0001752724-21-208542.txt : 20210927 0001752724-21-208542.hdr.sgml : 20210927 20210927090846 ACCESSION NUMBER: 0001752724-21-208542 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20210731 FILED AS OF DATE: 20210927 PERIOD START: 20211031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TRANSAMERICA FUNDS CENTRAL INDEX KEY: 0000787623 IRS NUMBER: 000000000 FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-04556 FILM NUMBER: 211279194 BUSINESS ADDRESS: STREET 1: 1801 CALIFORNIA STREET STREET 2: SUITE 5200 CITY: DENVER STATE: CO ZIP: 80202 BUSINESS PHONE: 720-482-8836 MAIL ADDRESS: STREET 1: 1801 CALIFORNIA STREET STREET 2: SUITE 5200 CITY: DENVER STATE: CO ZIP: 80202 FORMER COMPANY: FORMER CONFORMED NAME: TRANSAMERICA IDEX MUTUAL FUNDS DATE OF NAME CHANGE: 20040301 FORMER COMPANY: FORMER CONFORMED NAME: IDEX MUTUAL FDS DATE OF NAME CHANGE: 20010504 FORMER COMPANY: FORMER CONFORMED NAME: IDEX MUTUAL FUNDS / 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CORP US Y 2 2023-03-20 Fixed 2.95000000 N N N N N N ALBERTSONS COS/SAFEWAY N/A Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC 013092AD3 3984000.00000000 PA USD 4078620.00000000 0.113244381126 Long DBT CORP US N 2 2023-02-15 Fixed 3.50000000 N N N N N N 2021-08-30 TRANSAMERICA FUNDS Vincent Toner Vincent Toner Treasurer XXXX NPORT-EX 2 NPORT_IBBG_8690377020.htm FOR VALIDATION PURPOSES ONLY - [202433.IBBG]

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS

At July 31, 2021

(unaudited)

 

     Principal      Value  
ASSET-BACKED SECURITIES - 12.3%  

Anchorage Capital CLO 11 Ltd.

     

Series 2019-11A, Class AR,

     

3-Month LIBOR + 1.14%,
1.28% (A), 07/22/2032 (B)

     $  10,000,000        $  10,003,920  

Apidos CLO XXXI

     

Series 2019-31A, Class BR,

     

3-Month LIBOR + 1.55%,
1.68% (A), 04/15/2031 (B)

     9,500,000        9,505,463  

Avid Automobile Receivables Trust

     

Series 2019-1, Class A,

     

2.62%, 02/15/2024 (B)

     743,212        746,193  

BXG Receivables Note Trust

     

Series 2013-A, Class A,

     

3.01%, 12/04/2028 (B)

     2,154,913        2,155,069  

Series 2017-A, Class A,

     

2.95%, 10/04/2032 (B)

     3,562,012        3,640,992  

Series 2020-A, Class A,

     

1.55%, 02/28/2036 (B)

     7,917,856        7,932,241  

CF Hippolyta LLC

     

Series 2020-1, Class B1,

     

2.28%, 07/15/2060 (B)

     6,184,716        6,332,876  

CIFC Funding Ltd.

     

Series 2015-2A, Class BR2,

     

3-Month LIBOR + 1.50%,
1.63% (A), 04/15/2030 (B)

     16,300,000        16,253,366  

CWABS, Inc. Asset-Backed Certificates Trust

     

Series 2006-17, Class 2A2,

     

1-Month LIBOR + 0.15%,
0.24% (A), 03/25/2047

     4,566,046        4,502,154  

Diamond Resorts Owner Trust

     

Series 2017-1A, Class A,

     

3.27%, 10/22/2029 (B)

     3,060,989        3,107,391  

Series 2019-1A, Class A,

     

2.89%, 02/20/2032 (B)

     4,591,216        4,734,350  

Series 2021-1A, Class B,

     

2.05%, 11/21/2033 (B)

     4,027,558        4,077,756  

Series 2021-1A, Class C,

     

2.70%, 11/21/2033 (B)

     3,759,054        3,816,911  

DT Auto Owner Trust

     

Series 2020-1A, Class A,

     

1.94%, 09/15/2023 (B)

     511,552        512,591  

Series 2020-1A, Class B,

     

2.16%, 05/15/2024 (B)

     3,000,000        3,026,972  

Halcyon Loan Advisors Funding Ltd.

     

Series 2014-3A, Class B1R,

     

3-Month LIBOR + 1.70%,
1.84% (A), 10/22/2025 (B)

     4,911,429        4,912,215  

Series 2015-1A, Class B1R,

     

3-Month LIBOR + 1.55%,
1.68% (A), 04/20/2027 (B)

     8,000,000        8,001,432  

Hilton Grand Vacations Trust

     

Series 2019-AA, Class A,

     

2.34%, 07/25/2033 (B)

     5,800,839        5,975,181  

Series 2020-AA, Class A,

     

2.74%, 02/25/2039 (B)

     4,226,712        4,395,921  

Mill City Mortgage Loan Trust

     

Series 2017-3, Class A1,

     

2.75% (A), 01/25/2061 (B)

       6,338,446          6,426,033  
     Principal      Value  
ASSET-BACKED SECURITIES (continued)  

Mountain View CLO Ltd.

     

Series 2014-1A, Class BRR,

     

3-Month LIBOR + 1.45%,
1.58% (A), 10/15/2026 (B)

     $   10,000,000        $   10,002,960  

MVW LLC

     

Series 2019-2A, Class B,

     

2.44%, 10/20/2038 (B)

     4,705,757        4,764,009  

Series 2020-1A, Class A,

     

1.74%, 10/20/2037 (B)

     5,898,931        6,030,097  

Series 2021-1WA, Class B,

     

1.44%, 01/22/2041 (B)

     6,316,868        6,328,935  

MVW Owner Trust

     

Series 2019-1A, Class A,

     

2.89%, 11/20/2036 (B)

     5,597,593        5,781,131  

Nelnet Student Loan Trust

     

Series 2021-A, Class APT1,

     

1.36%, 04/20/2062 (B)

     9,680,742        9,709,106  

New Residential Advance Receivables Trust

     

Series 2020-APT1, Class AT1,

     

1.03%, 12/16/2052 (B)

     20,000,000        20,008,512  

Series 2020-T1, Class AT1,

     

1.43%, 08/15/2053 (B)

     16,000,000        16,038,395  

Series 2020-T1, Class CT1,

     

2.27%, 08/15/2053 (B)

     1,780,000        1,791,182  

NRZ Advance Receivables Trust

     

Series 2020-T2, Class AT2,

     

1.48%, 09/15/2053 (B)

     15,000,000        15,044,100  

Series 2020-T3, Class AT3,

     

1.32%, 10/15/2052 (B)

     12,000,000        12,011,378  

Series 2020-T3, Class BT3,

     

1.57%, 10/15/2052 (B)

     1,500,000        1,503,175  

Series 2020-T3, Class DT3,

     

2.46%, 10/15/2052 (B)

     1,500,000        1,502,534  

Ocwen Master Advance Receivables Trust

     

Series 2020-T1, Class AT1,

     

1.28%, 08/15/2052 (B)

     14,758,000        14,730,618  

Orange Lake Timeshare Trust

     

Series 2015-AA, Class A,

     

2.88%, 09/08/2027 (B)

     1,678,129        1,683,302  

Series 2016-A, Class A,

     

2.61%, 03/08/2029 (B)

     3,641,926        3,685,262  

Series 2018-A, Class C,

     

3.74%, 11/08/2030 (B)

     2,449,832        2,506,443  

Series 2019-A, Class C,

     

3.61%, 04/09/2038 (B)

     4,719,881        4,877,651  

OZLM Funding IV Ltd.

