Multi-Asset Income Allocation Fund, and

             

GuidePath® Flexible Income Allocation Fund

             

GuidePath® Managed Futures Strategy Fund

  Consolidated for the year ended March 31, 2023    Consolidated for the years ended March 31, 2023 and 2022    Consolidated for the years ended March 31, 2023, 2022, 2021, 2020, and 2019

GuidePath® Conservative Income Fund,

GuidePath® Income Fund, and

GuidePath® Growth and Income Fund

  For the year ended March 31, 2023    For the years ended March 31, 2023 and 2022    For the years ended March 31, 2023, 2022, 2021, 2020, and for the period from April 30, 2018 (commencement of operations) through March 31, 2019

Basis for Opinion

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement whether due to error or fraud.

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our procedures included confirmation of securities owned as of March 31, 2023, by correspondence with the custodian and brokers; when replies were not received from brokers, we performed other auditing procedures. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

We have served as the Funds’ auditor since 2014.

/s/ COHEN & COMPANY, LTD.

Milwaukee, Wisconsin

May 30, 2023

 

166


GuideMark Funds & GuidePath Funds

ADDITIONAL INFORMATION

March 31, 2023


 

Additional Information

 

1.   Shareholder Notification of Federal Tax Status (Unaudited)

The Funds designated the following percentages of dividends during the fiscal year ended March 31, 2023 as dividends qualifying for the dividends received deduction available to corporate shareholders and as dividends from net investment income that are qualifying income under the Jobs and Growth Tax Relief Reconciliation Act of 2003, respectively:

 

     Dividends received
deduction % for
corporate shareholders


       % of dividends as
qualified income


 

Large Cap Core Fund

     100.00%          100.00%  

Emerging Markets Fund

     0.00%          92.27%  

Small/Mid Cap Core Fund

     100.00%          100.00%  

World ex-US Fund

     0.00%          100.00%  

Core Fixed Income Fund

     0.00%          0.00%  

Growth Allocation Fund

     44.75%          93.98%  

Conservative Allocation Fund

     14.16%          33.85%  

Tactical Allocation Fund

     11.85%          12.13%  

Absolute Return Allocation Fund

     0.07%          0.53%  

Multi-Asset Income Allocation Fund

     27.67%          49.47%  

Flexible Income Allocation Fund

     2.13%          2.16%  

Managed Futures Strategy Fund

     0.00%          0.00%  

Conservative Income Fund

     0.00%          0.00%  

Income Fund

     3.15%          3.17%  

Growth and Income Fund

     51.63%          82.41%  

The Percentage of taxable ordinary income distributions that are designated as short-term capital gain distributions under Internal Revenue Section 871 (k)(2)(c) for each Fund were as follows (unaudited).

 

     % of dividends as
short-term
capital gain


 

Large Cap Core Fund

     0.00%  

Emerging Markets Fund

     0.00%  

Small/Mid Cap Core Fund

     0.00%  

World ex-US Fund

     0.00%  

Core Fixed Income Fund

     0.00%  

Growth Allocation Fund

     26.52%  

Conservative Allocation Fund

     2.33%  

Tactical Allocation Fund

     100.00%  

Absolute Return Allocation Fund

     0.00%  

Multi-Asset Income Allocation Fund

     0.00%  

Flexible Income Allocation Fund

     0.00%  

Managed Futures Strategy Fund

     36.29%  

Conservative Income Fund

     0.00%  

Income Fund

     0.00%  

Growth and Income Fund

     0.00%  

 

2.   Foreign Tax Credit Pass Through (Unaudited)

Pursuant to Section 853 of the Internal Revenue Code, the following Funds designate the following amounts as foreign taxes paid for the year ended March 31, 2023. Foreign taxes paid for purposes of Section 853 may be less than actual foreign taxes paid for financial statement purposes.

 

     Creditable Foreign
Taxes Paid


     Per Share
Amount


     Portion of Ordinary Income
Distribution Derived from
Foreign Sourced  Income*


 

Emerging Markets Fund

   $ 255,855      $ 0.0577        96.68

World ex-US Fund

     357,876        0.0317        97.57

 

  *   The Funds listed above did not derive any income from “ineligible foreign sources” as defined under Section 901(j) of the Internal Revenue Code.

Foreign taxes paid or withheld should be included in taxable income with an offsetting deduction from gross income or as a credit for taxes paid to foreign governments.

 

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March 31, 2023


 

Above figures may differ from those cited elsewhere in this report due to differences in the calculation of income and gains under U.S. generally accepted accounting principles (book) purposes and Internal Revenue Service (tax) purposes.

Shareholders are strongly advised to consult their own tax advisers with respect to the tax consequences of their investments in the Funds. In January, shareholders, excluding corporate shareholders, receive an IRS 1099-DIV regarding the Federal tax status of the dividends and distributions they received in the calendar year.

 

3.   Disclosure Regarding Fund Trustees and Officers (Unaudited)

 

Name, Address
and Year of Birth


  

Position(s) Held
with the Trusts


  

Term of Office and
Length of Time Served


  

Principal Occupation
During Past Five Years or Longer


  

# of
Portfolios
in Fund
Complex
Overseen
by Trustee


    

Other Director/

Trustee Positions


GPS Funds I and GPS Funds II

Independent Trustees

David M. Dunford

Year of Birth: 1949

c/o AssetMark, Inc.

1655 Grant Street,

10th Floor

Concord, CA 94520

   Lead Independent Trustee    Indefinite Term (since 2013 for GPS Funds I and since 2011 for GPS Funds II)    Retired; formerly, Senior Vice President, Merrill Lynch Insurance Group (1989-2001).      15      Trustee, Savos Investments Trust (2015-2022).

Paul S. Feinberg

Year of Birth: 1942

c/o AssetMark, Inc.

1655 Grant Street,

10th Floor

Concord, CA 94520

   Independent Trustee    Indefinite Term (since 2013 for GPS Funds I and since 2011 for GPS Funds II)    Retired; formerly, President, CitiStreet Funds, Inc. (2000-2005); Executive Vice President and General Counsel, CitiStreet Associates LLC (insurance agency), CitiStreet Equities LLC (broker-dealer), CitiStreet Financial Services LLC (registered investment advisor) and CitiStreet Funds Management LLC (registered investment advisor) (1990-2005).      15      Trustee, Savos Investments Trust (2015-2022).

Dennis G. Schmal

Year of Birth: 1947

c/o AssetMark, Inc.

1655 Grant Street,

10th Floor

Concord, CA 94520

   Independent Trustee    Indefinite Term (since 2007 for GPS Funds I and since 2013 for GPS Funds II)    Self-employed consultant (1999-present); formerly, Partner, Arthur Andersen LLP (audit services) (1972-1999).      15      Trustee, Savos Investments Trust (2015-2022); Director, Blue Calypso, Inc. (2015-2019); Director, Owens Realty Mortage Inc. (2013-2019); Director, Cambria ETF Series Trust (2013-present); Director, Wells Fargo GAI Hedge Funds (2008-2019); Director, First Guarantee Mortgage Corporation (2021-present).

