0001752724-21-261627.txt : 20211129 0001752724-21-261627.hdr.sgml : 20211129 20211129100409 ACCESSION NUMBER: 0001752724-21-261627 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 4 CONFORMED PERIOD OF REPORT: 20210930 FILED AS OF DATE: 20211129 PERIOD START: 20211231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: HOMESTEAD FUNDS INC CENTRAL INDEX KEY: 0000865733 IRS NUMBER: 000000000 STATE OF INCORPORATION: MD FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-06136 FILM NUMBER: 211453319 BUSINESS ADDRESS: STREET 1: 4301 WILSON BLVD STREET 2: C/O NATIONAL RURAL ELEC COOPERATIVE ASSO CITY: ARLINGTON STATE: VA ZIP: 22203 BUSINESS PHONE: 8002583030 MAIL ADDRESS: STREET 1: 4301 WILSON BLVD CITY: ARLINGTON STATE: VA ZIP: 22203 0000865733 S000010528 Value Fund C000029061 Value Fund HOVLX NPORT-P 1 primary_doc.xml NPORT-P false 0000865733 XXXXXXXX S000010528 C000029061 HOMESTEAD FUNDS INC 811-06136 0000865733 54930064OKHCLZTUHW53 4301 WILSON 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Fund Holdings
September 30, 2021
Our Funds
Daily Income Fund (HDIXX)
Short-Term Government Securities Fund (HOSGX)
Short-Term Bond Fund (HOSBX)
Intermediate Bond Fund (HOIBX)
Rural America Growth & Income Fund (HRRLX)
Stock Index Fund (HSTIX)
Value Fund (HOVLX)
Growth Fund (HNASX)
International Equity Fund (HISIX)
Small-Company Stock Fund (HSCSX)


Portfolio of Investments
Daily Income Fund  |  September 30, 2021  |  (Unaudited)

U.S. Government & Agency Obligations | 87.1% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Federal Farm Credit Bank  0.19%(a)  11/02/21  $8,650,000  $8,651,277
Federal Farm Credit Bank  0.06(a)  11/16/22  1,000,000  999,977
Federal Farm Credit Bank  0.09(a)  05/19/23  1,000,000  1,000,000
Federal Farm Credit Bank  0.08(a)  06/14/23  500,000  500,000
Federal Home Loan Bank  0.02  10/08/21  5,900,000  5,899,977
Federal Home Loan Bank  0.03  10/29/21  9,000,000  8,999,790
U.S. Treasury Bill  0.03  10/05/21  17,000,000  16,999,939
U.S. Treasury Bill  0.05  10/07/21  4,000,000  3,999,969
U.S. Treasury Bill  0.05  10/15/21  13,000,000  12,999,772
U.S. Treasury Bill  0.05  11/09/21  2,000,000  1,999,895
U.S. Treasury Bill  0.03  11/18/21  2,000,000  1,999,920
U.S. Treasury Bill  0.03  11/26/21  5,000,000  4,999,767
U.S. Treasury Bill  0.04  11/30/21  7,000,000  6,999,564
U.S. Treasury Bill  0.05  12/02/21  4,000,000  3,999,690
U.S. Treasury Bill  0.05  12/09/21  8,000,000  7,999,310
U.S. Treasury Bill  0.04  12/16/21  6,000,000  5,999,493
U.S. Treasury Bill  0.04  12/21/21  2,000,000  1,999,802
U.S. Treasury Bill  0.03  12/23/21  11,500,000  11,499,251
U.S. Treasury Bill  0.04  01/04/22  13,000,000  12,999,104
U.S. Treasury Bill  0.04  01/18/22  5,000,000  4,999,466
U.S. Treasury Bill  0.05  02/01/22  5,000,000  4,999,174
U.S. Treasury Bill  0.06  02/03/22  4,000,000  3,999,236
U.S. Treasury Bill  0.05  02/24/22  2,000,000  1,999,594
U.S. Treasury Bill  0.07  06/16/22  1,500,000  1,499,248
U.S. Treasury Bill  0.08  07/14/22  1,000,000  999,404
U.S. Treasury Bill  0.08  08/11/22  5,000,000  4,996,511
U.S. Treasury Note  2.88  10/15/21  3,500,000  3,503,790
U.S. Treasury Note  0.09(a)  07/31/22  4,000,000  4,001,515
U.S. Treasury Note  2.00  07/31/22  2,000,000  2,031,705
U.S. Treasury Note  0.08(a)  01/31/23  6,000,000  6,001,947
U.S. Treasury Note  0.07(a)  04/30/23  4,100,000  4,100,288
U.S. Treasury Note  0.06(a)  07/31/23  3,500,000  3,500,056
Total U.S. Government & Agency Obligations        
(Cost $167,178,431)       167,178,431
    
Money Market Fund | 12.9% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  0.03(b)    24,797,364  24,797,364
Total Money Market Fund        
(Cost $24,797,364)       24,797,364
Total Investments in Securities        
(Cost $191,975,795) | 100.0%       $191,975,795
(a) Variable coupon rate as of September 30, 2021.
(b) 7-day yield at September 30, 2021.
At September 30, 2021, the cost of investment securities for tax purposes was $191,975,795. There were no unrealized gains or losses.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
                
1

Portfolio of Investments  |  Daily Income Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Daily Income Fund Level 1 Level 2 Level 3 Total
U.S. Government & Agency Obligations

$$167,178,431 $$167,178,431
Money Market Fund

24,797,364 24,797,364
Total $24,797,364 $167,178,431 $ — $191,975,795
2
                

Portfolio of Investments
Short-Term Government Securities Fund  |  September 30, 2021  |  (Unaudited)

Corporate Bonds Guaranteed by Export-Import Bank of the United States | 48.9% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Consumer Discretionary | 0.1%    
Ethiopian Leasing (2012) LLC  2.68%  07/30/25  $74,697  $77,568
Total Consumer Discretionary       77,568
Energy | 21.3%    
Petroleos Mexicanos  2.00  12/20/22  1,260,450  1,273,544
Petroleos Mexicanos  1.95  12/20/22  762,150  769,750
Petroleos Mexicanos  1.70  12/20/22  85,500  86,201
Petroleos Mexicanos  2.38  04/15/25  648,400  667,458
Petroleos Mexicanos  0.48(a)  04/15/25  8,062,500  8,064,678
Petroleos Mexicanos  2.46  12/15/25  780,750  809,640
Reliance Industries Ltd.  2.06  01/15/26  2,433,600  2,505,090
Reliance Industries Ltd.  1.87  01/15/26  3,135,789  3,214,515
Reliance Industries Ltd.  2.44  01/15/26  985,263  1,022,513
Total Energy       18,413,389
Financials | 27.5%    
CES MU2 LLC  1.99  05/13/27  1,867,490  1,927,724
Durrah MSN 35603  1.68  01/22/25  651,938  662,657
DY8 Leasing LLC  2.63  04/29/26  187,500  195,461
DY9 Leasing LLC  2.37  03/19/27  681,958  710,772
Export Lease Eleven Co. LLC  0.41(a)  07/30/25  73,957  73,920
Helios Leasing II LLC  2.67  03/18/25  2,006,501  2,079,072
HNA 2015 LLC  2.29  06/30/27  274,308  285,939
HNA 2015 LLC  2.37  09/18/27  160,502  167,776
KE Export Leasing 2013-A LLC  0.38(a)  02/25/25  2,154,204  2,151,246
Lulwa Ltd.  1.89  02/15/25  1,295,571  1,328,449
Lulwa Ltd.  1.83  03/26/25  409,507  418,075
Mexican Aircraft Finance IV  2.54  07/13/25  184,211  190,665
Mexican Aircraft Finance V  2.33  01/14/27  247,500  257,271
MSN 41079 and 41084 Ltd.  1.72  07/13/24  2,270,183  2,305,768
MSN 41079 and 41084 Ltd.  1.63  12/14/24  577,615  586,767
Osprey Aircraft Leasing LLC  2.21  06/21/25  138,180  142,223
Penta Aircraft Leasing 2013 LLC  1.69  04/29/25  656,281  667,927
Pluto Aircraft Leasing LLC  0.34(a)  02/07/23  1,454,541  1,453,308
Rimon LLC  2.45  11/01/25  191,250  197,985
Safina Ltd.  1.55  01/15/22  85,880  85,988
Safina Ltd.  2.00  12/30/23  923,780  940,212
Salmon River Export LLC  2.19  09/15/26  889,544  918,856
Sandalwood 2013 LLC  2.84  07/10/25  293,029  305,211
Sandalwood 2013 LLC  2.82  02/12/26  372,322  389,561
Santa Rosa Leasing LLC  1.69  08/15/24  181,280  183,923
Santa Rosa Leasing LLC  1.47  11/03/24  290,163  293,776
Thirax 1 LLC  0.97  01/14/33  1,922,240  1,892,971
VCK Lease SA  2.59  07/24/26  56,884  59,391
Washington Aircraft 2 Co. DAC  0.56(a)  06/26/24  2,977,622  2,982,560
Total Financials       23,855,454
                
3

Portfolio of Investments  |  Short-Term Government Securities Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 48.9% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Industrials | Less than 0.1%    
Sayarra Ltd.  2.77%  10/29/21  $14,329  $14,352
Total Industrials       14,352
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $41,959,177)       42,360,763
    
U.S. Government & Agency Obligations | 41.5% of portfolio
Export-Import Bank of the U.S.  1.90  07/12/24  937,402  953,766
Export-Import Bank of the U.S.  1.73  09/18/24  2,297,838  2,336,310
Export-Import Bank of the U.S.  1.58  11/16/24  164,312  166,714
Private Export Funding Corp.  1.75  11/15/24  1,000,000  1,033,162
U.S. Department of Housing & Urban Development  6.12  08/01/22  10,000  10,198
U.S. Department of Housing & Urban Development  5.77  08/01/26  94,000  95,643
U.S. International Development Finance Corp.  2.22(b)  01/24/25  2,000,000  2,190,220
U.S. International Development Finance Corp.  1.27(b)  06/21/25  1,000,000  1,025,994
U.S. International Development Finance Corp.  0.00(c)  07/17/25  1,000,000  998,838
U.S. International Development Finance Corp.  0.00(c)  01/17/26  700,000  770,074
U.S. International Development Finance Corp.  0.95(b)  04/23/29  5,000,000  5,104,697
U.S. International Development Finance Corp.  1.11  05/15/29  1,000,000  1,002,239
U.S. International Development Finance Corp.  2.36  10/15/29  1,855,895  1,956,240
U.S. International Development Finance Corp.  1.05  10/15/29  1,855,895  1,853,130
U.S. International Development Finance Corp.  1.24  08/15/31  1,500,000  1,484,730
U.S. Treasury Note  0.38  09/15/24  9,325,000  9,284,932
U.S. Treasury Note  0.75  08/31/26  59,000  58,369
U.S. Treasury Note  1.50  01/31/27  5,435,000  5,563,020
Total U.S. Government & Agency Obligations        
(Cost $35,535,994)       35,888,276
    
Asset-Backed Securities | 3.0% of portfolio
Avid Automobile Receivables Trust 19-1 (d)  2.62  02/15/24  17,852  17,889
Carvana Auto Receivables Trust 20-N1A (d)  2.01  03/17/25  250,000  251,801
Consumer Loan Underlying Bond 19-HP1 (d)  2.59  12/15/26  37,346  37,579
CPS Auto Trust 20-AB (d)  2.36  02/15/24  93,859  94,155
CPS Auto Trust 20-CA (d)  0.63  03/15/24  40,871  40,887
Credit Acceptance Auto Loan Trust 20-3A (d)  1.24  10/15/29  250,000  252,191
First Investors Auto Owner Trust 21-2A (d)  0.48  03/15/27  193,627  193,526
Foursight Capital Automobile Receivables Trust 19-1 (d)  2.67  03/15/24  105,656  106,026
Freedom Financial 21-2 (d)  0.68  06/19/28  73,420  73,459
GLS Auto Receivables Trust 19-4 (d)  2.47  11/15/23  49,525  49,660
GLS Auto Receivables Trust 21-3A (d)  0.42  01/15/25  150,000  150,004
Gracie Point International Fund 21-1 (d)  0.85(a)  11/01/23  205,999  205,999
Marlette Funding Trust 19-3 (d)  2.69  09/17/29  2,647  2,649
Marlette Funding Trust 21-1 (d)  0.60  06/16/31  197,999  198,106
Oasis Securitisation 21-1A (d)  2.58  02/15/33  170,908  171,309
SBA Tower Trust (d)  3.45  03/15/23  290,000  293,661
SBA Tower Trust (d)  2.84  01/15/25  250,000  258,919
SoFi Consumer Loan Program Trust 19-4 (d)  2.45  08/25/28  8,734  8,766
Upstart Securitization Trust 19-3 (d)  2.68  01/21/30  32,745  32,823
Upstart Securitization Trust 21-3 (d)  0.83  07/20/31  145,225  145,245
Total Asset-Backed Securities        
(Cost $2,581,962)       2,584,654
    