     

Series 2013-4A, Class A2R,

     

3-Month LIBOR + 1.70%,
1.84% (A), 10/22/2030 (B)

     6,000,000        5,964,108  

Sierra Timeshare Receivables Funding LLC

     

Series 2018-2A, Class B,

     

3.65%, 06/20/2035 (B)

     1,778,650        1,829,107  

Series 2018-3A, Class A,

     

3.69%, 09/20/2035 (B)

     2,118,049        2,213,001  

Series 2018-3A, Class D,

     

5.20%, 09/20/2035 (B)

     2,070,392        2,133,832  

Series 2019-2A, Class C,

     

3.12%, 05/20/2036 (B)

     3,735,093        3,829,084  

Series 2020-2A, Class A,

     

1.33%, 07/20/2037 (B)

     5,008,664        5,049,279  

Series 2020-2A, Class C,

     

3.51%, 07/20/2037 (B)

     4,382,581        4,526,343  

Series 2021-1A, Class B,

     

1.34%, 11/20/2037 (B)

     10,979,670        11,028,157  
 

 

Transamerica Funds

    Page    1         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
ASSET-BACKED SECURITIES (continued)  

Small Business Lending Trust

     

Series 2019-A, Class A,

     

2.85%, 07/15/2026 (B)

     $   411,749        $   411,604  

SPS Servicer Advance Receivables Trust II

     

Series 2020-T1, Class AT1,

     

1.28%, 11/15/2052 (B)

     6,550,000        6,576,525  

TICP CLO III Ltd.

     

Series 2018-3R, Class B,

     

3-Month LIBOR + 1.35%,
1.48% (A), 04/20/2028 (B)

     10,000,000        9,999,980  

Towd Point Mortgage Trust

     

Series 2016-3, Class A1,

     

2.25% (A), 04/25/2056 (B)

     1,233,017        1,237,059  

Series 2016-5, Class A1,

     

2.50% (A), 10/25/2056 (B)

     4,103,590        4,167,609  

Series 2017-2, Class A1,

     

2.75% (A), 04/25/2057 (B)

     2,653,074        2,688,314  

Series 2017-3, Class A1,

     

2.75% (A), 07/25/2057 (B)

     4,900,345        4,992,023  

Series 2017-4, Class A1,

     

2.75% (A), 06/25/2057 (B)

     5,923,467        6,089,904  

Series 2017-6, Class A1,

     

2.75% (A), 10/25/2057 (B)

     9,853,980        10,070,580  

Series 2018-1, Class A1,

     

3.00% (A), 01/25/2058 (B)

     6,031,176        6,190,210  

Series 2018-2, Class A1,

     

3.25% (A), 03/25/2058 (B)

     15,405,923        15,950,604  

Series 2018-3, Class A1,

     

3.75% (A), 05/25/2058 (B)

     5,383,740        5,678,547  

Series 2018-4, Class A1,

     

3.00% (A), 06/25/2058 (B)

     11,159,580        11,595,453  

Series 2020-4, Class A1,

     

1.75%, 10/25/2060 (B)

     14,559,680        14,761,007  

Trafigura Securitisation Finance PLC

     

Series 2018-1A, Class A2,

     

3.73%, 03/15/2022 (B)

     11,000,000        11,037,774  

Series 2021-1A, Class A2,

     

1.08%, 01/15/2025 (B)

     7,270,000        7,269,040  

VSE VOI Mortgage LLC

     

Series 2017-A, Class A,

     

2.33%, 03/20/2035 (B)

     9,179,497        9,400,122  

Welk Resorts LLC

     

Series 2017-AA, Class A,

     

2.82%, 06/15/2033 (B)

     2,484,119        2,529,069  

Wellfleet CLO Ltd.

     

Series 2016-1A, Class BR,

     

3-Month LIBOR + 1.50%,
1.63% (A), 04/20/2028 (B)

     15,000,000        15,000,990  

Series 2017-2A, Class A2R,

     

3-Month LIBOR + 1.62%,
1.75% (A), 10/20/2029 (B)

     15,000,000        14,965,995  
     

 

 

 

Total Asset-Backed Securities
(Cost $441,252,985)

 

     445,243,137  
     

 

 

 
CORPORATE DEBT SECURITIES - 66.8%  
Aerospace & Defense - 0.8%  

Boeing Co.

     

1.43%, 02/04/2024

     8,549,000        8,570,736  

1.95%, 02/01/2024

     9,965,000        10,217,598  

L3 Harris Technologies, Inc.

     

3.85%, 06/15/2023

     9,968,000        10,576,316  
     

 

 

 
        29,364,650  
     

 

 

 
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Airlines - 0.9%  

American Airlines Pass-Through Trust

     

4.38%, 04/01/2024

     $   3,409,379        $   3,401,766  

Delta Air Lines Pass-Through Trust

     

3.20%, 10/25/2025

     6,212,000        6,575,988  

Delta Air Lines, Inc.

     

3.80%, 04/19/2023 (C)

     9,957,000        10,274,655  

Northwest Airlines Pass-Through Trust

     

6.26%, 05/20/2023

     143,220        143,076  

Southwest Airlines Co.

     

5.25%, 05/04/2025

     6,223,000        7,102,930  

US Airways Pass-Through Trust

     

3.95%, 05/15/2027

     4,171,785        4,214,116  
     

 

 

 
        31,712,531  
     

 

 

 
Auto Components - 0.8%  

BorgWarner, Inc.

     

5.00%, 10/01/2025 (B)

     25,318,000        29,268,349  
     

 

 

 
Banks - 15.4%  

AIB Group PLC

     

4.75%, 10/12/2023 (B)

     8,438,000        9,141,329  

Banco Santander SA

     

Fixed until 06/30/2023,
0.70% (A), 06/30/2024

     3,000,000        3,009,836  

2.71%, 06/27/2024

     8,400,000        8,856,540  

3.85%, 04/12/2023

     4,600,000        4,858,046  

Bank of America Corp.

     

Fixed until 06/14/2023,
0.52% (A), 06/14/2024

     19,825,000        19,829,261  

3-Month LIBOR + 0.77%,
0.95% (A), 02/05/2026

     9,968,000        10,100,379  

SOFR + 0.97%,
1.02% (A), 07/22/2027

     10,966,000        11,134,814  

Fixed until 10/22/2024,
2.46% (A), 10/22/2025

     9,821,000        10,290,316  

Banque Federative du Credit Mutuel SA

     

0.65%, 02/27/2024 (B)

     10,000,000        10,001,993  

2.13%, 11/21/2022 (B)

     4,991,000        5,109,762  

Barclays PLC

     

3-Month LIBOR + 1.38%,
1.54% (A), 05/16/2024

     13,510,000        13,746,465  

5.20%, 05/12/2026

     13,335,000        15,346,318  

BPCE SA

     

2.75%, 12/02/2021

     8,737,000        8,813,469  

5.15%, 07/21/2024 (B)

     14,000,000        15,565,825  

Canadian Imperial Bank of Commerce

     

0.45%, 06/22/2023

     10,895,000        10,902,468  

Fixed until 07/22/2022,
2.61% (A), 07/22/2023

     4,425,000        4,522,309  

CIT Bank NA

     

Fixed until 09/27/2024,
2.97% (A), 09/27/2025

     6,927,000        7,299,326  

Citigroup, Inc.

     

3-Month LIBOR + 1.02%,
1.16% (A), 06/01/2024

     14,675,000        14,882,105  

Fixed until 11/04/2021,
2.31% (A), 11/04/2022

     9,909,000        9,959,001  

Commerzbank AG

     

8.13%, 09/19/2023 (B)

     8,000,000        9,081,279  

Cooperatieve Rabobank UA

     

Fixed until 06/24/2025,
1.34% (A), 06/24/2026 (B)

     5,000,000        5,047,176  

3.95%, 11/09/2022

     10,100,000        10,552,710  

Credit Agricole SA

     

4.38%, 03/17/2025 (B)

     9,207,000        10,151,380  
 

 

Transamerica Funds

    Page    2         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Banks (continued)  

Credit Suisse AG

     

SOFR + 0.39%,
0.44% (A), 02/02/2024

     $   16,749,000        $   16,756,202  

3.63%, 09/09/2024

     6,936,000        7,537,227  

6.50%, 08/08/2023 (B)

     5,462,000        6,021,855  

Danske Bank A/S

     

1.23%, 06/22/2024 (B)

     10,000,000        10,113,562  

Fixed until 09/20/2021,
3.00% (A), 09/20/2022 (B)

     10,000,000        10,030,618  

Fifth Third Bancorp

     

3.65%, 01/25/2024

     10,000,000        10,721,282  

First Niagara Financial Group, Inc.