Interested Trustee

                            

Carrie E. Hansen*

Year of Birth: 1970

c/o AssetMark, Inc.

1655 Grant Street,

10th Floor

Concord, CA 94520

  

Interested Trustee and Chairperson

 

President

  

Indefinite Term since 2014

 

Renewed 1-Year Term since 2008

   President, GPS Funds I (2008-present) and GPS Funds II (2011-present); President, Savos Investments Trust (“Savos”) (2008-2022); Executive Vice President and Chief Operating Officer, AssetMark (2008-present); President, AssetMark Brokerage®, LLC (2014-present).      15      Trustee, Savos Investments Trust (2008-2022); Director and Chairperson, AssetMark Trust Co. (2008-present); Director, AssetMark, Inc. (2013-present); Treasurer, Acalanes Booster Club (2017-2019); Director, Rheumatology Research Foundation (2021-present).

 

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March 31, 2023


 

Name, Address
and Year of Birth


  

Position(s) Held
with the Trusts


  

Term of Office and
Length of Time Served


  

Principal Occupation During Past Five Years


Officers of the Trusts**

John Koval

Year of Birth: 1966

c/o AssetMark, Inc.

1655 Grant Street,

10th Floor

Concord, CA 94520

   Chief Compliance Officer and AML Compliance Officer    Renewed 1-Year Term since 2013    Chief Compliance Officer, GPS Funds I, GPS Funds II (2013-present), and Savos (2013-2022); Interim Chief Compliance Officer, GPS Funds I, GPS Funds II, and Savos (September 2012-January 2013); Senior Compliance Officer, AssetMark (2011-2012); Chief Operating Officer, SEAL Capital, Inc. (2009-2010); Chief Compliance Officer, Cliffwood Partners LLC (2004-2009).

Patrick R. Young

Year of Birth: 1982

c/o AssetMark, Inc.

1655 Grant Street,

10th Floor

Concord, CA 94520

   Vice President and Treasurer    Renewed 1-Year Term since 2014    Vice President and Treasurer, GPS Funds I, GPS Funds II (May 2014-present), and Savos (2014-2022); Director of Mutual Fund Operations and Finance, AssetMark (2016-present); Manager of Fund Administration, AssetMark (2014-2016); Senior Fund Administration Officer, AssetMark (2008-2014).

Christine Villas-Chernak

Year of Birth: 1968

c/o AssetMark, Inc.

1655 Grant Street,

10th Floor

Concord, CA 94520

   Secretary    Renewed 1-Year Term since 2014    Secretary, GPS Funds I (2006-2013 and 2014-present), GPS Funds II (2011-2013 and 2014- present), Savos (2009-2010 and 2014-2022) Deputy Chief Compliance Officer, GPS Funds I (2009-present), GPS Funds II (2011-present) and GVIT (2009-2012); Senior Compliance Officer, AssetMark (2005-2009).

 

*   Ms. Hansen is a Trustee who is an “interested person” of the Trusts as defined in the 1940 Act because she is an officer of AssetMark or certain of its affiliates.
**   Each Officer of the Trusts serves at the pleasure of the Board.

The Statement of Additional Information includes additional information about the Funds’ Trustees and is available free of charge upon request by calling the Funds toll free at (888) 278-5809.

 

4.   Proxy Voting Policies and Procedures and Proxy Voting Record (Unaudited)

A description of the policies and procedures that the Funds use to determine how to vote proxies related to the Funds’ portfolio securities as well as information regarding how the Funds voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 is available without charge, upon request, by calling (888) 278-5809. Furthermore, you can obtain the Fund’s proxy voting records on the SEC’s website at http://www.sec.gov.

 

5.   Availability of Quarterly Portfolio Holdings Schedules (Unaudited)

The Funds file their complete schedules of portfolio holdings with the SEC for their first and third fiscal quarters on Part F of Form N-PORT. Once filed, the Funds’ Part F of Form N-PORT is available without charge, upon request on the SEC’s website (http://www.sec.gov) and is available by calling (888) 278-5809.

 

6.   Statement Regarding the Basis for Approval of Investment Advisory Agreement and Sub-Advisory Agreements (Unaudited)

GPS FUNDS I and GPS FUNDS II: Annual Consideration and Approval of Investment Advisory and Sub-Advisory Agreements

At a meeting held on December 8, 2022 (the “Meeting”), the Board of Trustees (the “Board” or the “Trustees”) of GPS Funds I and GPS Funds II (collectively, the “Trusts”) conducted its annual review and consideration of the renewal of the investment advisory agreements between AssetMark, Inc. (“AssetMark”) and each Trust on behalf of its respective series (each, a “Fund” and collectively, the “Funds”) and the renewal of the investment advisory agreement between AssetMark and the wholly-owned Cayman Islands subsidiary of the GuidePath Managed Futures Strategy Fund, GuidePath Managed Futures Strategy Cayman Fund Ltd. (the “Cayman Subsidiary”) (each such agreement, an “Advisory Agreement,” and collectively, the “Advisory Agreements”). Additionally, the Board considered the renewal of the investment sub-advisory agreements between (i) Goldman Sachs Asset Management, L.P. (“GSAM”) and AssetMark, on behalf of GuideMark Large Cap Core Fund, GuideMark Emerging Markets Fund, GuideMark Small/Mid Cap Core Fund, and GuideMark World ex-US Fund; (ii) Wellington Management Company LLP (“Wellington”) and AssetMark, on behalf of the GuideMark Core Fixed Income Fund; and (iii) AlphaSimplex Group, LLC (“ASG”) and AssetMark, on behalf of the GuidePath Managed Futures Strategy Fund and the Cayman Subsidiary (each, a “Sub-Advisory Agreement, and collectively, the “Sub-Advisory Agreements”).

Hereinafter, GSAM, Wellington, and ASG are collectively referred to as the “Sub-Advisors” and the above-listed Funds are collectively referred to as the “Sub-Advised Funds.” The Advisory Agreements and Sub-Advisory Agreements are collectively referred to herein as the “Agreements.” The Sub-Advised Funds are managed using a “manager-of-managers” structure that generally involves the use of one or more sub-advisors to manage allocated portions of the Sub-Advised Funds’ portfolios. For those Sub-Advised Funds, AssetMark is responsible for evaluating and selecting sub-advisors on an ongoing basis and making any decisions to recommend hiring, retaining, or replacing sub-advisors. The Board is engaged in monitoring this process in connection with its meetings held throughout the year, and under the manager-of-managers structure, all parties understand that sub-advisors are being monitored and evaluated on an ongoing basis, and are subject to replacement, at all times.