4
                

Portfolio of Investments  |  Short-Term Government Securities Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Corporate Bonds–Other | 2.4% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
Communication Services | 0.1%    
Verizon Communications Inc.  1.22%(a)  05/15/25  $100,000  $102,730
Total Communication Services       102,730
Financials | 2.3%    
Athene Global Funding (d)  2.50  01/14/25  100,000  103,947
Bank of America Corp.  0.76(a)  10/24/24  250,000  252,419
Citigroup Inc.  1.22(a)  05/17/24  250,000  253,788
Goldman Sachs Group, Inc.  0.55(a)  09/10/24  250,000  250,374
J.P. Morgan Chase & Co.  1.04(a)  02/04/27  100,000  98,106
Main Street Capital Corp.  3.00  07/14/26  500,000  509,985
Owl Rock Core Income Corp. (d)  3.13  09/23/26  250,000  248,065
Owl Rock Technology Finance Corp.  2.50  01/15/27  250,000  250,969
Total Financials       1,967,653
Total Corporate Bonds–Other        
(Cost $2,049,272)       2,070,383
    
Mortgage-Backed Security | 0.9% of portfolio
GNMA 21-8  1.00  01/20/50  795,626  790,624
Total Mortgage-Backed Security        
(Cost $796,245)       790,624
    
Municipal Bonds | 0.8% of portfolio
California | 0.3%    
Gardena California Pension Obligation  2.07  04/01/26  200,000  205,822
Total California       205,822
Minnesota | 0.1%    
Shakopee Minnesota Independent School District No. 720  0.81  02/01/26  100,000  98,734
Total Minnesota       98,734
New York | 0.2%    
Suffolk County New York  0.90  06/15/22  100,000  100,266
Suffolk County New York  1.05  06/15/23  100,000  100,608
Total New York       200,874
Texas | 0.2%    
Harris County Texas Cultural Education Facilities Finance Corp.  1.45  11/15/22  200,000  202,071
Total Texas       202,071
Total Municipal Bonds        
(Cost $700,000)       707,501
    
                
5

Portfolio of Investments  |  Short-Term Government Securities Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Money Market Fund | 2.5% of portfolio
  Interest Rate /Yield   Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class  0.03%(e)    2,178,101  $2,178,101
Total Money Market Fund        
(Cost $2,178,101)       2,178,101
Total Investments in Securities        
(Cost $85,800,751) | 100.0%       $86,580,302
(a) Variable coupon rate as of September 30, 2021.
(b) Interest is paid at maturity.
(c) Zero coupon rate, purchased at a discount.
(d) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Directors. The total of such securities at period-end amounts to $2,936,666 and represents 3.4% of total investments.
(e) 7-day yield at September 30, 2021.
LLC - Limited Liability Company
SA - Sociedad Anonima or Societe Anonyme
DAC - Designated Activity Company
At September 30, 2021, the cost of investment securities for tax purposes was $85,800,751. Net unrealized appreciation of investment securities was $779,551 consisting of unrealized gains of $888,100 and unrealized losses of $108,549.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Short-Term Government Securities Fund Level 1 Level 2 Level 3 Total
Corporate Bonds Guaranteed by Export-Import Bank of the United States

$$42,360,763 $$42,360,763
U.S. Government & Agency Obligations

35,888,276 35,888,276
Asset-Backed Securities

2,584,654 2,584,654
Corporate Bonds–Other

2,070,383 2,070,383
Mortgage-Backed Security

790,624 790,624
Municipal Bonds

707,501 707,501
Money Market Fund

2,178,101 2,178,101
Total $2,178,101 $84,402,201 $ — $86,580,302
6
                

Portfolio of Investments
Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)

Corporate Bonds–Other | 35.1% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Communication Services | 3.1%    
Baidu Inc.  3.88%  09/29/23  $1,165,000  $1,230,100
Sprint Spectrum Co. LLC (a)  4.74  03/20/25  1,750,000  1,869,000
Verizon Communications Inc.  1.22(b)  05/15/25  9,725,000  9,990,501
Verizon Communications Inc.  0.85  11/20/25  1,700,000  1,681,411
Verizon Communications Inc.  3.00  03/22/27  2,500,000  2,682,951
Walt Disney Co. (The)  1.75  01/13/26  420,000  430,932
Total Communication Services       17,884,895
Consumer Discretionary | 2.9%    
Amazon.com, Inc.  0.45  05/12/24  5,000,000  4,989,876
Amazon.com, Inc.  1.00  05/12/26  2,780,000  2,776,766
American Honda Finance Corp.  0.65  09/08/23  2,000,000  2,007,649
Daimler Finance North America LLC (a)  3.30  05/19/25  920,000  987,068
Ford Motor Co.  8.50  04/21/23  1,000,000  1,099,940
Ralph Lauren Corp.  1.70  06/15/22  1,000,000  1,010,044
Ralph Lauren Corp.  3.75  09/15/25  850,000  931,537
US Airways 2013 1A PTT  3.95  05/15/27  3,271,988  3,331,533
Total Consumer Discretionary       17,134,413
Consumer Staples | 1.7%    
7-Eleven, Inc. (a)  0.58(b)  08/10/22  595,000  595,149
7-Eleven, Inc. (a)  0.63  02/10/23  1,000,000  1,000,360
7-Eleven, Inc. (a)  0.80  02/10/24  1,090,000  1,089,444
7-Eleven, Inc. (a)  0.95  02/10/26  800,000  785,693
Altria Group, Inc.  4.40  02/14/26  1,339,000  1,503,894
Philip Morris International Inc.  0.88  05/01/26  2,000,000  1,962,961
Walmart Inc.  1.05  09/17/26  3,000,000  2,999,288
Total Consumer Staples       9,936,789
Energy | 1.0%    
Midwest Connector Capital Co. LLC (a)  3.63  04/01/22  2,676,000  2,707,666
Midwest Connector Capital Co. LLC (a)  3.90  04/01/24  1,665,000  1,741,375
Phillips 66 Co.  1.30  02/15/26  1,500,000  1,491,431
Total Energy       5,940,472
Financials | 18.7%    
American Express Co.  0.87(b)  08/03/23  862,000  871,480
Antares Holdings LP  2.75  01/15/27  1,000,000  1,000,905
Astrazeneca Finance LLC  1.20  05/28/26  2,000,000  2,000,505
Athene Global Funding (a)  2.50  01/14/25  5,715,000  5,940,579
Aviation Capital Group (a)  1.95  01/30/26  3,000,000  2,989,162
Aviation Capital Group (a)  1.95  09/20/26  1,285,000  1,271,374
Bank of America Corp.  0.76(b)  10/24/24  1,805,000  1,822,469
Bank of America Corp.  4.00  01/22/25  1,210,000  1,314,865
Bank of America Corp.  3.95  04/21/25  2,210,000  2,408,375
Bank of America Corp.  2.46(b)  10/22/25  2,200,000  2,297,966
Bank of America Corp.  2.02(b)  02/13/26  2,100,000  2,154,543
Bank of America Corp.  1.32(b)  06/19/26  2,100,000  2,099,487
Bank of America Corp.  1.20(b)  10/24/26  920,000  913,087
BOC Aviation (USA) Corp. (a)  1.63  04/29/24  2,100,000  2,116,137
Capital One Financial Corp.  4.25  04/30/25  1,409,000  1,557,775
Capital Southwest Corp.  3.38  10/01/26  1,750,000  1,771,875
                
7

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Corporate Bonds–Other | 35.1% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Financials | 18.7% (Continued)    
Citigroup Inc.  1.22%(b)  05/17/24  $5,337,000  $5,417,856
Citigroup Inc.  7.00  12/01/25  4,000,000  4,860,316
Citigroup Inc.  3.11(b)  04/08/26  1,800,000  1,911,150
F&G Global Funding (a)  0.90  09/20/24  2,000,000  1,996,320
F&G Global Funding (a)  1.75  06/30/26  2,500,000  2,515,325
Fidus Investment Corp.  4.75  01/31/26  490,000  519,854
GA Global Funding Trust (a)  0.80  09/13/24  920,000  915,658
Goldman Sachs Group, Inc.  0.67(b)  03/08/24  5,320,000  5,326,331
Goldman Sachs Group, Inc.  0.55(b)  09/10/24  3,750,000  3,755,602
Goldman Sachs Group, Inc.  3.50  04/01/25  2,065,000  2,220,088
J.P. Morgan Chase & Co.  4.02(b)  12/05/24  1,225,000  1,312,074
J.P. Morgan Chase & Co.  2.30(b)  10/15/25  2,130,000  2,209,262
J.P. Morgan Chase & Co.  2.08(b)  04/22/26  2,055,000  2,113,694
J.P. Morgan Chase & Co.  1.04(b)  02/04/27  910,000  892,765
Main Street Capital Corp.  5.20  05/01/24  3,635,000  3,936,924
Main Street Capital Corp.  3.00  07/14/26  3,815,000  3,891,184
Met Tower Global Funding (a)  1.25  09/14/26  705,000  701,444
Morgan Stanley  0.72(b)  01/20/23  372,000  372,876
Morgan Stanley  3.74(b)  04/24/24  1,020,000  1,070,255
Morgan Stanley  0.79(b)  05/30/25  2,770,000  2,761,497
Morgan Stanley  2.19(b)  04/28/26  425,000  438,814
Morgan Stanley  1.51(b)  07/20/27  865,000  860,888
Owl Rock Core Income Corp. (a)  3.13  09/23/26  2,250,000  2,222,325
Owl Rock Technology Finance Corp.  2.50  01/15/27  3,660,000  3,674,186
PACCAR Financial Corp.  0.80  06/08/23  1,000,000  1,005,723
Protective Life Global Funding (a)  1.17  07/15/25  850,000  848,968
Saratoga Investment Corp.  4.38  02/28/26  735,000  756,914
SCE Recovery Funding LLC  0.86  11/15/31  1,885,000  1,824,810
Security Benefit Global Funding (a)  1.25  05/17/24  4,000,000  4,026,794
Volkswagen Group of America Finance LLC (a)  1.25  11/24/25  6,555,000  6,525,494
Wells Fargo & Co.  2.16(b)  02/11/26  3,270,000  3,373,171
Wells Fargo & Co.  2.19(b)  04/30/26  2,120,000  2,188,127
Total Financials       108,977,273
Health Care | 2.0%    
AmerisourceBergen Corp.  0.74  03/15/23  5,000,000  5,007,598
Baylor Scott & White Holdings  0.83  11/15/25  1,000,000  976,636
Cigna Corp.  1.02(b)  07/15/23  1,830,000  1,852,397
Cigna Corp.  1.25  03/15/26  2,695,000  2,689,266
Sutter Health  1.32  08/15/25  915,000  918,135
Total Health Care       11,444,032
Industrials | 1.9%    
American Airlines Group Inc.  3.60  03/22/29  2,218,435  2,297,217
BNSF Railway Co. (a)  3.44  06/16/28  387,160  423,215
Burlington Northern & Santa Fe Railway Co.  4.83  01/15/23  6,556  6,705
Caterpillar Financial Services Corp.  2.15  11/08/24  940,000  982,033
Delta Air Lines, Inc. (a)  7.00  05/01/25  965,000  1,125,431
Delta Air Lines, Inc.  7.38  01/15/26  730,000  860,043
United Airlines, Inc.  5.88  04/15/29  4,637,375  5,189,419
Total Industrials       10,884,063
8
                

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Corporate Bonds–Other | 35.1% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Information Technology | 0.4%    
PayPal Holdings, Inc.  1.65%  06/01/25  $1,265,000  $1,296,308
Texas Instruments Inc.  1.13  09/15/26  1,000,000  999,140
Total Information Technology       2,295,448
Materials | 0.8%    
E. I. Du Pont De Nemours and Co.  1.70  07/15/25  500,000  510,407
Georgia-Pacific LLC (a)  0.95  05/15/26  1,450,000  1,431,407
Nucor Corp.  2.00  06/01/25  1,000,000  1,029,422
PPG Industries, Inc.  1.20  03/15/26  2,000,000  1,991,564
Total Materials       4,962,800
Real Estate | 0.4%    
Federal Realty Investment Trust  1.25  02/15/26  1,231,000  1,220,437
Service Properties Trust  7.50  09/15/25  930,000  1,044,148
Total Real Estate       2,264,585
Utilities | 2.2%    
Brooklyn Union Gas Co. (a)  3.41  03/10/26  3,200,000  3,425,504
Entergy Louisiana, LLC  3.78  04/01/25  1,445,000  1,559,786
NextEra Energy Capital Holdings, Inc.  2.75  05/01/25  500,000  527,327
PPL Electric Utilities Corp.  0.38(b)  09/28/23  1,000,000  1,000,041
San Diego Gas & Electric Co.  1.91  02/01/22  355,180  355,896
Southern California Edison Co.  0.39(b)  12/03/21  1,800,000  1,800,228
Southern California Edison Co.  1.85  02/01/22  585,000  586,798
Southern California Edison Co.  1.10  04/01/24  1,850,000  1,858,938
Southern California Edison Co.  1.20  02/01/26  2,065,000  2,046,604
Total Utilities       13,161,122
Total Corporate Bonds–Other        
(Cost $202,720,956)       204,885,892
    
U.S. Government & Agency Obligations | 31.9% of portfolio
U.S. Department of Housing & Urban Development  6.12  08/01/22  10,000  10,198
U.S. International Development Finance Corp.  0.67(c)  04/23/29  1,230,000  1,235,866
U.S. International Development Finance Corp.  2.36  10/15/29  784,116  826,512
U.S. International Development Finance Corp.  1.05  10/15/29  1,127,456  1,125,777
U.S. Treasury Note  0.09(b)  10/31/22  20,900,000  20,909,304
U.S. Treasury Note  0.08(b)  01/31/23  7,300,000  7,303,159
U.S. Treasury Note  0.13  08/31/23  28,465,000  28,389,390
U.S. Treasury Note  0.38  09/15/24  110,160,000  109,686,656
U.S. Treasury Note  0.75  08/31/26  16,473,000  16,296,687
Total U.S. Government & Agency Obligations        
(Cost $186,087,101)       185,783,549
    