     

7.25%, 12/15/2021

     6,340,000        6,498,481  

HSBC Holdings PLC

     

3-Month LIBOR + 1.00%,
1.16% (A), 05/18/2024

     10,000,000        10,129,299  

Huntington Bancshares, Inc.

     

2.30%, 01/14/2022

     6,266,000        6,314,012  

Intesa Sanpaolo SpA

     

3.25%, 09/23/2024 (B)

     11,000,000        11,709,993  

3.38%, 01/12/2023 (B)

     5,000,000        5,194,522  

JPMorgan Chase & Co.

     

SOFR + 0.58%,
0.63% (A), 03/16/2024

     10,000,000        10,064,637  

SOFR + 0.89%,
0.94% (A), 04/22/2027 (C)

     14,954,000        15,163,720  

3.88%, 09/10/2024

     4,920,000        5,355,588  

Fixed until 12/05/2023,
4.02% (A), 12/05/2024

     10,000,000        10,779,452  

Lloyds Banking Group PLC

     

Fixed until 05/11/2023,
0.70% (A), 05/11/2024

     10,000,000        10,038,687  

4.50%, 11/04/2024

     10,740,000        11,914,666  

MUFG Union Bank NA

     

3.15%, 04/01/2022

     11,000,000        11,189,680  

Natwest Group PLC

     

6.00%, 12/19/2023

     12,464,000        13,937,599  

6.13%, 12/15/2022

     4,985,000        5,343,530  

Nordea Bank Abp

     

1.00%, 06/09/2023 (B)

     8,797,000        8,904,924  

PNC Financial Services Group, Inc.

     

3.90%, 04/29/2024

     7,811,000        8,481,131  

Santander UK Group Holdings PLC

     

4.75%, 09/15/2025 (B)

     2,357,000        2,661,905  

Santander UK PLC

     

5.00%, 11/07/2023 (B)

     10,000,000        10,866,000  

Standard Chartered PLC

     

Fixed until 01/12/2024,
0.99% (A), 01/12/2025 (B)

     5,000,000        4,994,658  

Fixed until 10/14/2022,
1.32% (A), 10/14/2023 (B)

     10,220,000        10,311,321  

Svenska Handelsbanken AB

     

3.90%, 11/20/2023

     10,000,000        10,820,177  

Swedbank AB

     

1.30%, 06/02/2023 (B)

     9,000,000        9,142,560  

Synovus Bank

     

Fixed until 02/10/2022,
2.29% (A), 02/10/2023

     9,052,000        9,116,764  

Truist Bank

     

SOFR + 0.73%,
0.78% (A), 03/09/2023

     7,250,000        7,303,820  

2.80%, 05/17/2022(C)

     6,013,000        6,125,503  

UniCredit SpA

     

Fixed until 09/22/2025,
2.57% (A), 09/22/2026 (B)

     8,885,000        9,066,567  

6.57%, 01/14/2022 (B)

     10,000,000        10,255,601  

US Bancorp

     

2.40%, 07/30/2024

     9,070,000        9,550,571  

Wells Fargo & Co.

     

3.75%, 01/24/2024

     14,000,000        15,050,236  
     

 

 

 
        555,668,457  
     

 

 

 
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Beverages - 0.8%  

Constellation Brands, Inc.

     

2.65%, 11/07/2022

     $   5,537,000        $   5,694,619  

Keurig Dr. Pepper, Inc.

     

0.75%, 03/15/2024

     15,849,000        15,871,791  

4.42%, 05/25/2025

     7,016,000        7,895,209  
     

 

 

 
        29,461,619  
     

 

 

 
Biotechnology - 0.9%  

AbbVie, Inc.

     

2.90%, 11/06/2022

     9,969,000        10,280,673  

3.80%, 03/15/2025

     9,966,000        10,916,317  

Gilead Sciences, Inc.

     

0.75%, 09/29/2023

     11,877,000        11,883,549  
     

 

 

 
        33,080,539  
     

 

 

 
Building Products - 0.3%  

Owens Corning

     

4.20%, 12/01/2024

     9,968,000        10,940,162  
     

 

 

 
Capital Markets - 4.7%  

Ameriprise Financial, Inc.

     

3.00%, 03/22/2022

     7,986,000        8,128,129  

Charles Schwab Corp.

     

2.65%, 01/25/2023

     9,964,000        10,291,414  

Deutsche Bank AG

     

0.90%, 05/28/2024

     9,850,000        9,839,218  

Fixed until 11/26/2024,
3.96% (A), 11/26/2025

     6,000,000        6,517,071  

Goldman Sachs Group, Inc.

     

SOFR + 0.58%,
0.62% (A), 03/08/2024

     16,824,000        16,879,927  

3-Month LIBOR + 1.17%,
1.33% (A), 05/15/2026

     4,984,000        5,114,502  

Fixed until 10/31/2021,
2.88% (A), 10/31/2022

     20,961,000        21,082,165  

Intercontinental Exchange, Inc.

     

0.70%, 06/15/2023

     8,712,000        8,760,549  

Macquarie Group Ltd.

     

Fixed until 01/12/2026,
1.34% (A), 01/12/2027 (B)

     14,952,000        14,921,620  

Morgan Stanley

     

Fixed until 07/22/2024,
2.72% (A), 07/22/2025

     4,981,000        5,245,938  

4.10%, 05/22/2023

     14,873,000        15,827,639  

4.88%, 11/01/2022

     25,065,000        26,412,179  

State Street Corp.

     

Fixed until 03/30/2022,
2.83% (A), 03/30/2023

     1,492,000        1,517,520  

3.10%, 05/15/2023 (C)

     11,076,000        11,622,903  

UBS AG

     

1.75%, 04/21/2022 (B)

     4,441,000        4,485,154  

UBS Group AG

     

Fixed until 07/30/2023,
1.01% (A), 07/30/2024 (B)

     3,000,000        3,022,304  
     

 

 

 
        169,668,232  
     

 

 

 
Chemicals - 1.1%  

DuPont de Nemours, Inc.

     

4.21%, 11/15/2023

     5,512,000        5,947,468  

International Flavors & Fragrances, Inc.

     

0.70%, 09/15/2022 (B)

     4,322,000        4,328,681  

LYB International Finance III LLC

     

1.25%, 10/01/2025

     4,983,000        5,010,829  
 

 

Transamerica Funds

    Page    3         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Chemicals (continued)  

Mosaic Co.

     

3.75%, 11/15/2021

     $   12,074,000        $   12,087,603  

Syngenta Finance NV

     

4.44%, 04/24/2023 (B)

     10,000,000        10,544,941  
     

 

 

 
        37,919,522  
     

 

 

 
Commercial Services & Supplies - 1.1%  

Ashtead Capital, Inc.

     

4.13%, 08/15/2025 (B)

     20,957,000        21,402,336  

Triton Container International Ltd.

     

0.80%, 08/01/2023 (B) (D)

     19,832,000        19,827,693  
     

 

 

 
        41,230,029  
     

 

 

 
Communications Equipment - 0.3%  

Telefonaktiebolaget LM Ericsson

     

4.13%, 05/15/2022

     10,889,000        11,185,181  
     

 

 

 
Construction Materials - 0.9%  

CRH America, Inc.

     

3.88%, 05/18/2025 (B)

     10,000,000        11,004,119  

Martin Marietta Materials, Inc.

     

0.65%, 07/15/2023

     19,809,000        19,847,892  
     

 

 

 
        30,852,011  
     

 

 

 
Consumer Finance - 4.2%  

Ally Financial, Inc.

     

4.13%, 02/13/2022

     8,145,000        8,303,935  

5.75%, 11/20/2025

     6,976,000        7,975,126  

American Honda Finance Corp.

     

0.88%, 07/07/2023

     11,959,000        12,077,774  

BMW US Capital LLC

     

SOFR + 0.53%,
0.58% (A), 04/01/2024 (B) (C)

     15,882,000        16,021,666  

3.40%, 08/13/2021 (B) (C)

     11,846,000        11,856,440  

Daimler Finance North America LLC

     

0.75%, 03/01/2024 (B)

     13,548,000        13,582,501  

3.40%, 02/22/2022 (B)

     7,000,000        7,118,786  

Ford Motor Credit Co. LLC

     

3.38%, 11/13/2025

     7,233,000        7,551,206  

General Motors Financial Co., Inc.

