0001193125-22-255844.txt : 20221003 0001193125-22-255844.hdr.sgml : 20221003 20220930195504 ACCESSION NUMBER: 0001193125-22-255844 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 15 CONFORMED PERIOD OF REPORT: 20220731 FILED AS OF DATE: 20221003 DATE AS OF CHANGE: 20220930 EFFECTIVENESS DATE: 20221003 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PERMANENT PORTFOLIO FAMILY OF FUNDS CENTRAL INDEX KEY: 0000357298 IRS NUMBER: 942788165 STATE OF INCORPORATION: DE FISCAL YEAR END: 0131 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-03379 FILM NUMBER: 221285445 BUSINESS ADDRESS: STREET 1: 600 MONTGOMERY STREET STREET 2: SUITE 4100 CITY: SAN FRANCISCO STATE: CA ZIP: 94111 BUSINESS PHONE: 4153988000 MAIL ADDRESS: STREET 1: 600 MONTGOMERY STREET STREET 2: SUITE 4100 CITY: SAN FRANCISCO STATE: CA ZIP: 94111 FORMER COMPANY: FORMER CONFORMED NAME: PERMANENT PORTFOLIO FAMILY OF FUNDS INC DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: PERMANENT PORTFOLIO FUND INC DATE OF NAME CHANGE: 19890330 0000357298 S000006016 Permanent Portfolio C000016538 Class I PRPFX C000170323 Class C PRPHX C000170324 Class A PRPDX 0000357298 S000006017 Short-Term Treasury Portfolio C000016539 Class I PRTBX 0000357298 S000006018 Versatile Bond Portfolio C000016540 Class I PRVBX C000170325 Class A PRVDX C000170326 Class C PRVHX 0000357298 S000006019 Aggressive Growth Portfolio C000016541 Class I PAGRX C000170327 Class A PAGDX C000170328 Class C PAGHX N-CSRS 1 d387375dncsrs.htm N-CSRS N-CSRS

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, DC 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number 811-03379

PERMANENT PORTFOLIO FAMILY OF FUNDS

 

(Exact Name of Registrant as specified in charter)

600 Montgomery Street, Suite 4100, San Francisco, California 94111

 

(Address of Principal Executive Offices) (Zip Code)

MICHAEL J. CUGGINO, 600 Montgomery Street, Suite 4100, San Francisco, California 94111

 

(Name and Address of Agent For Service)

 

Registrant’s telephone number, including area code:

  

(415) 398-8000

Date of fiscal year end:

  

January 31, 2022

Date of reporting period:

  

July 31, 2022

Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles.

A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 450 Fifth Street, NW, Washington, DC 20549-0609. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. §3507.


Item 1. Reports to Stockholders.
  

The Semi-Annual Report to Shareholders of Permanent Portfolio Family of Funds (“Registrant”) for the six months ended July 31, 2022 is attached hereto.

Item 2. Code of Ethics.
   Not applicable to semi-annual reports.
Item 3. Audit Committee Financial Expert.
   Not applicable to semi-annual reports.
Item 4. Principal Accountant Fees and Services.
   Not applicable to semi-annual reports.
Item 5. Audit Committee of Listed Registrants.
   Not applicable to the Registrant.
Item 6. Investments. 
   Included in Item 1.
Item 7. Disclosure of Proxy Voting Policies and Procedures For Closed-End Management Investment Companies.
   Not applicable to the Registrant.
Item 8. Portfolio Managers of Closed-End Management Investment Companies.
   Not applicable to the Registrant.
Item 9. Purchases of Equity Securities By Closed-End Management Investment Company and Affiliated Purchasers.
   Not applicable to the Registrant.


Item 10. Submission of Matters to a Vote of Security Holders.
   Not applicable to the Registrant for the six months ended July 31, 2022.
Item 11. Controls and Procedures.
   (a)   

Michael J. Cuggino, the Registrant’s President, and James H. Andrews, the Registrant’s Treasurer, each has concluded that, in his judgment, the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (“1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on his evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)).

   (b)   

There was no change in the Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) 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.

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

  

Not applicable to the Registrant.

Item 13. Exhibits. 
  

(a)(1)

  

Not applicable to semi-annual reports.

  

(a)(2)

  

Certifications pursuant to Rule 30a-2(a) under the 1940 Act (17 CFR 270.30a-2(a)) and Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto as Exhibit 99.CERT.

  

(a)(3)

  

Not applicable to the Registrant.

  

(a)(4)

  

Not applicable to the Registrant.

  

(b)

  

Certifications pursuant to Rule 30a-2(b) under the 1940 Act (17 CFR 270.30a-2(b)) and Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto as Exhibit 99.906CERT.


The certifications provided pursuant to Rule 30a-2(b) under the 1940 Act (17 CFR 270.30a-2(b)) and Section 906 of the Sarbanes-Oxley Act of 2002 are not deemed “filed” for purposes of Section 18 of the Exchange Act, or otherwise subject to the liability of that section. Such certifications will not be deemed to be incorporated by reference into any filing under the Securities Act of 1933, as amended, or the Exchange Act, except to the extent the Registrant specifically incorporates them by reference.

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.

Permanent Portfolio Family of Funds

/s/ Michael J. Cuggino

By: Michael J. Cuggino, President

Date: October 3, 2022

 

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

Permanent Portfolio Family of Funds

/s/ Michael J. Cuggino

By: Michael J. Cuggino, President

Date: October 3, 2022

/s/ James H. Andrews

By: James H. Andrews, Treasurer

Date: October 3, 2022


LOGO  

Semi-Annual Report

 

Six Months Ended July 31, 2022

 

Permanent Portfolio®

Class A — PRPDX | Class C — PRPHX | Class I — PRPFX

Short-Term Treasury Portfolio

Class I — PRTBX

Versatile Bond Portfolio

Class A — PRVDX | Class C — PRVHX | Class I — PRVBX

Aggressive Growth Portfolio

Class A — PAGDX | Class C — PAGHX | Class I — PAGRX

 


 

 

 

The views in this Report are those of the Fund’s investment adviser, Pacific Heights Asset Management, LLC, as of July 31, 2022 and may not reflect their views on the date this Report is first published or anytime thereafter. This Report may contain discussions about certain investments both held and not held in each Fund Portfolio as of July 31, 2022. All current and future holdings are subject to risk and are subject to change. While these views are intended to assist shareholders in understanding their investment in each Portfolio, they do not constitute investment advice, are not a guarantee of future performance and are not intended as an offer or solicitation with respect to the purchase or sale of any security. Performance figures include the reinvestment of dividend and capital gain distributions.

Diversification does not assure a profit, nor does it protect against a loss.

Permanent Portfolio®, The Permanent Portfolio Family of Funds®, A Fund for All Seasons® and The Permanent Portfolio Family of Funds logo are registered trademarks of Pacific Heights Asset Management, LLC. This Report is Copyright© 2022 Permanent Portfolio Family of Funds. All rights reserved.

 

2


 

LETTER FROM THE PRESIDENT

 

 

 

 

LOGO

Dear Fellow Shareholder:

I am pleased to present you with this Semi-Annual Report of Permanent Portfolio Family of Funds for the six months ended July 31, 2022. The Semi-Annual Report includes the financial statements of each of our four Portfolios, as well as additional information such as management commentary, performance data, lists of investments held and financial highlights.

The economy’s current inflation problem and the counter measures taken to date by the U.S. Federal Reserve in response have been the most blatant example of something hiding in plain sight that we have seen in some time, probably since the overleveraged conditions of the financial crisis of 2008. Judging by the negative returns provided by most asset classes so far this year, investors are starting to see this elephant in the room more clearly and are adjusting accordingly. Unfortunately, given the most recent monthly inflation readings and commensurate hawkish comments and actions taken by the Fed and other central banks, which are finally playing catch up, the economic environment we find ourselves in looks to be with us for some time to come. In such times, which largely includes trying to find some comfort in an uncertain world, it is important for investors to seek to minimize losses and preserve capital, while remaining patient and opportunistic, focused on achieving long term results. Our 40-year-old Permanent Portfolio can help. The Portfolio’s asset allocation strategy, including dedicated exposure to hard assets such as precious metals, natural resources, and real estate, as well as traditional stocks and bonds, was created with rising inflation, volatile interest rates and geopolitical uncertainty in mind. Permanent Portfolio has a 40-year track record of preserving and growing capital over the long term in excess of inflation in a wide variety of economic, market, financial and political periods going back to its founding in 1982.

I encourage you to visit our website — permanentportfoliofunds.com — which offers a wide range of information on each of our Portfolios, including our current prospectus, statement of additional information, fact sheets, investor guides, performance data, and recent market insights and perspectives. In addition, if you have questions or would like more information on any of our strategies, including, for income investors, our short-term U.S. Treasury Portfolio, and our flexibly managed Versatile Bond Portfolio, or for longer term equity investors, our multi-cap core Aggressive Growth Portfolio, please contact your investment professional, one of our Institutional Sales representatives at (866) 792-6547, or our Shareholder Services Office at (800) 531-5142.

As always, thank you for your continued trust and confidence in our Family of Funds. Now more than ever, we look forward to helping you navigate through these trying times to achieve long term success in reaching your financial goals for many years to come.

Sincerely,

 

LOGO

Michael J. Cuggino

Chairman and President

 

3


 

TABLE OF CONTENTS

 

 

PERMANENT PORTFOLIO®   

Management’s Discussion and Analysis

     5  

Performance Chart

     6  

Average Annual Total Returns

     7  

Schedule of Investments

     8  
SHORT-TERM TREASURY PORTFOLIO   

Management’s Discussion and Analysis

     16  

Performance Chart

     17  

Average Annual Total Returns

     18  

Schedule of Investments

     19  
VERSATILE BOND PORTFOLIO   

Management’s Discussion and Analysis

     20  

Performance Chart

     21  

Average Annual Total Returns

     22  

Schedule of Investments

     23  
AGGRESSIVE GROWTH PORTFOLIO   

Management’s Discussion and Analysis

     27  

Performance Chart

     28  

Average Annual Total Returns

     29  

Schedule of Investments

     30  
STATEMENTS OF ASSETS AND LIABILITIES      32  
STATEMENTS OF OPERATIONS      35  
STATEMENTS OF CHANGES IN NET ASSETS      36  
FINANCIAL HIGHLIGHTS      38  
NOTES TO FINANCIAL STATEMENTS      48  
ADDITIONAL INFORMATION      59  

 

4


 

PERMANENT PORTFOLIO®

Management’s Discussion and Analysis

 

 

Six Months Ended July 31, 2022 (Unaudited)

 

Permanent Portfolio’s investment objective is to preserve and increase the purchasing power of its shares over the long term. The Portfolio invests fixed target percentages of its net assets in gold, silver, Swiss franc assets, real estate and natural resource stocks, aggressive growth stocks and dollar assets, such as U.S. Treasury securities and corporate bonds. During the six months ended July 31, 2022, the Portfolio’s Class I shares achieved a total return of - 3.24%, net of expenses to average net assets of .81%, as compared to .27% for the FTSE 3-Month U.S. Treasury Bill Index and -7.81% for the Standard & Poor’s 500 Composite Stock Index, and as compared to a 4.73% inflation rate over the same period as measured by the change in the Consumer Price Index (“CPI-U”), a measure of the average change over time in the prices paid by urban consumers for a market basket of consumer goods and services as compiled by the U.S. Bureau of Labor Statistics. The Portfolio’s return during the six months then ended reflected positive returns on its natural resource stocks and its growth stock investments in aerospace and energy services and processing, which were more than offset by negative returns on its gold and silver holdings, its real state stocks, its Swiss franc assets, its corporate bonds, its holdings of U.S. Treasury securities, and its other aggressive growth stocks. Neither the FTSE 3-Month U.S. Treasury Bill Index return, the Standard & Poor’s 500 Composite Stock Index return nor the change in CPI-U reflect deductions for fees, expenses or taxes. Returns for the Portfolio’s Class A and Class C shares are provided on pages 7, 39 and 40.

Mutual fund investing involves risk; loss of principal is possible. Permanent Portfolio invests in foreign securities, which will involve greater volatility and political, economic and currency risks and differences in accounting methods. The Portfolio will be affected by changes in the prices of gold, silver, U.S. and foreign real estate and natural resource company stocks and aggressive growth stocks. Investments in debt securities typically decrease in value when interest rates rise. This risk is usually greater for longer-term debt securities. Investments in debt securities are also subject to credit risk, which is the risk that an issuer of debt securities may be unable or unwilling to pay principal and interest when due. Although the Portfolio invests in multiple and diverse asset classes, diversification across asset classes does not assure a profit, nor does it protect against a loss in a declining market. The Portfolio is non-diversified, meaning that it may invest a larger percentage of its assets in a smaller number of issuers and kinds of assets.

The following pie chart shows Permanent Portfolio’s investment holdings by asset class, as a percentage of total net assets as of July 31, 2022.

 

LOGO

Allocations are subject to change and should not be considered a recommendation to buy or sell any security within an asset class.

 

5


 

PERMANENT PORTFOLIO®

Performance Chart

 

 

Ten Years Ended July 31, 2022 (Unaudited)

 

 

LOGO

The chart above compares the initial account values and subsequent account values over the past ten years, assuming a hypothetical $10,000 investment in the Portfolio’s Class I shares at the beginning of the first period indicated and reinvestment of all dividends and other distributions, without the deduction of taxes, to a $10,000 investment over the same periods in comparable broad-based securities market indices. The performance of the Portfolio’s Class A and Class C shares will differ due to different sales charge structures and share class expenses.

The FTSE 3-Month U.S. Treasury Bill Index tracks the performance of U.S. Treasury bills with a remaining maturity of three months. U.S. Treasury bills, which are short-term loans to the U.S. government, are full-faith-and-credit obligations of the U.S. Treasury. The Standard & Poor’s 500 Composite Stock Index is a market-capitalization weighted index of common stocks and represents an unmanaged portfolio. You cannot invest directly in an index. Returns shown for the FTSE 3-Month U.S. Treasury Bill Index and the Standard & Poor’s 500 Composite Stock Index reflect reinvested interest, dividends and other distributions as applicable, but do not reflect a deduction for fees, expenses or taxes.

Past performance does not guarantee future results. The chart does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

 

6


 

PERMANENT PORTFOLIO®

Average Annual Total Returns

 

 

Periods Ended July 31, 2022 (Unaudited)

 

    One
Year
    Five
Years
    Ten
Years
    Since
Inception
    Inception
Date
 

At Net Asset Value

         

Class I Shares (PRPFX) (1)

    -5.73%       7.05%       4.62%       6.21%       12/01/1982  

Class A Shares (PRPDX)

    -5.98%       6.79%             6.93%         5/31/2016  

Class C Shares (PRPHX)

    -6.67%       5.99%             6.13%         5/31/2016  

With Sales Charge

         

Class A Shares (PRPDX) (2)

    -10.68%       5.70%             6.05%    

Class C Shares (PRPHX) (2)

    -7.59%       5.99%             6.13%    

FTSE 3-Month U.S. Treasury Bill Index (3)

    .29%       1.09%       .63%       3.51%    

Standard & Poor’s 500 Composite Stock Index (3)

    -4.64%       12.83%       13.80%       11.58%    

 

(1)

Returns for the ten-year and since inception periods reflect the impact of fee waivers then in effect. In the absence of such fee waivers, total returns would be reduced.

(2)

Returns with sales charge reflect the deduction of the maximum front end sales charge of 5.00% for Class A shares, and the maximum contingent deferred sales charge of 1.00% which is imposed on Class C shares that are redeemed within one year of purchase.

(3)

The date used to calculate performance since inception for the indices is the inception date of the Class I shares.

The table above shows Permanent Portfolio’s average annual total returns for the periods indicated, assuming reinvestment of all dividends and other distributions, and deduction of all applicable fees and expenses (except the $35 one-time account start-up fee which was eliminated in January 2016). All share classes of the Portfolio are invested in the same securities and returns only differ to the extent that the fees and expenses of the share classes are different. Performance does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

As stated in the Portfolio’s Prospectus dated May 31, 2022, the total annual operating expenses (“expense ratios”) for the year ended January 31, 2022 were .81%, 1.06% and 1.81% for the Portfolio’s Class I, Class A and Class C shares, respectively. The expense ratios for the six months ended July 31, 2022 may be found in the Financial Highlights section of this Report.

Performance data shown above for Permanent Portfolio represents past performance and does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Investment performance, current to the most recent month-end, may be lower or higher than the performance shown above, and can be obtained by calling the Fund’s Shareholder Services Office at (800) 531-5142.

Investments in the Portfolio are not insured or guaranteed by the Federal Deposit Insurance Corporation or other government agency. It is therefore possible to lose money by investing in Permanent Portfolio.

 

7


 

PERMANENT PORTFOLIO®

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Quantity           Market Value  
   GOLD ASSETS — 19.95% of Total Net Assets   
  230,239 Troy Oz.     

Gold bullion (a)

   $ 405,887,936  
  95,000 Coins     

One-ounce gold coins (a)

     173,273,000  
     

 

 

 
  

Total Gold Assets (identified cost $360,257,512)

   $ 579,160,936  
     

 

 

 
   SILVER ASSETS — 4.76% of Total Net Assets   
  6.859.755 Troy Oz.     