Asset-Backed Securities | 12.3% of portfolio
American Credit Acceptance Receivables Trust 19-1 (a)  3.50  04/14/25  296,894  298,496
American Credit Acceptance Receivables Trust 20-3A (a)  0.62  10/13/23  160,558  160,597
American Credit Acceptance Receivables Trust 20-3B (a)  1.15  08/13/24  850,000  852,424
American Credit Acceptance Receivables Trust 21-2 (a)  0.68  05/13/25  625,000  625,262
Avant Credit Card Master Trust 21-1A (a)  1.37  04/15/27  2,500,000  2,491,502
Avid Automobile Receivables Trust 19-1 (a)  2.62  02/15/24  125,320  125,579
                
9

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Asset-Backed Securities | 12.3% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Carvana Auto Receivables Trust 20-N1A (a)  2.01%  03/17/25  $1,560,000  $1,571,240
Colony American Finance Ltd. 21-2 (a)  1.41  07/15/54  907,617  898,113
Consumer Loan Underlying Bond 19-HP1 (a)  2.59  12/15/26  554,586  558,048
Consumer Loan Underlying Bond 20-P1 (a)  2.26  03/15/28  94,060  94,227
CoreVest American Finance 20-4 (a)  1.17  12/15/52  874,774  866,551
CoreVest American Finance 21-1 (a)  1.57  04/15/53  1,298,697  1,299,053
CPS Auto Trust 20-AB (a)  2.36  02/15/24  750,872  753,238
CPS Auto Trust 20-CA (a)  0.63  03/15/24  169,697  169,763
CPS Auto Trust 21-B (a)  0.81  12/15/25  920,000  921,737
Credit Acceptance Auto Loan Trust 19-1A (a)  3.33  02/15/28  477,985  479,314
Credit Acceptance Auto Loan Trust 19-1B (a)  3.75  04/17/28  4,475,000  4,532,451
Credit Acceptance Auto Loan Trust 19-1C (a)  3.94  06/15/28  785,000  801,507
Credit Acceptance Auto Loan Trust 20-1A (a)  2.01  02/15/29  1,725,000  1,749,216
Credit Acceptance Auto Loan Trust 20-2A (a)  1.37  07/16/29  870,000  878,636
Credit Acceptance Auto Loan Trust 20-3A (a)  1.24  10/15/29  2,500,000  2,521,906
Credit Acceptance Auto Loan Trust 21-2A (a)  0.96  02/15/30  1,755,000  1,759,884
Credito Real USA Auto Receivables Trust 21-1 (a)  1.35  02/16/27  1,886,317  1,886,949
DT Auto Owner Trust 18-2D (a)  4.15  03/15/24  195,677  197,962
DT Auto Owner Trust 19-1C (a)  3.61  11/15/24  144,777  145,530
DT Auto Owner Trust 20-3A (a)  0.54  04/15/24  643,605  644,234
Entergy New Orleans Storm Recovery Fund 15-1  2.67  06/01/27  375,787  381,395
Exeter Automobile Receivables Trust 21-1  0.34  03/15/24  790,000  790,258
FIC Funding 21-1 (a)  1.13  04/15/33  1,065,720  1,066,371
First Investors Auto Owner Trust 21-2A (a)  0.48  03/15/27  2,371,932  2,370,693
Flagship Credit Auto Trust 21-3 (a)  0.36  07/15/27  1,935,708  1,934,482
Foursight Capital Automobile Receivables Trust 19-1 (a)  2.67  03/15/24  1,458,056  1,463,160
Freedom Financial 20-1 (a)  2.52  03/18/27  134,974  135,299
Freedom Financial 21-2 (a)  0.68  06/19/28  473,895  474,146
FRTKL 21-SFR1 (a)  1.57  09/17/38  970,000  965,314
GLS Auto Receivables Trust 19-4 (a)  2.47  11/15/23  209,489  210,062
GLS Auto Receivables Trust 20-2 (a)  1.58  08/15/24  939,890  943,732
GLS Auto Receivables Trust 20-3 (a)  0.69  10/16/23  162,421  162,551
GLS Auto Receivables Trust 20-4 (a)  0.52  02/15/24  922,466  923,157
GLS Auto Receivables Trust 21-3A (a)  0.42  01/15/25  2,020,000  2,020,050
Gracie Point International Fund 20-B (a)  1.50(b)  05/02/23  749,971  755,647
Gracie Point International Fund 21-1 (a)  0.85(b)  11/01/23  1,489,995  1,489,995
Longtrain Leasing III LLC 2015-1 (a)  2.98  01/15/45  282,202  287,348
Marlette Funding Trust 19-3 (a)  2.69  09/17/29  48,391  48,430
Marlette Funding Trust 20-2 (a)  1.02  09/16/30  19,787  19,790
Marlette Funding Trust 21-1 (a)  0.60  06/16/31  692,998  693,370
NP SPE II LLC 17-1 (a)  3.37  10/21/47  340,440  349,884
Oasis Securitisation 21-1A (a)  2.58  02/15/33  948,196  950,423
Oportun Funding 21-A (a)  1.21  03/08/28  1,070,000  1,072,858
Oportun Funding 21-B (a)  1.47  05/08/31  2,225,000  2,226,252
Oscar US Funding Trust 21-1A (a)  0.40  03/11/24  786,724  787,138
Progress Residential Trust 21-SFR8 (a)  1.51  10/17/38  1,322,000  1,313,995
SBA Tower Trust (a)  3.45  03/15/23  2,420,000  2,450,551
SBA Tower Trust (a)  2.84  01/15/25  4,765,000  4,934,992
SBA Tower Trust (a)  1.88  01/15/26  1,450,000  1,468,163
SBA Tower Trust (a)  1.63  11/15/26  195,000  194,511
SoFi Consumer Loan Program Trust 18-3 (a)  4.02  08/25/27  470,001  474,272
SoFi Consumer Loan Program Trust 19-4 (a)  2.45  08/25/28  117,914  118,348
United Auto Credit Securitization Trust 20-1B (a)  1.47  11/10/22  432,615  432,905
United Auto Credit Securitization Trust 21-1A (a)  0.34  07/10/23  939,966  940,067
United Auto Credit Securitization Trust 21-1B (a)  0.68  03/11/24  3,230,000  3,235,085
Upstart Securitization Trust 19-3 (a)  2.68  01/21/30  258,027  258,642
Upstart Securitization Trust 21-1 (a)  0.87  03/20/31  729,018  730,331
Upstart Securitization Trust 21-3 (a)  0.83  07/20/31  959,621  959,755
10
                

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Asset-Backed Securities | 12.3% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Upstart Securitization Trust 21-4 (a)  0.84%  09/20/31  $1,545,000  $1,545,072
Westlake Automobile Receivable Trust 19-2A (a)  2.84  07/15/24  1,025,000  1,033,571
Westlake Automobile Receivable Trust 20-3A (a)  0.56  05/15/24  1,680,214  1,682,342
Total Asset-Backed Securities        
(Cost $71,570,178)       71,577,826
    
Yankee Bonds | 12.2% of portfolio
AerCap Ireland Capital DAC  1.75  01/30/26  345,000  341,476
Aircastle Ltd. (a)  5.25  08/11/25  1,243,000  1,389,716
América Móvil, SAB de CV  3.13  07/16/22  1,085,000  1,107,780
Antares Holdings LP  3.95  07/15/26  335,000  353,021
Avolon Holdings Funding Ltd. (a)  2.88  02/15/25  1,840,000  1,893,200
Avolon Holdings Funding Ltd. (a)  5.50  01/15/26  1,850,000  2,073,870
Avolon Holdings Funding Ltd. (a)  2.13  02/21/26  1,500,000  1,484,649
Baidu Inc.  3.08  04/07/25  1,050,000  1,101,379
Banco Bilbao Vizcaya Argentaria SA  1.13  09/18/25  800,000  791,642
Banco Santander SA  1.72(b)  09/14/27  2,000,000  1,990,706
Bank of Montreal  4.34(b)  10/05/28  1,300,000  1,388,132
Barclays PLC  1.50(b)  05/16/24  1,250,000  1,271,536
Barclays PLC  1.01(b)  12/10/24  4,205,000  4,224,338
Barclays PLC  2.85(b)  05/07/26  1,250,000  1,312,928
BMW Finance NV (a)  2.40  08/14/24  2,500,000  2,611,997
BOC Aviation Ltd. (a)  1.26(b)  09/26/23  3,338,000  3,346,561
BPCE SA (a)  1.00  01/20/26  1,500,000  1,475,888
Credit Agricole SA (a)  1.25(b)  01/26/27  2,000,000  1,971,735
Danske Bank AS (a)  0.98  09/10/25  1,250,000  1,247,903
Delta and SkyMiles IP Ltd. (a)  4.50  10/20/25  780,000  834,600
Enel Finance International NV (a)  2.65  09/10/24  3,275,000  3,431,585
Enel Finance International NV (a)  3.63  05/25/27  920,000  1,018,429
Legrand France SA  8.50  02/15/25  3,384,000  4,203,653
Lloyds Banking Group PLC  2.91(b)  11/07/23  1,400,000  1,436,386
Macquarie Group Ltd. (a)  1.34(b)  01/12/27  2,500,000  2,478,171
Mitsubishi UFJ Financial Group, Inc.  1.41  07/17/25  710,000  714,109
Nationwide Building Society (a)  3.62(b)  04/26/23  1,980,000  2,014,429
NatWest Group PLC  2.36(b)  05/22/24  845,000  867,082
NatWest Group PLC  4.52(b)  06/25/24  1,325,000  1,410,296
NatWest Group PLC  4.27(b)  03/22/25  1,330,000  1,435,256
NatWest Markets PLC (a)  0.80  08/12/24  805,000  803,302
Panasonic Corp. (a)  2.68  07/19/24  3,880,000  4,061,805
Reckitt Benckiser Treasury Services PLC (a)  2.75  06/26/24  1,100,000  1,154,769
Saudi Arabian Oil Co. (a)  1.25  11/24/23  800,000  805,120
Saudi Arabian Oil Co. (a)  1.63  11/24/25  500,000  500,025
Schlumberger Finance Canada Ltd.  1.40  09/17/25  1,000,000  1,010,641
Siemens Financieringsmaatschappij NV (a)  1.20  03/11/26  780,000  777,199
Sinopec Group Overseas Development (2012) Ltd.  (a)  3.90  05/17/22  2,100,000  2,141,832
Sumitomo Mitsui Trust Bank Ltd. (a)  0.80  09/16/24  2,500,000  2,494,674
Syngenta Finance NV (a)  4.44  04/24/23  400,000  418,136
Tencent Holdings Ltd. (a)  3.80  02/11/25  1,850,000  1,986,456
Tencent Holdings Ltd. (a)  1.81  01/26/26  1,000,000  1,008,604
Tencent Music Entertainment Group  1.38  09/03/25  3,035,000  2,967,957
Total Yankee Bonds        
(Cost $70,307,018)       71,352,973
    
                
11

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 2.7% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
Energy | 1.8%    
Petroleos Mexicanos  0.48%(b)  04/15/25  $8,793,750  $8,796,124
Petroleos Mexicanos  2.46  12/15/25  197,550  204,860
Reliance Industries Ltd.  1.87  01/15/26  1,426,263  1,462,070
Total Energy       10,463,054
Financials | 0.9%    
MSN 41079 and 41084 Ltd.  1.72  07/13/24  641,768  651,828
MSN 41079 and 41084 Ltd.  1.63  12/14/24  763,318  775,412
Pluto Aircraft Leasing LLC  0.34(b)  02/07/23  169,818  169,674
Santa Rosa Leasing LLC  1.69  08/15/24  689,640  699,694
Thirax 1 LLC  0.97  01/14/33  2,306,688  2,271,565
Washington Aircraft 2 Co. DAC  0.56(b)  06/26/24  968,884  970,491
Total Financials       5,538,664
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $15,978,308)       16,001,718
    
Municipal Bonds | 2.1% of portfolio
Arizona | 0.5%    
Glendale Arizona  1.45  07/01/26  1,000,000  1,000,189
Glendale Arizona  1.72  07/01/27  1,235,000  1,233,841
Pinal County Arizona Revenue Obligation  0.80  08/01/23  410,000  411,638
Total Arizona       2,645,668
California | 0.3%    
Chula Vista California Pension Obligation  0.84  06/01/26  795,000  776,707
EL Cajon California Pension Obligation  1.70  04/01/27  300,000  300,134
Gardena California Pension Obligation  2.07  04/01/26  560,000  576,301
San Francisco California Community College District  1.33  06/15/26  300,000  299,183
Total California       1,952,325
Maine | 0.1%    
Maine Health & Higher Educational Facilities  1.66  07/01/27  300,000  300,438
Maine State Housing Authority  1.70  11/15/26  245,000  247,224
Total Maine       547,662
Minnesota | 0.1%    
Shakopee Minnesota Independent School District No. 720  0.81  02/01/26  400,000  394,938
Total Minnesota       394,938
New Jersey | 0.4%    
New Jersey Housing and Morgage Finance Agency  1.34  04/01/24  720,000  720,933
New Jersey Housing and Morgage Finance Agency  1.49  04/01/25  615,000  614,097
New Jersey Housing and Morgage Finance Agency  1.54  10/01/25  1,065,000  1,060,417
Total New Jersey       2,395,447
New York | 0.5%    
Suffolk County New York  0.90  06/15/22  370,000  370,985
12
                