     

SOFR + 0.76%,
0.80% (A), 03/08/2024

     14,954,000        15,067,499  

3.55%, 07/08/2022

     9,957,000        10,243,266  

4.15%, 06/19/2023

     4,587,000        4,878,368  

Hyundai Capital America

     

0.80%, 04/03/2023 - 01/08/2024 (B)

     24,933,000        24,899,301  

Volkswagen Group of America Finance LLC

     

2.70%, 09/26/2022 (B)

     10,000,000        10,258,334  
     

 

 

 
        149,834,202  
     

 

 

 
Containers & Packaging - 0.6%  

Berry Global, Inc.

     

0.95%, 02/15/2024 (B)

     5,506,000        5,512,883  

1.57%, 01/15/2026 (B)

     4,984,000        5,012,907  

4.88%, 07/15/2026 (B) (C)

     9,968,000        10,516,240  
     

 

 

 
        21,042,030  
     

 

 

 
Diversified Consumer Services - 0.5%  

Nationwide Building Society

     

0.55%, 01/22/2024 (B)

     10,000,000        9,987,643  

Fixed until 03/08/2023,
3.77% (A), 03/08/2024 (B)

     6,821,000        7,149,140  
     

 

 

 
        17,136,783  
     

 

 

 
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Diversified Financial Services - 1.8%  

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

     

3.30%, 01/23/2023

     $   6,030,000        $   6,241,400  

AIG Global Funding

     

0.65%, 06/17/2024 (B)

     10,966,000        10,963,627  

0.80%, 07/07/2023 (B) (C)

     6,976,000        7,036,124  

Aviation Capital Group LLC

     

1.95%, 01/30/2026 (B)

     2,234,000        2,254,282  

2.88%, 01/20/2022 (B)

     5,506,000        5,551,824  

5.50%, 12/15/2024 (B)

     10,832,000        12,272,339  

Element Fleet Management Corp.

     

1.60%, 04/06/2024 (B) (C)

     2,998,000        3,048,980  

3.85%, 06/15/2025 (B) (C)

     8,707,000        9,436,122  

Voya Financial, Inc.

     

3.13%, 07/15/2024

     9,332,000        9,940,562  
     

 

 

 
        66,745,260  
     

 

 

 
Diversified Telecommunication Services - 1.2%  

AT&T, Inc.

     

SOFR + 0.64%,
0.69% (A), 03/25/2024

     6,928,000        6,943,864  

0.90%, 03/25/2024

     19,939,000        19,993,686  

Verizon Communications, Inc.

     

SOFR + 0.79%,
0.84% (A), 03/20/2026

     16,946,000        17,234,812  
     

 

 

 
        44,172,362  
     

 

 

 
Electric Utilities - 3.5%  

American Electric Power Co., Inc.

     

0.75%, 11/01/2023

     9,842,000        9,849,429  

2.95%, 12/15/2022

     8,469,000        8,704,670  

Duke Energy Corp.

     

3.05%, 08/15/2022

     21,461,000        21,914,556  

Entergy Corp.

     

4.00%, 07/15/2022

     8,552,000        8,794,477  

Evergy, Inc.

     

2.45%, 09/15/2024

     11,565,000        12,165,245  

FirstEnergy Corp.

     

4.75%, 03/15/2023

     6,261,000        6,589,702  

Georgia Power Co.

     

2.10%, 07/30/2023

     7,441,000        7,695,343  

Metropolitan Edison Co.

     

3.50%, 03/15/2023 (B)

     12,044,000        12,488,316  

NextEra Energy Capital Holdings, Inc.

     

SOFR + 0.54%,
0.58% (A), 03/01/2023

     9,635,000        9,681,113  

Oncor Electric Delivery Co. LLC

     

2.75%, 06/01/2024

     10,771,000        11,448,889  

Pacific Gas & Electric Co.

     

1.75%, 06/16/2022

     8,781,000        8,768,976  

Southern Co.

     

0.60%, 02/26/2024

     9,968,000        9,992,789  
     

 

 

 
        128,093,505  
     

 

 

 
Electrical Equipment - 0.3%  

Siemens Financieringsmaatschappij NV

     

SOFR + 0.43%,
0.48% (A), 03/11/2024 (B)

     10,000,000        10,073,800  
     

 

 

 
Equity Real Estate Investment Trusts - 2.0%  

American Tower Corp.

     

3.00%, 06/15/2023

     17,032,000        17,824,728  

CyrusOne, LP / CyrusOne Finance Corp.

     

2.90%, 11/15/2024

     13,044,000        13,765,072  

HAT Holdings I LLC / HAT Holdings II LLC

     

3.38%, 06/15/2026 (B)

     11,215,000        11,365,057  

National Retail Properties, Inc.

     

3.60%, 12/15/2026

       9,370,000          10,313,042  
 

 

Transamerica Funds

    Page    4         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Equity Real Estate Investment Trusts (continued)  

Office Properties Income Trust

     

2.65%, 06/15/2026

     $   9,969,000        $   10,251,534  

VEREIT Operating Partnership, LP

     

4.60%, 02/06/2024

     8,370,000        9,108,495  
     

 

 

 
        72,627,928  
     

 

 

 
Food & Staples Retailing - 0.4%  

7-Eleven, Inc.

     

0.80%, 02/10/2024 (B) (C)

     8,886,000        8,887,501  

Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons, LP

     

3.50%, 02/15/2023 (B)

     3,984,000        4,078,620  
     

 

 

 
        12,966,121  
     

 

 

 
Food Products - 0.8%  

Bunge Ltd. Finance Corp.

     

1.63%, 08/17/2025

     3,594,000        3,657,796  

Campbell Soup Co.

     

3.65%, 03/15/2023

     7,064,000        7,405,158  

Cargill, Inc.

     

1.38%, 07/23/2023 (B)

     9,965,000        10,157,460  

Mondelez International, Inc.

     

0.63%, 07/01/2022

     8,881,000        8,916,426  
     

 

 

 
        30,136,840  
     

 

 

 
Health Care Equipment & Supplies - 1.0%  

Becton Dickinson & Co.

     

3-Month LIBOR + 1.03%,
1.16% (A), 06/06/2022

     2,726,000        2,746,930  

2.89%, 06/06/2022

     11,889,000        12,125,524  

DH Europe Finance II SARL

     

2.05%, 11/15/2022

     10,888,000        11,138,265  

Stryker Corp.

     

0.60%, 12/01/2023

     8,974,000        8,975,110  
     

 

 

 
        34,985,829  
     

 

 

 
Health Care Providers & Services - 1.4%  

Cigna Corp.

     

0.61%, 03/15/2024

     4,941,000        4,942,972  

3-Month LIBOR + 0.89%,
1.02% (A), 07/15/2023

     12,689,000        12,851,968  

CVS Health Corp.

     

2.63%, 08/15/2024

     4,979,000        5,253,048  

HCA, Inc.

     

5.00%, 03/15/2024

     14,941,000        16,527,807  

Laboratory Corp. of America Holdings

     

2.30%, 12/01/2024 (C)

     9,959,000        10,434,215  
     

 

 

 
        50,010,010  
     

 

 

 
Hotels, Restaurants & Leisure - 0.5%  

Expedia Group, Inc.

     

4.50%, 08/15/2024 (C)

     4,287,000        4,707,234  

GLP Capital, LP / GLP Financing II, Inc.

     

3.35%, 09/01/2024

     4,479,000        4,736,663  

Las Vegas Sands Corp.

     

3.20%, 08/08/2024

     8,963,000        9,358,358  
     

 

 

 
        18,802,255  
     

 

 

 
Household Durables - 0.8%  

Lennar Corp.

     

5.88%, 11/15/2024 (C)

     21,852,000        24,768,477  

Newell Brands, Inc.

     

4.35%, 04/01/2023

     2,235,000        2,335,575  
     

 

 

 
        27,104,052  
     

 

 

 
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Insurance - 2.7%  

Aon Corp.

     

2.20%, 11/15/2022

     $   7,967,000        $   8,160,268  

Athene Global Funding

     

1.20%, 10/13/2023 (B)

     9,881,000        10,005,857  

3.00%, 07/01/2022 (B)

     4,205,000        4,306,646  

Brighthouse Financial Global Funding

     

1.00%, 04/12/2024 (B)

     14,953,000        15,056,572  

Brown & Brown, Inc.