Silver bullion (a)

   $ 138,265,223  
     

 

 

 
  

Total Silver Assets (identified cost $111,034,044)

   $ 138,265,223  
     

 

 

 
     
Principal Amount              
   SWISS FRANC ASSETS — 7.49% of Total Net Assets   
  CHF        35,000,000     

4.000% Swiss Confederation Bonds, 02-11-23

   $ 37,528,667  
  CHF        60,000,000     

1.250% Swiss Confederation Bonds, 06-11-24

     64,513,316  
  CHF        60,000,000     

1.500% Swiss Confederation Bonds, 07-24-25

     65,837,054  
  CHF        45,000,000     

1.250% Swiss Confederation Bonds, 05-28-26

     49,446,342  
     

 

 

 
  

Total Swiss Franc Assets (identified cost $221,605,454)

   $ 217,325,379  
     

 

 

 
     
Number of Shares              
   REAL ESTATE AND NATURAL RESOURCE STOCKS — 18.49% of Total Net Assets

 

   NATURAL RESOURCES — 8.95% of Total Net Assets   
  175,000     

APA Corporation

   $ 6,504,750  
  150,000     

BHP Group, Ltd. (b)

     8,256,000  
  1,250,000     

Birchcliff Energy, Ltd.

     9,600,000  
  125,000     

BP, p.l.c. (b)

     3,672,500  
  500,000     

Cameco Corporation

     12,885,000  
  125,000     

Canadian Natural Resources Ltd.

     6,900,000  
  125,000     

Chevron Corporation

     20,472,500  
  125,000     

ConocoPhillips

     12,178,750  
  400,000     

Devon Energy Corporation

     25,140,000  
  125,000     

Exxon Mobil Corporation

     12,116,250  
  2,300,000     

Freeport-McMoRan, Inc.

     72,565,000  
  400,000     

Murphy Oil Corporation

     14,056,000  
  125,000     

Nutrien, Ltd.

     10,707,500  
  175,000     

Occidental Petroleum Corporation

     11,506,250  
  100,000     

Occidental Petroleum Corporation warrants (a)

     4,395,000  
  175,000     

Ovintiv, Inc.

     8,940,750  
  150,000     

Rio Tinto p.l.c (b)

     9,154,500  
  500,000     

South32 Limited (b)

     6,795,000  
  200,000     

Vale S.A. (b)

     2,692,000  
  54,210     

Woodside Energy Group, Ltd. (b)

     1,231,109  
     

 

 

 
      $ 259,768,859  

 

Continued on following page.

 

8


 

PERMANENT PORTFOLIO®

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Number of Shares           Market Value  
   REAL ESTATE — 9.54% of Total Net Assets   
  125,000     

Alexander & Baldwin, Inc.

   $ 2,488,750  
  60,000     

AvalonBay Communities, Inc.

     12,836,400  
  60,000     

Boston Properties, Inc.

     5,469,600  
  200,000     

Centerspace

     17,178,000  
  75,000     

Digital Realty Trust, Inc.

     9,933,750  
  125,000     

Duke Realty Corporation

     7,820,000  
  60,000     

Essex Property Trust, Inc.

     17,191,800  
  100,000     

Federal Realty Investment Trust

     10,561,000  
  900,000     

Franklin Street Properties Corporation

     3,411,000  
  150,000     

Highwoods Properties, Inc.

     5,335,500  
  250,000     

Kimco Realty Corporation

     5,527,500  
  400,000     

Outfront Media, Inc.

     7,384,000  
  125,000     

Prologis, Inc.

     16,570,000  
  125,000     

Regency Centers Corporation

     8,053,750  
  100,000     

Simon Property Group, Inc.

     10,864,000  
  55,000     

Texas Pacific Land Corporation

     100,861,750  
  125,000     

UDR, Inc.

     6,050,000  
  250,000     

UMH Properties, Inc.

     5,327,500  
  200,000     

Urstadt Biddle Properties, Inc.

     3,726,000  
  500,000     

Urstadt Biddle Properties, Inc. Class A

     9,200,000  
  100,000     

Vornado Realty Trust

     3,039,000  
  125,000     

Washington Real Estate Investment Trust

     2,771,250  
  150,000     

Weyerhaeuser Company

     5,448,000  
     

 

 

 
      $ 277,048,550  
     

 

 

 
  

Total Real Estate and Natural Resource Stocks
(identified cost $308,792,887)

   $ 536,817,409  
     

 

 

 
   AGGRESSIVE GROWTH STOCKS — 18.03% of Total Net Assets   
   AEROSPACE — 1.07% of Total Net Assets   
  75,000     

Lockheed Martin Corporation

   $ 31,035,750  
     

 

 

 
      $ 31,035,750  
     

 

 

 
   CHEMICALS — 1.14% of Total Net Assets   
  70,000     

Air Products & Chemicals, Inc.

   $ 17,376,100  
  65,000     

Albemarle Corporation

     15,880,150  
     

 

 

 
      $ 33,256,250  
   COMPUTER SOFTWARE & SERVICES — 1.98% of Total Net Assets   
  70,000     

Autodesk, Inc. (a)

   $ 15,142,400  
  1,300,000     

Palantir Technologies, Inc. Class A (a)

     13,455,000  
  200,000     

Sailpoint Technologies Holdings, Inc. (a)

     12,754,000  
  190,000     

Twilio, Inc. Class A (a)

     16,112,000  
     

 

 

 
      $ 57,463,400  
   ELECTRICAL EQUIPMENT & ELECTRONICS — 2.11% of Total Net Assets

 

  45,000     

Broadcom, Inc.

   $ 24,096,600  
  250,000     

Intel Corporation

     9,077,500  
  155,000     

NVIDIA Corporation

     28,152,650  
     

 

 

 
      $ 61,326,750  

 

Continued on following page.

 

9


 

PERMANENT PORTFOLIO®

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Number of Shares           Market Value  
   ENERGY SERVICES & PROCESSING — .66% of Total Net Assets   
  250,000     

HF Sinclair Corporation

   $ 11,955,000  
  80,000     

Phillips 66

     7,120,000  
     

 

 

 
      $ 19,075,000  
   ENGINEERING & CONSTRUCTION — .52% of Total Net Assets   
  175,000     

Fluor Corporation (a)

   $ 4,446,750  
  125,000     

Lennar Corporation Class A

     10,625,000  
     

 

 

 
      $ 15,071,750  
   ENTERTAINMENT & LEISURE — 1.47% of Total Net Assets   
  75,000     

Disney (Walt) Company (a)

   $ 7,957,500  
  190,000     

Meta Platforms, Inc. Class A (a)

     30,229,000  
  70,000     

Wynn Resorts, Ltd.

     4,443,600  
     

 

 

 
      $ 42,630,100  
   FINANCIAL SERVICES — 2.68% of Total Net Assets   
  400,000     

Affirm Holdings, Inc. Class A (a)

   $ 10,736,000  
  95,000     

First Republic Bank

     15,457,450  
  500,000     

KeyCorp

     9,150,000  
  170,000     

Morgan Stanley

     14,331,000  
  170,000     

Schwab (Charles) Corporation

     11,738,500  
  80,000     

State Street Corporation

     5,683,200  
  50,000     

Visa, Inc. Class A

     10,605,500  
     

 

 

 
      $ 77,701,650  
   MANUFACTURING — 2.03% of Total Net Assets   
  80,000     

Agilent Technologies, Inc.

   $ 10,728,000  
  80,000     

Illinois Tool Works, Inc.

     16,620,800  
  80,000     

IPG Photonics Corporation (a)

     8,526,400  
  80,000     

Parker-Hannifin Corporation

     23,127,200  
     

 

 

 
      $ 59,002,400  
   MATERIALS — .63% of Total Net Assets   
  135,000     

Nucor Corporation

   $ 18,333,000  
     

 

 

 
      $ 18,333,000  
   PHARMACEUTICALS — .77% of Total Net Assets   
  75,000     

Amgen, Inc.

   $ 18,560,250  
  300,000     

Applied Molecular Transport, Inc. (a)

     570,000  
  500,000     

Atara Biotherapeutics, Inc. (a)

     1,515,000  
  300,000     

Cortexyme, Inc. (a)

     585,000  
  300,000     

Personalis, Inc. (a)

     1,107,000  
     

 

 

 
      $ 22,337,250  
   RETAIL — 1.42% of Total Net Assets   
  60,000     

Costco Wholesale Corporation

   $ 32,478,000  
  60,000     

Williams-Sonoma, Inc.

     8,665,200  
     

 

 

 
      $ 41,143,200  
   TRANSPORTATION — 1.55% of Total Net Assets   
  200,000     

Canadian Pacific Railway Limited

   $ 15,774,000  
  75,000     

FedEx Corporation

     17,481,750  
  75,000     

Ryder System, Inc.

     5,874,000  
  250,000     

Uber Technologies, Inc. (a)

     5,862,500  
     

 

 

 
      $ 44,992,250  
     

 

 

 
  

Total Aggressive Growth Stocks (identified cost $352,410,048)

   $ 523,368,750  
     

 

 

 

 

Continued on following page.

 

10


 

PERMANENT PORTFOLIO®

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Principal Amount           Market Value  
   DOLLAR ASSETS — 30.77% of Total Net Assets   
   CORPORATE BONDS — 28.23% of Total Net Assets   
   ADVERTISING & MARKETING — .26% of Total Net Assets   
$ 7,500,000     

4.200% The Interpublic Group of Companies, Inc., 04-15-24

   $ 7,511,434  
     

 

 

 
      $ 7,511,434  
   AEROSPACE — .80% of Total Net Assets   
  12,486,000     

3.850% L3Harris Technologies, Inc., 06-15-23

   $ 12,494,079  
  3,000,000     

8.375% Lockheed Martin Corporation, 06-15-24

     3,248,349  
  7,500,000     

2.930% Northrop Grumman Corporation, 01-15-25

     7,432,886  
     

 

 

 
      $ 23,175,314  
   CHEMICALS — .34% of Total Net Assets   
  10,000,000     

4.650% Albemarle Corporation, 06-01-27

   $ 10,042,320  
     

 

 

 
      $ 10,042,320  
   COMMUNICATIONS SERVICES — .11% of Total Net Assets   
  3,500,000     

  .750% Bell Canada, 03-17-24

   $ 3,350,573  
     

 

 

 
      $ 3,350,573  
   COMPUTER SOFTWARE & SERVICES — 2.19% of Total Net Assets   
  12,500,000     

2.750% eBay, Inc., 01-30-23

   $ 12,451,469  
  7,615,000     

2.950% Leidos, Inc., 05-15-23

     7,567,406  
  11,500,000     

4.150% Trimble, Inc., 06-15-23

     11,478,765  
  31,803,000     

4.750% Trimble, Inc., 12-01-24

     32,067,283  
     

 

 

 
      $ 63,564,923  
   CONSUMER PRODUCTS — 4.85% of Total Net Assets   
  10,000,000     

2.764% B.A.T. Capital Corporation, 08-15-22

   $ 9,999,055  
  40,000,000     

3.222% B.A.T. Capital Corporation, 08-15-24

     39,257,920  
  10,000,000     

3.250% Conagra Brands, Inc., 09-15-22

     10,003,580  
  15,000,000     

4.600% Conagra Brands, Inc., 11-01-25

     15,228,660  
  5,000,000     

3.650% General Mills, Inc., 02-15-24

     5,029,030  
  15,250,000     

3.500% Imperial Brands, p.l.c., 07-26-26 (c)

     14,345,606  
  5,000,000     

3.500% McCormick & Company, Inc., 09-01-23

     4,961,065  
  10,870,000     

2.250% Mondelez International Holdings Netherlands B.V., 09-19-24 (c)

     10,551,971  
  27,500,000     

1.250% Pernod Ricard International Finance, LLC, 04-01-28 (c)

     24,015,833  
  7,500,000     

2.750% Reckitt Benckiser Treasury Services PLC, 06-26-24 (c)

     7,364,269  
     

 

 

 
      $ 140,756,989  
   ENERGY SERVICES & PROCESSING — .60% of Total Net Assets   
  5,000,000     

3.375% Boardwalk Pipelines, L.P., 02-01-23

   $ 4,990,480  
  5,000,000     

2.625% HF Sinclair Corporation, 10-01-23

     4,804,880  
  7,500,000     

4.000% Schlumberger Holdings Corporation, 12-21-25 (c)

     7,540,834  
     

 

 

 
      $ 17,336,194  
   ENGINEERING & CONSTRUCTION — 1.05% of Total Net Assets   
  6,207,000     

4.750% D.R. Horton, Inc., 02-15-23

   $ 6,252,302  
  12,500,000     

2.500% D.R. Horton, Inc., 10-15-24

     12,084,281  
  5,000,000     

4.750% Lennar Corporation, 11-29-27

     5,040,073  
  7,000,000     

5.500% PulteGroup, Inc., 03-01-26

     7,238,455  
     

 

 

 
      $ 30,615,111  

 

Continued on following page.

 

11


 

PERMANENT PORTFOLIO®

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Principal Amount           Market Value  
   FINANCIAL SERVICES — 4.44% of Total Net Assets   
$ 7,500,000     

4.250% Affiliated Managers Group, Inc., 02-15-24

   $ 7,537,920  
  7,500,000     

3.500% Affiliated Managers Group, Inc., 08-01-25

     7,508,685  
  7,500,000     

6.750% AmSouth Bancorporation, 11-01-25

     8,134,961  
  15,000,000     

4.000% Apollo Management Holdings, LLC, 05-30-24 (c)

     14,822,430  
  6,000,000     

4.250% Associated Banc-Corp, 01-15-25

     6,008,973  
  6,500,000     

3.375% Citadel Finance, LLC, 03-09-26 (c)

     6,058,195  
  5,194,000     

5.375% Citadel, L.P., 01-17-23 (c)

     5,178,644  
  10,000,000     

3.650% Fifth Third Bancorp, 01-25-24

     10,011,775  
  15,000,000     

3.550% First Horizon Corporation, 05-26-23

     14,963,340  
  12,500,000     

4.875% Janus Henderson Holdings, Inc., 08-01-25

     12,716,281  
  2,000,000     

5.500% Jefferies Group, LLC, 10-18-23

     2,020,717  
  15,000,000     

3.750% Lazard Group, LLC, 02-13-25

     14,840,782  
  15,000,000     

3.500% SVB Financial Group, 01-29-25

     14,762,610  
  4,500,000     

2.859% UBS Group, AG, 08-15-23 (c)(d)

     4,500,414  
     

 

 

 
      $ 129,065,727  
   INFORMATION SERVICES — .36% of Total Net Assets   
  5,000,000     

2.750% Fiserv, Inc., 07-01-24

   $ 4,928,000  
  5,500,000     

6.625% Relx, Inc., 10-15-23 (c)

     5,671,229  
     

 

 

 
      $ 10,599,229  
   INSURANCE — 1.02% of Total Net Assets   
  2,920,000     

3.800% Globe Life, Inc., 09-15-22

   $ 2,920,981  
  5,000,000     

4.500% Horace Mann Educators Corporation, 12-01-25

     4,950,345  
  7,500,000     

4.350% Kemper Corporation, 02-15-25

     7,499,899  
  3,246,000     

7.625% Massachusetts Mutual Life Insurance Company, 11-15-23 (c)

     3,357,286  
  7,500,000     

4.400% Mercury General Corporation, 03-15-27

     7,439,816  
  3,500,000     

5.125% SBL Holdings, Inc., 11-13-26 (c)

     3,414,672  
     

 

 

 
      $ 29,582,999  
   LODGING — .07% of Total Net Assets   
  2,000,000     

3.375% Hyatt Hotels Corporation, 07-15-23

   $ 1,982,743  
     

 

 

 
      $ 1,982,743  
   MANUFACTURING — 1.00% of Total Net Assets   
  15,000,000     

2.750% Alcon Finance Corporation, 09-23-26 (c)

   $ 14,234,992  
  10,000,000     

4.625% Kennametal, Inc., 06-15-28

     9,823,410  
  5,000,000     

2.700% Parker-Hannifin Corporation, 06-14-24

     4,928,228  
     

 

 

 
      $ 28,986,630  
   MATERIALS— .73% of Total Net Assets   
  7,500,000     

2.400% Steel Dynamics, Inc., 06-15-25

   $ 7,200,000  
  6,500,000     

4.500% Vulcan Materials Company, 04-01-25

     6,610,614  
  7,535,000     

3.000% WRKCO, Inc., 09-15-24

     7,376,637  
     

 

 

 
      $ 21,187,251  
   NATURAL RESOURCES — 2.34% of Total Net Assets   
  20,000,000     

2.950% Canadian Natural Resources Ltd., 01-15-23

   $ 19,931,670  
  12,500,000     

4.375% Coterra Energy, Inc., 06-01-24 (c)

     12,484,375  
  20,000,000     

4.250% Mosaic Company, 11-15-23

     20,171,190  
  4,500,000     

3.150% Nutrien, Ltd., 10-01-22

     4,489,038  
  7,500,000     

6.950% Occidental Petroleum Corporation, 07-01-24

     7,870,342  
  3,229,000     

4.125% Parsley Energy, LLC, 02-15-28 (c)

     3,015,079  
     

 

 

 
      $ 67,961,694  

 

Continued on following page.