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Municipal Bonds | 2.1% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
New York | 0.5% (Continued)    
Suffolk County New York  1.05%  06/15/23  $350,000  $352,127
Suffolk County New York  1.41  06/15/24  810,000  819,836
Suffolk County New York  1.61  06/15/25  1,350,000  1,369,113
Total New York       2,912,061
Texas | 0.2%    
Grey Forest Texas Gas System Revenue  1.05  02/01/25  800,000  799,341
Harris County Texas Cultural Education Facilities Finance Corp.  1.45  11/15/22  400,000  404,142
Harris County Texas Cultural Education Facilities Finance Corp.  1.84  11/15/24  205,000  209,995
Total Texas       1,413,478
Total Municipal Bonds        
(Cost $12,257,363)       12,261,579
    
Mortgage-Backed Securities | 0.7% of portfolio
ARM Master Trust 21-T (a)  1.42  01/15/24  950,000  950,142
FHLMC 780754  2.37(b)  08/01/33  805  821
FNMA 813842  1.65(b)  01/01/35  2,629  2,719
GNMA 21-8  1.00  01/20/50  3,003,751  2,984,867
Salomon Brothers Mortgage Securities 97-LB6  6.82  12/25/27  2  2
Total Mortgage-Backed Securities        
(Cost $3,960,184)       3,938,551
    
Money Market Fund | 3.0% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  0.03(d)    17,576,673  17,576,673
Total Money Market Fund        
(Cost $17,576,673)       17,576,673
Total Investments in Securities        
(Cost $580,457,781) | 100.0%       $583,378,761
(a) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Directors. The total of such securities at period-end amounts to $164,031,862 and represents 28.1% of total investments.
(b) Variable coupon rate as of September 30, 2021.
(c) Interest is paid at maturity.
(d) 7-day yield at September 30, 2021.
LLC - Limited Liability Company
LP - Limited Partnership
DAC - Designated Activity Company
SAB de CV - Sociedad Anonima Bursatil de Capital Variable
SAB - Sociedad Anonima Bursatil
SA - Sociedad Anonima or Societe Anonyme
PLC - Public Limited Company
NV - Naamloze Vennottschap
AS - Anonim Sirket
ARM - Adjustable Rate Mortgage
                
13

Portfolio of Investments  |  Short-Term Bond Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
FHLMC - Federal Home Loan Mortgage Corporation
At September 30, 2021, the cost of investment securities for tax purposes was $580,457,781. Net unrealized appreciation of investment securities was $2,920,980 consisting of unrealized gains of $4,216,424 and unrealized losses of $1,295,444.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Short-Term Bond Fund Level 1 Level 2 Level 3 Total
Corporate Bonds–Other

$$204,885,892 $$204,885,892
U.S. Government & Agency Obligations

185,783,549 185,783,549
Asset-Backed Securities

71,577,826 71,577,826
Yankee Bonds

71,352,973 71,352,973
Corporate Bonds Guaranteed by Export-Import Bank of the United States

16,001,718 16,001,718
Municipal Bonds

12,261,579 12,261,579
Mortgage-Backed Securities

3,938,551 3,938,551
Money Market Fund

17,576,673 17,576,673
Total $17,576,673 $565,802,088 $ — $583,378,761
14
                

Portfolio of Investments
Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)

Corporate Bonds–Other | 36.4% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount Value
Communication Services | 1.8%    
AT&T Inc.  2.25%  02/01/32  $145,000  $141,181
AT&T Inc.  3.65  06/01/51  395,000  402,500
AT&T Inc.  3.65  09/15/59  140,000  139,569
Charter Communications Operating LLC  3.70  04/01/51  350,000  340,768
Sprint Spectrum Co. LLC (a)  4.74  03/20/25  393,750  420,525
T-Mobile US, Inc.  3.00  02/15/41  200,000  193,506
Verizon Communications Inc.  0.85  11/20/25  150,000  148,360
Verizon Communications Inc.  2.10  03/22/28  200,000  203,018
Verizon Communications Inc.  2.55  03/21/31  130,000  131,598
Verizon Communications Inc.  2.65  11/20/40  100,000  93,957
Verizon Communications Inc.  3.40  03/22/41  195,000  203,647
Verizon Communications Inc.  3.55  03/22/51  185,000  195,101
Walt Disney Co. (The)  3.50  05/13/40  65,000  71,761
Total Communication Services       2,685,491
Consumer Discretionary | 4.7%    
Amazon.com, Inc.  2.88  05/12/41  355,000  366,154
Amazon.com, Inc.  2.70  06/03/60  160,000  150,238
American Airlines Group, Inc. (a)  5.50  04/20/26  530,000  557,162
American Airlines Group, Inc. (a)  5.75  04/20/29  750,000  808,125
American Airlines Pass Through Trust 2017-1  3.65  02/15/29  128,906  133,059
Block Financial Corp.  2.50  07/15/28  145,000  147,055
Daimler Finance North America LLC (a)  3.30  05/19/25  175,000  187,758
Expedia Group, Inc.  4.63  08/01/27  330,000  374,114
Expedia Group, Inc.  2.95  03/15/31  1,000,000  1,010,560
Ford Motor Co.  8.50  04/21/23  245,000  269,485
Ford Motor Co.  3.37  11/17/23  200,000  204,980
Ford Motor Co.  3.38  11/13/25  200,000  205,500
General Motors Financial Co., Inc.  4.35  01/17/27  150,000  168,164
Harley-Davidson Financial Services, Inc. (a)  3.35  06/08/25  365,000  387,583
Kohl's Corp.  5.55  07/17/45  230,000  275,409
Lowe's Companies, Inc.  1.70  09/15/28  191,000  189,329
Lowe's Companies, Inc.  1.70  10/15/30  180,000  172,095
Lowe's Companies, Inc.  2.80  09/15/41  435,000  423,152
Lowe's Companies, Inc.  3.00  10/15/50  170,000  165,772
McDonald's Corp.  4.20  04/01/50  35,000  41,725
Mileage Plus Holdings, LLC (a)  6.50  06/20/27  225,000  244,669
Murphy Oil USA, Inc. (a)  3.75  02/15/31  100,000  100,625
Tractor Supply Co.  1.75  11/01/30  100,000  96,004
US Airways 2013 1A PTT  3.95  05/15/27  357,192  363,692
Total Consumer Discretionary       7,042,409
Consumer Staples | 0.8%    
7-Eleven Inc. (a)  1.30  02/10/28  60,000  57,680
7-Eleven Inc. (a)  1.80  02/10/31  60,000  57,129
7-Eleven Inc. (a)  2.80  02/10/51  135,000  124,772
Anheuser-Busch InBev SA/NV  4.90  02/01/46  301,000  369,994
Smithfield Foods, Inc. (a)  2.63  09/13/31  340,000  330,534
Walmart Inc.  2.50  09/22/41  260,000  258,869
Total Consumer Staples       1,198,978
Energy | 3.1%    
BP Capital Markets America Inc.  1.75  08/10/30  210,000  204,145
                
15

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 36.4% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Energy | 3.1% (Continued)    
BP Capital Markets America Inc.  2.77%  11/10/50  $210,000  $193,756
Cheniere Corpus Christi Holdings LLC  5.13  06/30/27  180,000  208,099
Cheniere Corpus Christi Holdings LLC  3.70  11/15/29  39,000  42,323
Cheniere Corpus Christi Holdings LLC (a)  2.74  12/31/39  170,000  168,394
Energy Transfer Operating LP  4.50  04/15/24  150,000  162,215
Energy Transfer Operating LP  3.75  05/15/30  318,000  343,618
Energy Transfer Operating LP  6.00  06/15/48  420,000  532,958
Energy Transfer Operating LP  6.50(b)  12/31/99  145,000  150,999
EOG Resources, Inc.  4.38  04/15/30  85,000  99,237
EOG Resources, Inc.  4.95  04/15/50  60,000  79,437
EQM Midstream Partners, LP  4.75  07/15/23  188,000  196,328
EQM Midstream Partners, LP  5.50  07/15/28  68,000  74,706
Gray Oak Pipeline, LLC (a)  2.00  09/15/23  150,000  152,871
HollyFrontier Corp.  2.63  10/01/23  60,000  61,947
Marathon Oil Corp.  4.40  07/15/27  360,000  404,381
Midwest Connector Capital Co. LLC (a)  3.90  04/01/24  85,000  88,899
Midwest Connector Capital Co. LLC (a)  4.63  04/01/29  205,000  220,358
MPLX LP  1.75  03/01/26  80,000  80,493
MPLX LP  2.65  08/15/30  245,000  245,841
National Oilwell Varco, Inc.  3.60  12/01/29  112,000  117,752
Phillips 66  2.15  12/15/30  260,000  253,656
Pioneer Natural Resources Co.  1.90  08/15/30  430,000  411,422
Valero Energy Corp.  1.20  03/15/24  90,000  91,006
Total Energy       4,584,841
Financials | 13.9%    
Athene Global Funding (a)  2.50  01/14/25  1,144,000  1,189,155
Athene Global Funding (a)  2.95  11/12/26  120,000  127,947
Athene Holding Ltd.  3.95  05/25/51  300,000  331,426
Aviation Capital Group (a)  1.95  09/20/26  340,000  336,395
Bank of America Corp.  0.76(b)  10/24/24  300,000  302,903
Bank of America Corp.  3.95  04/21/25  844,000  919,759
Bank of America Corp.  1.20(b)  10/24/26  200,000  198,497
Bank of America Corp.  2.50(b)  02/13/31  263,000  266,153
Bank of America Corp.  1.92(b)  10/24/31  700,000  673,379
Bank of America Corp.  2.68(b)  06/19/41  275,000  265,490
Bank of America Corp.  2.83(b)  10/24/51  300,000  287,463
BOC Aviation (USA) Corp. (a)  1.63  04/29/24  220,000  221,691
CIT Group Inc.  3.93(b)  06/19/24  402,000  420,438
Citigroup Inc.  1.22(b)  05/17/24  150,000  152,273
Citigroup Inc.  4.45  09/29/27  653,000  742,584
Citigroup Inc.  2.98(b)  11/05/30  365,000  383,756
Citigroup Inc.  2.57(b)  06/03/31  870,000  886,794
CoreStates Capital II (a)  0.78(b)  01/15/27  725,000  707,177
Fidus Investment Corp.  4.75  01/31/26  55,000  58,351
GA Global Funding Trust (a)  0.80  09/13/24  240,000  238,867
Goldman Sachs Group, Inc.  3.50  01/23/25  265,000  283,850
Goldman Sachs Group, Inc.  3.50  04/01/25  565,000  607,433
Goldman Sachs Group, Inc.  1.43(b)  03/09/27  350,000  349,038
Goldman Sachs Group, Inc.  3.81(b)  04/23/29  117,000  129,480
Goldman Sachs Group, Inc.  2.38(b)  07/21/32  365,000  361,394
Goldman Sachs Group, Inc.  2.91(b)  07/21/42  230,000  226,769
Iron Mountain Inc. (a)  4.50  02/15/31  80,000  81,144
J.P. Morgan Chase & Co.  2.08(b)  04/22/26  340,000  349,711
16
                

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 36.4% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Financials | 13.9% (Continued)    
J.P. Morgan Chase & Co.  1.04%(b)  02/04/27  $150,000  $147,159
J.P. Morgan Chase & Co.  3.63  12/01/27  722,000  788,640
J.P. Morgan Chase & Co.  2.52(b)  04/22/31  240,000  244,849
J.P. Morgan Chase & Co.  1.95(b)  02/04/32  480,000  463,066
Main Street Capital Corp.  5.20  05/01/24  1,134,000  1,228,190
Main Street Capital Corp.  3.00  07/14/26  930,000  948,572
Met Tower Global Funding (a)  1.25  09/14/26  185,000  184,067
Morgan Stanley  1.51(b)  07/20/27  200,000  199,049
Morgan Stanley  1.79(b)  02/13/32  1,015,000  966,675
Oaktree Specialty Lending Corp.  3.50  02/25/25  399,000  417,937
Owl Rock Core Income Corp. (a)  3.13  09/23/26  676,000  667,685
Owl Rock Technology Finance Corp.  3.75  06/17/26  150,000  158,354
Owl Rock Technology Finance Corp.  2.50  01/15/27  959,000  962,717
Prospect Capital Corp.  3.44  10/15/28  260,000  252,882
Prudential Financial, Inc.  5.70(b)  09/15/48  75,000  87,780
Saratoga Investment Corp.  4.38  02/28/26  171,000  176,098
Security Benefit Global Funding (a)  1.25  05/17/24  300,000  302,010
Volkswagen Group of America Finance LLC (a)  1.25  11/24/25  330,000  328,515
Wells Fargo & Co.  2.19(b)  04/30/26  210,000  216,748
Wells Fargo & Co.  2.39(b)  06/02/28  445,000  458,991
Wells Fargo & Co.  2.57(b)  02/11/31  200,000  204,356
Wells Fargo & Co.  3.07(b)  04/30/41  440,000  452,141
Total Financials       20,955,798
Health Care | 2.0%    
AbbVie Inc.  2.95  11/21/26  160,000  171,383
AbbVie Inc.  4.05  11/21/39  172,000  197,664
AbbVie Inc.  4.25  11/21/49  90,000  106,601
Anthem, Inc.  3.13  05/15/50  60,000  60,685
Becton, Dickinson and Co.  1.96  02/11/31  130,000  126,426
Bristol-Myers Squibb Co.  2.35  11/13/40  170,000  161,758
CVS Health Corp.  2.70  08/21/40  170,000  162,221
HCA Healthcare, Inc.  3.50  07/15/51  228,000  226,013
Humana Inc.  2.15  02/03/32  1,000,000  976,873
Laboratory Corporation of America Holdings  1.55  06/01/26  490,000  490,960
Mylan Inc.  5.20  04/15/48  50,000  61,556
Providence St. Joseph Health Obligation  2.70  10/01/51  213,000  203,056
Sutter Health  1.32  08/15/25  135,000  135,462
Total Health Care       3,080,658
Industrials | 2.9%    
Ashtead Capital, Inc. (a)  1.50  08/12/26  240,000  237,510
Ashtead Capital, Inc. (a)  4.25  11/01/29  308,000  338,271
Ashtead Capital, Inc. (a)  2.45  08/12/31  200,000  196,607
BNSF Railway Co. (a)  3.44  06/16/28  387,160  423,215
Boeing Co. (The)  2.20  02/04/26  700,000  705,160
Boeing Co. (The)  5.71  05/01/40  280,000  355,812
Boeing Co. (The)  5.93  05/01/60  230,000  314,197
Delta Air Lines, Inc. (a)  7.00  05/01/25  250,000  291,563
Delta Air Lines, Inc.  7.38  01/15/26  180,000  212,065
IDEX Corp.  2.63  06/15/31  360,000  366,291
Quanta Services, Inc.  2.35  01/15/32  260,000  254,401
Quanta Services, Inc.  3.05  10/01/41  260,000  250,789
                