     

4.20%, 09/15/2024

     12,098,000        13,265,413  

Five Corners Funding Trust

     

4.42%, 11/15/2023 (B)

     8,785,000        9,548,735  

Jackson National Life Global Funding

     

3.30%, 02/01/2022 (B)

     9,000,000        9,135,797  

Marsh & McLennan Cos., Inc.

     

3.88%, 03/15/2024

     8,778,000        9,500,193  

Principal Life Global Funding II

     

2.25%, 11/21/2024 (B)

     8,666,000        9,040,230  

Security Benefit Global Funding

     

1.25%, 05/17/2024 (B)

     9,969,000        9,999,998  
     

 

 

 
        98,019,709  
     

 

 

 
IT Services - 0.6%  

Fidelity National Information Services, Inc.

     

0.38%, 03/01/2023

     8,789,000        8,791,914  

Fiserv, Inc.

     

2.75%, 07/01/2024

     13,481,000        14,271,796  
     

 

 

 
        23,063,710  
     

 

 

 
Machinery - 0.3%  

Otis Worldwide Corp.

     

3-Month LIBOR + 0.45%,
0.59% (A), 04/05/2023

     9,962,000        9,962,697  
     

 

 

 
Media - 1.6%  

CCO Holdings LLC / CCO Holdings Capital Corp.

     

5.75%, 02/15/2026 (B)

     5,461,000        5,646,674  

Charter Communications Operating LLC / Charter Communications Operating Capital

     

4.91%, 07/23/2025

     14,947,000        16,963,615  

Comcast Corp.

     

3.70%, 04/15/2024

     6,390,000        6,923,629  

CSC Holdings LLC

     

6.75%, 11/15/2021

     8,655,000        8,784,825  

Discovery Communications LLC

     

2.95%, 03/20/2023

     6,297,000        6,534,694  

Sky Ltd.

     

3.13%, 11/26/2022 (B)

     6,970,000        7,224,063  

ViacomCBS, Inc.

     

4.75%, 05/15/2025

     4,463,000        5,054,242  
     

 

 

 
        57,131,742  
     

 

 

 
Metals & Mining - 0.7%  

Freeport-McMoRan, Inc.

     

3.88%, 03/15/2023

     12,178,000        12,621,279  

4.55%, 11/14/2024

     5,068,000        5,510,943  

Glencore Funding LLC

     

3.00%, 10/27/2022 (B) (C)

     6,974,000        7,162,813  
     

 

 

 
        25,295,035  
     

 

 

 
Multi-Utilities - 1.4%  

Black Hills Corp.

     

4.25%, 11/30/2023

     9,898,000        10,628,273  
 

 

Transamerica Funds

    Page    5         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Multi-Utilities (continued)  

Dominion Energy, Inc.

     

2.45%, 01/15/2023 (B)

     $   7,820,000        $   8,044,792  

2.72% (E), 08/15/2021

     7,100,000        7,103,053  

DTE Energy Co.

     

2.53%, 10/01/2024

     10,070,000        10,563,433  

NiSource, Inc.

     

0.95%, 08/15/2025

     14,951,000        14,866,505  
     

 

 

 
        51,206,056  
     

 

 

 
Oil, Gas & Consumable Fuels - 3.5%  

Cheniere Corpus Christi Holdings LLC

     

7.00%, 06/30/2024

     10,018,000        11,445,465  

DCP Midstream Operating, LP

     

5.38%, 07/15/2025

     16,350,000        18,066,750  

El Paso Natural Gas Co. LLC

     

8.63%, 01/15/2022

     8,935,000        9,256,695  

Energy Transfer, LP

     

4.20%, 09/15/2023

     4,980,000        5,314,169  

Eni SpA

     

4.00%, 09/12/2023 (B)

     8,629,000        9,211,066  

MPLX, LP

     

3.50%, 12/01/2022

     8,683,000        9,006,106  

4.88%, 12/01/2024

     5,661,000        6,324,720  

Phillips 66

     

0.90%, 02/15/2024

     10,499,000        10,508,200  

Pioneer Natural Resources Co.

     

0.75%, 01/15/2024

     9,927,000        9,929,412  

Plains All American Pipeline, LP / PAA Finance Corp.

     

3.60%, 11/01/2024

     1,570,000        1,678,605  

3.85%, 10/15/2023

     6,324,000        6,686,031  

4.65%, 10/15/2025

     5,976,000        6,700,361  

SA Global Sukuk Ltd.

     

0.95%, 06/17/2024 (B)

     3,000,000        2,996,610  

Sabine Pass Liquefaction LLC

     

5.63%, 04/15/2023

     8,281,000        8,868,122  

Saudi Arabian Oil Co.

     

1.25%, 11/24/2023 (B)

     1,737,000        1,754,113  

Williams Cos., Inc.

     

4.55%, 06/24/2024

     7,966,000        8,758,369  
     

 

 

 
        126,504,794  
     

 

 

 
Pharmaceuticals - 1.9%  

AstraZeneca PLC

     

2.38%, 06/12/2022

     9,966,000        10,134,474  

Bayer US Finance II LLC

     

3.88%, 12/15/2023 (B)

     10,000,000        10,697,811  

Bayer US Finance LLC

     

3.00%, 10/08/2021 (B)

     7,474,000        7,507,656  

Bristol-Myers Squibb Co.

     

2.90%, 07/26/2024

     5,430,000        5,792,522  

Royalty Pharma PLC

     

0.75%, 09/02/2023 (B)

     9,188,000        9,220,913  

Takeda Pharmaceutical Co. Ltd.

     

4.40%, 11/26/2023

     15,000,000        16,257,531  

Viatris, Inc.

     

1.13%, 06/22/2022 (B)

     4,078,000        4,101,794  

1.65%, 06/22/2025 (B) (C)

     4,983,000        5,069,745  
     

 

 

 
        68,782,446  
     

 

 

 
Professional Services - 0.2%  

Equifax, Inc.

     

2.60%, 12/01/2024

     8,195,000        8,647,044  
     

 

 

 
Road & Rail - 0.9%  

Avolon Holdings Funding Ltd.

     

3.63%, 05/01/2022 (B)

     12,397,000        12,637,592  

5.50%, 01/15/2023 (B)

     6,127,000        6,500,648  
     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Road & Rail (continued)  

Canadian Pacific Railway Co.

     

9.45%, 08/01/2021

     $  7,000,000        $  7,000,000  

Union Pacific Corp.

     

3.50%, 06/08/2023

     4,457,000        4,705,685  
     

 

 

 
        30,843,925  
     

 

 

 
Semiconductors & Semiconductor Equipment - 2.1%  

Broadcom, Inc.

     

3.15%, 11/15/2025

     16,947,000        18,220,014  

KLA Corp.

     

4.65%, 11/01/2024

     8,678,000        9,691,294  

Microchip Technology, Inc.

     

0.98%, 09/01/2024(B)

     10,254,000        10,239,132  

Micron Technology, Inc.

     

2.50%, 04/24/2023

     4,701,000        4,841,936  

NXP BV / NXP Funding LLC

     

3.88%, 09/01/2022 (B)

     10,000,000        10,347,752  

4.63%, 06/01/2023 (B)

     10,000,000        10,711,095  

QUALCOMM, Inc.

     

2.60%, 01/30/2023

     5,815,000        6,007,038  

Skyworks Solutions, Inc.

     

0.90%, 06/01/2023

     6,931,000        6,957,857  
     

 

 

 
        77,016,118  
     

 

 

 
Software - 1.1%  

Infor, Inc.

     

1.45%, 07/15/2023 (B)

     11,692,000        11,835,065  

1.75%, 07/15/2025 (B)

     9,836,000        10,096,811  

Intuit, Inc.

     

0.65%, 07/15/2023

     10,450,000        10,513,804  

VMware, Inc.

     

0.60%, 08/15/2023 (D)

     6,978,000        6,988,709  
     

 

 

 
        39,434,389  
     

 

 

 
Technology Hardware, Storage & Peripherals - 0.4%  

Hewlett Packard Enterprise Co.