 

12


 

PERMANENT PORTFOLIO®

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Principal Amount           Market Value  
   PHARMACEUTICALS — .45% of Total Net Assets   
$ 6,500,000     

3.250% EMD Finance, LLC, 03-15-25 (c)

   $ 6,423,944  
  6,500,000     

4.400% Takeda Pharmaceutical Company, Limited, 11-26-23

     6,561,438  
     

 

 

 
      $ 12,985,382  
   REAL ESTATE — 4.81% of Total Net Assets   
  12,500,000     

3.950% Brandywine Operating Partnership, L.P., 02-15-23

   $ 12,518,169  
  4,497,000     

4.100% Brandywine Operating Partnership, L.P., 10-01-24

     4,468,217  
  5,000,000     

3.950% Brandywine Operating Partnership, L.P., 11-15-27

     4,780,582  
  10,000,000     

2.000% Corporate Office Properties, L.P., 01-15-29

     8,175,890  
  3,500,000     

2.625% Equinix, Inc., 11-18-24

     3,386,192  
  4,500,000     

3.250% Essex Portfolio, L.P., 05-01-23

     4,490,480  
  4,575,000     

1.250% Federal Realty Investment Trust, 02-15-26

     4,150,360  
  7,500,000     

3.625% Highwoods Realty, L.P., 01-15-23

     7,495,211  
  7,500,000     

4.125% Highwoods Realty, L.P., 03-15-28

     7,309,249  
  7,927,000     

4.450% Kimco Realty Corporation, 01-15-24

     7,961,015  
  6,170,000     

3.850% Kimco Realty Corporation, 06-01-25

     6,124,592  
  4,537,000     

4.400% LXP Industrial Trust, 06-15-24

     4,529,175  
  8,234,000     

4.450% Piedmont Operating Partnership, L.P., 03-15-24

     8,279,855  
  8,937,000     

5.000% Retail Opportunity Investments Corporation, 12-15-23

     8,953,538  
  15,000,000     

4.000% Retail Opportunity Investments Corporation, 12-15-24

     14,621,040  
  12,500,000     

3.625% Site Centers Corporation, 02-01-25

     12,203,950  
  15,137,000     

3.250% SL Green Operating Partnership, L.P., 10-15-22

     15,100,262  
  5,270,000     

2.950% UDR, Inc., 09-01-26

     5,018,481  
     

 

 

 
      $ 139,566,258  
   RETAIL — .51% of Total Net Assets   
  5,723,000     

1.750% Advance Auto Parts, Inc., 10-01-27

   $ 5,015,302  
  10,000,000     

3.500% AutoNation, Inc., 11-15-24

     9,806,660  
     

 

 

 
      $ 14,821,962  
   TRANSPORTATION — .74% of Total Net Assets   
  5,210,000     

4.450% Canadian Pacific Railway Limited, 03-15-23

   $ 5,231,783  
  6,500,000     

2.875% Kansas City Southern, 11-15-29

     6,018,821  
  7,750,000     

4.250% Penske Truck Leasing Company, L.P., 01-17-23 (c)

     7,760,963  
  2,500,000     

4.450% Penske Truck Leasing Company, L.P., 01-29-26 (c)

     2,500,075  
     

 

 

 
      $ 21,511,642  
   UTILITIES — 1.56% of Total Net Assets   
  12,720,000     

3.750% Alliant Energy Finance, LLC , 06-15-23 (c)

   $ 12,663,161  
  4,000,000     

4.250% Black Hills Corporation, 11-30-23

     4,020,616  
  4,010,000     

2.100% Georgia Power Company, 07-30-23

     3,955,294  
  7,500,000     

3.750% National Fuel Gas Company, 03-01-23

     7,483,429  
  7,500,000     

5.200% National Fuel Gas Company, 07-15-25

     7,586,321  
  3,000,000     

  .800% WEC Energy Group, Inc., 03-15-24

     2,874,685  
  6,674,000     

3.300% Xcel Energy, Inc., 06-01-25

     6,608,578  
     

 

 

 
      $ 45,192,084  
     

 

 

 
      $ 819,796,459  
     

 

 

 

 

Continued on following page.

 

13


 

PERMANENT PORTFOLIO®

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Principal Amount           Market Value  
   UNITED STATES TREASURY SECURITIES — 2.54% of Total Net Assets

 

$ 10,000,000     

United States Treasury bonds 2.125%, 09-30-24

   $ 9,841,915  
  20,000,000     

United States Treasury bonds   .750%, 11-15-24

     19,058,919  
  20,000,000     

United States Treasury bonds 6.000%, 02-15-26

     22,103,550  
  20,000,000     

United States Treasury bonds 5.250%, 11-15-28

     22,856,227  
     

 

 

 
      $ 73,860,611  
     

 

 

 
  

Total Dollar Assets (identified cost $925,829,881)

   $ 893,657,070  
     

 

 

 
  

Total Portfolio — 99.49% of total net assets
(identified cost $2,279,929,826) (e)

   $ 2,888,594,767  
  

Other assets, less liabilities (.51% of total net assets)

     14,859,797  
     

 

 

 
  

Net assets applicable to outstanding shares

   $ 2,903,454,564  
     

 

 

 
  

Notes:

  
  

(a)  Non-income producing.

  
  

(b)  Sponsored American Depositary Receipt (ADR).

  
  

(c)  Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended, and may be resold in transactions exempt from registration to qualified institutional investors. As of July 31, 2022, these securities amounted to $165,903,972, or 5.71% of Permanent Portfolio’s total net assets, and have been determined by the Portfolio’s investment adviser to be liquid.

  
  

(d)  Variable or floating rate security whereby the interest rate is periodically reset. The interest rate shown reflects the rate in effect as of July 31, 2022.

  
  

(e)  Aggregate cost for book and federal income tax purposes are the same.

  

 

See accompanying notes to financial statements.

 

14


[THIS PAGE INTENTIONALLY LEFT BLANK]

 

15


 

SHORT-TERM TREASURY PORTFOLIO

Management’s Discussion and Analysis

 

 

Six Months Ended July 31, 2022 (Unaudited)

 

Short-Term Treasury Portfolio’s investment objective is to achieve high current income, consistent with safety and liquidity of principal. The Portfolio invests at least 80% of its net assets in direct obligations of the United States Treasury, including U.S. Treasury bills, notes and bonds, and other securities issued by the U.S. Treasury, such as U.S. Agency securities. The Portfolio expects to maintain a dollar-weighted average length to maturity and duration of zero to three years. During the six months ended July 31, 2022, the Portfolio’s Class I shares achieved a total return of -.56%, net of expenses to average net assets of .64%, as compared to .27% for the FTSE 3-Month U.S. Treasury Bill Index over the same period. The Portfolio’s return during the six months then ended was primarily due to increasing net investment returns available on short-term U.S. Treasury and Agency securities being more than offset by decreases in value of Portfolio securities caused by rising interest rates. The FTSE 3-Month U.S. Treasury Bill Index does not reflect a deduction for fees, expenses or taxes.

Mutual fund investing involves risk; loss of principal is possible. The Portfolio’s yield and share price will fluctuate in response to changes in interest rates. Investments in debt securities typically decrease in value when interest rates rise. This risk is usually greater for longer-term debt securities.

The following pie chart shows Short-Term Treasury Portfolio’s investment holdings by months to maturity, as a percentage of investments as of July 31, 2022.

 

LOGO

Allocations are subject to change and should not be considered a recommendation to buy or sell any security.

 

16


 

SHORT-TERM TREASURY PORTFOLIO

Performance Chart

 

 

Ten Years Ended July 31, 2022 (Unaudited)

 

 

LOGO

The chart above compares the initial account values and subsequent account values over the past ten years, assuming a hypothetical $10,000 investment in the Portfolio at the beginning of the first period indicated and reinvestment of all dividends and other distributions, without the deduction of taxes, to a $10,000 investment over the same periods in a comparable broad-based securities market index.

The FTSE 3-Month U.S. Treasury Bill Index tracks the performance of U.S. Treasury bills with a remaining maturity of three months. U.S. Treasury bills, which are short-term loans to the U.S. government, are full-faith-and-credit obligations of the U.S. Treasury. You cannot invest directly in an index. Returns shown for the FTSE 3-Month U.S. Treasury Bill Index reflect reinvested interest as applicable, but do not reflect a deduction for fees, expenses or taxes.

Past performance does not guarantee future results. The chart does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

 

17


 

SHORT-TERM TREASURY PORTFOLIO

Average Annual Total Returns

 

 

Periods Ended July 31, 2022 (Unaudited)

 

     One
Year
     Five
Years
     Ten
Years
     Since
Inception
     Inception
Date
 

At Net Asset Value

              

Class I Shares (PRTBX) (1)

     -1.33%        .28%        -.09%        2.13%        5/26/1987  

FTSE 3-Month U.S. Treasury Bill Index (2)

     .29%        1.09%        .63%        2.94%     

 

(1)

Returns reflect the impact of fee waivers in effect. In the absence of such fee waivers, total returns would be reduced. See the Notes to Financial Statements for specific information regarding fee waivers.

(2)

The date used to calculate performance since inception for the index is the inception date of the Class I shares.

The table above shows Short-Term Treasury Portfolio’s average annual total returns for the periods indicated, assuming reinvestment of all dividends and other distributions, and deduction of all applicable fees and expenses (except the $35 one-time account start-up fee which was eliminated in January 2016). Performance does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

As stated in the Portfolio’s Prospectus dated May 31, 2022, the total annual operating expenses before and after fee waivers (“expense ratios”) for the year ended January 31, 2022 were 1.21% and .65%, respectively. The expense ratios for the six months ended July 31, 2022 may be found in the Financial Highlights section of this Report.

Performance data shown above for Short-Term Treasury Portfolio represents past performance and does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Investment performance, current to the most recent month-end, may be lower or higher than the performance shown above, and can be obtained by calling the Fund’s Shareholder Services Office at (800) 531-5142.

Investments in the Portfolio are not insured or guaranteed by the Federal Deposit Insurance Corporation or other government agency. It is therefore possible to lose money by investing in Short-Term Treasury Portfolio.

 

18


 

SHORT-TERM TREASURY PORTFOLIO

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Principal Amount           Market Value  
   UNITED STATES TREASURY SECURITIES — 99.90% of Total Net Assets

 

$ 1,000,000     

United States Treasury bills     2.170%, 09-08-22 (a)

   $ 997,746  
  1,800,000     

United States Treasury notes     .125%, 05-31-23

     1,757,956  
  2,000,000     

United States Treasury notes     .250%, 09-30-23

     1,938,035  
  1,850,000     

United States Treasury notes   2.500%, 05-31-24

     1,836,162  
  2,000,000     

United States Treasury notes     .625%, 10-15-24

     1,904,007  
  1,800,000     

United States Treasury notes   1.500%, 10-31-24

     1,746,239  
  1,500,000     

United States Treasury notes   1.375%, 01-31-25

     1,445,844  
  1,800,000     

United States Treasury notes   2.625%, 04-15-25

     1,788,759  
     

 

 

 
  

Total Portfolio — 99.90% of total net assets
(identified cost $13,566,189) (b)

   $ 13,414,748  
  

Other assets, less liabilities (.10% of total net assets)

     12,796  
     

 

 

 
  

Net assets applicable to outstanding shares

   $ 13,427,544  
     

 

 

 
  

Notes:

  
  

(a)  Interest rate represents yield to maturity.

  
  

(b)  Aggregate cost for book and federal income tax purposes are the same.

  

 

See accompanying notes to financial statements.

 

19


 

VERSATILE BOND PORTFOLIO

Management’s Discussion and Analysis

 

 

Six Months Ended July 31, 2022 (Unaudited)

 

Versatile Bond Portfolio’s investment objective is to achieve high current income. The Portfolio invests at least 80% of its net assets in bonds, which may include debt securities of all types and of any maturity. During the six months ended July 31, 2022, the Portfolio’s Class I shares achieved a total return of -3.31%, net of expenses to average net assets of .65%, as compared to -10.97% for the Bloomberg Global Aggregate (Excluding Securitized) Bond Index over the same period. The Portfolio’s return during the six months then ended exceeded the performance of the index, primarily due to its investment selection, the timing of purchases and sales of those investments in relation to fluctuating market values relative to the aforementioned index, and its investments in U.S. dollar denominated corporate securities having greater credit risk, lower duration and less currency risk than the index. The returns of the index do not reflect a deduction for fees, expenses or taxes. Returns for the Portfolio’s Class A and Class C shares are provided on pages 22, 43 and 44.

Mutual fund investing involves risk; loss of principal is possible. The Portfolio’s yield and share price will fluctuate in response to changes in interest rates. Investments in debt securities typically decrease in value when interest rates rise. This risk is usually greater for longer-term debt securities. Investments in debt securities are also subject to credit risk, which is the risk that an issuer of debt securities may be unable or unwilling to pay principal and interest when due. Below investment grade bonds involve greater risk of loss because they are subject to greater levels of credit risk.

The following pie chart shows Versatile Bond Portfolio’s investment holdings by Standard & Poor’s credit rating, as a percentage of investments as of July 31, 2022. Credit ratings range from AAA (highest) to D (lowest) based on Standard & Poor’s measures. Other rating agencies may rate the same securities differently. “Not Rated” securities are not rated by Standard & Poor’s. Credit ratings are only the opinions of the rating agencies issuing them, do not purport to reflect the risk of fluctuations in market value, are not guarantees as to the payment of interest and repayment of principal, and are subject to change.

 

LOGO

Allocations are subject to change and should not be considered a recommendation to buy or sell any security.

 

20


 

VERSATILE BOND PORTFOLIO

Performance Chart

 

 

Ten Years Ended July 31, 2022 (Unaudited)

 

 

LOGO

The chart above compares the initial account values and subsequent account values over the past ten years, assuming a hypothetical $10,000 investment in the Portfolio’s Class I shares at the beginning of the first period indicated and reinvestment of all dividends and other distributions, without the deduction of taxes, to a $10,000 investment over the same periods in a comparable broad-based securities market index. The performance of the Portfolio’s Class A and Class C shares will differ due to different sales charge structures and share class expenses.

The Bloomberg Global Aggregate Bond Index is a market-capitalization weighted, broad-based measure of global, government-related, treasury, corporate and securitized fixed income investments. The Bloomberg Global Aggregate (Excluding Securitized) Bond Index, which excludes securitized fixed income investments, is a sub-index of the Bloomberg Global Aggregate Bond Index. You cannot invest directly in an index. Returns shown for the Bloomberg Global Aggregate (Excluding Securitized) Bond Index reflect reinvested interest, dividends and other distributions as applicable, but do not reflect a deduction for fees, expenses or taxes.

Past performance does not guarantee future results. The chart does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

 

21


 

VERSATILE BOND PORTFOLIO

Average Annual Total Returns

 

 

Periods Ended July 31, 2022 (Unaudited)

 

    One
Year
    Five
Years
    Ten
Years
    Since
Inception
    Inception
Date
 

At Net Asset Value

         

Class I Shares (PRVBX) (1)(2)

    -4.53%       4.07%       3.87%       3.55%       9/27/1991  

Class A Shares (PRVDX) (1)

    -4.77%       3.81%             4.09%       5/31/2016  

Class C Shares (PRVHX) (1)

    -5.48%       3.04%             3.31%       5/31/2016  

With Sales Charge

         

Class A Shares (PRVDX) (1)(3)

    -8.58%       2.97%             3.40%    

Class C Shares (PRVHX) (1)(3)

    -6.42%       3.04%             3.31%    

Bloomberg Global Aggregate (Excluding Securitized) Bond Index (4)(5)

    -15.50%       -.60%       .03%       4.50%    

 

(1)

Returns reflect the impact of fee waivers in effect. In the absence of such fee waivers, total returns would be reduced. See the Notes to Financial Statements for specific information regarding fee waivers.

(2)

Returns for periods prior to May 30, 2012 reflect the Portfolio’s results under its prior investment strategies. Such returns should not be considered predictive or representative of results the Portfolio may experience under its current investment strategies.

(3)

Returns with sales charge reflect the deduction of the maximum front end sales charge of 4.00% for Class A shares, and the maximum contingent deferred sales charge of 1.00% which is imposed on Class C shares that are redeemed within one year of purchase.

(4)

The Bloomberg Global Aggregate (Excluding Securitized) Bond Index commenced on September 30, 2002. Performance of the Index for periods prior to September 30, 2002, is calculated using the return data of the Bloomberg Global Aggregate Bond Index through September 29, 2002 and the return data of the Bloomberg Global Aggregate (Excluding Securitized) Bond Index since September 30, 2002.

(5)

The date used to calculate performance since inception for the Index is the inception date of the Class I shares.

The table above shows Versatile Bond Portfolio’s average annual total returns for the periods indicated, assuming reinvestment of all dividends and other distributions, and deduction of all applicable fees and expenses (except the $35 one-time account start-up fee which was eliminated in January 2016). All share classes of the Portfolio are invested in the same securities and returns only differ to the extent that the fees and expenses of the share classes are different. Performance does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

As stated in the Portfolio’s Prospectus dated May 31, 2022, the total annual operating expenses (“expense ratios”) for the year ended January 31, 2022, before fee waivers, were 1.20%, 1.45% and 2.20% for the Portfolio’s Class I, Class A and Class C shares, respectively. The expense ratios for the same period, after fee waivers, were .64%, .89% and 1.64% for the Portfolio’s Class I, Class A and Class C shares, respectively. The expense ratios for the six months ended July 31, 2022 may be found in the Financial Highlights section of this Report.

Performance data shown above for Versatile Bond Portfolio represents past performance and does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Investment performance, current to the most recent month-end, may be lower or higher than the performance shown above, and can be obtained by calling the Fund’s Shareholder Services Office at (800) 531-5142.

Investments in the Portfolio are not insured or guaranteed by the Federal Deposit Insurance Corporation or other government agency. It is therefore possible to lose money by investing in Versatile Bond Portfolio.