17

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 36.4% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Industrials | 2.9% (Continued)    
Union Pacific Corp.  3.20%  05/20/41  $400,000  $421,676
Total Industrials       4,367,557
Information Technology | 1.7%    
Avnet, Inc.  3.00  05/15/31  355,000  356,104
Broadcom Cayman Finance Ltd.  3.88  01/15/27  255,000  280,225
Dell International LLC / EMC Corp.  5.85  07/15/25  110,000  127,975
Dell International LLC / EMC Corp.  4.90  10/01/26  182,000  209,657
Microchip Technology Inc. (a)  0.97  02/15/24  200,000  200,126
Microsoft Corp.  2.92  03/17/52  445,000  460,040
Oracle Corp.  2.88  03/25/31  200,000  205,799
Oracle Corp.  3.65  03/25/41  200,000  206,848
VMware, Inc.  1.40  08/15/26  155,000  154,302
VMware, Inc.  4.70  05/15/30  200,000  235,769
VMware, Inc.  2.20  08/15/31  155,000  151,554
Total Information Technology       2,588,399
Materials | 0.5%    
3M Co.  3.70  04/15/50  60,000  68,518
Glencore Funding LLC (a)  2.63  09/23/31  260,000  254,618
Glencore Funding LLC (a)  3.38  09/23/51  170,000  161,527
Packaging Corp. of America  3.05  10/01/51  170,000  167,628
Silgan Holdings Inc. (a)  1.40  04/01/26  125,000  122,998
Total Materials       775,289
Real Estate | 1.9%    
Crown Castle International Corp.  2.90  04/01/41  450,000  433,762
Extra Space Storage LP  2.35  03/15/32  425,000  415,182
Kimco Realty Corp.  2.25  12/01/31  425,000  415,182
Service Properties Trust  7.50  09/15/25  505,000  566,984
STORE Capital Corp.  2.75  11/18/30  200,000  200,927
VEREIT Operating Partnership, LP  2.20  06/15/28  495,000  500,892
Vornado Realty LP  2.15  06/01/26  150,000  152,352
Welltower Inc.  2.75  01/15/31  95,000  97,901
Total Real Estate       2,783,182
Utilities | 3.1%    
Brooklyn Union Gas Co. (a)  3.41  03/10/26  180,000  192,885
Dominion Energy, Inc.  0.65(b)  09/15/23  90,000  90,021
Emera US Finance LP (a)  2.64  06/15/31  75,000  75,151
Entergy Louisiana, LLC  3.78  04/01/25  325,000  350,817
National Fuel Gas Co.  5.50  01/15/26  307,000  353,618
Pacific Gas & Electric Co.  4.25  08/01/23  644,000  673,793
Pacific Gas & Electric Co.  3.00  06/15/28  225,000  228,961
Pacific Gas & Electric Co.  4.55  07/01/30  130,000  140,573
Pacific Gas & Electric Co.  4.25  03/15/46  770,000  756,919
San Diego Gas & Electric Co.  1.91  02/01/22  60,792  60,915
SCE Recovery Funding LLC  2.51  11/15/43  190,000  180,512
Southern California Edison Co.  1.85  02/01/22  58,857  59,038
Southern California Edison Co.  1.10  04/01/24  370,000  371,787
Southern California Edison Co.  2.25  06/01/30  55,000  53,991
Southern California Edison Co.  4.50  09/01/40  200,000  226,290
18
                

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Corporate Bonds–Other | 36.4% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Utilities | 3.1% (Continued)    
Southern California Edison Co.  4.00%  04/01/47  $164,000  $175,865
Southern California Edison Co.  3.65  02/01/50  214,000  218,634
TerraForm Power Operating LLC (a)  4.25  01/31/23  215,000  220,913
TerraForm Power Operating LLC (a)  4.75  01/15/30  171,000  178,909
Total Utilities       4,609,592
Total Corporate Bonds–Other        
(Cost $54,173,833)       54,672,194
    
U.S. Government & Agency Obligations | 16.6% of portfolio
U.S. International Development Finance Corp.  1.05  10/15/29  139,192  138,985
U.S. International Development Finance Corp.  1.49  08/15/31  80,000  81,042
U.S. International Development Finance Corp.  3.00  10/05/34  186,700  206,208
U.S. International Development Finance Corp.  1.32  03/15/35  225,000  220,934
U.S. Treasury Note  0.13  08/31/23  382,000  380,985
U.S. Treasury Note  0.38  09/15/24  1,966,000  1,957,552
U.S. Treasury Note  0.75  08/31/26  3,544,000  3,506,068
U.S. Treasury Note  1.13  08/31/28  4,853,000  4,795,371
U.S. Treasury Note  1.25  08/15/31  535,000  522,043
U.S. Treasury Note  1.75  08/15/41  7,704,000  7,364,543
U.S. Treasury Note  2.38  05/15/51  5,373,000  5,733,998
Total U.S. Government & Agency Obligations        
(Cost $25,381,585)       24,907,729
    
Mortgage-Backed Securities | 16.2% of portfolio
Farm 2021-1 Mortgage Trust 21-1 (a)  2.18(b)  01/25/51  255,000  253,850
FHLMC QA7479  3.00  03/01/50  337,693  355,363
FHLMC SB8503  2.00  08/01/35  1,728,578  1,788,686
FHLMC SD8068  3.00  06/01/50  308,179  322,486
FNMA BN7662  3.50  07/01/49  139,326  147,355
FNMA CA4016  3.00  08/01/49  712,066  752,871
FNMA FM1000  3.00  04/01/47  1,227,151  1,294,131
FNMA FM4231  2.50  09/01/50  293,173  302,640
FNMA FM5470  2.00  01/01/36  1,098,909  1,137,448
FNMA MA3691  3.00  07/01/49  215,406  225,560
FNMA MA3834  3.00  11/01/49  456,058  477,120
FNMA MA3960  3.00  03/01/50  206,091  215,743
FNMA MA3992  3.50  04/01/50  235,821  249,579
FNMA MA4048  3.00  06/01/50  927,458  971,377
FNMA MA4124  2.50  09/01/35  1,609,791  1,677,773
FNMA MA4179  2.00  11/01/35  4,867,458  5,016,988
FNMA MA4229  2.00  01/01/36  2,274,289  2,344,156
FNMA MA4303  2.00  04/01/36  1,884,565  1,942,460
FNMA MA4418  2.00  09/01/36  3,046,875  3,140,476
Freddie Mac STACR 21-HQA3 (a)  3.40(b)  09/25/41  1,000,000  1,001,390
GNMA 21-8  1.00  01/20/50  771,091  766,244
Total Mortgage-Backed Securities        
(Cost $24,473,590)       24,383,696
    
Asset-Backed Securities | 12.2% of portfolio
American Credit Acceptance Receivables Trust 19-1 (a)  3.50  04/14/25  39,586  39,799
American Credit Acceptance Receivables Trust 20-3A (a)  0.62  10/13/23  20,942  20,947
American Credit Acceptance Receivables Trust 20-3B (a)  1.15  08/13/24  115,000  115,328
                
19

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Asset-Backed Securities | 12.2% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
American Credit Acceptance Receivables Trust 21-2 (a)  0.68%  05/13/25  $1,500,000  $1,500,630
Avant Credit Card Master Trust 21-1A (a)  1.37  04/15/27  500,000  498,300
Avant Loans Funding Trust 21-REV1 (a)  1.21  07/15/30  500,000  500,176
Avid Automobile Receivables Trust 19-1 (a)  2.62  02/15/24  7,141  7,156
Carvana Auto Receivables Trust 19-2A (a)  2.74  12/15/23  124,133  124,519
Carvana Auto Receivables Trust 20-N1A (a)  2.01  03/17/25  350,000  352,522
Colony American Finance Ltd. 21-2 (a)  1.41  07/15/54  209,450  207,257
Consumer Loan Underlying Bond 19-HP1 (a)  2.59  12/15/26  18,673  18,789
Consumer Loan Underlying Bond 20-P1 (a)  2.26  03/15/28  18,443  18,476
CoreVest American Finance 20-4 (a)  1.17  12/15/52  142,626  141,285
CoreVest American Finance 21-1 (a)  1.57  04/15/53  908,180  908,429
CPS Auto Trust 20-C (a)  1.01  01/15/25  100,000  100,313
CPS Auto Trust 21-B (a)  0.81  12/15/25  200,000  200,378
Credit Acceptance Auto Loan Trust 19-1A (a)  3.33  02/15/28  41,492  41,607
Credit Acceptance Auto Loan Trust 19-1B (a)  3.75  04/17/28  500,000  506,419
Credit Acceptance Auto Loan Trust 19-1C (a)  3.94  06/15/28  250,000  255,257
Credit Acceptance Auto Loan Trust 20-1A (a)  2.01  02/15/29  500,000  507,019
Credit Acceptance Auto Loan Trust 20-1A (a)  2.39  04/16/29  250,000  255,791
Credit Acceptance Auto Loan Trust 20-2A (a)  1.37  07/16/29  250,000  252,482
Credit Acceptance Auto Loan Trust 20-3A (a)  1.24  10/15/29  350,000  353,067
Credit Acceptance Auto Loan Trust 21-2A (a)  0.96  02/15/30  320,000  320,891
Credito Real USA Auto Receivables Trust 21-1 (a)  1.35  02/16/27  762,148  762,404
DT Auto Owner Trust 18-2D (a)  4.15  03/15/24  56,718  57,380
DT Auto Owner Trust 19-1C (a)  3.61  11/15/24  119,321  119,943
DT Auto Owner Trust 20-3A (a)  0.91  12/16/24  200,000  200,924
Exeter Automobile Receivables Trust 20-1A (a)  2.26  04/15/24  51,620  51,760
Exeter Automobile Receivables Trust 20-3A  0.52  10/16/23  38,654  38,666
Exeter Automobile Receivables Trust 21-1A  0.50  02/18/25  240,000  240,163
FIC Funding 21-1 (a)  1.13  04/15/33  236,827  236,971
First Investors Auto Owner Trust 21-2A (a)  0.48  03/15/27  609,925  609,607
Flagship Credit Auto Trust 21-3 (a)  0.36  07/15/27  493,606  493,293
Foursight Capital Automobile Receivables Trust 19-1 (a)  2.67  03/15/24  35,219  35,342
Freedom Financial 21-1 (a)  0.66  03/20/28  237,495  237,597
Freedom Financial 21-2 (a)  0.68  06/19/28  103,456  103,511
FRTKL 21-SFR1 (a)  1.57  09/17/38  250,000  248,792
GLS Auto Receivables Trust 19-1 (a)  3.65  12/16/24  321,611  323,412
GLS Auto Receivables Trust 20-3 (a)  1.38  08/15/24  150,000  150,753
GLS Auto Receivables Trust 20-4 (a)  0.87  12/16/24  300,000  300,953
GLS Auto Receivables Trust 21-3A (a)  0.42  01/15/25  490,000  490,012
Gracie Point International Fund 20-B (a)  1.50(b)  05/02/23  290,989  293,191
Gracie Point International Fund 21-1 (a)  0.85(b)  11/01/23  319,999  319,999
Marlette Funding Trust 19-3 (a)  2.69  09/17/29  1,059  1,060
Marlette Funding Trust 20-2 (a)  1.02  09/16/30  3,044  3,045
Marlette Funding Trust 21-1 (a)  0.60  06/16/31  164,999  165,088
Oasis Securitisation 21-1A (a)  2.58  02/15/33  341,815  342,618
Oportun Funding 21-A (a)  1.21  03/08/28  300,000  300,801
Oportun Funding 21-B (a)  1.47  05/08/31  1,000,000  1,000,563
Oscar US Funding Trust 21-1A (a)  0.40  03/11/24  150,273  150,352
Progress Residential Trust 21-SFR8 (a)  1.51  10/17/38  339,000  336,947
SBA Tower Trust (a)  2.84  01/15/25  115,000  119,103
SBA Tower Trust (a)  1.88  01/15/26  330,000  334,134
SBA Tower Trust (a)  1.63  11/15/26  580,000  578,544
SoFi Consumer Loan Program Trust 18-3 (a)  4.02  08/25/27  70,500  71,141
SoFi Consumer Loan Program Trust 19-4 (a)  2.45  08/25/28  8,734  8,766
United Auto Credit Securitization Trust 20-1B (a)  1.47  11/10/22  46,352  46,383
United Auto Credit Securitization Trust 21-1A (a)  0.34  07/10/23  179,735  179,754
United Auto Credit Securitization Trust 21-1B (a)  0.68  03/11/24  1,050,000  1,051,653
Upstart Securitization Trust 19-3 (a)  2.68  01/21/30  9,823  9,847
20
                