     

1.45%, 04/01/2024

     9,113,000        9,272,477  

4.45%, 10/02/2023

     4,984,000        5,380,718  
     

 

 

 
        14,653,195  
     

 

 

 
Textiles, Apparel & Luxury Goods - 0.5%  

Ralph Lauren Corp.

     

1.70%, 06/15/2022

     6,094,000        6,171,970  

VF Corp.

     

2.05%, 04/23/2022

     9,966,000        10,087,074  
     

 

 

 
        16,259,044  
     

 

 

 
Tobacco - 0.6%  

BAT Capital Corp.

     

3.22%, 08/15/2024

     6,562,000        6,965,913  

BAT International Finance PLC

     

1.67%, 03/25/2026

     14,947,000        15,095,786  
     

 

 

 
        22,061,699  
     

 

 

 
Trading Companies & Distributors - 0.4%  

Air Lease Corp.

     

2.25%, 01/15/2023

     15,548,000        15,937,831  
     

 

 

 
 

 

Transamerica Funds

    Page    6         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
CORPORATE DEBT SECURITIES (continued)  
Transportation Infrastructure - 0.5%  

GXO Logistics, Inc.

     

1.65%, 07/15/2026 (B)

     $   10,966,000        $   10,932,334  

Penske Truck Leasing Co., LP / PTL Finance Corp.

     

3.45%, 07/01/2024 (B)

     7,966,000        8,537,644  
     

 

 

 
        19,469,978  
     

 

 

 
Wireless Telecommunication Services - 0.4%  

Sprint Corp.

     

7.88%, 09/15/2023

     2,975,000        3,366,391  

T-Mobile USA, Inc.

     

3.50%, 04/15/2025

     10,291,000        11,175,820  
     

 

 

 
        14,542,211  
     

 

 

 

Total Corporate Debt Securities
(Cost $2,368,336,465)

 

     2,412,913,882  
     

 

 

 
FOREIGN GOVERNMENT OBLIGATION - 0.1%  
Qatar - 0.1%  

Qatar Government International Bond

     

3.88%, 04/23/2023 (B)

     2,175,000        2,303,251  
     

 

 

 

Total Foreign Government Obligation
(Cost $2,169,567)

        2,303,251  
     

 

 

 
LOAN ASSIGNMENT - 0.3%  

Commercial Services & Supplies - 0.3%

 

Spin Holdco, Inc.

     

Term Loan,

     

3-Month LIBOR + 4.00%, 4.75% (A), 03/01/2028

     9,975,000        9,962,531  
     

 

 

 

Total Loan Assignment
(Cost $9,904,136)

 

     9,962,531  
     

 

 

 
MORTGAGE-BACKED SECURITIES - 17.1%  

20 Times Square Trust

     

Series 2018-20TS, Class B,

     

3.10% (A), 05/15/2035 (B)

     3,000,000        3,034,473  

Series 2018-20TS, Class C,

     

3.10% (A), 05/15/2035 (B)

     10,900,000        10,902,450  

280 Park Avenue Mortgage Trust

     

Series 2017-280P, Class C,

     

1-Month LIBOR + 1.25%, 1.34% (A), 09/15/2034 (B)

     16,000,000        15,999,984  

Ashford Hospitality Trust

     

Series 2018-ASHF, Class C,

     

1-Month LIBOR + 1.40%, 1.49% (A), 04/15/2035 (B)

     18,800,000        18,729,592  

Series 2018-ASHF, Class D,

     

1-Month LIBOR + 2.10%, 2.19% (A), 04/15/2035 (B)

     10,520,000        10,480,585  

Austin Fairmont Hotel Trust

     

Series 2019-FAIR, Class D,

     

1-Month LIBOR + 1.80%, 1.89% (A), 09/15/2032 (B)

     5,000,000        4,993,722  

BBCMS Mortgage Trust

     

Series 2017-DELC, Class C,

     

1-Month LIBOR + 1.20%, 1.29% (A), 08/15/2036 (B)

     15,300,000        15,309,322  

Series 2017-DELC, Class D,

     

1-Month LIBOR + 1.70%, 1.79% (A), 08/15/2036 (B)

     15,254,000        15,263,296  
     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

BBCMS Mortgage Trust (continued)

     

Series 2018-TALL, Class C,

     

1-Month LIBOR + 1.12%, 1.21% (A), 03/15/2037 (B)

     $   16,015,000        $   15,714,957  

Series 2018-TALL, Class E,

     

1-Month LIBOR + 2.44%, 2.53% (A), 03/15/2037 (B)

     15,000,000        14,525,265  

BHMS Trust

     

Series 2018-ATLS, Class C,

     

1-Month LIBOR + 1.90%, 1.99% (A), 07/15/2035 (B)

     14,900,000        14,904,397  

BX

     

Series 2021-MFM1, Class B,

     

1-Month LIBOR + 0.95%, 1.04% (A), 01/15/2034 (B)

     6,500,000        6,503,907  

Series 2021-MFM1, Class C,

     

1-Month LIBOR + 1.20%, 1.29% (A), 01/15/2034 (B)

     4,000,000        3,999,999  

BX Commercial Mortgage Trust

     

Series 2019-XL, Class D,

     

1-Month LIBOR + 1.45%, 1.54% (A), 10/15/2036 (B)

     10,724,038        10,750,956  

Series 2020-VKNG, Class C,

     

1-Month LIBOR + 1.40%, 1.49% (A), 10/15/2037 (B)

     5,900,000        5,899,998  

BX Trust

     

Series 2018-GW, Class C,

     

1-Month LIBOR + 1.22%, 1.31% (A), 05/15/2035 (B)

     5,480,000        5,485,024  

Series 2018-GW, Class D,

     

1-Month LIBOR + 1.77%, 1.86% (A), 05/15/2035 (B)

     6,250,000        6,255,742  

BXP Trust

     

Series 2017-CQHP, Class D,

     

1-Month LIBOR + 2.00%, 2.09% (A), 11/15/2034 (B)

     11,825,000        11,042,378  

CAMB Commercial Mortgage Trust

     

Series 2019-LIFE, Class D,

     

1-Month LIBOR + 1.75%, 1.84% (A), 12/15/2037 (B)

     9,760,000        9,784,287  

CGMS Commercial Mortgage Trust

     

Series 2017-MDRB, Class B,

     

1-Month LIBOR + 1.75%, 1.84% (A), 07/15/2030 (B)

     10,000,000        9,839,654  

CHT Mortgage Trust

     

Series 2017-CSMO, Class D,

     

1-Month LIBOR + 2.25%, 2.34% (A), 11/15/2036 (B)

     17,400,000        17,438,009  

Citigroup Mortgage Loan Trust, Inc.

     

Series 2014-A, Class A,

     

4.00% (A), 01/25/2035 (B)

     1,914,109        2,015,502  

Series 2018-RP1, Class A1,

     

3.00% (A), 09/25/2064 (B)

     5,887,431        6,068,956  

Colony Trust

     

Series 2019-IKPR, Class C,

     

1-Month LIBOR + 1.68%, 1.77% (A), 11/15/2038 (B)

     14,650,000        14,663,534  

CORE Mortgage Trust

     

Series 2019-CORE, Class C,

     

1-Month LIBOR + 1.30%, 1.39% (A), 12/15/2031 (B)

     12,312,000        12,311,995  
 

 

Transamerica Funds

    Page    7         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

CSMC Trust

     

Series 2021-RPL2, Class A1A,

     

1.11% (A), 01/25/2060 (B)

     $   14,083,419        $   13,978,462  

Series 2021-RPL3, Class A1,

     

2.00% (A), 01/25/2060 (B)

     8,940,408        9,115,432  

Series 2021-RPL6, Class A1,

     

2.00% (A), 10/25/2060 (B) (F)

     16,500,000        16,859,784  

DBCG Mortgage Trust

     

Series 2017-BBG, Class B,

     

1-Month LIBOR + 0.85%, 0.95% (A), 06/15/2034 (B)

     12,500,000        12,484,937  

Series 2017-BBG, Class C,

     

1-Month LIBOR + 1.00%, 1.10% (A), 06/15/2034 (B)

     2,500,000        2,484,498  

DBWF Mortgage Trust

     

Series 2018-GLKS, Class D,

     