 

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GuideMark Funds & GuidePath Funds

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March 31, 2023


 

The Board – including a majority of the Trustees who are not “interested persons” of the Funds or AssetMark as that term is defined in the Investment Company Act of 1940, as amended (the “Independent Trustees”) – determined to approve the continuance of the Advisory Agreements and the Sub-Advisory Agreements. In connection with their consideration of the renewal of the Advisory Agreements, the Trustees considered several factors they deemed relevant to the process, including: the nature, quality and extent of the services provided to each Fund by the Advisor; the costs of providing services to each Fund; the anticipated profitability to be realized by the Advisor; any potential “fall-out” or ancillary benefits to the Advisor or its affiliates; the potential effects of asset growth and related economies of scale on each fund’s expenses; and the fees charged by investment advisers of other comparable funds, among other considerations. The material factors considered and the conclusions that formed the basis of the Board’s approval of the renewal of the Agreements are described below. This summary describes the most significant, but not all, of the factors evaluated by the Board. Prior to considering the approval of the renewal of the Agreements, the Trustees requested, received, and reviewed information relevant to their consideration of the Agreements. The Trustees also received assistance and advice regarding legal and industry standards from counsel to the Trusts and separately from independent legal counsel to the Independent Trustees (“Independent Counsel”). Prior to approving the Advisory Agreements, the Independent Trustees met in executive session with Independent Counsel without representatives of the Advisor or its affiliates. The Independent Trustees relied upon the advice of Independent Counsel and their own business judgment in determining the material factors to be considered in evaluating each Investment Advisory Agreement and the weight to be given to each such factor. The conclusions reached by the Trustees were based on a comprehensive evaluation of all of the information available to the Trustees and not the result of any particular information or any single factor. Moreover, each Trustee may have afforded different weight to various information and factors in reaching his conclusions with respect to the renewal of the Agreements.

The Advisory Agreements

Materials Reviewed and the Review Process

Prior to voting to approve the renewal of the Advisory Agreements, the Trustees – assisted by Independent Counsel – specifically requested and were furnished with materials supplied by counsel and AssetMark for purposes of their review of each Advisory Agreement. The materials provided to the Board with regard to the Funds included, among other information: (1) a copy of each Advisory Agreement; (2) information describing each Fund’s performance compared to the Fund’s peer group of other investment companies with investment objectives similar to the investment objective(s) of the Fund; (3) information describing the nature, quality and extent of the services that AssetMark provides to the Funds, and the fees AssetMark charges to the Funds for such services, and a comparison of those fees to the fees paid by a peer group of other investment companies having investment objectives similar to the investment objectives of the Funds; (4) information regarding AssetMark’s business and operations, investment team, compliance program and internal procedures; (5) information describing each Fund’s expense ratio compared to the Fund’s peer group of other registered investment companies with investment objectives similar to the investment objective(s) of the Fund; (6) information regarding the financial condition of AssetMark; (7) information regarding AssetMark’s profitability with respect to each Fund; (8) reports on AssetMark’s evaluation of the Sub-Advisors, including reports relating to the monitoring of each Sub-Advisor’s trading and brokerage practices; (9) information relating to shareholder and administrative services provided to the Funds; (10) reports relating the Funds’ distribution structure, sales and redemptions of the Funds’ shares; (11) reports relating to the monitoring of Fund service providers; and (11) other information relevant to an evaluation of the nature, extent and quality of the services provided by AssetMark in response to a series of detailed questions posed by Independent Counsel on behalf of the Independent Trustees. The Trustees discussed various matters relating to the approvals with representatives of AssetMark. The Trustees also considered their discussions with and presentations from representatives of AssetMark throughout the course of the Meeting. In addition, the Trustees considered communications, discussions held and information furnished to the Board and its Committees throughout the year and in between regularly scheduled meetings on particular matters as the need arose.

The Trustees received assistance and advice regarding legal and industry standards from counsel to the Trusts. The Independent Trustees also received separate assistance and advice from Independent Counsel throughout the review process, which included detailed memoranda that described the Trustees’ legal duties and obligations in considering whether to approve the continuation of the Advisory Agreements. The Independent Trustees also discussed the Advisory Agreements prior to the Meeting and during the course of their meeting in executive session with Independent Counsel, at which no representatives of AssetMark were present.

Factors Considered

The Trustees considered and reached conclusions on a number of factors that they deemed relevant in making the decision to approve the renewal of each Advisory Agreement. These factors and conclusions are described below.

Nature, Quality and Extent of Services

The Trustees considered the nature, extent and quality of the services that AssetMark provides to the Funds. With respect to the Sub-Advised Funds, the Board considered the fact that, as an investment advisor operating within a manager-of-managers structure, AssetMark maintains a primary focus on the selection, evaluation and oversight of the Sub-Advisors and considered each Advisory Agreement in this context. In this regard, the Board evaluated information about the nature and extent of responsibilities retained and risks assumed by AssetMark that were not delegated to or assumed by the Sub-Advisors. The Trustees considered the information provided to them throughout the course of the year during regular meetings of the Board, which included meetings with the Trusts’ Chief Compliance Officer (“CCO”) at which the Trustees are provided with details regarding AssetMark’s compliance functions.

 

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March 31, 2023


 

The Trustees considered AssetMark’s investment team and its capabilities, including with respect to the responsibilities that AssetMark has for the Funds that pursue their investment objectives through investments in other funds (each a “Fund-of-Funds”). The Trustees also considered AssetMark’s capabilities with respect to the administrative and compliance services provided to the Funds. The Trustees considered the experience, capability and integrity of AssetMark’s management and other personnel, the role of AssetMark’s senior management and the extent of its involvement with the Funds, and AssetMark’s willingness to add personnel over time in order to ensure that appropriate staffing levels are maintained. With respect to the Sub-Advised Funds, the Trustees noted the responsibilities that AssetMark has under certain Funds’ manager-of-managers structure, including the selection and oversight of the Funds’ Sub-Advisors; maintaining a comprehensive compliance and administration program; and implementing Fund policies.

The Trustees also considered (a) the financial position of AssetMark; (b) the quality of AssetMark’s regulatory and legal compliance policies, procedures and systems; (c) the nature, extent and quality of administrative and shareholder services provided by AssetMark to the Funds; and (d) AssetMark’s supervision of the Funds’ third-party service providers.

The Board considered the breadth and quality of services that AssetMark provides to the Funds. The Trustees also considered that the Funds are an integral part of AssetMark’s program of asset allocation and shareholder services. Additionally, with respect to the Sub-Advised Funds, the Trustees considered AssetMark’s ability to provide administrative and compliance-related services in connection with AssetMark’s (a) oversight of the Sub-Advisors’ compliance with the Funds’ respective investment objectives, policies, and restrictions; (b) review of trading and brokerage matters; and (c) other oversight activities.

Based on the factors described above, among other factors, as well as the information provided to the Board throughout the year, the Board concluded that it was satisfied with the nature, extent and quality of the services provided by AssetMark, which will continue to be provided to each Fund.

Investment Performance

The Trustees considered the overall investment performance of the Funds, and, with respect to the Sub-Advised Funds, evaluated the Funds’ performance in the context of the manager-of-managers structure. The Trustees considered whether the Funds operated in a manner consistent with their investment objectives and styles and considered each Fund’s record of compliance with its respective investment restrictions.