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Asset-Backed Securities | 12.2% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Upstart Securitization Trust 21-3 (a)  0.83%  07/20/31  $223,057  $223,088
Upstart Securitization Trust 21-4 (a)  0.84  09/20/31  400,000  400,019
Westlake Automobile Receivable Trust 19-2A (a)  2.84  07/15/24  200,000  201,672
Westlake Automobile Receivable Trust 20-3A (a)  0.78  11/17/25  230,000  231,027
Total Asset-Backed Securities        
(Cost $18,331,574)       18,317,115
    
Yankee Bonds | 11.1% of portfolio
AerCap Ireland Capital DAC  4.13  07/03/23  185,000  194,616
AerCap Ireland Capital DAC  1.75  01/30/26  245,000  242,497
Aircastle Ltd. (a)  5.25  08/11/25  310,000  346,590
Antares Holdings LP  3.95  07/15/26  375,000  395,172
Avolon Holdings Funding Ltd. (a)  5.13  10/01/23  500,000  537,213
Avolon Holdings Funding Ltd. (a)  2.88  02/15/25  430,000  442,433
Avolon Holdings Funding Ltd. (a)  5.50  01/15/26  800,000  896,809
Avolon Holdings Funding Ltd. (a)  2.13  02/21/26  250,000  247,441
Avolon Holdings Funding Ltd. (a)  4.25  04/15/26  100,000  107,556
Avolon Holdings Funding Ltd. (a)  2.75  02/21/28  400,000  398,974
Banco Bilbao Vizcaya Argentaria SA  1.13  09/18/25  200,000  197,911
Banco Santander SA  1.85  03/25/26  400,000  405,146
Banco Santander SA  3.49  05/28/30  200,000  215,179
Barclays PLC  1.50(b)  05/16/24  400,000  406,892
Barclays PLC  2.85(b)  05/07/26  325,000  341,361
Barclays PLC  2.65(b)  06/24/31  500,000  503,560
Cemex, SAB de CV (a)  7.38  06/05/27  230,000  254,780
Cenovus Energy Inc.  2.65  01/15/32  260,000  255,085
Cenovus Energy Inc.  5.25  06/15/37  395,000  470,740
Delta and SkyMiles IP Ltd. (a)  4.75  10/20/28  1,100,000  1,226,500
Enel Finance International NV (a)  2.65  09/10/24  545,000  571,058
Enel Finance International NV (a)  3.63  05/25/27  215,000  238,002
Lloyds Banking Group, PLC  0.70(b)  05/11/24  700,000  701,809
Mitsubishi UFJ Financial Group, Inc.  1.41  07/17/25  220,000  221,273
Nationwide Building Society (a)  3.62(b)  04/26/23  200,000  203,478
NatWest Group PLC  4.27(b)  03/22/25  296,000  319,425
Nissan Motor Co., Ltd. (a)  0.75(b)  03/08/24  210,000  210,461
Nissan Motor Co., Ltd. (a)  3.52  09/17/25  230,000  244,527
Nissan Motor Co., Ltd. (a)  1.85  09/16/26  260,000  257,302
Nissan Motor Co., Ltd. (a)  2.45  09/15/28  435,000  430,135
Nissan Motor Co., Ltd. (a)  4.81  09/17/30  200,000  224,940
Petronas Capital Ltd. (a)  2.48  01/28/32  200,000  198,866
Petronas Capital Ltd. (a)  3.40  04/28/61  360,000  361,900
Siemens Financieringsmaatschappij NV (a)  1.20  03/11/26  400,000  398,564
Spirit Loyalty Cayman Ltd. (a)  8.00  09/20/25  180,000  201,870
Sumitomo Mitsui Financial Group, Inc. (a)  1.05  09/12/25  200,000  198,218
Suzano Austria GmbH  2.50  09/15/28  1,000,000  972,500
Syngenta Finance NV (a)  4.44  04/24/23  230,000  240,428
Syngenta Finance NV (a)  4.89  04/24/25  530,000  580,043
Syngenta Finance NV (a)  5.68  04/24/48  300,000  364,470
Tencent Holdings Ltd. (a)  3.80  02/11/25  200,000  214,752
Tencent Holdings Ltd. (a)  1.81  01/26/26  220,000  221,893
Tencent Holdings Ltd. (a)  3.98  04/11/29  220,000  241,223
Tencent Music Entertainment Group  2.00  09/03/30  200,000  188,322
Teva Pharmaceutical Industries Ltd.  2.80  07/21/23  248,000  246,522
Vodafone Group PLC  4.13(b)  06/04/81  145,000  146,818
                
21

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Yankee Bonds | 11.1% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
Westpac Banking Corp.  2.96%  11/16/40  $300,000  $297,080
Total Yankee Bonds        
(Cost $16,460,099)       16,782,334
    
Municipal Bonds | 3.8% of portfolio
Alabama | Less than 0.1%    
Alabama Public School & College Authority  1.16  06/01/26  85,000  84,822
Total Alabama       84,822
Arizona | 0.2%    
Pinal County Arizona Revenue Obligation  1.05  08/01/24  120,000  120,732
Pinal County Arizona Revenue Obligation  1.58  08/01/26  110,000  111,138
Yuma Arizona Pledged Revenue  2.63  07/15/38  135,000  136,442
Total Arizona       368,312
California | 1.6%    
California Infrastructure & Economic Development Bank  1.24  10/01/27  50,000  49,628
City of Chula Vista California Pension Obligation  1.16  06/01/27  130,000  127,030
City of Chula Vista California Pension Obligation  1.41  06/01/28  130,000  126,834
City of Chula Vista California Pension Obligation  1.63  06/01/29  160,000  156,330
City of Chula Vista California Pension Obligation  2.91  06/01/45  255,000  246,767
City of Los Angeles California Department of Airports  1.25  05/15/28  200,000  193,330
City of Monterey Park California Pension Obligation  1.89  06/01/30  1,000,000  981,727
EL Cajon California Pension Obligation  1.70  04/01/27  100,000  100,045
Gardena California Pension Obligation  2.07  04/01/26  100,000  102,911
Huntington Beach California Pension Obligation  1.68  06/15/27  155,000  155,386
San Francisco California City & County Airports  3.35  05/01/51  100,000  103,014
Total California       2,343,002
Colorado | 0.3%    
Denver City & County Colorado Airport  1.57  11/15/26  95,000  96,576
Regional Transportation District Colorado  1.18  11/01/27  175,000  171,166
Regional Transportation District Colorado  1.33  11/01/28  150,000  146,258
Total Colorado       414,000
Georgia | 0.1%    
City of Atlanta Georgia Water & Wastewater  2.26  11/01/35  130,000  130,111
Total Georgia       130,111
New Jersey | 0.6%    
New Jersey Housing and Morgage Finance Agency  1.34  04/01/24  90,000  90,116
New Jersey Housing and Morgage Finance Agency  1.49  04/01/25  80,000  79,883
New Jersey Housing and Morgage Finance Agency  1.54  10/01/25  140,000  139,398
New Jersey Transportation Trust Fund Authority  4.08  06/15/39  575,000  652,647
Total New Jersey       962,044
New York | 0.5%    
New York City Housing Development Corp.  2.24  05/01/30  160,000  161,176
New York City Housing Development Corp.  2.34  05/01/31  165,000  166,748
New York City Housing Development Corp.  2.39  11/01/31  160,000  161,970
22
                

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Municipal Bonds | 3.8% of portfolio (Continued)
  Interest Rate /Yield Maturity Date Face Amount Value
New York | 0.5% (Continued)    
Suffolk County New York  1.61%  06/15/25  $200,000  $202,831
Total New York       692,725
Texas | 0.4%    
Harris County Texas Cultural Education Facilities Finance Corp.  3.34  11/15/37  275,000  289,798
North Texas Tollway Authority Revenue  3.01  01/01/43  150,000  151,400
San Antonio Texas Electric & Gas  2.91  02/01/48  150,000  150,294
Total Texas       591,492
West Virginia | 0.1%    
West Virginia State University Revenues  3.01  10/01/41  150,000  154,817
Total West Virginia       154,817
Total Municipal Bonds        
(Cost $5,661,859)       5,741,325
    
Corporate Bonds Guaranteed by Export-Import Bank of the United States | 0.5% of portfolio
Energy | 0.2%    
Petroleos Mexicanos  0.48(b)  04/15/25  268,125  268,197
Total Energy       268,197
Financials | 0.3%    
Thirax 1 LLC  0.97  01/14/33  480,560  473,243
Total Financials       473,243
Total Corporate Bonds Guaranteed by Export-Import Bank of the United States        
(Cost $748,446)       741,440
    
Money Market Fund | 3.2% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund Premier Class  0.03(c)    4,797,587  4,797,587
Total Money Market Fund        
(Cost $4,797,587)       4,797,587
Total Investments in Securities        
(Cost $150,028,573) | 100.0%       $150,343,420
(a) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Trustees. The total of such securities at period-end amounts to $40,539,982 and represents 27.0% of total investments.
(b) Variable coupon rate as of September 30, 2021.
(c) 7-day yield at September 30, 2021.
LLC - Limited Liability Company
LP - Limited Partnership
FHLMC - Federal Home Loan Mortgage Corporation
DAC - Designated Activity Company
SA - Sociedad Anonima or Societe Anonyme
                
23

Portfolio of Investments  |  Intermediate Bond Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
PLC - Public Limited Company
SAB de CV - Sociedad Anonima Bursatil de Capital Variable
SAB - Sociedad Anonima Bursatil
NV - Naamloze Vennottschap
GmbH - Gesellschaft mit beschränkter Haftung
At September 30, 2021, the cost of investment securities for tax purposes was $150,041,473. Net unrealized appreciation of investment securities was $301,947 consisting of unrealized gains of $1,519,920 and unrealized losses of $1,217,973.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Intermediate Bond Fund Level 1 Level 2 Level 3 Total
Corporate Bonds–Other

$$54,672,194 $$54,672,194
U.S. Government & Agency Obligations

24,907,729 24,907,729
Mortgage-Backed Securities

24,383,696 24,383,696
Asset-Backed Securities

18,317,115 18,317,115
Yankee Bonds

16,782,334 16,782,334
Municipal Bonds

5,741,325 5,741,325
Corporate Bonds Guaranteed by Export-Import Bank of the United States

741,440 741,440
Money Market Fund

4,797,587 4,797,587
Total $4,797,587 $145,545,833 $ — $150,343,420
24
                

Portfolio of Investments
Rural America Growth & Income Fund  |  September 30, 2021  |  (Unaudited)

Common Stocks | 57.2% of portfolio
      Shares Value
Communication Services | 1.9%
Media        
Cable One, Inc.      32  $58,020
Wireless Telecommunication Services        
Shenandoah Telecommunications Co.      484  15,285
Total Communication Services       73,305
Consumer Discretionary | 6.9%
Hotels, Restaurants & Leisure        
Choice Hotels International, Inc.      358  45,240
Cracker Barrel Old Country Store, Inc.      82  11,467
Multiline Retail        
Dollar General Corp.      238  50,489
Ollie's Bargain Outlet Holdings, Inc. (a)      249  15,010
Specialty Retail        
ARKO Corp. (a)      1,692  17,089
Lowe's Companies, Inc.      237  48,078
O'Reilly Automotive, Inc. (a)      80  48,885
Tractor Supply Co.      184  37,280
Total Consumer Discretionary       273,538
Consumer Staples | 1.5%
Food Products        
Hershey Co. (The)      342  57,884
Total Consumer Staples       57,884
Financials | 8.2%
Banks        
FB Financial Corp.      410  17,580
Glacier Bancorp, Inc.      694  38,413
South State Corp.      291  21,729
Truist Financial Corp.      1,289  75,600
Capital Markets        
CME Group, Inc.      271  52,406
Intercontinental Exchange, Inc.      407  46,732
Insurance        
Allstate Corp.      272  34,628
American International Group, Inc.      349  19,157
Chubb Ltd.      113  19,603
Total Financials       325,848
Health Care | 8.4%
Health Care Equipment & Supplies        
Integer Holdings Corp. (a)      371  33,145
Stryker Corp.      196  51,689
Health Care Providers & Services        
AMN Healthcare Services, Inc. (a)      291  33,392
Centene Corp. (a)      542  33,772
LHC Group, Inc. (a)      182  28,558
PetIQ, Inc. (a)      837  20,900
Life Sciences Tools & Services        
IQVIA Holdings Inc. (a)      141  33,775
                