1-Month LIBOR + 2.40%, 2.49% (A), 12/19/2030 (B)

     10,000,000        9,997,291  

Extended Stay America Trust

     

Series 2021-ESH, Class C,

     

1-Month LIBOR + 1.70%, 1.79% (A), 07/15/2038 (B)

     6,170,000        6,200,927  

Fontainebleau Miami Beach Trust

     

Series 2019-FBLU, Class D,

     

3.96% (A), 12/10/2036 (B)

     15,000,000        15,768,357  

Great Wolf Trust

     

Series 2019-WOLF, Class C,

     

1-Month LIBOR + 1.63%, 1.73% (A), 12/15/2036 (B)

     9,960,000        9,959,901  

GS Mortgage Securities Trust

     

Series 2013-G1, Class A1,

     

2.06%, 04/10/2031 (B)

     2,157,944        2,172,191  

Hilton Orlando Trust

     

Series 2018-ORL, Class C,

     

1-Month LIBOR + 1.45%, 1.54% (A), 12/15/2034 (B)

     14,000,000        13,991,638  

HPLY Trust

     

Series 2019-HIT, Class C,

     

1-Month LIBOR + 1.60%,
1.69% (A), 11/15/2036 (B)

     7,077,752        7,079,972  

JPMorgan Chase Commercial Mortgage Securities Trust

     

Series 2014-DSTY, Class C,

     

3.80% (A), 06/10/2027 (B)

     10,000,000        2,691,251  

KKR Industrial Portfolio Trust

     

Series 2020-AIP, Class D,

     

1-Month LIBOR + 2.03%,
2.12% (A), 03/15/2037 (B)

     9,642,057        9,666,243  

MBRT

     

Series 2019-MBR, Class D,

     

1-Month LIBOR + 1.70%, 1.79% (A), 11/15/2036 (B)

     10,730,000        10,736,292  

Metlife Securitization Trust

     

Series 2017-1A, Class A,

     

3.00% (A), 04/25/2055 (B)

     6,446,232        6,584,970  

MFA Trust

     

Series 2021-RPL1, Class A1,

     

1.13% (A), 07/25/2060 (B)

     5,586,704        5,579,279  
     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

MHP

     

Series 2021-STOR, Class C,

     

1-Month LIBOR + 1.05%, 1.15% (A), 07/15/2038 (B) (D)

     $   3,000,000        $   3,005,639  

Series 2021-STOR, Class D,

     

1-Month LIBOR + 1.35%, 1.45% (A), 07/15/2038 (B) (D)

     5,000,000        5,010,961  

Morgan Stanley Capital I Trust

     

Series 2017-ASHF, Class D,

     

1-Month LIBOR + 2.20%, 2.29% (A), 11/15/2034 (B)

     15,700,000        15,590,513  

Series 2018-SUN, Class C,

     

1-Month LIBOR + 1.40%, 1.49% (A), 07/15/2035 (B)

     10,850,000        10,853,135  

Series 2019-BPR, Class B,

     

1-Month LIBOR + 2.10%, 2.19% (A), 05/15/2036 (B)

     6,720,000        6,261,578  

Series 2019-NUGS, Class B,

     

1-Month LIBOR + 1.30%, 2.80% (A), 12/15/2036 (B)

     7,000,000        7,016,841  

Series 2019-NUGS, Class C,

     

1-Month LIBOR + 1.50%, 3.00% (A), 12/15/2036 (B)

     5,200,000        5,212,522  

Mortgage Equity Conversion Asset Trust

     

Series 2010-1A, Class A,

     

4.00%, 07/25/2060 (B)

     3,614,868        3,541,765  

MSCG Trust

     

Series 2018-SELF, Class C,

     

1-Month LIBOR + 1.18%, 1.27% (A), 10/15/2037 (B)

     11,780,000        11,798,297  

Series 2018-SELF, Class D,

     

1-Month LIBOR + 1.65%, 1.74% (A), 10/15/2037 (B)

     9,220,000        9,237,193  

New Residential Mortgage Loan Trust

     

Series 2014-1A, Class A,

     

3.75% (A), 01/25/2054 (B)

     1,382,214        1,461,084  

Series 2014-3A, Class AFX3,

     

3.75% (A), 11/25/2054 (B)

     1,798,362        1,918,813  

Series 2016-4A, Class A1,

     

3.75% (A), 11/25/2056 (B)

     3,041,428        3,233,400  

Series 2017-3A, Class A1,

     

4.00% (A), 04/25/2057 (B)

     5,253,833        5,660,503  

Series 2017-4A, Class A1,

     

4.00% (A), 05/25/2057 (B)

     3,227,133        3,457,410  

Series 2017-5A, Class A1,

     

1-Month LIBOR + 1.50%, 1.59% (A), 06/25/2057 (B)

     3,409,611        3,463,966  

Series 2018-1A, Class A1A,

     

4.00% (A), 12/25/2057 (B)

     3,407,217        3,652,500  

Series 2018-2A, Class A1,

     

4.50% (A), 02/25/2058 (B)

     5,392,898        5,749,746  

Series 2018-RPL1, Class A1,

     

3.50% (A), 12/25/2057 (B)

     3,486,216        3,608,201  

Series 2019-2A, Class A1,

     

4.25% (A), 12/25/2057 (B)

     6,360,148        6,707,275  

Series 2019-3A, Class A1A,

     

3.75% (A), 11/25/2058 (B)

     7,617,518        8,194,824  

Series 2019-4A, Class A1B,

     

3.50% (A), 12/25/2058 (B)

     6,558,316        6,915,683  

Series 2019-5A, Class A1B,

     

3.50% (A), 08/25/2059 (B)

     8,525,425        8,885,602  

Series 2019-RPL2, Class A1,

     

3.25% (A), 02/25/2059 (B)

     13,522,842        14,179,047  

One New York Plaza Trust

     

Series 2020-1NYP, Class A,

     

1-Month LIBOR + 0.95%, 1.04% (A), 01/15/2026 (B)

     12,500,000        12,577,801  
 

 

Transamerica Funds

    Page    8         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

     Principal      Value  
MORTGAGE-BACKED SECURITIES (continued)  

RBSSP Resecuritization Trust

     

Series 2013-2, Class 2A1,

     

1-Month LIBOR + 0.19%,
0.28% (A), 12/20/2036 (B)

     $   2,667,476        $   2,662,910  

SFO Commercial Mortgage Trust

     

Series 2021-555, Class D,

     

1-Month LIBOR + 2.40%,
2.49% (A), 05/15/2038 (B)

     9,900,000        9,977,079  

Tharaldson Hotel Portfolio Trust

     

Series 2018-THL, Class C,

     

1-Month LIBOR + 1.50%,
1.60% (A), 11/11/2034 (B)

     12,151,204        12,151,711  

Towd Point Mortgage Trust

     

Series 2019-4, Class A1,

     

2.90% (A), 10/25/2059 (B)

     7,525,515        7,798,747  
     

 

 

 

Total Mortgage-Backed Securities
(Cost $622,354,672)

 

     617,054,155  
     

 

 

 
U.S. GOVERNMENT AGENCY OBLIGATION - 0.0% (G)  

Federal Home Loan Mortgage Corp.

     

12-Month LIBOR + 1.77%,
2.39% (A), 08/01/2037

     304,028        305,439  
     

 

 

 

Total U.S. Government Agency Obligation
(Cost $308,292)

 

     305,439  
     

 

 

 
     Shares      Value  
OTHER INVESTMENT COMPANY - 0.7%  
Securities Lending Collateral - 0.7%  

State Street Navigator Securities Lending Trust - Government Money Market Portfolio, 0.05% (H)

     25,708,418        25,708,418  
     

 

 

 

Total Other Investment Company
(Cost $25,708,418)

 

     25,708,418  
     

 

 

 
     Principal      Value  
REPURCHASE AGREEMENT - 3.8%  

Fixed Income Clearing Corp., 0.00% (H), dated 07/30/2021, to be repurchased at $138,754,113 on 08/02/2021. Collateralized by a U.S. Government Obligation, 0.13%, due 04/30/2023, and with a value of $141,529,256.