The Trustees also considered each Fund’s investment performance relative to its respective benchmark index and relative to the performance of funds with comparable investment strategies selected by a third-party provider of investment company data. The Trustees also considered performance-related data received throughout the past year at and in connection with meetings of the Board. With respect to each Fund-of-Funds, the Trustees reviewed the performance of AssetMark in selecting the underlying funds for the Fund.

The Trustees considered that AssetMark continued to be proactive in seeking to enhance the Funds’ investment strategies, with a view to improving Fund performance over the long term.

The Trustees concluded that AssetMark’s performance record in managing each of the Funds was satisfactory and supported a decision to approve the renewal of the Advisory Agreements.

Advisory Fees and Total Expenses

The Trustees considered a detailed analysis of each Fund’s fees and expenses. The materials provided to the Board included (i) a comparison of the advisory fees and total expenses of each Fund (as a percentage of average net assets) with the fees and expenses of a group of funds selected by a third-party information provider; (ii) comparisons of each Fund’s expenses to industry averages; and (iii) fee schedules for the Funds’ Sub-Advisors, as applicable.

The Trustees considered expense limitation arrangements under which AssetMark has agreed to limit the Funds’ expenses. With respect to each Fund-of-Funds, the Trustees considered the indirect expenses borne by the Funds as shareholders of certain underlying funds. The Trustees also considered other efforts by AssetMark to reduce overall Fund expenses, including attempts to improve asset flows, implementing programs such as securities lending and negotiating strategic contracts with service providers.

In analyzing the Funds’ fee levels as compared to other similar funds, the Trustees considered the Funds’ fee levels in light of the Funds’ special distribution structure, under which the Funds were distributed as part of a suite of products and services with asset allocation modeling and other services that are not typically provided with mutual funds. In this regard, while the Board recognized that comparisons between a Fund and its peer group may be imprecise given the Funds’ special distribution structure, among other differences, the comparative information assisted the Board in evaluating the reasonableness of each Fund’s fees and expenses.

After comparing each Fund’s fee levels with other comparable funds and industry averages, and in light of the nature, extent and quality of services provided to the Funds by AssetMark, as well as the costs incurred by AssetMark in rendering those services, the Trustees concluded that the level of fees paid to AssetMark with respect to each Fund was reasonable. In addition, with respect to each Fund of Funds, the Trustees, including all of the Independent Trustees, determined that the fees to be charged by AssetMark pursuant to the Advisory Agreements are for services provided in addition to, rather than duplicative of, services provided under any underlying fund’s investment advisory agreement.

 

171


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March 31, 2023


 

Profitability, Economies of Scale and Ancillary Benefits

The Trustees reviewed and discussed the financial information presented by AssetMark, including information relating to the financial stability of AssetMark and its historical and anticipated profitability with respect to its management of the Funds. The Trustees discussed the methods used by AssetMark to allocate expenses to the Funds under its profitability analysis, and the Trustees considered the profitability of AssetMark with respect to each Fund under this methodology.

In evaluating AssetMark’s profitability, the Trustees noted that the Funds are distributed in connection with AssetMark providing a package of administrative and other services as the sponsor of AssetMark’s investment platform and considered the benefits that flow to Fund shareholders as a result of these services. Additionally, the Trustees considered AssetMark’s existing agreements to waive advisory fees received from certain Funds and/or pay certain Fund expenses to the extent necessary to ensure that the Funds’ overall expenses do not exceed certain levels.

The Trustees considered ancillary benefits received by AssetMark as a result of its relationship with the Funds, including the benefits of offering an integrated set of investment options as an integral part of AssetMark’s asset allocation investment programs as well as compensation received by AssetMark Trust Company for its service as an intermediary. The Trustees concluded that these benefits were reasonable.

The Trustees considered AssetMark’s profitability in managing each Fund, the anticipated effect of asset growth on each Fund’s expenses, and other information that might suggest the potential for realizing economies of scale that could be shared with Fund shareholders. The Trustees considered the fee waiver agreements under which AssetMark had agreed to waive expenses based upon the achievement of certain breakpoints listed in the agreement.

The Trustees concluded, in light of the foregoing factors, that AssetMark’s level of profitability with respect to each Fund is reasonable. Additionally, the Board concluded that the economies of scale being realized by AssetMark, if any, do not mandate implementation of new or amended breakpoints or other changes in the fee structure for any Fund at this time.

Conclusion

After consideration of the foregoing factors, and such other matters as were deemed relevant, and with no single factor being determinative to their decision, the Trustees, including all of the Independent Trustees, determined to approve the renewal of each Advisory Agreement with, and the fee to be paid to, AssetMark for each of the Funds.

The Sub-Advisory Agreements

Materials Reviewed and the Review Process

Prior to voting to approve the renewal of the Sub-Advisory Agreements, the Trustees – assisted by Independent Counsel – specifically requested and were furnished with materials supplied by counsel, AssetMark and each Sub-Advisor for purposes of their review. The materials provided to the Board included, among other information: (1) a copy of each Sub-Advisory Agreement; (2) information regarding the nature, quality and scope of the services to be provided by the Sub-Advisors; (3) the investment performance of each Sub-Advisor in managing their respective Fund compared to an industry peer group, appropriate benchmark, and comparable Sub-Advisor client accounts, to the extent applicable; (4) AssetMark’s evaluation of the nature, extent and quality of the services provided by each Sub-Advisor; (5) information regarding any benefits to each Sub-Advisor, such as receipt of research from brokers, that might result from the Sub-Advisor’s relationship with a Sub-Advised Fund; (6) information concerning each Sub-Advisor’s personnel, business, operations and investment team, including biographical information for the investment professionals that are responsible for the day-to-day management of the applicable Sub-Advised Fund’s portfolio; (7) information regarding each Sub-Advisor’s compliance policies and other internal procedures, including the Sub-Advisor’s brokerage practices; (8) information regarding the financial condition of each Sub-Advisor or its parent company; and (9) other information relevant to an evaluation of the nature, extent and quality of the services, including information provided by each Sub-Advisor in response to a series of detailed questions posed by Independent Counsel on behalf of the Independent Trustees. The Trustees also considered the recommendations of AssetMark with respect to each Sub- Advisor and the methods and resources AssetMark utilized in its efforts to identify and engage Sub- Advisors for the Sub-Advised Funds.

In connection with their consideration of the Sub-Advisory Agreements, the Trustees considered several factors that they deemed relevant to this process, including: (1) the nature, quality and extent of the services to be provided to each Sub-Advised Fund by the respective Sub-Advisor; (2) the quantitative performance of each Sub-Advisor; (3) AssetMark’s evaluation, in accordance with its role as a “manager-of-managers,” of the nature, extent and quality of the services provided by each Sub-Advisor; (4) information that might suggest the potential for realizing economies of scale that could potentially be shared with Fund shareholders; and (5) any potential “fall-out” or ancillary benefits to a Sub-Advisor or its affiliates. Prior to approving the continuation of the Sub-Advisory Agreements, the Independent Trustees met in executive session with Independent Counsel. The Independent Trustees were assisted by Independent Counsel throughout the review process. The Independent Trustees relied upon the advice of Independent Counsel and their own business judgment in determining the material factors to be considered in evaluating each Sub-Advisory Agreement and the weight to be given to each such factor. The conclusions reached by the Independent Trustees were based on a comprehensive evaluation of all of the information provided to the Board throughout the year and specifically with respect to the renewal and were not the result of any one factor. Moreover, each Independent Trustee may have afforded different weight to the various factors in reaching his conclusions with respect to each Sub-Advisory Agreement. A more detailed summary of the important, but not necessarily all, of the factors the Independent Trustees considered with respect to their approval of the continuation of the Sub-Advisory Agreements is provided below.