25

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Common Stocks | 57.2% of portfolio (Continued)
      Shares Value
Health Care | 8.4% (Continued)
Pharmaceuticals        
Zoetis Inc.      506  $98,235
Total Health Care       333,466
Industrials | 7.1%
Air Freight & Logistics        
Air Transport Services Group, Inc. (a)      1,038  26,791
Commercial Services & Supplies        
Casella Waste Systems, Inc. Class A (a)      339  25,744
Electrical Equipment        
EnerSys      195  14,516
Machinery        
Deere & Co.      216  72,375
Xylem, Inc.      109  13,481
Road & Rail        
CSX Corp.      1,290  38,365
Trading Companies & Distributors        
Applied Industrial Technologies, Inc.      252  22,713
Fastenal Co.      1,260  65,028
Total Industrials       279,013
Information Technology | 16.4%
Communications Equipment        
Ubiquiti Inc.      104  31,062
Electronic Equipment, Instruments & Components        
Advanced Energy Industries, Inc.      406  35,627
Corning, Inc.      1,639  59,807
Trimble Inc. (a)      566  46,553
IT Services        
Jack Henry & Associates, Inc.      481  78,913
Square, Inc. Class A (a)      355  85,143
Semiconductors & Semiconductor Equipment        
Diodes Inc. (a)      517  46,835
Software        
ANSYS, Inc. (a)      216  73,537
Blackbaud, Inc.      168  11,819
Paycom Software, Inc. (a)      215  106,586
Tyler Technologies, Inc. (a)      158  72,467
Total Information Technology       648,349
Materials | 1.7%
Chemicals        
Sherwin-Williams Co. (The)      183  51,191
Construction Materials        
Vulcan Materials Co.      101  17,085
Total Materials       68,276
Real Estate | 5.1%
Equity Real Estate Investment Trusts (REITs)        
American Tower Corp.      324  85,993
Community Healthcare Trust Inc.      341  15,410
Crown Castle International Corp.      469  81,287
26
                

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Common Stocks | 57.2% of portfolio (Continued)
      Shares Value
Real Estate | 5.1% (Continued)
Uniti Group Inc.      1,383  $17,107
Total Real Estate       199,797
Total Common Stocks        
(Cost $ 2,280,223)       2,259,476
    
Corporate Bonds–Other | 23.6% of portfolio
  Interest Rate /
Yield
Maturity Date Face Amount  
Communication Services | 0.8%
T-Mobile USA, Inc.  3.75%  04/15/27  $30,000  33,051
Total Communication Services       33,051
Consumer Discretionary | 2.0%
Choice Hotels International, Inc.  3.70  01/15/31  17,000  18,331
Kohl's Corp.  3.25  02/01/23  5,000  5,129
Kohl's Corp.  4.25  07/17/25  19,000  20,612
Mohawk Industries, Inc.  3.85  02/01/23  10,000  10,370
Tractor Supply Co.  1.75  11/01/30  24,000  23,041
Total Consumer Discretionary       77,483
Consumer Staples | 1.0%
Bunge Limited Finance Corp.  4.35  03/15/24  22,000  23,788
Dollar General Corp.  4.15  11/01/25  14,000  15,536
Total Consumer Staples       39,324
Energy | 0.6%
Murphy Oil Corp.  6.38  07/15/28  22,000  23,265
Total Energy       23,265
Financials | 11.0%
American International Group, Inc.  3.40  06/30/30  39,000  42,556
American Tower Corp.  3.95  03/15/29  40,000  44,469
Chubb INA Holdings Inc.  3.15  03/15/25  48,000  51,553
Cincinnati Financial Corp.  6.92  05/15/28  17,000  22,066
Globe Life Inc.  4.55  09/15/28  22,000  25,529
Intercontinental Exchange, Inc.  3.75  12/01/25  48,000  52,651
M&T Bank Corp.  3.55  07/26/23  40,000  42,179
Metlife, Inc.  3.00  03/01/25  27,000  28,759
Synovus Financial Corp.  3.13  11/01/22  17,000  17,385
Truist Bank  3.69 (b)  08/02/24  38,000  40,249
Truist Financial Corp.  2.20  03/16/23  16,000  16,416
Truist Financial Corp.  3.87  03/19/29  26,000  29,357
Unum Group  4.00  03/15/24  18,000  19,291
Total Financials       432,460
Health Care | 2.0%
CVS Health Corp.  1.30  08/21/27  33,000  32,484
Laboratory Corporation of America Holdings  2.30  12/01/24  14,000  14,569
                
27

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Corporate Bonds–Other | 23.6% of portfolio (Continued)
  Interest Rate /
Yield
Maturity Date Face Amount Value
Health Care | 2.0% (Continued)
Laboratory Corporation of America Holdings  1.55%  06/01/26  $30,000  $30,059
Total Health Care       77,112
Industrials | 1.6%
CNH Industrial Capital LLC  1.45  07/15/26  23,000  22,900
CNH Industrial NV  4.50  08/15/23  14,000  14,964
J.B. Hunt Transport Services, Inc.  3.87  03/01/26  14,000  15,500
John Deere Capital Corp.  2.65  06/24/24  10,000  10,555
Total Industrials       63,919
Information Technology | 1.6%
Micron Technology, Inc.  4.66  02/15/30  15,000  17,314
Square, Inc. (c)  2.75  06/01/26  47,000  47,641
Total Information Technology       64,955
Materials | 1.7%
Martin Marietta Materials, Inc.  3.50  12/15/27  14,000  15,399
Mosaic Co.  4.05  11/15/27  10,000  11,237
Steel Dynamics, Inc.  2.40  06/15/25  14,000  14,571
Vulcan Materials Co.  3.50  06/01/30  25,000  27,445
Total Materials       68,652
Real Estate | 0.8%
American Campus Communities Operating Partnership LP  4.13  07/01/24  15,000  16,281
Crown Castle International Corp.  3.80  02/15/28  14,000  15,395
Total Real Estate       31,676
Utilities | 0.5%
Black Hills Corp.  4.25  11/30/23  20,000  21,367
Total Utilities       21,367
Total Corporate Bonds–Other        
(Cost $ 933,594)       933,264
    
U.S. Government & Agency Obligations | 5.2% of portfolio
Federal Farm Credit Banks Funding Corp.  1.20  04/28/27  105,000  105,026
Tennessee Valley Authority  2.87  09/15/24  37,000  39,525
Tennessee Valley Authority  0.75  05/15/25  60,000  60,080
Total U.S. Government & Agency Obligations        
(Cost $ 204,669)       204,631
    
Mortgage-Backed Securities | 4.2% of portfolio
ARM Master Trust 21-T (c)  1.42  01/15/24  50,000  50,007
Farm 2021-1 Mortgage Trust 21-1 (c)  2.18(b)  01/25/51  30,000  29,865
Freddie Mac Multiclass Certificates 21-P009  1.13  01/25/31  49,752  49,303
GNMA II POOL 785401  2.50  10/20/50  34,245  35,541
Total Mortgage-Backed Securities        
(Cost $ 165,568)       164,716
    
28
                

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Municipal Bonds | 3.3% of portfolio
  Interest Rate /Yield Maturity Date Face Amount Value
Kansas | 0.3%
City of Wichita, Kansas Water & Sewer Utility Revenue  3.00%  10/01/24  $10,000  $10,661
Montana | 0.4%
Yellowstone County School District No. 2 Billings  2.22  06/15/32  15,000  15,592
Pennsylvania | 1.1%
Geisinger Health System Revenue  2.25  04/01/27  20,000  19,849
New Castle Sanitation Authority  1.16  06/01/25  25,000  24,692
Total Pennsylvania       44,541
Texas | 0.8%
Grey Forest Texas Gas System Revenue  1.05  02/01/25  30,000  29,975
Washington | 0.7%
Northwest Open Access Network Revenue  1.68  12/01/27  30,000  29,780
Total Municipal Bonds        
(Cost $ 132,138)       130,549
    
Asset-Backed Securities | 2.2% of portfolio
SBA Tower Trust (c)  1.63  11/15/26  60,000  59,849
SBA Tower Trust (c)  2.84  01/15/25  25,000  25,892
Total Asset-Backed Securities        
(Cost $ 86,709)       85,741
    
Money Market Fund | 4.3% of portfolio
      Shares  
State Street Institutional U.S. Government Money Market Fund  0.03%(d)    169,311  169,311
Total Money Market Fund        
(Cost $ 169,311)       169,311
Total Investments in Securities        
(Cost $3,972,212) | 100.0%       $3,947,688
(a) Non-income producing.
(b) Variable coupon rate as of September 30, 2021.
(c) Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and may be resold in transactions exempt from registration, normally to qualified institutional buyers. The securities have been determined to be liquid under criteria established by the Fund's Board of Directors. The total of such securities at period-end amounts to $213,254 and represents 5.4% of total investments.
(d) 7-day yield at September 30, 2021.
CME - Chicago Mercantile Exchange
LLC - Limited Liability Company
NV - Naamloze Vennottschap
LP - Limited Partnership
ARM - Adjustable Rate Mortgage
At September 30, 2021, the cost of investment securities for tax purposes was $3,972,212. Net unrealized depreciation of investment securities was $24,524 consisting of unrealized gains of $67,021 and unrealized losses of $91,545.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
                
29

Portfolio of Investments  |  Rural America Growth & Income Fund  |  September 30, 2021  |  
(Unaudited)  |  (Continued)
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Rural America Growth & Income Fund Level 1 Level 2 Level 3 Total
Common Stocks

$2,259,476 $$$2,259,476
Corporate Bonds–Other

933,264 933,264
U.S. Government & Agency Obligations

204,631 204,631
Mortgage-Backed Securities

164,716 164,716
Municipal Bonds

130,549 130,549
Asset-Backed Securities

85,741 85,741
Money Market Fund

169,311 169,311
Total $2,428,787 $1,518,901 $ — $3,947,688
30
                

Portfolio of Investments
Stock Index Fund  |  September 30, 2021  |  (Unaudited)

  Cost Value
Investment $45,758,966 $221,024,680
Substantially all the assets of the Stock Index Fund are invested in the S&P 500 Index Master Portfolio managed by BlackRock Fund Advisors. As of September 30, 2021, the Stock Index Fund's ownership interest in the S&P 500 Index Master Portfolio was 0.70%. See the Portfolio of Investments for the S&P 500 Index Master Portfolio for holdings information.
                
31

Portfolio of Investments
S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)

Common Stocks | 98.7% of net assets
  Shares Value
Aerospace & Defense | 1.5%
Boeing Co. (a) 462,773 $101,782,294
General Dynamics Corp. 192,699 37,774,785
Howmet Aerospace, Inc. 329,069 10,266,953
Huntington Ingalls Industries, Inc. 34,143 6,591,648
L3Harris Technologies, Inc. 168,939 37,207,125
Lockheed Martin Corp. 205,897 71,055,055
Northrop Grumman Corp. 126,017 45,385,022
Raytheon Technologies Corp. 1,267,717 108,972,953
Textron, Inc. 190,009 13,264,528
TransDigm Group, Inc. (a) 44,018 27,492,322
Total Aerospace & Defense   459,792,685
Air Freight & Logistics | 0.6%
C.H. Robinson Worldwide, Inc. 112,996 9,830,652
Expeditors International of Washington, Inc. 140,904 16,785,894
FedEx Corp. 205,504 45,064,972
United Parcel Service, Inc., Class B 612,295 111,498,919
Total Air Freight & Logistics   183,180,437
Airlines | 0.3%
Alaska Air Group, Inc. (a) 104,278 6,110,691
American Airlines Group, Inc. (a) 546,838 11,221,116
Delta Air Lines, Inc. (a) 535,595 22,821,703
Southwest Airlines Co. (a) 495,402 25,478,525
United Airlines Holdings, Inc. (a) 274,606 13,063,007
Total Airlines   78,695,042
Auto Components | 0.1%
Aptiv PLC (a) 227,531 33,895,293
BorgWarner, Inc. 203,548 8,795,309
Total Auto Components   42,690,602
Automobiles | 2.1%
Ford Motor Co. (a) 3,300,651 46,737,218
General Motors Co. (a) 1,220,506 64,332,872
Tesla, Inc. (a) 682,194 529,027,803
Total Automobiles   640,097,893
Banks | 4.4%
Bank of America Corp. 6,225,695 264,280,753
Citigroup, Inc. 1,703,977 119,585,106
Citizens Financial Group, Inc. 358,562 16,845,243
Comerica, Inc. 118,483 9,537,882
Fifth Third Bancorp 592,621 25,150,835
First Republic Bank 149,355 28,807,592
Huntington Bancshares, Inc. 1,237,029 19,124,468
JPMorgan Chase & Co. 2,512,229 411,226,765
KeyCorp 823,635 17,806,989
M&T Bank Corp. 109,183 16,305,389
People's United Financial, Inc. 362,910 6,340,038
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Banks | 4.4% (Continued)
PNC Financial Services Group, Inc. 357,659 $69,972,407
Regions Financial Corp. 819,317 17,459,645
SVB Financial Group (a) 49,321 31,904,769
Truist Financial Corp. 1,132,134 66,399,659
U.S. Bancorp 1,141,194 67,832,571
Wells Fargo & Co. 3,452,379 160,224,909
Zions Bancorp NA 139,023 8,604,133
Total Banks   1,357,409,153
Beverages | 1.4%
Brown-Forman Corp., Class B 152,675 10,230,752
Coca-Cola Co. 3,266,742 171,405,953
Constellation Brands, Inc., Class A 142,194 29,958,854
Molson Coors Brewing Co., Class B 161,725 7,500,805
Monster Beverage Corp. (a) 310,550 27,586,156
PepsiCo, Inc. 1,163,102 174,942,172
Total Beverages   421,624,692
Biotechnology | 1.9%
AbbVie Inc. 1,486,863 160,387,912
Amgen Inc. 477,410 101,521,236
Biogen, Inc. (a) 126,742 35,866,719
Gilead Sciences, Inc. 1,055,808 73,748,189
Incyte Corp. (a) 157,004 10,798,735
Moderna, Inc. (a) 295,240 113,626,066
Regeneron Pharmaceuticals, Inc. (a) 88,136 53,338,144
Vertex Pharmaceuticals, Inc. (a) 217,922 39,528,872
Total Biotechnology   588,815,873
Building Products | 0.5%
Allegion PLC 76,360 10,093,265
AO Smith Corp. 112,155 6,849,306
Carrier Global Corp. 729,501 37,758,972
Fortune Brands Home & Security, Inc. 116,125 10,383,898
Johnson Controls International PLC 602,055 40,987,904
Masco Corp. 213,495 11,859,647
Trane Technologies PLC 201,320 34,757,898
Total Building Products   152,690,890
Capital Markets | 3.0%
Ameriprise Financial, Inc. 97,684 25,800,298
Bank of New York Mellon Corp. 678,570 35,177,069
BlackRock, Inc. (b) 120,278 100,872,347
Cboe Global Markets, Inc. 90,101 11,159,910
Charles Schwab Corp. 1,262,626 91,969,678
CME Group, Inc. 302,297 58,458,194
Franklin Resources, Inc. 229,824 6,830,369
 