 

22


 

VERSATILE BOND PORTFOLIO

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

 

Principal Amount           Market Value  
   CORPORATE BONDS — 87.55% of Total Net Assets   
   ADVERTISING & MARKETING— 1.26% of Total Net Assets   
$ 1,000,000     

4.200% The Interpublic Group of Companies, Inc., 04-15-24

   $ 1,001,524  
     

 

 

 
      $ 1,001,524  
   AEROSPACE — .21% of Total Net Assets   
  170,000     

3.850% L3Harris Technologies, Inc., 06-15-23

   $ 170,067  
     

 

 

 
      $ 170,067  
   COMPUTER SOFTWARE & SERVICES — 5.98% of Total Net Assets   
  1,750,000     

4.150% Trimble, Inc., 06-15-23

   $ 1,746,769  
  3,000,000     

4.750% Trimble, Inc., 12-01-24

     3,024,930  
     

 

 

 
      $ 4,771,699  
   CONSUMER PRODUCTS — 14.28% of Total Net Assets   
  5,650,000     

3.222% B.A.T. Capital Corporation, 08-15-24

   $ 5,545,181  
  685,000     

7.125% Conagra Brands, Inc., 10-01-26

     758,541  
  4,000,000     

3.500% Imperial Brands, p.l.c., 07-26-26 (a)

     3,762,782  
  1,535,000     

1.250% Pernod Ricard International Finance, LLC, 04-01-28 (a)

     1,340,520  
     

 

 

 
      $ 11,407,024  
   ENERGY SERVICES & PROCESSING — 10.01% of Total Net Assets   
  1,000,000     

3.375% Boardwalk Pipelines, L.P., 02-01-23

   $ 998,096  
  5,543,600     

4.750% El Paso Energy Capital Trust I, 03-31-28 (b)

     5,076,829  
  2,000,000     

2.625% HF Sinclair Corporation, 10-01-23

     1,921,952  
     

 

 

 
      $ 7,996,877  
   ENGINEERING & CONSTRUCTION — 1.30% of Total Net Assets   
  1,000,000     

5.500% PulteGroup, Inc., 03-01-26

   $ 1,034,065  
     

 

 

 
      $ 1,034,065  
   FINANCIAL SERVICES — 14.09% of Total Net Assets   
  1,000,000     

3.500% Affiliated Managers Group, Inc., 08-01-25

   $ 1,001,158  
  1,000,000     

6.500% B. Riley Financial, Inc., 09-30-26

     986,800  
  2,000,000     

5.375% Citadel, L.P., 01-17-23 (a)

     1,994,087  
  2,000,000     

3.550% First Horizon Corporation, 05-26-23

     1,995,112  
  1,000,000     

4.100% ING Groep NV, 10-02-23

     1,004,916  
  375,000     

4.625% KKR Group Finance Company IX, LLC, 04-01-61

     313,650  
  4,000,000     

3.750% Lazard Group, LLC, 02-13-25

     3,957,542  
     

 

 

 
      $ 11,253,265  
   INSURANCE — 8.49% of Total Net Assets   
  1,000,000     

4.500% Brown & Brown, Inc., 03-15-29

   $ 1,003,225  
  2,000,000     

4.500% Horace Mann Educators Corporation, 12-01-25

     1,980,138  
  1,500,000     

4.350% Kemper Corporation, 02-15-25

     1,499,980  
  1,750,000     

4.400% Mercury General Corporation, 03-15-27

     1,735,957  
  750,000     

7.450% Phoenix Companies, Inc., 01-15-32

     562,500  
     

 

 

 
      $ 6,781,800  
   MANUFACTURING — 2.31% of Total Net Assets   
  375,000     

8.125% Babcock & Wilcox Enterprises, Inc., 02-28-26

   $ 374,850  
  1,500,000     

4.625% Kennametal, Inc., 06-15-28

     1,473,512  
     

 

 

 
      $ 1,848,362  
   MATERIALS — 1.23% of Total Net Assets   
  1,000,000     

2.800% Steel Dynamics, Inc., 12-15-24

   $ 978,750  
     

 

 

 
      $ 978,750  

 

Continued on following page.

 

23


 

VERSATILE BOND PORTFOLIO

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Principal Amount           Market Value  
   MEDICAL DEVICES — .77% of Total Net Assets   
$ 750,000     

4.176% Haemonetics Corporation, 03-01-26 (a)(b)(c)

   $ 617,722  
     

 

 

 
      $ 617,722  
   NATURAL RESOURCES — 6.67% of Total Net Assets   
  229,000     

1.625% Glencore Funding, LLC, 09-01-25

   $ 211,211  
  1,000,000     

6.950% Occidental Petroleum Corporation, 07-01-24

     1,049,379  
  2,250,000     

5.625% Parsley Energy, LLC, 10-15-27 (a)

     2,202,187  
  2,000,000     

4.125% Parsley Energy, LLC, 02-15-28 (a)

     1,867,500  
     

 

 

 
      $ 5,330,277  
   PHARMACEUTICALS — .44% of Total Net Assets   
  350,000     

2.900% Bristol-Myers Squibb Company, 07-26-24 (a)

   $ 351,070  
     

 

 

 
      $ 351,070  
   REAL ESTATE — 11.90% of Total Net Assets   
  1,500,000     

4.100% Brandywine Operating Partnership, L.P., 10-01-24

   $ 1,490,399  
  500,000     

7.600% First Industrial, L.P., 07-15-28

     568,651  
  1,000,000     

4.450% Kimco Realty Corporation, 01-15-24

     1,004,291  
  1,000,000     

3.850% Kimco Realty Corporation, 06-01-25

     992,641  
  3,250,000     

5.000% Retail Opportunity Investments Corporation, 12-15-23

     3,256,014  
  2,250,000     

4.000% Retail Opportunity Investments Corporation, 12-15-24

     2,193,156  
     

 

 

 
      $ 9,505,152  
   RESTAURANTS — .37% of Total Net Assets   
  300,000     

3.875% Brinker International, Inc., 05-15-23

   $ 297,034  
     

 

 

 
      $ 297,034  
   RETAIL — 2.15% of Total Net Assets   
  1,750,000     

3.500% AutoNation, Inc., 11-15-24

   $ 1,716,165  
     

 

 

 
      $ 1,716,165  
   TRANSPORTATION — 1.54% of Total Net Assets   
  1,250,000     

2.900% Canadian Pacific Railway Limited, 02-01-25

   $ 1,227,134  
     

 

 

 
      $ 1,227,134  
   UTILITIES — 4.55% of Total Net Assets   
  498,000     

3.600% Eastern Gas Transmission & Storage, Inc., 12-15-24 (a)

   $ 495,195  
  1,250,000     

2.100% Georgia Power Company, 07-30-23

     1,232,947  
  1,500,000     

3.750% National Fuel Gas Company, 03-01-23

     1,496,686  
  415,000     

3.508% Niagara Mohawk Power Corporation, 10-01-24 (a)

     407,886  
     

 

 

 
      $ 3,632,714  
     

 

 

 
  

Total Corporate Bonds (identified cost $74,664,160)

   $ 69,920,701  
     

 

 

 
     
Number of Shares              
   PREFERRED STOCKS — 11.65% of Total Net Assets   
   COMMUNICATIONS SERVICES — 1.17% of Total Net Assets   
  30,000     

7.125% DigitalBridge Group, Inc., Preferred Class J (d)

   $ 719,700  
  10,000     

6.000% Telephone & Data Systems, Inc., Preferred Class VV (d)

     216,500  
     

 

 

 
      $ 936,200  

 

Continued on following page.

 

24


 

VERSATILE BOND PORTFOLIO

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Number of Shares         Market Value  
  FINANCIAL SERVICES — 5.05% of Total Net Assets  
  11,338    

5.625% Associated Banc-Corp, Preferred Class F (e)

  $ 285,037  
  30,000    

5.000% Capital One Financial Corporation, Preferred Class I (e)

    669,300  
  12,500    

7.250% Compass Diversified Holdings, Preferred Class A (e)

    309,375  
  42,500    

7.875% Compass Diversified Holdings, Preferred Class C (d)

    1,070,575  
  10,000    

6.000% Merchants Bancorp, Preferred Class C (e)

    240,700  
  15,000    

4.450% Schwab (Charles) Corporation, Preferred Class J (e)

    335,400  
  25,000    

6.000% Steel Partners Holdings, L.P., Cumulative Preferred Class C, 02-07-26

    581,750  
  25,000    

4.875% Washington Federal, Inc., Preferred Class A (e)

    537,000  
   

 

 

 
    $ 4,029,137  
  INSURANCE — .48% of Total Net Assets  
  500,000    

6.500% SBL Holdings, Inc., Perpetual Hybrid Subordinated (a)(e)(f)

  $ 379,092  
   

 

 

 
    $ 379,092  
  MANUFACTURING — 1.23% of Total Net Assets  
  35,000    

10.625% Wesco International, Inc., Preferred Class A (d)(f)

  $ 985,250  
   

 

 

 
    $ 985,250  
  REAL ESTATE — 3.72% of Total Net Assets  
  45,000    

6.375% CTO Realty Growth, Inc., Preferred Class A (d)

  $ 1,079,550  
  1,672    

6.375% UMH Properties, Inc., Preferred Class D (d)

    42,603  
  15,000    

6.250% Urstadt Biddle Properties, Inc., Preferred Class H (d)

    365,018  
  65,000    

5.875% Urstadt Biddle Properties, Inc., Preferred Class K (d)

    1,483,306  
   

 

 

 
    $ 2,970,477  
   

 

 

 
 

Total Preferred Stocks (identified cost $9,992,268)

  $ 9,300,156  
   

 

 

 
 

Total Portfolio — 99.20% of total net assets
(identified cost $84,656,428) (g)

  $ 79,220,857  
 

Other assets, less liabilities (.80% of total net assets)

    641,008  
   

 

 

 
 

Net assets applicable to outstanding shares

  $ 79,861,865  
   

 

 

 
 

Notes:

 
 

(a)  Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended, and may be resold in transactions exempt from registration to qualified institutional investors. As of July 31, 2022, these securities amounted to $13,418,041, or 16.80% of Versatile Bond Portfolio’s total net assets, and have been determined by the Portfolio’s investment adviser to be liquid.

 
 

(b)  Convertible security.

 
 

(c)  Interest rate represents yield to maturity.

 
 

(d)  Cumulative, perpetual preferred stock.

 
 

(e)  Non-cumulative, perpetual preferred stock.

 
 

(f)   Variable or floating rate security whereby the interest rate is periodically reset. The interest rate shown reflects the rate in effect as of July 31, 2022.

 
 

(g)  Aggregate cost for book and federal income tax purposes are the same.

 

 

See accompanying notes to financial statements.

 

25


[THIS PAGE INTENTIONALLY LEFT BLANK]

 

26


 

AGGRESSIVE GROWTH PORTFOLIO

Management’s Discussion and Analysis

 

 

Six Months Ended July 31, 2022 (Unaudited)

 

Aggressive Growth Portfolio’s investment objective is to achieve high (greater than the stock market as a whole), long-term appreciation in the value of its shares. The Portfolio invests in stocks and stock warrants of U.S. and foreign companies that are expected to have a higher profit potential than the stock market as a whole. During the six months ended July 31, 2022, the Portfolio’s Class I shares achieved a total return of -15.20%, net of expenses to average net assets of 1.21%, as compared to -5.54% for the Dow Jones Industrial Average and -7.81% for the Standard & Poor’s 500 Composite Stock Index over the same period. The Portfolio’s return during the six months then ended was primarily due to the Portfolio’s investment selection and the timing of purchases and sales of those investments in relation to fluctuating market values relative to the aforementioned indices. Industry sectors contributing the most appreciation to the Portfolio during the six months ended July 31, 2022 included energy services and processing, materials, and transportation, while computer software and services, entertainment and leisure, and pharmaceuticals, provided the most depreciation over the same period. Neither the Dow Jones Industrial Average nor the Standard & Poor’s 500 Composite Stock Index reflect deductions for fees, expenses or taxes. Returns for the Portfolio’s Class A and Class C shares are provided on pages 29, 46 and 47.

Mutual fund investing involves risk; loss of principal is possible. Aggressive Growth Portfolio’s stock market investments will fluctuate, sometimes rapidly and unexpectedly. Aggressive growth stock investments are subject to greater market risk of price declines, especially during periods when the prices of U.S. stock market investments in general are declining. The Portfolio may also invest in smaller and medium capitalization companies which will involve additional risks, such as limited liquidity and greater volatility.

The following pie chart shows Aggressive Growth Portfolio’s investment holdings by industry sector, as a percentage of total net assets as of July 31, 2022.

 

LOGO

Allocations are subject to change and should not be considered a recommendation to buy or sell any security within a sector.

 

27


 

AGGRESSIVE GROWTH PORTFOLIO

Performance Chart

 

 

Ten Years Ended July 31, 2022 (Unaudited)

 

 

LOGO

The chart above compares the initial account values and subsequent account values over the past ten years, assuming a hypothetical $10,000 investment in the Portfolio’s Class I shares at the beginning of the first period indicated and reinvestment of all dividends and other distributions, without the deduction of taxes, to a $10,000 investment over the same periods in comparable broad-based securities market indices. The performance of the Portfolio’s Class A and Class C shares will differ due to different sales charge structures and share class expenses.

The Dow Jones Industrial Average is an average of the stock prices of thirty large companies and represents a widely recognized unmanaged portfolio of common stocks. The Standard & Poor’s 500 Composite Stock Index is a market-capitalization weighted index of common stocks and also represents an unmanaged portfolio. You cannot invest directly in an index. Returns shown for the Dow Jones Industrial Average and the Standard & Poor’s 500 Composite Stock Index reflect reinvested dividends and other distributions as applicable, but do not reflect a deduction for fees, expenses or taxes.

Past performance does not guarantee future results. The chart does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

 

28


 

AGGRESSIVE GROWTH PORTFOLIO

Average Annual Total Returns

 

 

Periods Ended July 31, 2022 (Unaudited)

 

    One
Year
    Five
Years
    Ten
Years
    Since
Inception
    Inception
Date
 

At Net Asset Value

         

Class I Shares (PAGRX)

    -20.34%       10.46%       12.08%       10.11%       1/02/1990  

Class A Shares (PAGDX)

    -20.53%       10.19%             11.28%       5/31/2016  

Class C Shares (PAGHX)

    -21.12%       9.36%             10.45%       5/31/2016  

With Sales Charge

         

Class A Shares (PAGDX) (1)

    -24.50%       9.06%             10.36%    

Class C Shares (PAGHX) (1)

    -21.86%       9.36%             10.45%    

Dow Jones Industrial Average-Total Return (2)

    -4.14%       10.86%       12.31%       10.47%    

Standard & Poor’s 500 Composite Stock Index (2)

    -4.64%       12.83%       13.80%       10.05%    

 

(1)

Returns with sales charge reflect the deduction of the maximum front end sales charge of 5.00% for Class A shares, and the maximum contingent deferred sales charge of 1.00% which is imposed on Class C shares that are redeemed within one year of purchase.

(2)

The date used to calculate performance since inception for the indices is the inception date of the Class I shares.

The table above shows Aggressive Growth Portfolio’s average annual total returns for the periods indicated, assuming reinvestment of all dividends and other distributions, and deduction of all applicable fees and expenses (except the $35 one-time account start-up fee which was eliminated in January 2016). All share classes of the Portfolio are invested in the same securities and returns only differ to the extent that the fees and expenses of the share classes are different. Performance does not reflect the deduction of taxes that a shareholder would pay on Portfolio distributions or on the redemption of Portfolio shares.

As stated in the Portfolio’s Prospectus dated May 31, 2022, the total annual operating expenses (“expense ratios”) for the year ended January 31, 2022 were 1.21%, 1.46% and 2.21% for the Portfolio’s Class I, Class A and Class C shares, respectively. The expense ratios for the six months ended July 31, 2022 may be found in the Financial Highlights section of this Report.

Performance data shown above for Aggressive Growth Portfolio represents past performance and does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Investment performance, current to the most recent month-end, may be lower or higher than the performance shown above, and can be obtained by calling the Fund’s Shareholder Services Office at (800) 531-5142.

Investments in the Portfolio are not insured or guaranteed by the Federal Deposit Insurance Corporation or other government agency. It is therefore possible to lose money by investing in Aggressive Growth Portfolio.

 

29


 

AGGRESSIVE GROWTH PORTFOLIO

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Number of Shares           Market Value  
   AGGRESSIVE GROWTH STOCKS — 100.08% of Total Net Assets   
   AEROSPACE — 4.58% of Total Net Assets   
  3,000     

Lockheed Martin Corporation

   $ 1,241,430  
     

 

 

 
      $ 1,241,430  
   CHEMICALS — 5.45% of Total Net Assets   
  3,000     

Air Products & Chemicals, Inc.

   $ 744,690  
  3,000     

Albemarle Corporation

     732,930  
     

 

 

 
      $ 1,477,620  
   COMPUTER SOFTWARE & SERVICES — 7.54% of Total Net Assets   
  4,000     

Autodesk, Inc. (a)

   $ 865,280  
  40,000     

Palantir Technologies, Inc. Class A (a)

     414,000  
  9,000     

Twilio, Inc. Class A (a)

     763,200  
     

 

 

 
      $ 2,042,480  
   ELECTRICAL EQUIPMENT & ELECTRONICS — 14.99% of Total Net Assets

  2,500     

Broadcom, Inc.

   $ 1,338,700  
  15,000     

Intel Corporation

     544,650  
  12,000     

NVIDIA Corporation

     2,179,560  
     

 

 

 
      $ 4,062,910  
   ENERGY SERVICES & PROCESSING — 2.65% of Total Net Assets   
  15,000     

HF Sinclair Corporation

   $ 717,300  
     

 

 

 
      $ 717,300  
   ENGINEERING & CONSTRUCTION — 2.22% of Total Net Assets   
  7,000     

Fluor Corporation (a)

   $ 177,870  
  5,000     

Lennar Corporation Class A

     425,000  
     

 

 

 
      $ 602,870  
   ENTERTAINMENT & LEISURE — 6.06% of Total Net Assets   
  5,000     

Disney (Walt) Company (a)

   $ 530,500  
  5,000     

Meta Platforms, Inc. Class A (a)

     795,500  
  5,000     

Wynn Resorts, Ltd.