 

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March 31, 2023


 

Nature, Quality and Extent of Services

The Trustees considered each Sub-Advisor’s investment management process, including (a) the experience, capability and integrity of the Sub-Advisor’s management, investment professionals and other personnel; (b) the financial position of the Sub-Advisor; (c) the quality and commitment of the Sub-Advisor’s regulatory and legal compliance policies, procedures and systems; (d) the Sub-Advisor’s brokerage and trading practices; and (e) AssetMark’s evaluation of the nature, quality and extent of services performed by each Sub-Advisor.

The Trustees specifically considered the qualifications, experience and track record of the individuals and portfolio management teams at each Sub-Advisor that are responsible for the day-to-day management of each Sub-Advised Fund’s portfolio. The Trustees also considered, with respect to each Sub-Advisor, its specific investment approach and level of expertise within its particular asset class. The Trustees considered whether each Sub-Advisor operated within its respective Fund’s investment objective and style and considered each Sub-Advisor’s record of compliance with applicable investment restrictions. The Trustees also considered each Sub-Advisor’s performance record with respect to the relevant benchmark(s).

The Trustees concluded that the nature, extent and quality of the services provided by each Sub-Advisor to its respective Sub-Advised Fund is satisfactory.

Sub-Advisor Investment Performance

The Trustees considered whether each Sub-Advisor operated within its respective Sub-Advised Fund’s investment objective and style and considered each Sub-Advisor’s record of compliance with applicable investment restrictions. The Trustees also considered each Sub-Advisor’s investment performance relative to benchmark indices.

The Trustees considered information received regarding each Sub-Advisor’s performance, as reviewed with AssetMark and concluded that each Sub-Advisor’s performance record is satisfactory.

Sub-Advisory Fees, Economies of Scale, Profitability and Ancillary Benefits

The Trustees considered the fee paid to each Sub-Advisor by AssetMark for providing services to the respective Sub-Advised Fund. The Trustees considered management’s representation that AssetMark’s focus in negotiating sub-advisory arrangements is on negotiating competitive fee structures for each Fund, and that the sub-advisory fees are paid by AssetMark out of the investment advisory fees received and not the Funds. The Trustees also considered individual reports and data prepared with regard to each Sub- Advised Fund, including comparative information regarding fees. The Trustees noted that each Sub- Advisor’s fees were generally similar to or less than the fees charged by each Sub-Advisor to other comparable funds and accounts.

The Trustees considered each Sub-Advisor’s fee schedule, the anticipated effect of asset growth on each Fund’s expenses, and other information that might suggest the potential for realizing economies of scale that could be shared with Fund shareholders. In this regard, the Trustees noted that certain of the Sub- Advisory Agreements’ fee schedules contain breakpoints that present potential economies of scale that could potentially be shared with the Sub-Advised Funds’ shareholders as assets of the Sub-Advised Funds grow.

The Trustees concluded that the fees to be paid to each Sub-Advisor by AssetMark are reasonable in light of the services performed for the Sub-Advised Funds by the Sub-Advisors and that the economies of scale being realized by the Sub-Advisors, if any, do not mandate the implementation of any new or amended breakpoints or other changes in the fee structure for any Sub-Advised Fund at this time.

The Trustees did not consider the profitability of the Sub-Advisors to be a material factor based on representations from AssetMark that it negotiates sub-advisory fees with the Sub-Advisors on an arm’s- length basis and reports regarding any relationships between the Sub-Advisors and AssetMark.

The Trustees considered the allocation (if any) of Fund brokerage to brokers affiliated with a Sub-Advisor, and benefits to the Sub-Advisors from the use of “soft dollar” commissions (if any) to pay for research and brokerage services. The Trustees also considered any other ancillary benefits that accrue to a Sub-Advisor or any affiliate by virtue of the Sub-Advisor’s relationship with the Fund, and concluded that such benefits, if any, were reasonable.

Conclusion

After consideration of the foregoing factors, and such other matters as were deemed relevant, and with no single factor being determinative to their decision, the Trustees, including all of the Independent Trustees, concluded to approve the renewal of the Sub-Advisory Agreement with, and the fees to be paid to, each of the Sub-Advisors for each of the relevant Sub-Advised Funds.

 

7.   Statement Regarding the Trusts’ Liquidity Risk Management Program (Unaudited)

This section discusses the operation and effectiveness of the Liquidity Risk Management Program (the “Program”) of GPS Funds I and GPS Funds II Trust (each, a “Trust” and collectively, the “Trusts”), including each of their respective series (each, a “Fund” and collectively, the “Funds”), established in accordance with Rule 22e-4 under the Investment Company Act of 1940, as amended (the “Liquidity Rule”). The Board of Trustees of each Trust (the “Board”), including a majority of the Trustees who are not “interested persons” as defined in the 1940 Act, previously approved the Program on behalf of each Fund, as required pursuant to the Liquidity Rule. The Board also approved the designation of AssetMark, Inc. (“AssetMark”), the investment adviser to each Fund, as the Program Administrator for the Program. AssetMark administers day-to-day implementation of the Program through a Liquidity Risk Management Committee (the “Committee”), as set forth in the Program.

 

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ADDITIONAL INFORMATION (Continued)

March 31, 2023


 

At the meeting of the Board held on March 9, 2023, AssetMark, as Program Administrator, provided the Board with the annual report addressing the operation of the Program and assessing its adequacy and effectiveness of implementation, including, if applicable, the operation of any highly liquid investments minimum (“HLIM”) and any material changes to the Program (the “Report”).

The Report included an overview of the operation of the Program from January 1, 2022 through December 31, 2022 (the “Review Period”), including liquidity events relevant to the Funds, if any, during the Review Period and conclusions with respect to the adequacy of the policies and procedures of the Program and its effectiveness of implementation.

 

  I.   Key Conclusions of the Report

The Report concluded that (i) the Program is reasonably designed to assess and manage each Fund’s liquidity risk, taking into account the Fund’s particular risks and circumstances, and includes policies and procedures reasonably designed to implement each required component of the Liquidity Rule; (ii) each Fund’s investment strategy is appropriate for an open-end fund; (iii) each Fund was able to meet requests for redemptions without significant dilution of remaining investors’ interests in the Fund during the Review Period; and (iv) the Program was implemented and operated effectively to assess and manage each Fund’s liquidity risk during the Review Period, including during periods of market volatility and net redemptions, as applicable.