     $  138,754,113        138,754,113  
     

 

 

 

Total Repurchase Agreement
(Cost $138,754,113)

 

     138,754,113  
     

 

 

 

Total Investments
(Cost $3,608,788,648)

 

     3,652,244,926  

Net Other Assets (Liabilities) - (1.1)%

        (41,405,260
     

 

 

 

Net Assets - 100.0%

        $  3,610,839,666  
     

 

 

 
 

 

Transamerica Funds

    Page    9         

Transamerica Short-Term Bond

 

SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

INVESTMENT VALUATION:

 

Valuation Inputs (I)

 

     Level 1 -
Unadjusted
Quoted
Prices
     Level 2 -
Other
Significant
Observable
Inputs
     Level 3 -
Significant
Unobservable
Inputs
     Value  

ASSETS

 

Investments

 

Asset-Backed Securities

   $ —        $ 445,243,137      $ —        $ 445,243,137  

Corporate Debt Securities

     —          2,412,913,882        —          2,412,913,882  

Foreign Government Obligation

     —          2,303,251        —          2,303,251  

Loan Assignment

     —          9,962,531        —          9,962,531  

Mortgage-Backed Securities

     —          617,054,155        —          617,054,155  

U.S. Government Agency Obligation

     —          305,439        —          305,439  

Other Investment Company

     25,708,418        —          —          25,708,418  

Repurchase Agreement

     —          138,754,113        —          138,754,113  
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Investments

   $     25,708,418      $     3,626,536,508      $     —        $     3,652,244,926  
  

 

 

    

 

 

    

 

 

    

 

 

 

FOOTNOTES TO SCHEDULE OF INVESTMENTS:

 

(A)      Floating or variable rate securities. The rates disclosed are as of July 31, 2021. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
(B)      Securities are exempt from registration pursuant to Rule 144A of the Securities Act of 1933. Securities may be resold as transactions exempt from registration, normally to qualified institutional buyers. At July 31, 2021, the total value of 144A securities is $1,819,376,267, representing 50.4% of the Fund’s net assets.
(C)      All or a portion of the securities are on loan. The total value of all securities on loan is $26,148,823, collateralized by cash collateral of $25,708,418 and non-cash collateral, such as U.S. government securities and irrevocable letters of credit, of $986,190. The amount of securities on loan indicated may not correspond with the securities on loan identified because securities with pending sales are in the process of recall from the brokers.
(D)      When-issued, delayed-delivery and/or forward commitment (including TBAs) securities. Securities to be settled and delivered after July 31, 2021. Securities may display a coupon rate of 0.00%, as the rate is to be determined at time of settlement.
(E)      Step bond. Coupon rate changes in increments to maturity. The rate disclosed is as of July 31, 2021; the maturity date disclosed is the ultimate maturity date.
(F)      Fair valued as determined in good faith in accordance with procedures established by the Board. At July 31, 2021, the value of the security is $16,859,784, representing 0.5% of the Fund’s net assets.
(G)      Percentage rounds to less than 0.1% or (0.1)%.
(H)      Rates disclosed reflect the yields at July 31, 2021.
(I)      There were no transfers in or out of Level 3 during the period ended July 31, 2021. Please reference the Investment Valuation section of the Notes to Schedule of Investments for more information regarding investment valuation and pricing inputs.

PORTFOLIO ABBREVIATIONS:

 

LIBOR

   London Interbank Offered Rate

SOFR

   Secured Overnight Financing Rate

 

Transamerica Funds

    Page    10         

Transamerica Short-Term Bond

 

NOTES TO SCHEDULE OF INVESTMENTS

At July 31, 2021

(unaudited)

 

INVESTMENT VALUATION

All investments in securities are recorded at their estimated fair value. The Fund values its investments at the official close of the New York Stock Exchange (“NYSE”) each day the NYSE is open for business.

The Fund utilizes various methods to measure the fair value of its investments on a recurring basis. Generally Accepted Accounting Principles in the United States of America establishes a hierarchy that prioritizes inputs to valuation methods. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The three levels (“Levels”) of inputs of the fair value hierarchy are defined as follows:

Level 1 — Unadjusted quoted prices in active markets for identical securities.

Level 2 — Inputs, other than quoted prices included in Level 1, which are observable, either directly or indirectly. These inputs may include quoted prices for the identical instrument on an inactive market, prices for similar instruments, interest rates, prepayment speeds, credit risk, yield curves, default rates, and similar data.

Level 3 — Unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available, which may include the Fund’s own assumptions used in determining the fair value of investments.

The inputs used to measure fair value may fall into different Levels of the fair value hierarchy. In such cases, for disclosure purposes, the Level in the fair value hierarchy that is assigned to the fair value measurement of a security is determined based on the lowest Level input that is significant to the fair value measurement in its entirety. Certain investments that are measured at fair value using Net Asset Value (“NAV”) per share, or its equivalent, using the “practical expedient” have not been classified in the fair value Levels. The hierarchy classification of inputs used to value the Fund’s investments at July 31, 2021, is disclosed within the Investment Valuation section of the Schedule of Investments.

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, but not limited to, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is generally greatest for instruments categorized in Level 3. Due to the inherent uncertainty of valuation, the determination of values may differ significantly from values that would have been realized had a ready market for investments existed, and the differences could be material.

Fair value measurements: Descriptions of the valuation techniques applied to the Fund’s significant categories of assets and liabilities measured at fair value on a recurring basis are as follows:

Asset-backed securities: The fair value of asset-backed securities is estimated based on models that consider the estimated cash flows of each tranche of the entity, establish a benchmark yield, and develop an estimated tranche specific spread to the benchmark yield based on the unique attributes of the tranche. To the extent the inputs are observable and timely, the values would generally be categorized in Level 2 of the fair value hierarchy; otherwise they would be categorized in Level 3.

Corporate debt securities: The fair value of corporate debt securities is estimated using various techniques, which consider recently executed transactions in securities of the issuer or comparable issuers, market price quotations (where observable), bond spreads, fundamental data relating to the issuer, and credit default swap spreads adjusted for any basis difference between cash and derivative instruments. While most corporate debt securities are categorized in Level 2 of the fair value hierarchy, in instances where lower relative weight is placed on transaction prices, quotations, or similar observable inputs, they are categorized in Level 3.

Foreign government obligations: Foreign government obligations are normally valued using a model that incorporates market observable data such as reported sales of similar securities, broker quotes, yields, bids, offers, and reference data. Certain securities are valued by principally using dealer quotations. Foreign government obligations generally are categorized in Level 2 of the fair value hierarchy, or Level 3 if inputs are unobservable.

Loan assignments: Loan assignments are normally valued using an income approach, which projects future cash flows and converts those future cash flows to a present value using a discount rate. The resulting present value reflects the likely fair value of the loan. To the extent the inputs are observable and timely, the values would generally be categorized in Level 2 of the fair value hierarchy; otherwise are categorized in Level 3.

 

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Transamerica Short-Term Bond

 

NOTES TO SCHEDULE OF INVESTMENTS (continued)

At July 31, 2021

(unaudited)

 

Mortgage-backed securities: The fair value of mortgage-backed securities is estimated based on models that consider issuer type, coupon, cash flows, mortgage prepayment projection tables and adjustable rate mortgage evaluations that incorporate index data, periodic life caps and the next coupon reset date. To the extent the inputs are observable and timely, the values would generally be categorized in Level 2 of the fair value hierarchy; otherwise they are categorized in Level 3.

U.S. government agency obligations: U.S. government agency obligations are comprised of two main categories consisting of agency issued debt and mortgage pass-throughs. Generally, agency issued debt securities are valued in a manner similar to U.S. government obligations. Mortgage pass-throughs include to be announced (“TBA”) securities and mortgage pass-through certificates. Generally, TBA securities and mortgage pass-throughs are valued using dealer quotations. Depending on market activity levels and whether quotations or other observable data are used, these securities are typically categorized in Level 2 of the fair value hierarchy; otherwise they would be categorized in Level 3.

Securities lending collateral: Securities lending collateral is invested in a money market fund which is valued at the actively traded NAV and no valuation adjustments are applied. Securities lending collateral is categorized in Level 1 of the fair value hierarchy.

Repurchase agreements: Repurchase agreements are valued at cost, which approximates fair value. To the extent the inputs are observable and timely, the values are generally categorized in Level 2 of the fair value hierarchy.

 

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