     317,400  
     

 

 

 
      $ 1,643,400  
   FINANCIAL SERVICES — 14.76% of Total Net Assets   
  11,000     

Affirm Holdings, Inc. Class A (a)

   $ 295,240  
  5,000     

First Republic Bank

     813,550  
  20,000     

KeyCorp

     366,000  
  10,000     

Morgan Stanley

     843,000  
  10,000     

Schwab (Charles) Corporation

     690,500  
  5,000     

State Street Corporation

     355,200  
  3,000     

Visa, Inc. Class A

     636,330  
     

 

 

 
      $ 3,999,820  
   MANUFACTURING — 8.16% of Total Net Assets   
  3,000     

Agilent Technologies, Inc.

   $ 402,300  
  3,000     

Illinois Tool Works, Inc.

     623,280  
  3,000     

IPG Photonics Corporation (a)

     319,740  
  3,000     

Parker-Hannifin Corporation

     867,270  
     

 

 

 
      $ 2,212,590  
   MATERIALS — 2.00% of Total Net Assets   
  4,000     

Nucor Corporation

   $ 543,200  
     

 

 

 
      $ 543,200  

 

Continued on following page.

 

30


 

AGGRESSIVE GROWTH PORTFOLIO

Schedule of Investments

 

 

July 31, 2022 (Unaudited)

 

Number of Shares           Market Value  
   NATURAL RESOURCES — 15.05% of Total Net Assets   
  80,000     

Birchcliff Energy, Ltd.

   $ 614,400  
  80,000     

Freeport-McMoRan, Inc.

     2,524,000  
  5,000     

Nutrien, Ltd.

     428,300  
  10,000     

Ovintiv, Inc.

     510,900  
     

 

 

 
      $ 4,077,600  
   PHARMACEUTICALS — 3.48% of Total Net Assets   
  3,000     

Amgen, Inc.

   $ 742,410  
  20,000     

Applied Molecular Transport, Inc. (a)

     38,000  
  25,000     

Atara Biotherapeutics, Inc. (a)

     75,750  
  25,000     

Cortexyme, Inc. (a)

     48,750  
  10,000     

Personalis, Inc. (a)

     36,900  
     

 

 

 
      $ 941,810  
   RETAIL — 7.66% of Total Net Assets   
  2,500     

Costco Wholesale Corporation

   $ 1,353,250  
  5,000     

Williams-Sonoma, Inc.

     722,100  
     

 

 

 
      $ 2,075,350  
   TRANSPORTATION — 5.48% of Total Net Assets   
  5,000     

Canadian Pacific Railway Limited

   $ 394,350  
  3,000     

FedEx Corporation

     699,270  
  5,000     

Ryder System, Inc.

     391,600  
     

 

 

 
      $ 1,485,220  
     

 

 

 
  

Total Portfolio — 100.08% of total net assets
(identified cost $12,031,432) (b)

   $ 27,123,600  
  

Liabilities, less other assets (.08% of total net assets)

     (21,055
     

 

 

 
  

Net assets applicable to outstanding shares

   $ 27,102,545  
     

 

 

 
  

Notes:

  
  

(a)  Non-income producing.

  
  

(b)  Aggregate cost for book and federal income tax purposes are the same.

  

 

See accompanying notes to financial statements.

 

31


 

STATEMENTS OF ASSETS AND LIABILITIES

 

 

July 31, 2022 (Unaudited)

 

    Permanent
Portfolio®
    Short-Term
Treasury
Portfolio
    Versatile
Bond
Portfolio
    Aggressive
Growth
Portfolio
 

ASSETS

       

Investments at market value (Notes 1, 5 & 6):

       

Investments other than securities:

       

Gold assets (identified cost $360,257,512; $—; $— and $—, respectively)

  $ 579,160,936     $     $     $  

Silver assets (identified cost $111,034,044; $—; $— and $—, respectively)

    138,265,223                    
 

 

 

   

 

 

   

 

 

   

 

 

 
    717,426,159                    

Swiss franc bonds

    217,325,379                    

Real estate and natural resource stocks

    536,817,409                    

Aggressive growth stocks

    523,368,750                   27,123,600  

Corporate bonds

    819,796,459             69,920,701        

Preferred stocks

                9,300,156        

United States Treasury securities

    73,860,611       13,414,748              
 

 

 

   

 

 

   

 

 

   

 

 

 

Total investments (identified cost $2,279,929,826; $13,566,189; $84,656,428 and $12,031,432, respectively)

    2,888,594,767       13,414,748       79,220,857       27,123,600  

Cash

    1,214,479                    

Accounts receivable for investments sold

                839,121        

Accounts receivable for shares of the portfolio sold

    3,180,676             221,298       9,395  

Accrued dividends receivable

    862,475             50,449       34,110  

Accrued interest receivable

    9,139,399       44,719       656,215        

Accrued foreign taxes receivable

    5,207,543                    

Prepaid expenses

    142,020       643       2,052       1,254  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total assets

    2,908,341,359       13,460,110       80,989,992       27,168,359  

LIABILITIES

       

Bank overdraft

          16,859       887,929       40,254  

Accounts payable for investments purchased

                193,521        

Accounts payable for shares of the portfolio redeemed

    2,985,482       8,605       4,521        

Accrued investment advisory fees

    1,901,313       7,102       42,156       25,560  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total liabilities

    4,886,795       32,566       1,128,127       65,814  
 

 

 

   

 

 

   

 

 

   

 

 

 

NET ASSETS

  $ 2,903,454,564     $ 13,427,544     $ 79,861,865     $ 27,102,545  
 

 

 

   

 

 

   

 

 

   

 

 

 

 

Continued on following page.

 

32


 

STATEMENTS OF ASSETS AND LIABILITIES

 

 

July 31, 2022 (Unaudited)

 

    Permanent
Portfolio®
    Short-Term
Treasury
Portfolio
    Versatile
Bond
Portfolio
    Aggressive
Growth
Portfolio
 

COMPONENTS OF NET ASSETS

       

Capital stock

  $ 62,377     $ 210     $ 1,274     $ 432  

Paid-in capital

    2,234,763,366       13,574,449       85,821,964       8,721,083  
 

 

 

   

 

 

   

 

 

   

 

 

 
    2,234,825,743       13,574,659       85,823,238       8,721,515  

Total distributable earnings (deficit)

    668,628,821       (147,115     (5,961,373     18,381,030  
 

 

 

   

 

 

   

 

 

   

 

 

 

NET ASSETS APPLICABLE TO OUTSTANDING SHARES

  $ 2,903,454,564     $ 13,427,544     $ 79,861,865     $ 27,102,545  
 

 

 

   

 

 

   

 

 

   

 

 

 

COMPUTATION OF NET ASSETS

       

CLASS I SHARES

       

Net assets applicable to outstanding shares

  $ 2,840,071,974     $ 13,427,544     $ 78,923,937     $ 26,869,685  

Shares outstanding

    60,991,257       210,271       1,258,394       427,850  

Net asset value and redemption proceeds per share

  $ 46.57     $ 63.86     $ 62.72     $ 62.80  

CLASS A SHARES

       

Net assets applicable to outstanding shares

  $ 29,450,736     $     $ 166,090     $ 115,835  

Shares outstanding

    636,063             2,659       1,853  

Net asset value per share

  $ 46.30     $     $ 62.47     $ 62.51  

Offering price per share (NAV per share plus maximum sales charge) (1)

  $ 48.74     $     $ 65.07     $ 65.80  

CLASS C SHARES

       

Net assets applicable to outstanding shares

  $ 33,931,854     $     $ 771,838     $ 117,025  

Shares outstanding

    749,428             12,546       1,972  

Net asset value per share

  $ 45.28     $     $ 61.52     $ 59.34  

Redemption proceeds per share (NAV per share less maximum contingent deferred sales charge) (2)

  $ 44.83     $     $ 60.90     $ 58.75  

 

(1)

Maximum sales charge for Class A shares of 5.00% in Permanent Portfolio and Aggressive Growth Portfolio, and 4.00% in Versatile Bond Portfolio.

(2)

Maximum contingent deferred sales charge (CDSC) is 1.00% for Class C shares. The CDSC is eliminated one year after purchase.

 

See accompanying notes to financial statements.

 

33


[THIS PAGE INTENTIONALLY LEFT BLANK]

 

34


 

STATEMENTS OF OPERATIONS

 

 

Six Months Ended July 31, 2022 (Unaudited)

 

     Permanent
Portfolio®
    Short-Term
Treasury
Portfolio
    Versatile
Bond
Portfolio
    Aggressive
Growth
Portfolio
 

INVESTMENT INCOME (Note 1)

        

Interest

   $ 7,958,483     $ 53,669     $ 664,803     $  

Dividends

     14,199,359             605,949       227,674  

Other income

     267                    
  

 

 

   

 

 

   

 

 

   

 

 

 
     22,158,109       53,669       1,270,752       227,674  

EXPENSES (Notes 3 & 4)

        

Investment advisory fee

     11,619,704       77,720       538,680       176,951  

Trustees’ fees and expenses

     248,672       1,078       8,678       3,057  

Legal expense

     30,666       132       1,073       377  

Distribution and service fees — Class A

     47,880             177       152  

Distribution and service fees — Class C

     162,865             2,674       617  
  

 

 

   

 

 

   

 

 

   

 

 

 

Total expenses

     12,109,787       78,930       551,282       181,154  

Less waiver of investment advisory fee

           (36,815     (255,164      
  

 

 

   

 

 

   

 

 

   

 

 

 

Net expenses

     12,109,787       42,115       296,118       181,154  
  

 

 

   

 

 

   

 

 

   

 

 

 

Net investment income before foreign income taxes deducted at source

     10,048,322       11,554       974,634       46,520  

Less foreign income taxes deducted at source, net of refundable taxes

     (52,964           (3,079     (1,305
  

 

 

   

 

 

   

 

 

   

 

 

 

NET INVESTMENT INCOME

     9,995,358       11,554       971,555       45,215  
  

 

 

   

 

 

   

 

 

   

 

 

 

NET REALIZED AND UNREALIZED LOSS ON INVESTMENTS AND FOREIGN CURRENCY (Notes 1, 5 & 6)

        

Net realized gain (loss) on:

        

Investments in securities

     50,841,582       (3,677     (819,234     2,921,577  

Foreign currency transactions

     (7,150,343                 (10
  

 

 

   

 

 

   

 

 

   

 

 

 
     43,691,239       (3,677     (819,234     2,921,567  

Change in unrealized appreciation (depreciation) of:

        

Investments

     (163,374,608     (81,562     (3,705,132     (8,084,163

Translation of assets and liabilities in foreign currencies

     (88,907                  
  

 

 

   

 

 

   

 

 

   

 

 

 

NET REALIZED AND UNREALIZED LOSS ON INVESTMENTS AND FOREIGN CURRENCY

     (119,772,276     (85,239     (4,524,366     (5,162,596
  

 

 

   

 

 

   

 

 

   

 

 

 

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ (109,776,918   $         (73,685   $ (3,552,811   $ (5,117,381
  

 

 

   

 

 

   

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

35


 

STATEMENTS OF CHANGES IN NET ASSETS

 

 

 

     Permanent Portfolio®  
     Six Months Ended
July 31, 2022

(Unaudited)
    Year Ended
January 31, 2022
 

OPERATIONS

    

Net investment income (loss)

   $ 9,995,358     $ 6,781,604  

Net realized gain (loss) on investments in securities

     50,841,582       43,720,542  

Net realized gain (loss) on foreign currency transactions

     (7,150,343     612,870  

Change in unrealized appreciation (depreciation) of investments

     (163,374,608     100,766,454  

Change in unrealized depreciation on translation of assets and liabilities in foreign currencies

     (88,907     (670,978
  

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

     (109,776,918     151,210,492  
  

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS (Note 2)

    

Class I

           (58,862,759

Class A

           (838,489

Class C

           (505,506
  

 

 

   

 

 

 

Total distributions to shareholders

           (60,206,754
  

 

 

   

 

 

 

CAPITAL STOCK TRANSACTIONS

    

Shares sold

    

Class I

     532,045,752       732,699,099  

Class A

     7,083,695       26,823,643  

Class C

     7,891,907       18,295,836  

Distributions reinvested

    

Class I

           45,966,660  

Class A

           577,348  

Class C

           382,861  

Shares redeemed

    

Class I

     (410,457,937     (411,044,671

Class A

     (24,337,656     (5,658,767

Class C

     (2,597,081     (1,814,447
  

 

 

   

 

 

 

Net increase (decrease) from capital stock transactions

     109,628,680       406,227,562  
  

 

 

   

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS

     (148,238 )       497,231,300  

NET ASSETS AT BEGINNING OF PERIOD

     2,903,602,802       2,406,371,502  
  

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

   $ 2,903,454,564     $ 2,903,602,802  
  

 

 

   

 

 

 

SHARE TRANSACTIONS

    

Shares sold

    

Class I

     10,966,509       14,782,166  

Class A

     147,258       542,647  

Class C

     167,794       374,658  

Distributions reinvested

    

Class I

           929,934  

Class A

           11,728  

Class C

           7,915  

Shares redeemed

    

Class I

     (8,674,893     (8,303,934

Class A

     (514,806     (114,477

Class C

     (57,000     (37,194
  

 

 

   

 

 

 

INCREASE (DECREASE) IN SHARES OUTSTANDING

     2,034,862       8,193,443  
  

 

 

   

 

 

 

 

Continued on following page.

 

36


 

 

 

 

 

Short-Term Treasury Portfolio     Versatile Bond Portfolio     Aggressive Growth Portfolio  
Six Months Ended
July 31, 2022

(Unaudited)
    Year Ended
January 31, 2022
    Six Months Ended
July 31, 2022

(Unaudited)
    Year Ended
January 31, 2022
    Six Months Ended
July 31, 2022

(Unaudited)
    Year Ended
January 31, 2022
 
         
$ 11,554     $ (78,048   $ 971,555     $ 1,232,654     $ 45,215     $ (53,807
  (3,677           (819,234     229,299       2,921,577       1,430,657  
                          (10      
  (81,562     (70,286     (3,705,132     (1,676,710     (8,084,163     1,864,703  
 
    

 
   
    

 
                       

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
  (73,685     (148,334     (3,552,811     (214,757     (5,117,381     3,241,553  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
         
                    (1,009,242           (2,533,918
                    (964           (9,104
                    (790           (10,164

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
                    (1,010,996           (2,553,186

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
         
         
  1,558,537       5,628,416       16,209,319       142,945,762       1,103,655       6,445,234  
              53,550       106,440       5,700       27,505  
              431,594       345,054             71,439  
         
                    943,071             2,460,042  
                    964             9,104  
                    790             10,164  
         
  (559,913     (6,136,460     (52,919,771     (30,170,997     (5,116,572     (4,684,114
              (4,209     (40,007     (388     (1,486
              (19,230     (320           (3,000

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
  998,624       (508,044     (36,248,747     114,130,757       (4,007,605     4,334,888  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
  924,939       (656,378     (39,801,558     112,905,004       (9,124,986     5,023,255  
  12,502,605       13,158,983       119,663,423       6,758,419       36,227,531       31,204,276  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
$ 13,427,544     $ 12,502,605     $ 79,861,865     $ 119,663,423     $ 27,102,545     $ 36,227,531  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
         
         
  24,395       87,005       255,461       2,178,578       15,412       76,071  
              852       1,622       80       327  
              6,996       5,344             871  
         
                    14,447             30,078  
                    15             112  
                    12             131  
         
  (8,800     (95,017     (834,199     (459,313     (73,053     (57,376
              (67     (610     (7     (19
              (318     (5           (35

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 
  15,595       (8,012     (571,275     1,740,090       (57,568     50,160  

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

37


 

FINANCIAL HIGHLIGHTS

Permanent Portfolio®

 

 

 

Class I Shares (PRPFX) (1)   Six Months
Ended
July 31, 2022
(Unaudited)
    Year Ended January 31,
    2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 48.13     $ 46.15     $ 40.96     $ 38.07     $ 42.01     $ 39.04  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (2)

    .16       .12       .31       .39       .37       .35  

Net realized and unrealized gain (loss) on investments and foreign currencies (3)

    (1.72     2.88       7.36       3.65       (1.52     3.50  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (1.56     3.00       7.67       4.04       (1.15     3.85  

Less distributions from

           

Net investment income

          (.18     (.43     (.39     (.31     (.34

Net realized gain on investments

          (.84     (2.05     (.76     (2.48     (.54
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (1.02     (2.48     (1.15     (2.79     (.88
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 46.57     $ 48.13     $ 46.15     $ 40.96     $ 38.07     $ 42.01  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)

    (3.24)% †      6.44%       18.85%       10.73%       (2.47)%       9.97%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 2,840,072     $ 2,825,470     $ 2,367,139     $ 1,926,723     $ 1,969,888     $ 2,556,582  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    9.01% †      29.47%       41.03%       15.26%       18.62%       9.03%  

Ratio of expenses to average net assets

    .81%     .81%       .83%       .85%       .84%       .82%  

Ratio of net investment income to average net assets

    .70%     .25%       .72%       .97%       .93%       .88%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments and foreign currencies may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

38


 

FINANCIAL HIGHLIGHTS

Permanent Portfolio®

 

 

 

Class A Shares (PRPDX) (1)   Six Months
Ended
July 31, 2022
(Unaudited)
    Year Ended January 31,
  2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 47.92     $ 45.98     $ 40.86     $ 37.99     $ 41.94     $ 39.01  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (loss) (2)

    .11       (.01)       .16       .27       .26       .22  

Net realized and unrealized gain (loss) on investments and foreign currencies (3)

    (1.73)       2.87       7.37       3.66       (1.50     3.52  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (1.62)       2.86       7.53       3.93       (1.24     3.74  

Less distributions from

           