There were no material liquidity matters impacting the Funds identified in the Report. In addition, the Report noted that there were no material changes to the Program during the Review Period and no material changes recommended for the coming period pursuant to the Review.

 

  II.   Summary of the Review

 

  A.   Liquidity Risk Assessment and Review

Throughout the Review Period, the Program Administrator, in consultation with the Funds’ sub-advisers, as applicable, and portfolio management teams, monitored the Funds’ portfolio liquidity and liquidity risk on an ongoing basis, as described in the Program and in quarterly Board reporting.

The Program Administrator also conducted an annual review assessing each Fund’s liquidity risk as described in the Report, in accordance with the requirements of the Program and the Liquidity Rule, taking into account the following factors enumerated in the Liquidity Rule and identified in the Program, as applicable:

a. Each Fund’s investment strategy and liquidity of portfolio investments during both normal and reasonably foreseeable stressed conditions, including: (i) whether the Fund’s investment strategy is appropriate for an open-end fund; (ii) the extent to which the Fund’s strategy involves a relatively concentrated portfolio or large positions in particular issuers; (iii) the Fund’s use of borrowings for investment purposes; and (iv) the Fund’s use of derivatives (including for hedging purposes);

b. Short-term and long-term cash flow projections during both normal and reasonably foreseeable stressed conditions; and

c. Holdings of cash and cash equivalents, as well as borrowing arrangements and other funding sources.

In addition, in connection with the review of the Funds’ liquidity risks and the operation of the Program and the adequacy and effectiveness of its implementation, the Program Administrator also reviewed:

 

   

Reasonably Anticipated Trade Size and Significant Value Impact metrics for each Fund

 

   

Process for identifying and monitoring illiquid investments

 

   

Responsibilities and operations of the Committee

 

   

Effectiveness of third-party liquidity classification vendor, including coverage and methodology

In light of the assessment and review as discussed above, the Program Administrator did not recommend any changes in the management of the Funds’ liquidity risk.

 

  B.   Portfolio Holdings Classifications

During the Review Period, each Fund’s portfolio holdings (including derivative investments) were classified monthly as Highly Liquid Investments, Moderately Liquid Investments, Less Liquid Investments and Illiquid Investments pursuant to the Program, as required by the Liquidity Rule. Upon the Committee’s review and approval, the classifications were recorded for reporting in each Fund’s Form N-PORT filings during the Review Period. The Report reviewed the classification methodology as provided in the Program.

 

  C.   HLIM

Each Fund qualified as a Primarily Highly Liquid Fund (“PHLF”) under the Program during the Review Period and accordingly, none of the Funds maintained or were required to establish an HLIM during the Review Period. There were no changes recommended in the Report with respect to the status of any Fund as a PHLF pursuant to the review.

 

174


GuideMark Funds & GuidePath Funds

ADDITIONAL INFORMATION (Continued)

March 31, 2023


 

  D.   Compliance with the 15% Limitation on Illiquid Investments

Pursuant to the Liquidity Rule, no Fund may acquire any illiquid investment if, after the acquisition, the Fund would have invested more than 15% of its assets in illiquid investments that are assets (the “15% Limit”). All Funds were monitored daily for compliance with the 15% Limit during the Review Period. During the Review Period, the Funds operated in accordance with the relevant provisions of the Program addressing the 15% Limit, including with respect to temporary investment illiquidity as a result of extended market closures. The Report also addressed significant liquidity matters which occurred or were reported during the Review Period applicable to the Funds, if any, and actions to address such matters as applicable.

 

175


GuideMark Funds

GuidePath Funds

 

GUIDEMARK FUNDS & GUIDEPATH FUNDS

 

GuideMark Large Cap Core Fund

GuideMark Emerging Markets Fund

GuideMark Small/Mid Cap Core Fund

GuideMark World ex-US Fund

GuideMark Core Fixed Income Fund

GuidePath Growth Allocation Fund

GuidePath Conservative Allocation Fund

GuidePath Tactical Allocation Fund

GuidePath Absolute Return Allocation Fund

GuidePath Multi-Asset Income Allocation Fund

GuidePath Flexible Income Allocation Fund

GuidePath Managed Futures Strategy Fund

GuidePath Conservative Income Fund

GuidePath Income Fund

GuidePath Growth and Income Fund

Investment Advisor

AssetMark, Inc.

1655 Grant Street, 10th Floor

Concord, CA 94520

Legal Counsel

Stradley Ronon Stevens & Young, LLP

2005 Market Street, Suite 2600

Philadelphia, PA 19103

Independent Registered Public Accounting Firm

Cohen & Company, Ltd.

342 North Water St.

Suite 830

Milwaukee, WI 53202

Transfer Agent, Fund Accountant and Fund Administrator

U.S. Bancorp Fund Services, LLC,

doing business as U.S. Bank Global Fund Services

615 East Michigan Street

Milwaukee, WI 53202

Custodian

U.S. Bank, N.A.

1555 North RiverCenter Drive, Suite 302

Milwaukee, WI 53212

Distributor

AssetMark Brokerage, LLC

1655 Grant Street, 10th Floor

Concord, CA 94520

 

This document must be preceded or accompanied by a free prospectus. Investors should consider the Funds’ investment objectives, risks, charges and expenses carefully before investing. The prospectus contains this and other important information about the Funds. Please read the prospectus carefully before you invest or send money.

Annual Report

March 31, 2023


Item 2. Code of Ethics.

The registrant has adopted a code of ethics that applies to the registrant’s principal executive officer and principal financial officer. The registrant has not made any amendments to its code of ethics during the period covered by this report. The registrant has not granted any waivers from any provisions of the code of ethics during the period covered by this report.

A copy of the registrant’s Code of Ethics is filed herewith.

Item 3. Audit Committee Financial Expert.

The registrant’s board of trustees has determined that there is at least one audit committee financial expert serving on its audit committee. Dennis Schmal is the “audit committee financial expert” and is considered to be “independent” as each term is defined in Item 3 of Form N-CSR.

Item 4. Principal Accountant Fees and Services.

(a) Audit Fees

For the fiscal year ended March 31, 2023, the registrant’s principal accountant billed the registrant $96,750 for professional services rendered for the audit of the registrant’s annual financial statements or services that are normally provided by the principal accountant in connection with statutory and regulatory filings or engagements.

For the fiscal year ended March 31, 2022, the registrant’s principal accountant billed the registrant $93,000 for professional services rendered for the audit of the registrant’s annual financial statements or services that are normally provided by the principal accountant in connection with statutory and regulatory filings or engagements.

(b) Audit-Related Fees

For the fiscal year ended March 31, 2023, the registrant’s principal accountant billed the registrant $0 for professional services rendered for the assurance and related services by the principal accountant that are reasonably related to the performance of the audit.

For the fiscal year ended March 31, 2022, the registrant’s principal accountant billed the registrant $323.25 for professional services rendered for the assurance and related services by the principal accountant that are reasonably related to the performance of the audit.

c) Tax Fees

For the fiscal year ended March 31, 2023, the registrant’s principal accountant billed the registrant $26,500 for professional services rendered for tax compliance, tax advice and tax planning, including review of the registrant’s tax returns and taxable income and excise calculations and year to date estimates for book-to-tax differences.

 

2


For the fiscal year ended March 31, 2022, the registrant’s principal accountant billed the registrant $28,500 for professional services rendered for tax compliance, tax advice and tax planning, including review of the registrant’s tax returns and taxable income and excise calculations and year to date estimates for book-to-tax differences.

(d) All Other Fees

None.

 

(e)(1)

The registrant’s audit committee charter provides that the audit committee is responsible for the approval, prior to appointment, of the engagement of auditors annually to audit and to provide their opinion on the registrant’s financial statements. The audit committee charter also provides that the audit committee is responsible for the approval, prior to appointment, of the engagement of the auditor to provide other audit services to the registrant or to provide non-audit services to the registrant, its investment adviser or any entity controlling, controlled by, or under common control with the investment adviser that provides ongoing services to the registrant, if the engagement relates directly to the operations and financial reporting of the registrant.

 

(e)(2)

There were no services in paragraphs (b) through (d) above (including services required to be approved by the audit committee pursuant to paragraph (c)(7)(ii) of Rule 2-01 of Regulation S-X) that were approved pursuant to the waiver provision of paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

 

(f)

None of the hours expended on the principal accountant’s engagement to audit the registrant’s financial statements for the fiscal year ended March 31, 2023 were attributable to work performed by persons other than the principal accountant’s full-time, permanent employees.

 

(g)

The aggregate non-audit fees billed by the registrant’s principal accountant for services rendered to the registrant’s investment adviser and any entity controlling, controlled by, or under common control with the investment adviser that provides ongoing services to the registrant for the fiscal years ended March 31, 2023 and March 31, 2022, were $0 and $0, respectively.

 

(h)

The registrant’s audit committee has considered whether the provision of non-audit services that were rendered to the registrant’s investment adviser, and any entity controlling, controlled by, or under common control with the investment adviser that provides ongoing services to the registrant, that were not pre-approved pursuant to paragraph (c)(7)(ii) of Rule 2-01 of Regulation S-X is compatible with maintaining the principal accountant’s independence.

 

(i)

Not applicable.

 

(j)

Not applicable.

 

3


Item 5. Audit Committee of Listed Registrants.

Not applicable to registrants who are not listed issuers (as defined in Rule 10A-3 under the Securities Exchange Act of 1934).

Item 6. Investments.

 

  (a)

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

  (b)

Not applicable

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

Not applicable to open-end investment companies.

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

Not applicable to open-end investment companies.

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

Not applicable to open-end investment companies.

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

None.

Item 11. Controls and Procedures.

 

(a)

The Registrant’s President/Principal Executive Officer and Treasurer/Principal Financial Officer have reviewed the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940 (the “Act”)) as of a date within 90 days of the filing of this report, as required by Rule 30a-3(b) under the Act and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934. Based on their review, such officers have concluded that the disclosure controls and procedures are effective in ensuring that information required to be disclosed in this report is appropriately recorded, processed, summarized and reported and made known to them by others within the Registrant and by the Registrant’s service provider.

 

(b)

There were no changes in the Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Act) that occurred during 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.

 

4


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

Not applicable to open-end investment companies.

Item 13. Exhibits.

 

(a)

(1) Any code of ethics or amendment thereto, that is the subject of the disclosure required by Item 2, to the extent that the registrant intends to satisfy Item 2 requirements through filing an exhibit. Filed herewith

 

  

(2) A separate certification for each principal executive and principal financial officer pursuant to Section 302 of the Sarbanes-Oxley Act of 2002. Filed herewith.

 

  

(3) Any written solicitation to purchase securities under Rule 23c-1 under the Investment Company Act of 1940 sent or given during the period covered by the report by or on behalf of the registrant to 10 or more persons. Not applicable.

 

  

(4) Change in the registrant’s independent public accountant. There was no change in the registrant’s independent public accountant for the period covered by this report.

 

(b)

Certifications pursuant to Section 906 of the Sarbanes-Oxley Act of 2002. Furnished herewith.

 

5


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.

 

(Registrant)  

GPS Funds I

                                           
By (Signature and Title)        LOGO  
  Carrie E. Hansen, Principal Executive Officer/President                                            

 

Date  

    5/30/2023

                                                               

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 (Signature and Title)        LOGO  
  Carrie E. Hansen, Principal Executive Officer/President                           

 

Date  

    5/30/2023

                                                               
By (Signature and)               LOGO                                                
      Patrick R Young, Vice President/Treasurer  

 

Date  

    5/30/2023

                                                               

* Print the name and title of each signing officer under his or her signature.

 

6

EX-99.CODE 2 d468799dex99code.htm CODE OF ETHICS Code of Ethics

EX.99.CODE ETH

GPS Funds I

GPS Funds II

Financial Information Code of Ethics for Principal Executive

and Senior Officers

This code of ethics (the “Code”) applies to the GPS Funds I and GPS Funds II (each a “Trust” and collectively, the “Trusts”) principal Executive Officer, Senior Financial Officers, and persons performing similar functions (each individually, a “Senior Officer” and collectively, the “Senior Officers”) for the purpose of promoting:

 

  Ø

honest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships;

 

  Ø

full, fair, accurate, timely and understandable disclosure in reports and documents that a registrant files with, or submits to, the Securities and Exchange Commission (“SEC”) and in other public communications made by the Trusts; and

 

  Ø

compliance by such Senior Officers with applicable laws and governmental rules and regulations.

Each Senior Officer shall annually certify that he or she has read and understood this Code and will abide by it. A form of the certification is attached as Exhibit A. This Code may only be amended or modified by the approval of the Board of Trustees of the Trusts (the “Board”). Any waiver, including an implicit waiver, of this Code may be made only by the Board, and any such waiver or amendment to this Code will be publicly disclosed in accordance with Item 2 of Form N-CSR under the Investment Company Act of 1940, as amended.

The following standards shall apply to the Senior Officers under this Code:

 

I.

Honest and Ethical Conduct

Each Senior Officer shall:

 

  1.

always conduct himself or herself in an honest and ethical manner;

 

  2.

act with the highest standards of personal and professional integrity;

 

  3.

respect the confidentiality of information acquired during the course of employment or association with the Trusts and not use any such confidential and/or non-public information for personal gain;

 

7


  4.

achieve responsible use of and control over all assets and resources employed or entrusted to him or her;

 

  5.

proactively promote and advocate ethical behavior in each of the Trust’s work environment; and

 

  6.

ensure that he or she discloses, to the Board or to the Audit Committee, any material facts or information that come into the Senior Officer’s possession concerning transactions with inherent potential conflicts of interest.