Net investment income

          (.08)       (.36)       (.30)       (.23     (.27

Net realized gain on investments

          (.84)       (2.05)       (.76)       (2.48     (.54
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (.92)       (2.41)       (1.06)       (2.71     (.81
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 46.30     $ 47.92     $ 45.98     $ 40.86     $ 37.99     $ 41.94  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)

    (3.38)% †      6.18%       18.56%       10.45%       (2.70)%       9.69%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 29,451     $ 48,095     $ 25,918     $ 9,752     $ 6,444     $ 3,842  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    9.01% †      29.47%       41.03%       15.26%       18.62%       9.03%  

Ratio of expenses to average net assets

    1.06%     1.06%       1.08%       1.10%       1.09%       1.07%  

Ratio of net investment income (loss) to average net assets

    .45%     (.02)%       .36%       .68%       .65%       .55%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income (loss) is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments and foreign currencies may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

39


 

FINANCIAL HIGHLIGHTS

Permanent Portfolio®

 

 

 

Class C Shares (PRPHX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
  2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 47.04     $ 45.40     $ 40.45     $ 37.67     $ 41.68     $ 38.87  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment loss (2)

    (.07     (.38     (.14     (.03     (.04     (.07

Net realized and unrealized gain (loss) on investments and foreign currencies (3)

    (1.69     2.86       7.24       3.63       (1.48     3.48  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (1.76     2.48       7.10       3.60       (1.52     3.41  

Less distributions from

           

Net investment income

                (.10     (.06     (.01     (.06

Net realized gain on investments

          (.84     (2.05     (.76     (2.48     (.54
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (.84     (2.15     (.82     (2.49     (.60
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 45.28     $ 47.04     $ 45.40     $ 40.45     $ 37.67     $ 41.68  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)

    (3.74)% †      5.41%       17.67%       9.62%       (3.43)%       8.87%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 33,932     $ 30,038     $ 13,315     $ 6,314     $ 4,047     $ 2,884  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    9.01% †      29.47%       41.03%       15.26%       18.62%       9.03%  

Ratio of expenses to average net assets

    1.81%     1.81%       1.83%       1.85%       1.84%       1.82%  

Ratio of net investment loss to average net assets

    (.30)%     (.78)%       (.34)%       (.07)%       (.09)%       (.19)%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment loss is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments and foreign currencies may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

40


 

FINANCIAL HIGHLIGHTS

Short-Term Treasury Portfolio

 

 

 

Class I Shares (PRTBX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
  2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 64.22     $ 64.92     $ 65.07     $ 65.06     $ 64.77     $ 64.71  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (loss) (2)

    .06       (.37     (.02     1.06       .75       .14  

Net realized and unrealized gain (loss) on investments (3)

    (.42     (.33     .01       .02       .08       (.08
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (.36     (.70     (.01     1.08       .83       .06  

Less distributions from

           

Net investment income

                (.14     (1.07     (.54      
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

                (.14     (1.07     (.54      
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 63.86     $ 64.22     $ 64.92     $ 65.07     $ 65.06     $ 64.77  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)

    (.56)% †      (1.08)%       (.02)%       1.66%       1.28%       .09%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 13,428     $ 12,503     $ 13,159     $ 12,630     $ 15,930     $ 12,407  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    —% †      —%       48.08%       55.42%       81.53%       24.81%  

Ratio of expenses to average net assets:

           

After Advisory Fee waiver

    .64%     .65%       .66%       .66%       .72%       .72%  

Before Advisory Fee waiver

    1.21%     1.21%       1.22%       1.23%       1.23%       1.22%  

Ratio of net investment income (loss) to average net assets:

           

After Advisory Fee waiver

    .18%     (.57)%       (.02)%       1.62%       1.15%       .22%  

Before Advisory Fee waiver

    .39%     (1.13)%       (.58)%       1.05%       .64%       (.28)%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income (loss) is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

41


 

FINANCIAL HIGHLIGHTS

Versatile Bond Portfolio

 

 

 

Class I Shares (PRVBX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
  2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 64.87     $ 64.50     $ 61.75     $ 58.30     $ 57.29     $ 58.90  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (2)

    .79       1.00       2.37       2.01       1.99       1.54  

Net realized and unrealized gain (loss) on investments (3)(4)

    (2.94     (.07     3.41       2.97             (1.26
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (2.15     .93       5.78       4.98       1.99       .28  

Less distributions from

           

Net investment income

          (.56     (3.03     (1.53     (.98     (1.89
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (.56     (3.03     (1.53     (.98     (1.89
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 62.72     $ 64.87     $ 64.50     $ 61.75     $ 58.30     $ 57.29  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)(5)

    (3.31)% †      1.43%       9.43%       8.58%       3.51%       .48%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 78,924     $ 119,167     $ 6,671     $ 21,335     $ 9,359     $ 6,491  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    4.22% †      34.70%       29.89%       52.51%       40.36%       29.87%  

Ratio of expenses to average net assets:

           

After Advisory Fee waiver

    .65%     .64%       .67%       .66%       .82%       .84%  

Before Advisory Fee waiver

    1.21%     1.20%       1.23%       1.22%       1.22%       1.22%  

Ratio of net investment income to average net assets:

           

After Advisory Fee waiver

    2.15%     1.53%       3.85%       3.30%       3.43%       2.63%  

Before Advisory Fee waiver

    1.59%     .97%       3.29%       2.74%       3.03%       2.26%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

The receipt of a payment from the Fund’s investment adviser had the effect of increasing net realized and unrealized gain (loss) on investments by $.30 per share and increasing total return by .51% during the year ended January 31, 2018. Without this payment, total return would have been (.03)% during the year then ended.

(5)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

42


 

FINANCIAL HIGHLIGHTS

Versatile Bond Portfolio

 

 

 

Class A Shares (PRVDX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
    2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 64.69     $ 64.38     $ 61.72     $ 58.27     $ 57.27     $ 58.86  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (2)

    .81       .87       2.21       1.85       1.84       1.35  

Net realized and unrealized gain (loss) on investments (3)(4)

    (3.03     (.11     3.41       2.96       .01       (1.21
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (2.22     .76       5.62       4.81       1.85       .14  

Less distributions from

           

Net investment income

          (.45     (2.96     (1.36     (.85     (1.73
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (.45     (2.96     (1.36     (.85     (1.73
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 62.47     $ 64.69     $ 64.38     $ 61.72     $ 58.27     $ 57.27  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)(5)

    (3.43)% †      1.17%       9.18%       8.29%       3.26%       .25%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 166     $ 121     $ 55     $ 13     $ 12     $ 12  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    4.22% †      34.70%       29.89%       52.51%       40.36%       29.87%  

Ratio of expenses to average net assets:

           

After Advisory Fee waiver

    .90%     .89%       .92%       .91%       1.07%       1.09%  

Before Advisory Fee waiver

    1.46%     1.45%       1.48%       1.47%       1.47%       1.47%  

Ratio of net investment income to average net assets:

           

After Advisory Fee waiver

    1.95%     1.32%       3.49%       3.05%       3.16%       2.31%  

Before Advisory Fee waiver

    1.39%     .76%       2.93%       2.49%       2.76%       1.94%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

The receipt of a payment from the Fund’s investment adviser had the effect of increasing net realized and unrealized gain (loss) on investments by $.30 per share and increasing total return by .51% during the year ended January 31, 2018. Without this payment, total return would have been (.26)% during the year then ended.

(5)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

43


 

FINANCIAL HIGHLIGHTS

Versatile Bond Portfolio

 

 

 

Class C Shares (PRVHX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
    2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 63.94     $ 63.86     $ 61.55     $ 58.14     $ 57.18     $ 58.83  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (2)

    1.19       .34       1.76       1.38       1.39       .91  

Net realized and unrealized gain (loss) on investments (3)(4)

    (3.61     (.07     3.34       2.96       .02       (1.21
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (2.42     .27       5.10       4.34       1.41       (.30

Less distributions from

           

Net investment income

          (.19     (2.79     (.93     (.45     (1.35
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (.19     (2.79     (.93     (.45     (1.35
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 61.52     $ 63.94     $ 63.86     $ 61.55     $ 58.14     $ 57.18  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)(5)

    (3.78)% †      .43%       8.35%       7.49%       2.49%       (.50)%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 772     $ 375     $ 33     $ 12     $ 11     $ 11  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    4.22% †      34.70%       29.89%       52.51%       40.36%       29.87%  

Ratio of expenses to average net assets:

           

After Advisory Fee waiver

    1.65%     1.64%       1.67%       1.66%       1.82%       1.84%  

Before Advisory Fee waiver

    2.21%     2.20%       2.23%       2.22%       2.22%       2.22%  

Ratio of net investment income to average net assets:

           

After Advisory Fee waiver

    1.25%     .52%       2.84%       2.30%       2.41%       1.56%  

Before Advisory Fee waiver

    .69%     (.04)%       2.28%       1.74%       2.01%       1.18%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

The receipt of a payment from the Fund’s investment adviser had the effect of increasing net realized and unrealized gain (loss) on investments by $.30 per share and increasing total return by .51% during the year ended January 31, 2018. Without this payment, total return would have been (1.01)% during the year then ended.

(5)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

44


 

FINANCIAL HIGHLIGHTS

Aggressive Growth Portfolio

 

 

 

Class I Shares (PAGRX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
  2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 74.06     $ 71.07     $ 57.99     $ 56.68     $ 67.54     $ 58.52  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (loss) (2)

    .10       (.12     .17       .28       .14       .55  

Net realized and unrealized gain (loss) on investments (3)

    (11.36     8.67       23.42       6.28       (4.85     13.98  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (11.26     8.55       23.59       6.56       (4.71     14.53  

Less distributions from

           

Net investment income

          (.04     (.11     (.31     (.11     (.63

Net realized gain on investments

          (5.52     (10.40     (4.94     (6.04     (4.88
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (5.56     (10.51     (5.25     (6.15     (5.51
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 62.80     $ 74.06     $ 71.07     $ 57.99     $ 56.68     $ 67.54  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)

    (15.20)% †      11.29%       41.39%       11.91%       (6.68)%       25.82%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 26,870     $ 35,957     $ 31,039     $ 24,796     $ 24,961     $ 31,309  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    —% †      4.30%       7.89%       2.52%       9.98%       3.65%  

Ratio of expenses to average net assets

    1.21%     1.21%       1.21%       1.23%       1.23%       1.21%  

Ratio of net investment income (loss) to average net assets

    .31%     (.14)%       .27%       .47%       .23%       .88%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income (loss) is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

45


 

FINANCIAL HIGHLIGHTS

Aggressive Growth Portfolio

 

 

 

Class A Shares (PAGDX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
    2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 73.81     $ 70.99     $ 57.99     $ 56.53     $ 67.47     $ 58.50  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment income (loss) (2)

    .02       (.32     .01       .15       (.01     .32  

Net realized and unrealized gain (loss) on investments (3)

    (11.32     8.66       23.39       6.25       (4.84     14.03  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (11.30     8.34       23.40       6.40       (4.85     14.35  

Less distributions from

           

Net investment income

                            (.05     (.50

Net realized gain on investments

          (5.52     (10.40     (4.94     (6.04     (4.88
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (5.52     (10.40     (4.94     (6.09     (5.38
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 62.51     $ 73.81     $ 70.99     $ 57.99     $ 56.53     $ 67.47  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)

    (15.31)% †      11.01%       41.05%       11.63%       (6.90)%       25.49%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 116     $ 131     $ 96     $ 68     $ 309     $ 83  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    —% †      4.30%       7.89%       2.52%       9.98%       3.65%  

Ratio of expenses to average net assets

    1.46%     1.46%       1.46%       1.48%       1.48%       1.46%  

Ratio of net investment income (loss) to average net assets

    .06%     (.39)%       .02%       .26%       (.02)%       .51%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment income (loss) is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

46


 

FINANCIAL HIGHLIGHTS

Aggressive Growth Portfolio

 

 

 

Class C Shares (PAGHX) (1)   Six Months
Ended

July 31, 2022
(Unaudited)
    Year Ended January 31,
    2022     2021     2020     2019     2018  

Net asset value, beginning of period

  $ 70.33     $ 68.35     $ 56.54     $ 55.64     $ 66.95     $ 58.44  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations

           

Net investment loss (2)

    (.22     (.91     (.45     (.31     (.48     (.22

Net realized and unrealized gain (loss) on investments (3)

    (10.77     8.41       22.66       6.15       (4.79     14.02  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total income (loss) from investment operations

    (10.99     7.50       22.21       5.84       (5.27     13.80  

Less distributions from

           

Net investment income

                                  (.41

Net realized gain on investments

          (5.52     (10.40     (4.94     (6.04     (4.88
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

          (5.52     (10.40     (4.94     (6.04     (5.29
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 59.34     $ 70.33     $ 68.35     $ 56.54     $ 55.64     $ 66.95  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (4)

    (15.63)% †      10.20%       39.98%       10.80%       (7.60)%       24.55%  

Ratios / supplemental data

           

Net assets, end of period (in thousands)

  $ 117     $ 139     $ 69     $ 49     $ 47     $ 45  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Portfolio turnover rate

    —% †      4.30%       7.89%       2.52%       9.98%       3.65%  

Ratio of expenses to average net assets

    2.21%     2.21%       2.21%       2.23%       2.23%       2.21%  

Ratio of net investment loss to average net assets

    (.69)%     (1.14)%       (.74)%       (.53)%       (.77)%       (.34)%  

 

Not annualized.

*

Annualized.

(1)

Information contained herein is for each share of capital stock outstanding throughout each period.

(2)

Net investment loss is based on average shares outstanding during the period.

(3)

Per share net realized and unrealized gains or losses on investments may not correspond with the change in aggregate unrealized gains and losses in the Portfolio’s securities because of the timing of sales and repurchases of the Portfolio’s shares in relation to fluctuating market values for the Portfolio.

(4)

Assumes reinvestment of all dividends and distributions, and deduction of all fees and expenses.

 

See accompanying notes to financial statements.

 

47


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

1.

SIGNIFICANT ACCOUNTING POLICIES

Permanent Portfolio Family of Funds (“Fund”) was organized on September 21, 2015 as a Delaware statutory trust under the laws of the State of Delaware and is an open-end, series, management investment company registered under the Investment Company Act of 1940, as amended (“1940 Act”). The Fund is the successor to Permanent Portfolio Family of Funds, Inc., a Maryland corporation organized on December 14, 1981, pursuant to a plan of reorganization implemented on May 27, 2016. The Fund currently consists of the following four series (each a “Portfolio”): Permanent Portfolio®, Short-Term Treasury Portfolio, Versatile Bond Portfolio and Aggressive Growth Portfolio. Permanent Portfolio®, Short-Term Treasury Portfolio, Versatile Bond Portfolio and Aggressive Growth Portfolio commenced investment operations on December 1, 1982, September 21, 1987, November 12, 1991 and May 16, 1990, respectively. Effective May 31, 2016, existing shares of each Portfolio were renamed Class I shares, and Permanent Portfolio®, Versatile Bond Portfolio and Aggressive Growth Portfolio commenced offering Class A and Class C shares for purchase through brokers and dealers.

Each share class has equal rights as to earnings and assets except that each class bears different shareholder servicing and distribution expenses. Each share class has exclusive voting rights with respect to matters that affect just that class. Income, expenses (other than expenses attributable to a specific class), and realized and unrealized gains or losses on investments are allocated to each share class based on its relative net assets.

Each of the Fund’s Portfolios is an investment company, and accordingly, each Portfolio follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board (FASB) Accounting Standards Codification “Financial Services — Investment Companies (Topic 946).” The preparation of financial statements in conformity with accounting principles generally accepted in the United States requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities, the disclosure of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenues and expenses earned and incurred, respectively, during the reporting period. Actual results could differ from those estimates.

Valuation of Investments

Each Portfolio’s assets are valued primarily at market value on the basis of the last quoted sales price on the exchange or system on which they are principally traded. Equity securities traded on the Nasdaq National Market System are normally valued at the Nasdaq Official Closing Price provided by Nasdaq, usually as of 4:00 p.m. Eastern Time each business day. Equity securities that are not traded on a listed exchange or system are valued at the last sales price in the over-the-counter market. If there is no trading in an investment on a business day, the investment will be valued at the mean between its closing bid and asked prices on the exchange or system on which the security is principally traded. Short- and long-term debt securities, including U.S. government and agency securities, listed corporate bonds, other fixed income securities and unlisted securities, are generally valued at the latest price furnished by an independent pricing service. Gold and silver bullion are valued at the closing spot settlement price on the New York Commodity Exchange. Gold and silver coins are valued at the price furnished by an independent pricing service. Deposits of Swiss francs and Swiss government bonds will be valued each business day at prices (converted

 

Continued on following page.

 

48


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

into U.S. dollars) quoted by an independent pricing service. Foreign securities traded on an exchange are valued on the basis of market quotations most recently available from that exchange. All investments denominated in foreign currencies are converted into U.S. dollars using exchange rates obtained from an independent pricing service. Investments for which bona fide market quotations are not readily available, or investments for which the Fund’s investment adviser determines that a quotation or a price for a portfolio security provided by a dealer or an independent pricing service is not believed to be reflective of market value, are valued by the Valuation Committee of the Fund’s investment adviser pursuant to fair value procedures approved by the Fund’s Board of Trustees. The Fund’s investment adviser has been designated as the Fund’s valuation designee, effective September 8, 2022, with responsibility for fair valuation, subject to oversight by the Fund’s Board of Trustees.

The Fund has adopted authoritative fair value 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, a discussion of changes in valuation techniques and related inputs during a reporting period and expanded disclosure of valuation levels for major security types. These inputs are summarized in the three broad levels listed below.

Level 1 — Quoted prices in active markets for identical assets

The Fund’s Level 1 valuation techniques use unadjusted quoted prices in active markets for assets or liabilities with sufficient frequency and volume to provide pricing information as the most reliable evidence of fair value.

Level 2 — Significant other observable inputs (including quoted prices for similar securities, interest rates, credit risk, etc.)

The Fund’s Level 2 valuation techniques include inputs other than quoted prices within Level 1 that are observable for an asset or liability, either directly or indirectly. Observable inputs may include quoted prices for similar assets or liabilities in active markets or quoted prices for identical or similar assets or liabilities in markets that are not active, in which there are few transactions, where prices may not be current, or where price quotations vary substantially over time or among market participants. Inputs that are observable for an asset or liability in Level 2 include such factors as interest rates, yield curves, foreign exchange rates, put or call provisions, credit risk and default rates for similar assets or liabilities.

Level 3 — Significant unobservable inputs (including the Fund’s own assumptions in determining the fair value of investments)

The Fund’s Level 3 valuation techniques include the use of unobservable inputs that reflect assumptions market participants may use or could be expected to use in pricing an asset or liability. Unobservable inputs are used to measure fair value to the extent that observable inputs are not available, and are developed based on the best information available under the circumstances. In developing unobservable inputs, market participant assumptions are used if they are reasonably available without undue cost and effort.

The Fund may record changes to valuations based on the amount that it might reasonably be expected to receive for an investment upon its current sale, consistent with the fair value measurement objective. Each determination is based on a consideration of all relevant factors,

 

Continued on following page.

 

49


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

which are likely to vary from one pricing context to another. Examples of such factors may include, but are not limited to: (i) type of the investment; (ii) existence of any contractual restrictions on the investment’s disposition; (iii) price and extent of public trading in similar investments or of comparable investments; (iv) quotations or evaluated prices from broker-dealers and/or pricing services; (v) information obtained from the issuer, analysts, and/or the appropriate stock exchange (for exchange-traded securities); (vi) analysis of an issuer’s financial statements; (vii) evaluation of the forces that influence the issuer and the market(s) in which the investment is purchased and sold; and (viii) with respect to debt securities, maturity, coupon, creditworthiness, spread, currency denomination, and the movement of the market in which the security is normally traded. Because of the inherent uncertainties of valuation, the values reflected in the financial statements may materially differ from the value determined upon sale of those investments.

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s assets:

 

    Level 1
(Quoted Prices in
Active Markets for
Identical Assets)
    Level 2
(Significant
Other Observable
Inputs)
    Level 3
(Significant
Unobservable
Inputs)
    Total  

PERMANENT PORTFOLIO®

       

Gold assets

  $ 579,160,936     $     $     $ 579,160,936  

Silver assets

    138,265,223                   138,265,223  

Swiss franc assets

          217,325,379             217,325,379  

Real estate and natural resource stocks

    536,817,409                   536,817,409  

Aggressive growth stocks †

    523,368,750                   523,368,750  

Dollar assets:

       

Corporate bonds †

          819,796,459             819,796,459  

United States Treasury securities

          73,860,611             73,860,611  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Portfolio

  $ 1,777,612,318     $ 1,110,982,449     $     $ 2,888,594,767  
 

 

 

   

 

 

   

 

 

   

 

 

 
    61.54%       38.46%       —%       100.00%  

SHORT-TERM TREASURY PORTFOLIO

       

United States Treasury securities

  $     $ 13,414,748     $     $ 13,414,748  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Portfolio

  $     $ 13,414,748     $     $ 13,414,748  
 

 

 

   

 

 

   

 

 

   

 

 

 
    —%       100.00%       —%       100.00%  

VERSATILE BOND PORTFOLIO

       

Corporate bonds †

  $ 7,314,629     $ 62,606,072     $     $ 69,920,701  

Preferred stocks †

    8,921,064       379,092             9,300,156  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Portfolio

  $ 16,235,693     $ 62,985,164     $     $ 79,220,857  
 

 

 

   

 

 

   

 

 

   

 

 

 
    20.49%       79.51%       —%       100.00%  

AGGRESSIVE GROWTH PORTFOLIO

       

Aggressive growth stocks†

  $ 27,123,600     $     $     $ 27,123,600  
 

 

 

   

 

 

   

 

 

   

 

 

 

Total Portfolio

  $ 27,123,600     $     $     $ 27,123,600  
 

 

 

   

 

 

   

 

 

   

 

 

 
    100.00%       —%       —%       100.00%  

 

 

See the Schedules of Investments for Permanent Portfolio and Aggressive Growth Portfolio for each Portfolio’s industry classification of aggressive growth stocks and the Schedules of Investments for Permanent Portfolio and Versatile Bond Portfolio for each Portfolio’s industry classification of corporate bonds and preferred stocks.

 

Continued on following page.

 

50


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

Transfers between levels are recognized at the end of a reporting period. There were no transfers into or out of Levels 1 and 2 during the six months ended July 31, 2022. The Fund’s Permanent Portfolio, Short-Term Treasury Portfolio, Versatile Bond Portfolio and Aggressive Growth Portfolio held no Level 3 assets during the six months then ended.

As of July 31, 2022 and during the six months then ended, the Fund did not hold any derivative instruments, nor did it engage in any hedging activities using derivative instruments.

Translation of Foreign Currencies

Amounts denominated in or expected to settle in foreign currencies are translated into U.S. dollars on the following basis: (i) market value of investment securities and other assets and liabilities are translated at the closing rate of exchange; and (ii) purchases and sales of investment securities, income and expenses are translated at the rate of exchange prevailing on the respective dates of such transactions.

The Fund separately reports the portions of the results of operations attributable to the effect of changes in foreign exchange rates on the value of investments. Reported net realized gains or losses on foreign currency transactions arise from sales of foreign currencies, foreign currency gains or losses realized between the trade and settlement dates on securities transactions and the difference between the amounts of dividends, interest and foreign withholding taxes recorded on the Fund’s books versus the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign currency gains or losses arise from changes in the exchange rate applicable to cash, receivables and liabilities denominated in foreign currencies.

Investment Transactions and Investment Income

Investment transactions are accounted for on the date of purchase, sale or maturity. Interest income is accrued daily and includes amortization of any premiums or discounts for financial and tax reporting purposes using the effective yield method. Dividend income is recorded on the ex-dividend date. Distributions received from real estate investment trusts (REITs) may be classified as dividends, capital gains or returns of capital. Realized gains and losses from investment transactions and unrealized appreciation or depreciation of investments are recorded on an identified cost basis for financial and tax reporting purposes.

During the six months ended July 31, 2022, investment income was earned as follows:

 

     Permanent
Portfolio®
    Short-Term
Treasury
Portfolio
     Versatile
Bond
Portfolio
     Aggressive
Growth
Portfolio
 

Interest:

          

Corporate bonds

   $ 7,291,469     $      $ 664,803      $  

Swiss franc assets

     (782,254                    

United States Treasury and Agency securities

     1,449,268       53,669                

Dividends

     14,199,359              605,949        227,674  

Other income

     267                      
  

 

 

   

 

 

    

 

 

    

 

 

 
   $ 22,158,109     $ 53,669      $ 1,270,752      $ 227,674  
  

 

 

   

 

 

    

 

 

    

 

 

 

 

Continued on following page.

 

51


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

Federal Taxes

Each of the Fund’s Portfolios will continue to be treated as a separate regulated investment company and each Portfolio intends to qualify under Subchapter M of the United States Internal Revenue Code of 1986, as amended (“Code”). Accordingly, no provision has been made for United States income taxes, as each Portfolio intends to declare necessary dividend distributions from investment company taxable income and net realized capital gains, if any, to its shareholders prior to October 15, 2022, pursuant to the requirements of the Code.

As of January 31, 2022, the Fund’s Permanent Portfolio and Aggressive Growth Portfolio had no capital loss carryforwards available to offset future realized gains, if any, while the Fund’s Short-Term Treasury Portfolio had $2,737 of short-term capital loss carryforwards and $814 of long-term capital loss carryforwards, and the Fund’s Versatile Bond Portfolio had $24,485 of short-term capital loss carryforwards and $549,072 of long-term capital loss carryforwards available, respectively, to offset future realized gains, if any. Additionally, net capital losses attributable to investment transactions that occur after October 31 and ordinary losses that occur after December 31 (“Post-October” and “Late-Year Ordinary” losses, respectively), if any, are recognized for federal tax purposes as arising on February 1, the first day of each Portfolio’s next taxable year. The Fund’s Permanent Portfolio, Short-Term Treasury Portfolio and Aggressive Growth Portfolio had no Post-October losses or Late-Year Ordinary losses, while its Versatile Bond Portfolio had $269,140 of Post-October losses.

During the six months ended July 31, 2022, the Fund’s Permanent Portfolio, Short-Term Treasury Portfolio, Versatile Bond Portfolio and Aggressive Growth Portfolio incurred no federal excise tax.

The Fund’s Portfolios recognize the tax benefits of uncertain tax positions only where the position is “more likely than not” to be sustained assuming examination by tax authorities. The Fund’s Portfolios have analyzed their respective tax positions and have concluded that no liability for unrecognized tax benefits should be recorded related to uncertain tax positions taken on tax returns previously filed for open tax years 2019 through 2021 or expected to be taken on the Fund’s Portfolios’ 2022 tax returns. The Fund’s Portfolios are not aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will change materially in the next twelve months.

Equalization

The Fund follows the accounting practice of equalization, by which a portion of the proceeds from sales and a portion of the costs of redemptions of shares of capital stock are allocated to undistributed net investment income. The effect of this practice is to prevent the calculation of net investment income per share from being affected by sales or redemptions of shares in each Portfolio, and for periods of net issuances of shares, allows undistributed net investment income to exceed distributable investment company taxable income.

 

Continued on following page.

 

52


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

Indemnifications

The Fund indemnifies its officers and trustees for certain liabilities that might arise from the performance of their duties for the Fund. Additionally, in the normal course of business, the Fund enters into contracts that contain a variety of representations and warranties which may provide general indemnifications. The Fund’s maximum exposure under these arrangements is unknown, as it involves future claims that may be made against the Fund under circumstances that have not occurred.

 

2.

DISTRIBUTIONS TO SHAREHOLDERS

On December 8, 2021, the Fund paid ordinary income dividends and capital gain distributions to shareholders of record on December 7, 2021. The per share amounts per Portfolio were as follows:

 

     Permanent
Portfolio®
     Short-Term
Treasury
Portfolio
     Versatile
Bond
Portfolio
     Aggressive
Growth
Portfolio
 

Ordinary Income Dividends

           

Class I Shares

   $ .18070      $      $ .55849      $ .03943  

Class A shares

     .08463               .44520         

Class C shares

                   .19381         

Short-Term Capital Gain Distributions

           

Class I Shares

     .01518                      4.34332  

Class A shares

     .01518                      4.34332  

Class C shares

     .01518                      4.34332  

Long-Term Capital Gain Distributions

           

Class I Shares

     .82485                      1.17571  

Class A shares

     .82485                      1.17571  

Class C shares

     .82485                      1.17571  

The federal income tax character of such dividends and distributions paid was as follows:

 

     Permanent
Portfolio®
     Short-Term
Treasury
Portfolio
     Versatile
Bond
Portfolio
     Aggressive
Growth
Portfolio
 

Ordinary income

   $ 11,395,383      $      $ 1,010,996      $ 2,013,114  

Long-term capital gain †

     48,811,371                      540,072  
  

 

 

    

 

 

    

 

 

    

 

 

 
   $ 60,206,754      $      $ 1,010,996      $ 2,553,186  
  

 

 

    

 

 

    

 

 

    

 

 

 

 

 

Capital gain distribution pursuant to Section 852(b)(3) of the Code.

 

Continued on following page.

 

53


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

Dividends to shareholders from net investment income and distributions to shareholders from net realized gain on investments, if any, are recorded on the ex-dividend date. The amount of such dividends and distributions are determined in accordance with the Code, which may differ from accounting principles generally accepted in the United States. These differences result primarily from different treatment of net investment income and net realized gains on certain investment securities held by the Fund’s Portfolios. During the year ended January 31, 2022: (i) the Fund’s Permanent Portfolio reclassified $534,449 from total distributable earnings to paid-in capital; (ii) the Fund’s Short-Term Treasury Portfolio reclassified $78,057 from paid-in capital to total distributable earnings; (iii) the Fund’s Versatile Bond Portfolio reclassified $87,285 from total distributable earnings to paid-in capital; and (iv) the Fund’s Aggressive Growth Portfolio reclassified $53,670 from paid-in capital to total distributable earnings, to reflect such book and tax basis differences.

As of January 31, 2022, the components of distributable earnings on a tax basis were as follows:

 

     Permanent
Portfolio®
     Short-Term
Treasury
Portfolio
    Versatile
Bond
Portfolio
    Aggressive
Growth
Portfolio
 

Distributable ordinary income

   $ 3,487,541      $     $ 164,574     $  

Undistributed capital gains (losses)

     2,808,325        (3,551     (573,557     322,080  

Post-October and Late-Year Ordinary losses

                  (269,140      

Unrealized appreciation (depreciation) on investments and foreign currencies

     772,109,873        (69,879     (1,730,439     23,176,331  
  

 

 

    

 

 

   

 

 

   

 

 

 
   $ 778,405,739      $ (73,430   $ (2,408,562   $ 23,498,411  
  

 

 

    

 

 

   

 

 

   

 

 

 

 

3.

INVESTMENT ADVISER AND INVESTMENT ADVISORY CONTRACT

Pacific Heights Asset Management, LLC (“Pacific Heights”) has served as the Fund’s investment adviser since May 1, 2003. In accordance with the terms of the Investment Advisory Contract, dated January 21, 2016 (“Contract”), Pacific Heights, subject to the oversight of the Fund’s Board of Trustees: (i) furnishes each Portfolio with a continuous investment program, including investment research, advice and management, with respect to all securities, other investments and cash or cash equivalents in each Portfolio; (ii) furnishes the Fund all necessary administrative, accounting, clerical, statistical, correspondence and other services; (iii) furnishes or pays for all supplies, printed material and office space as the Fund may require; and (iv) pays or reimburses such Fund and Portfolio expenses as specified in the Contract. For its services under the Contract, Pacific Heights receives, before any waivers, investment advisory fees which are calculated daily and paid monthly, at the annual rates as a percentage of average daily net assets of each Portfolio of the Fund (“Advisory Fee”) as follows: (i) 1.1875% of the first $200 million of the Portfolio’s average daily net assets; (ii) .8750% of the next $200 million of the Portfolio’s average daily net assets; (iii) .8125% of the next $200 million of the Portfolio’s average daily net assets; and (iv) .7500% of all of the Portfolio’s average daily net assets in excess of $600 million.

All fees and expenses payable by the Fund pursuant to the Contract and attributable only to one Portfolio are borne entirely by that Portfolio; all other fees and expenses are allocated among the

 

Continued on following page.

 

54


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

Fund’s Portfolios in proportion to their net assets. Except for: (i) the Advisory Fee payable to Pacific Heights; (ii) all fees, costs, expenses and allowances payable to any person, firm or corporation in relation to the Portfolio’s investments, including interest on borrowings; (iii) all taxes of any kind payable by the Portfolio; (iv) all brokerage commissions and other charges in the purchase and sale of the Portfolio’s assets; (v) all fees and expenses of trustees of the Fund, including fees and disbursements to counsel to those trustees who are not interested persons of the Fund or Pacific Heights; (vi) payments pursuant to any plan of distribution adopted pursuant to Rule 12b-1 under the 1940 Act; and (vii) all extraordinary fees, costs and expenses of the Fund or any Portfolio, as defined in the Contract, Pacific Heights pays or reimburses the Fund for substantially all of the Portfolios’ ordinary operating expenses out of its Advisory Fee.

Pursuant to an Advisory Fee Waiver and Expense Assumption Agreement dated December 14, 2021 (“Waiver Agreement”), effective through June 1, 2023, Pacific Heights has agreed to waive portions of its Advisory Fee allocable to: (i) the Short-Term Treasury Portfolio, such that the Advisory Fee paid by the Portfolio does not exceed an annual rate of .6250% of the Portfolio’s average daily net assets; and (ii) the Versatile Bond Portfolio, such that the Advisory Fee paid by the Portfolio also does not exceed an annual rate of .6250% of the Portfolio’s average daily net assets. Pacific Heights is not eligible for reimbursement of any amounts waived under the Waiver Agreement. The Waiver Agreement may be terminated or amended only in writing and only with the approval of the Fund’s Board of Trustees.

Pacific Heights is a California limited liability company. Pacific Heights’ manager and the sole trustee of its sole member is Michael J. Cuggino (who is also its President and Chief Executive Officer). Mr. Cuggino is also the President, Secretary and Chairman of the Board of Trustees of the Fund, and has been the portfolio manager of the Fund’s Portfolios since May 1, 2003. In addition to the benefits that result from being the trustee of the sole member of Pacific Heights, Mr. Cuggino was paid $72,500 by the Fund during the six months ended July 31, 2022 for his service as a trustee of the Fund.

 

4.

DISTRIBUTION AND SERVICE FEES

The Fund’s Board of Trustees has adopted plans of distribution pursuant to Rule 12b-1 under the 1940 Act (“Rule 12b-1 Plans”) with respect to Class A and Class C shares of the Fund’s Permanent Portfolio, Versatile Bond Portfolio and Aggressive Growth Portfolio. Under the Rule 12b-1 Plans, Class A shares pay service fees at an annual rate of .25% of the average daily net assets of the Portfolio attributable to Class A shares and Class C shares pay distribution and service fees at an aggregate annual rate of 1.00% of the average daily net assets of the Portfolio attributable to Class C shares. Quasar Distributors, LLC (“Distributor”) serves as principal underwriter for shares of the Portfolios, and acts as each Portfolio’s distributor in a continuous public offering of each Portfolio’s shares. The Distributor may pay any or all amounts received under the Rule 12b-1 Plans to other persons, including Pacific Heights, for any distribution or service activity. These distribution and servicing fees are reported in the Fund’s Statements of Operations. The Portfolios do not incur any direct distribution expenses related to Class I shares. However, Pacific Heights may make payments for the sale and distribution of all share classes, including Class I shares, from its own resources.