There are some conflict of interest situations that must be discussed with the Board or the Audit Committee, if material. Some examples of such situations include:

 

  Ø

service as a director/trustee on the board of any company (public or private);

 

  Ø

the receipt of any non-nominal gifts;

 

  Ø

the receipt of any entertainment from any company with which the Trusts have current or prospective business dealings unless such entertainment is business related, reasonable in cost, appropriate as to time and place, and not so frequent as to raise any question of impropriety;

 

  Ø

any ownership interest in, or any consulting or employment relationship with, any of the service providers for the Trusts, other than its investment adviser, principal underwriter, administrator or any affiliated person thereof; and

 

  Ø

a direct or indirect financial interest in commissions, transaction charges or spreads paid by the Trusts for effecting portfolio transactions or for selling or redeeming shares other than an interest arising from the Senior Officer’s employment, such as compensation or equity ownership.

Any activity or relationship that presents a conflict for a Senior Officer likely also presents a conflict for the Senior Officer if a member of the Senior Officer’s family engages in such an activity or has such a relationship. All actual and apparent conflicts of interest between personal and professional relationships must be handled honestly, ethically and in accordance with the policies specified in this Code.

 

II.

Rules to Promote Full, Fair, Accurate, Timely and Understandable Disclosure

To the extent consistent with each Senior Officer’s duties and responsibilities, each Senior Officer must take the following steps to ensure full, fair, accurate, timely and understandable disclosure in the reports and documents that the Trusts files with the SEC and in other public communications made by the Trusts:

 

8


  1.

Familiarize himself or herself with the disclosure requirements generally applicable to the Trusts in order to ensure compliance with applicable rules and regulations.

 

  2.

Carefully review a draft of each periodic SEC report and related documents for accuracy and completeness before each such report is filed with the SEC, with particular focus on disclosure issues within his or her area of responsibility.

 

  3.

Carefully review drafts of each press release or other public communications by the Trusts before each such communication is released to the public.

 

  4.

Should not knowingly misrepresent, or cause others to misrepresent, facts about the Trusts to others, whether within or outside the Trusts, including to the trustees and auditors, governmental regulators or self-regulatory organizations.

 

  5.

Upon request of each of the Trust’s Audit Committee, meet with its members and others involved in the financial reporting and audit processes to discuss the draft report referred to in item (2) above.

 

  6.

Bring to the attention of the Audit Committee matters that such Senior Officer believes could compromise the integrity of each of the Trust’s financial reports, evidence disagreements on accounting matters and/or constitute a possible violation of this Code.

 

  7.

Actively support each of the Trust’s Chief Financial Officer (by cooperating fully with periodic SEC report reviews, proactively identifying potential areas of weakness and providing corrective policy recommendations) to help establish and maintain disclosure controls and procedures that ensure that material information is included in each periodic SEC report.

 

  8.

Consult with the Audit Committee to identify and discuss any short-comings or concerns with respect to each of the Trust’s internal financial reporting or disclosure controls.

 

  9.

Confirm that each of the Trust’s internal auditor function and its outside accountants are not aware of any material misstatements or omissions in any periodic SEC report referred to in item (2) above, or have any concerns about the “Management’s Discussion of Fund Performance” section of the periodic report.

 

  10.

Always act in good faith, responsibly, with due care, competence and diligence without misrepresenting material facts or allowing independent judgment to be subordinated.

 

9


III.

Compliance with Applicable Governmental Laws, Rules and Regulations

Compliance with applicable governmental laws, rules and regulations, both in letter and in spirit, is one of the foundations on which each of the Trust’s ethical policies are built, and accordingly, each Senior Officer must strive to:

 

  1.

Understand and take responsibility to comply with governmental rules and regulations of the states and communities in which each Trust operates, with particular focus on understanding the governmental rules and regulations applicable to disclosures in each of the Trust’s periodic SEC reports.

 

  2.

If a federal, state or local law conflicts with a policy of this Code, a Senior Officer must comply with the law; however, if a local custom or policy in the territory in which a Senior Officer works conflicts with this Code, then the Senior Officer must comply with this Code. Any questions regarding such conflicts of the interpretation of policies contained in this Code should be brought to the attention of the Audit Committee in order to determine the most appropriate course of action.

 

IV.

Reporting any Violations of this Code

If a Senior Officer believes that actions have occurred, may be taking place or may be about to take place that violate or would violate this Code, he or she must bring the matter to the attention of the Board or the Audit Committee. Senior Officers are encouraged to talk to the Audit Committee or to the counsel to the Trusts about observed illegal or unethical behavior and, when in doubt, about the best course of action in a particular situation.

 

V.

Remedial Actions

A violation of this Code will subject a Senior Officer to disciplinary action, up to and including discharge from the Trusts and, where appropriate, may subject the Senior Officer to civil liability and criminal prosecution.

 

10


EXHIBIT A

Certification Regarding Financial Information Code of Ethics for Principal

Executive and Senior Officers

GPS Funds I

GPS Funds II

The undersigned hereby certifies that she has read and will abide by the Financial Information Code of Ethics for Principal Executive and Senior Officers (the “Code”) approved by the Board of Trustees and that she knows such failure may constitute a violation of federal securities laws and regulations which may subject her to civil liabilities and criminal penalties. The undersigned acknowledges that she has read and understood the Code and will abide by it. The undersigned further acknowledges that failure to observe the provisions of the Code shall be a basis for dismissal for cause and/or referral to appropriate authorities.

 

LOGO

Carrie E. Hansen,

Principal Executive Officer

5/25/2023

Date

 

      LOGO

Patrick R. Young

Principal Financial Officer

05/25/2023

Date

 

11

EX-99.CERT 3 d468799dex99cert.htm SECTION 302 CERTIFICATIONS Section 302 Certifications

EX.99.CERT

CERTIFICATIONS

I, Carrie E. Hansen, certify that:

 

1.

I have reviewed this report on Form N-CSR of GPS Funds I;

 

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 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: 5/30/2023    LOGO                                             
   Carrie E. Hansen   
   Principal Executive Officer/President   

 

12


EX.99.CERT

CERTIFICATIONS

I, Patrick R. Young, certify that:

 

1.

I have reviewed this report on Form N-CSR of GPS Funds I;

 

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 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:      5/30/2023                                                         LOGO                                                 
     Patrick R. Young   
     Vice President/Treasurer   

 

13

EX-99.906CERT 4 d468799dex99906cert.htm SECTION 906 CERTIFICATIONS Section 906 Certifications

EX.99.906CERT

Certification Pursuant to Section 906 of the Sarbanes-Oxley Act

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, each of the undersigned officers of GPS Funds I, does hereby certify, to such officer’s knowledge, that the report on Form N-CSR of GPS Funds I for the period ended March 31, 2023 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as applicable, and that the information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the GPS Funds I for the stated period.

 

LOGO                                  LOGO
Carrie E. Hansen     Patrick R. Young
Principal Executive Officer/President     Vice President/Treasurer
GPS Funds I     GPS Funds I
Dated:  5/30/2023           Dated:     5/30/2023                                                         

This statement accompanies this report on Form N-CSR pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 and shall not be deemed as filed by GPS Funds I for purposes of Section 18 of the Securities Exchange Act of 1934.

 

14

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