 

Continued on following page.

 

55


 

NOTES TO FINANCIAL STATEMENTS

 

 

July 31, 2022 (Unaudited)

 

5.

PURCHASES AND SALES OF SECURITIES

The following is a summary of purchases and sales of securities other than short-term securities for the six months ended July 31, 2022:

 

     Permanent
Portfolio®
     Short-Term
Treasury
Portfolio
     Versatile
Bond
Portfolio
     Aggressive
Growth
Portfolio
 

Purchases

   $ 447,199,267      $ 6,767,270      $ 3,899,307      $  

Sales

     195,495,980               37,954,944        4,305,580  

The Fund’s Permanent Portfolio also purchased $4,795,574 of gold and $7,198,328 of silver during the six months ended July 31, 2022.

 

6.

NET UNREALIZED APPRECIATION (DEPRECIATION) OF INVESTMENTS

The following is a summary of net unrealized appreciation (depreciation) of investments as of July 31, 2022 for federal income tax purposes:

 

     Permanent
Portfolio®
    Short-Term
Treasury
Portfolio
    Versatile
Bond
Portfolio
    Aggressive
Growth
Portfolio
 

Aggregate gross unrealized appreciation of investments with excess of value over tax cost:

        

Investments in securities

   $ 481,051,696     $ 49,548     $ 5,855     $ 18,376,128  

Investments other than securities

     246,134,603                    
  

 

 

   

 

 

   

 

 

   

 

 

 
     727,186,299       49,548       5,855       18,376,128  

Aggregate gross unrealized depreciation of investments with excess of tax cost over value:

        

Investments in securities

     (118,521,358     (200,989     (5,441,426     (3,283,960

Investments other than securities

                        
  

 

 

   

 

 

   

 

 

   

 

 

 
     (118,521,358     (200,989     (5,441,426     (3,283,960
  

 

 

   

 

 

   

 

 

   

 

 

 

Net unrealized appreciation (depreciation) of investments

   $ 608,664,941     $ (151,441   $ (5,435,571   $ 15,092,168  
  

 

 

   

 

 

   

 

 

   

 

 

 

 

7.

SUBSEQUENT EVENTS

The Fund has evaluated the impact of subsequent events on its Portfolios and has determined that there were no subsequent events requiring recognition or disclosure in the Fund’s financial statements. The Fund continues to evaluate the effect on its investments and operations of COVID-19 and its variants, and the mitigating activities undertaken to combat them, including mandates from federal, state and local authorities. The Fund also continues to evaluate the impact to the economy, financial system and markets arising from evolving monetary and fiscal policies designed to mitigate inflationary pressures, and the Russian-Ukraine conflict, including ongoing disruption of the flow of goods and services, including food, energy and other commodities, potential sanctions, counter-sanctions, and other government mandated restrictions, that may be applied to the Fund’s Portfolios and activities. The Fund’s financial statements do not contain any adjustments relating to these uncertainties, and their ultimate impact on the Fund, its investments and operations are not readily determinable at this time.

 

56


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57


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58


 

ADDITIONAL INFORMATION

Other Information (Unaudited)

 

 

 

Proxy Voting

The Fund’s Portfolios vote proxies relating to their portfolio securities in accordance with the Fund’s Proxy Voting Policies and Procedures. A copy of the Fund’s Proxy Voting Policies and Procedures as well as information regarding how each of the Fund’s Portfolios voted such proxies during the twelve-month period ended June 30, 2022 is available, without charge and upon request, by writing or calling the Fund’s Shareholder Services Office at (800) 531-5142, or by accessing the SEC’s website at http://www.sec.gov.

Quarterly Holdings

In addition to the Schedules of Investments provided in the Fund’s Semi-Annual and Annual Report to Shareholders, each of the Fund’s Portfolios files its complete schedule of portfolio holdings with the SEC on Form N-PORT as of the first and third fiscal quarters. The Portfolios’ Form N-PORTs are available on the SEC’s website at http://www.sec.gov. The Form N-PORTs may also be reviewed and copied at the SEC’s Public Reference Room, located at 100 F Street, N.E., Washington, D.C. 20549-2736. Information regarding the operation of the SEC’s Public Reference Room may be obtained by calling the SEC at (800)-SEC-0330.

Statement Regarding Liquidity Risk Management Program

As required by Rule 22e-4 under the 1940 Act, the Fund has adopted and implemented a liquidity risk management program (“Program”). The Program is designed to assess and manage the liquidity risk in each of the Fund’s Portfolios. The Fund’s Board of Trustees has appointed Pacific Heights as the program administrator (“Program Administrator”), which oversees the Program’s administration through a cross-functional committee. The Program Administrator is required to provide an annual report to the Board regarding the adequacy and effectiveness of the Program and any material changes to the Program.

On June 20, 2022, the Board reviewed the Program Administrator’s annual written report for the 2021-2022 period (“Report”). The Report discussed a review of liquidity risk and operation of the Program. The Report noted that the Program Administrator uses State Street Bank and Trust Company, the Fund’s custodian, as a third party vendor to provide portfolio classification services, and that each Portfolio’s assets were classified as highly liquid during the review period. The Report discussed the undertaking of ongoing analysis, review of assumptions and consideration of the impact of ongoing portfolio decisions on liquidity. The Report noted that no Portfolio is expected to change any strategy of holding primarily highly liquid investments. The Program Administrator noted that no material changes had been made to the Program since the Board’s last approval of the Program.

The Program Administrator determined that the Program is operating adequately and effectively in promoting effective liquidity risk management, and recommended no changes to the Program.

 

59


 

ADDITIONAL INFORMATION

Expense Examples

 

 

Six Months Ended July 31, 2022 (Unaudited)

 

As a shareholder in one or more of the Fund’s Portfolios, you incur two types of costs: (1) transaction costs, including sales charges (loads) and redemption fees (if applicable); and (2) ongoing costs, including management fees, distribution fees pursuant to the Rule 12b-1 Plan (if applicable) and other Portfolio expenses. The Examples on the following page are intended to help you understand your ongoing costs (in dollars) of investing in the Portfolios and to compare these costs with the ongoing costs of investing in other mutual funds.

These Examples are based on an investment of $1,000 invested at January 31, 2022 and held for the entire six months ended July 31, 2022.

Actual Expenses

The first line with respect to each share class of each Portfolio on the following page 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 six months ended July 31, 2022. 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 Six Months Ended July 31, 2022” to estimate the expenses you paid on your account during the six months ended July 31, 2022.

Hypothetical Example for Comparison Purposes

The second line with respect to each share class of each Portfolio on the following page provides information about hypothetical account values and hypothetical expenses based on each Portfolio’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which are not the Portfolios’ actual returns. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the six months ended July 31, 2022. You may use this information to compare the ongoing costs of investing in the Portfolios 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.

Please note that the expenses shown in the tables are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as sales charges (loads) and redemption fees (if applicable). Therefore, the second line of the tables are useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

 

Continued on following page.

 

60


 

ADDITIONAL INFORMATION

Expense Examples

 

 

Six Months Ended July 31, 2022 (Unaudited)

 

    Beginning
Account Value
January 31, 2022
     Ending
Account Value
July 31, 2022
     Expenses Paid
During Six
Months Ended
July 31, 2022*
     Annualized
Net
Expense
Ratio *
 

Permanent Portfolio ®

          

Class I shares (PRPFX)

          

Actual

  $ 1,000.00      $ 979.58      $ 4.04        .81

Hypothetical (5% return before expenses)

    1,000.00        1,021.12        4.13        .81

Class A shares (PRPDX)

          

Actual

    1,000.00        977.62        5.28        1.06

Hypothetical (5% return before expenses)

    1,000.00        1,019.86        5.40        1.06

Class C shares (PRPHX)

          

Actual

    1,000.00        972.02        9.00        1.81

Hypothetical (5% return before expenses)

    1,000.00        1,016.08        9.20        1.81

Short-Term Treasury Portfolio

          

Class I shares (PRTBX)

          

Actual

  $ 1,000.00      $ 993.95      $ 3.22        .64

Hypothetical (5% return before expenses)

    1,000.00        1,021.98        3.26        .64

Versatile Bond Portfolio

          

Class I Shares (PRVBX)

          

Actual

  $ 1,000.00      $ 980.04      $ 3.24        .65

Hypothetical (5% return before expenses)

    1,000.00        1,021.93        3.31        .65

Class A Shares (PRVDX)

          

Actual

    1,000.00        978.17        4.49        .90

Hypothetical (5% return before expenses)

    1,000.00        1,020.67        4.58        .90

Class C Shares (PRVHX)

          

Actual

    1,000.00        972.63        8.20        1.65

Hypothetical (5% return before expenses)

    1,000.00        1,016.89        8.39        1.65

Aggressive Growth Portfolio

          

Class I Shares (PAGRX)

          

Actual

  $ 1,000.00      $ 917.28      $ 5.85        1.21

Hypothetical (5% return before expenses)

    1,000.00        1,019.11        6.16        1.21

Class A Shares (PAGDX)

          

Actual

    1,000.00        915.46        7.05        1.46

Hypothetical (5% return before expenses)

    1,000.00        1,017.85        7.43        1.46

Class C Shares (PAGHX)

          

Actual

    1,000.00        910.07        10.64        2.21

Hypothetical (5% return before expenses)

    1,000.00        1,014.06        11.22        2.21

 

*

The dollar amounts shown as expenses paid during the period then ended are equal to the annualized six month net expense ratio multiplied by the applicable Portfolio’s average account value during the period, multiplied by the number of days in the period (181) divided by the number of days in the Portfolio’s fiscal year (365) (to reflect the one-half year period). For all share classes, hypothetical 5% annual return before expenses is calculated by multiplying the number of days in the period (181) divided by the number of days in the Portfolio’s fiscal year (365).

 

61


 

ADDITIONAL INFORMATION

Trustees and Officers (Unaudited)

 

 

 

All of the Fund’s trustees and officers may be reached c/o Permanent Portfolio Family of Funds, 600 Montgomery Street, Suite 4100, San Francisco, California 94111. No trustee or officer has any family relationship with another and each of the Fund’s trustees will hold office until their successors have been duly elected and qualified, or until their earlier resignation, removal, death or disqualification. The Fund’s officers are elected annually by the Fund’s Board of Trustees and each officer holds office until their successor has been duly elected and qualified, or until their earlier resignation, removal, death or disqualification. The principal occupation(s) of the Fund’s trustees and officers are listed below. The Fund’s Statement of Additional Information includes additional information regarding the Fund’s trustees and officers and is available, without charge and upon request, by writing or calling the Fund’s Shareholder Services Office at (800) 531-5142.

Independent Trustees

HUGH A. BUTLER

Trustee

Age 70

 

 

Now retired, Mr. Butler was formerly Executive Vice President from 2004 through 2006 of the Credit Union Services Division of Fidelity National Information Services, Inc. (formerly Fidelity Information Systems), a publicly-traded provider of software, outsourcing and information technology consulting for the financial services and mortgage industries, majority-owned by Fidelity National, Inc. Previously, Mr. Butler was Chief Executive Officer and Founder of Computer Consultants Corporation, an information systems consulting firm to financial institutions, in Salt Lake City, Utah. Mr. Butler has served as a trustee of the Fund since 1996 and oversees all four of the Fund’s Portfolios.

ROGER DOEBKE

Trustee

Age 82

 

 

President, Simplex Realty Services, Inc., a commercial real estate acquisition, development and property management firm located in Orange County, California since 1993. Mr. Doebke has served as a trustee of the Fund since 2004 and oversees all four of the Fund’s Portfolios.

 

Continued on following page.

 

62


 

ADDITIONAL INFORMATION

Trustees and Officers (Unaudited)

 

 

 

Interested Trustees and Officers*

MICHAEL J. CUGGINO*

Chairman, President, Secretary & Trustee

Age 59

 

 

A Certified Public Accountant (inactive), Mr. Cuggino has served as Chairman of the Board and President of the Fund since 2003, as Treasurer of the Fund from 1993 through 2007, as Secretary of the Fund since 2006 and as a trustee of the Fund since 1998. He is the manager and sole trustee of the sole member (also the President and Chief Executive Officer) of the Fund’s investment adviser. Mr. Cuggino oversees all four of the Fund’s Portfolios.

JAMES H. ANDREWS*

Treasurer

Age 67

 

 

Mr. Andrews has served as Treasurer of the Fund since 2007 and previously served as Assistant Treasurer of the Fund from 2006 through 2007. He has also served as Director of Finance of the Fund’s investment adviser since 2006. Previously, Mr. Andrews was employed in various financial, investment and operational capacities at Blum Capital Partners LP, an investment management firm located in San Francisco, California from 1994 through 2005.

SUSAN K. FREUND*

Chief Compliance Officer

Age 67

 

 

Ms. Freund has served as Chief Compliance Officer of the Fund and the Fund’s investment adviser since 2010. Previously, Ms. Freund served as an independent consultant to various asset management firms from 2009 through 2010 and served as President, Secretary, Treasurer and Chief Compliance Officer of the Embarcadero Funds from 2007 through 2009. From 2001 through 2007, Ms. Freund served as Senior Counsel at Bank of the West. Ms. Freund is a member of the State Bar of California.

 

 

*

Considered to be an “interested person” within the meaning of the 1940 Act by virtue of, among other considerations, his or her association with the Fund’s investment adviser.

 

63


LOGO

Semi-Annual Report

Six Months Ended July 31, 2022

INVESTMENT ADVISER

Pacific Heights Asset Management, LLC

600 Montgomery Street

San Francisco, California 94111

CUSTODIAN

State Street Bank and Trust Company

One Lincoln Street

Boston, Massachusetts 02111

DISTRIBUTOR

Quasar Distributors, LLC

111 East Kilbourn Avenue

Milwaukee, Wisconsin 53202

TRANSFER AGENT

U.S. Bank Global Fund Services

P. O. Box 701

Milwaukee, Wisconsin 53201

(for overnight delivery services,

615 East Michigan Street

Milwaukee, Wisconsin 53202)

(800) 341-8900

SHAREHOLDER SERVICES OFFICE

130 South Brune Street

Bartlett, Texas 76511

(254) 527-3102

(800) 531-5142 Nationwide

www.permanentportfoliofunds.com

 

 

Must be preceded or accompanied by a Prospectus.    09/22

Permanent Portfolio®, The Permanent Portfolio Family of Funds®, A Fund for All Seasons® and The Permanent Portfolio Family of Funds logo are registered trademarks of Pacific Heights Asset Management, LLC. This Report is Copyright© 2022 Permanent Portfolio Family of Funds. All rights reserved.

EX-99.CERT 2 d387375dex99cert.htm EX-99.CERT EX-99.CERT

PERMANENT PORTFOLIO FAMILY OF FUNDS

FORM N-CSR

Exhibit 13(a)(2)

CERTIFICATIONS

I, Michael J. Cuggino, certify that:

1. I have reviewed this report on Form N-CSR of Permanent Portfolio Family of Funds (“Registrant”);

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 trustees (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: October 3, 2022

     

/s/ Michael J. Cuggino

      Michael J. Cuggino, President


PERMANENT PORTFOLIO FAMILY OF FUNDS

FORM N-CSR

Exhibit 13(a)(2)

CERTIFICATIONS

I, James H. Andrews, certify that:

1. I have reviewed this report on Form N-CSR of Permanent Portfolio Family of Funds (“Registrant”);

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 trustees (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: October 3, 2022

     

/s/ James H. Andrews

     

James H. Andrews, Treasurer

EX-99.906CERT 3 d387375dex99906cert.htm EX-99.906CERT EX-99.906CERT

PERMANENT PORTFOLIO FAMILY OF FUNDS

FORM N-CSR

Exhibit 13(b)

SECTION 906 CERTIFICATION

Pursuant to 18 U.S.C. § 1350, the undersigned officer of Permanent Portfolio Family of Funds (“Registrant”), hereby certifies, to the best of his knowledge, that the Registrant’s report on Form N-CSR for the period ended July 31, 2022 (“Report”) fully complies with the requirements of Section 15(d) of the Securities Exchange Act of 1934 and that the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Date: October 3, 2022

     

/s/ Michael J. Cuggino

      Michael J. Cuggino, President

This certification is being furnished solely pursuant to 18 U.S.C. § 1350 and is not being filed as part of the Report or as a separate disclosure document.

A signed original of this written statement required by 18 U.S.C. § 1350 has been provided to the Registrant and will be retained and furnished to the U.S. Securities and Exchange Commission or its staff upon request.


PERMANENT PORTFOLIO FAMILY OF FUNDS

FORM N-CSR

Exhibit 13(b)

SECTION 906 CERTIFICATION

Pursuant to 18 U.S.C. § 1350, the undersigned officer of Permanent Portfolio Family of Funds (“Registrant”), hereby certifies, to the best of his knowledge, that the Registrant’s report on Form N-CSR for the period ended July 31, 2022 (“Report”) fully complies with the requirements of Section 15(d) of the Securities Exchange Act of 1934 and that the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

Date: October 3, 2022

     

/s/ James H. Andrews

      James H. Andrews, Treasurer

This certification is being furnished solely pursuant to 18 U.S.C. § 1350 and is not being filed as part of the Report or as a separate disclosure document.

A signed original of this written statement required by 18 U.S.C. § 1350 has been provided to the Registrant and will be retained and furnished to the U.S. Securities and Exchange Commission or its staff upon request.

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