32
                

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Capital Markets | 3.0% (Continued)
Goldman Sachs Group, Inc. 283,407 $107,136,348
Intercontinental Exchange, Inc. 473,755 54,396,549
Invesco Ltd. 287,050 6,920,776
MarketAxess Holdings Inc. 31,620 13,302,218
Moody's Corp. 135,528 48,127,348
Morgan Stanley 1,227,169 119,415,815
MSCI, Inc. 69,386 42,210,279
Nasdaq, Inc. 97,481 18,815,783
Northern Trust Corp. 176,469 19,025,123
Raymond James Financial, Inc. 153,484 14,163,504
S&P Global, Inc. 202,797 86,166,417
State Street Corp. 292,762 24,802,797
T. Rowe Price Group, Inc. 190,975 37,564,782
Total Capital Markets   922,315,604
Chemicals | 1.7%
Air Products & Chemicals, Inc. 186,309 47,715,598
Albemarle Corp. 99,057 21,690,511
Celanese Corp. 95,994 14,460,536
CF Industries Holdings, Inc. 183,713 10,254,860
Corteva, Inc. 622,717 26,203,931
Dow Inc. 628,840 36,196,030
DuPont de Nemours, Inc. 447,113 30,399,213
Eastman Chemical Co. 115,913 11,677,076
Ecolab, Inc. 209,419 43,688,992
FMC Corp. 107,378 9,831,530
International Flavors & Fragrances, Inc. 209,142 27,966,468
Linde PLC (a) 434,162 127,374,447
LyondellBasell Industries NV, Class A 215,461 20,221,015
Mosaic Co. 291,461 10,410,987
PPG Industries, Inc. 199,394 28,515,336
Sherwin-Williams Co. (The) 203,656 56,968,693
Total Chemicals   523,575,223
Commercial Services & Supplies | 0.4%
Cintas Corp. 74,088 28,202,338
Copart, Inc. (a) 175,260 24,312,067
Republic Services, Inc. 178,694 21,454,002
Rollins, Inc. 182,239 6,438,504
Waste Management, Inc. 326,931 48,830,414
Total Commercial Services & Supplies   129,237,325
Communications Equipment | 0.8%
Arista Networks, Inc. (a) 46,249 15,893,006
Cisco Systems, Inc. 3,547,654 193,098,807
F5 Networks, Inc. (a) 50,186 9,975,973
Juniper Networks, Inc. 278,138 7,654,358
Motorola Solutions, Inc. 142,665 33,143,933
Total Communications Equipment   259,766,077
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Construction & Engineering | 0.0%
Quanta Services, Inc. 118,529 $13,490,971
Total Construction & Engineering   13,490,971
Construction Materials | 0.1%
Martin Marietta Materials, Inc. 52,614 17,977,152
Vulcan Materials Co. 110,809 18,744,450
Total Construction Materials   36,721,602
Consumer Finance | 0.7%
American Express Co. 541,001 90,633,898
Capital One Financial Corp. 375,061 60,748,630
Discover Financial Services 256,204 31,474,661
Synchrony Financial 478,962 23,411,663
Total Consumer Finance   206,268,852
Containers & Packaging | 0.3%
Amcor PLC 1,308,449 15,164,924
Avery Dennison Corp. 70,445 14,596,908
Ball Corp. 274,908 24,733,473
International Paper Co. 332,451 18,590,660
Packaging Corp. of America 79,157 10,879,338
Sealed Air Corp. 127,950 7,010,381
WestRock Co. 221,545 11,039,587
Total Containers & Packaging   102,015,271
Distributors | 0.1%
Genuine Parts Co. 122,105 14,802,789
LKQ Corp. (a) 235,216 11,836,069
Pool Corp. 33,768 14,669,157
Total Distributors   41,308,015
Diversified Financial Services | 1.4%
Berkshire Hathaway, Inc., Class B (a) 1,558,433 425,358,703
Total Diversified Financial Services   425,358,703
Diversified Telecommunication Services | 1.2%
AT&T, Inc. 6,010,684 162,348,575
Lumen Technologies, Inc. 831,910 10,307,365
Verizon Communications, Inc. 3,485,243 188,237,974
Total Diversified Telecommunication Services   360,893,914
Electric Utilities | 1.5%
Alliant Energy Corp. 212,278 11,883,322
American Electric Power Co., Inc. 420,474 34,134,079
Duke Energy Corp. 647,553 63,194,697
Edison International 319,423 17,718,394
Entergy Corp. 170,291 16,911,599
Evergy, Inc. 194,569 12,102,192
 
                
33

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Electric Utilities | 1.5% (Continued)
Eversource Energy 287,721 $23,524,069
Exelon Corp. 824,237 39,843,617
FirstEnergy Corp. 461,583 16,441,587
NextEra Energy, Inc. 1,651,208 129,652,852
NRG Energy, Inc. 201,183 8,214,302
Pinnacle West Capital Corp. 93,097 6,736,499
PPL Corp. 652,978 18,205,027
Southern Co. 891,189 55,226,982
Xcel Energy, Inc. 452,156 28,259,750
Total Electric Utilities   482,048,968
Electrical Equipment | 0.6%
AMETEK, Inc. 194,395 24,106,924
Eaton Corp. PLC 335,470 50,089,026
Emerson Electric Co. 504,847 47,556,588
Generac Holdings, Inc. (a) 52,714 21,542,630
Rockwell Automation, Inc. 97,930 28,795,337
Total Electrical Equipment   172,090,505
Electronic Equipment, Instruments & Components | 0.7%
Amphenol Corp., Class A 504,094 36,914,803
CDW Corp. 117,995 21,477,450
Corning, Inc. 649,904 23,714,997
IPG Photonics Corp. (a)(c) 29,995 4,751,208
Keysight Technologies, Inc. (a) 154,868 25,443,264
TE Connectivity Ltd. 277,994 38,146,337
Teledyne Technologies, Inc. (a) 39,097 16,795,289
Trimble Inc. (a) 210,161 17,285,742
Zebra Technologies Corp., Class A (a) 45,233 23,313,993
Total Electronic Equipment, Instruments & Components   207,843,083
Energy Equipment & Services | 0.2%
Baker Hughes Co. 696,533 17,225,261
Halliburton Co. 750,650 16,229,053
Schlumberger NV 1,176,733 34,878,366
Total Energy Equipment & Services   68,332,680
Entertainment | 1.9%
Activision Blizzard, Inc. 654,118 50,622,192
Electronic Arts, Inc. 240,021 34,142,987
Live Nation Entertainment, Inc. (a) 110,771 10,094,561
Netflix, Inc. (a) 372,103 227,109,345
Take-Two Interactive Software, Inc. (a) 98,152 15,122,279
Walt Disney Co. (a) 1,529,552 258,754,312
Total Entertainment   595,845,676
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Equity Real Estate Investment Trusts (REITs) | 2.5%
Alexandria Real Estate Equities, Inc. 114,784 $21,931,779
American Tower Corp. 382,778 101,593,109
AvalonBay Communities, Inc. 117,068 25,946,952
Boston Properties, Inc. 119,633 12,962,236
Crown Castle International Corp. 363,832 63,059,362
Digital Realty Trust, Inc. 236,975 34,231,039
Duke Realty Corp. 314,255 15,043,387
Equinix, Inc. 75,411 59,584,493
Equity Residential 288,204 23,321,468
Essex Property Trust, Inc. 55,122 17,624,708
Extra Space Storage, Inc. 111,693 18,763,307
Federal Realty Investment Trust 58,771 6,934,390
Healthpeak Properties, Inc. 457,368 15,312,681
Host Hotels & Resorts, Inc. (a) 586,178 9,572,287
Iron Mountain, Inc. 244,276 10,613,792
Kimco Realty Corp. 505,766 10,494,644
Mid-America Apartment Communities, Inc. 97,160 18,144,630
Prologis, Inc. 622,765 78,113,414
Public Storage 128,153 38,074,256
Realty Income Corp. 327,370 21,233,218
Regency Centers Corp. 131,429 8,849,115
SBA Communications Corp. 92,432 30,555,246
Simon Property Group, Inc. 276,411 35,925,138
UDR, Inc. 234,594 12,428,790
Ventas, Inc. 315,329 17,409,314
Vornado Realty Trust 135,460 5,690,675
Welltower, Inc. 350,733 28,900,399
Weyerhaeuser Co. 627,144 22,307,512
Total Equity Real Estate Investment Trusts (REITs)   764,621,341
Food & Staples Retailing | 1.3%
Costco Wholesale Corp. 372,148 167,224,704
Kroger Co. 571,684 23,113,184
Sysco Corp. 430,072 33,760,652
Walgreens Boots Alliance, Inc. 602,306 28,338,497
Walmart, Inc. 1,201,481 167,462,422
Total Food & Staples Retailing   419,899,459
Food Products | 0.9%
Archer-Daniels-Midland Co. 468,990 28,144,090
Campbell Soup Co. 172,290 7,203,445
Conagra Brands, Inc. 401,277 13,591,252
General Mills, Inc. 515,032 30,809,214
Hershey Co. (The) 122,861 20,794,224
Hormel Foods Corp. 239,218 9,807,938
J.M. Smucker Co. 91,126 10,937,854
Kellogg Co. 213,833 13,668,205
Kraft Heinz Co. 565,695 20,828,890
Lamb Weston Holdings, Inc. 124,846 7,661,799
McCormick & Co., Inc. 207,835 16,840,870
 
34
                

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Food Products | 0.9% (Continued)
Mondelez International, Inc., Class A 1,182,531 $68,799,654
Tyson Foods, Inc., Class A 248,636 19,627,326
Total Food Products   268,714,761
Gas Utilities | 0.0%
Atmos Energy Corp. 110,895 9,780,939
Total Gas Utilities   9,780,939
Health Care Equipment & Supplies | 3.2%
Abbott Laboratories 1,490,459 176,067,922
ABIOMED, Inc. (a) 37,886 12,332,651
Align Technology, Inc. (a) 61,778 41,108,934
Baxter International, Inc. 423,317 34,047,386
Becton, Dickinson & Co. 241,449 59,352,993
Boston Scientific Corp. (a) 1,196,169 51,901,773
Cooper Cos., Inc. (c) 41,795 17,274,291
DENTSPLY SIRONA, Inc. 185,620 10,775,241
DexCom, Inc. (a)(c) 81,364 44,494,717
Edwards Lifesciences Corp. (a) 523,314 59,244,378
Hologic, Inc. (a) 217,879 16,081,649
IDEXX Laboratories, Inc. (a) 71,792 44,647,445
Intuitive Surgical, Inc. (a) 99,684 99,100,848
Medtronic PLC 1,132,602 141,971,661
ResMed, Inc. 122,238 32,215,825
STERIS PLC 82,863 16,927,254
Stryker Corp. 282,162 74,411,763
Teleflex, Inc. 39,660 14,933,973
West Pharmaceutical Services, Inc. 61,820 26,245,063
Zimmer Biomet Holdings, Inc. 174,977 25,609,634
Total Health Care Equipment & Supplies   998,745,401
Health Care Providers & Services | 2.5%
AmerisourceBergen Corp. 124,418 14,861,730
Anthem, Inc. 206,115 76,839,672
Cardinal Health, Inc. 248,056 12,268,850
Centene Corp. (a) 490,310 30,551,216
Cigna Corp. 288,871 57,820,419
CVS Health Corp. 1,108,330 94,052,884
DaVita, Inc. (a) 60,955 7,086,628
HCA Healthcare, Inc. 207,248 50,303,235
Henry Schein, Inc. (a)(c) 118,442 9,020,543
Humana, Inc. 108,608 42,264,803
Laboratory Corp. of America Holdings (a) 81,724 23,000,403
McKesson Corp. 132,700 26,457,726
Quest Diagnostics, Inc. 102,721 14,926,388
UnitedHealth Group, Inc. 792,738 309,754,446
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Health Care Providers & Services | 2.5% (Continued)
Universal Health Services, Inc., Class B 65,069 $9,003,598
Total Health Care Providers & Services   778,212,541
Health Care Technology | 0.1%
Cerner Corp. 253,016 17,842,688
Total Health Care Technology   17,842,688
Hotels, Restaurants & Leisure | 2.0%
Booking Holdings, Inc. (a) 34,560 82,040,947
Caesars Entertainment, Inc. (a)(c) 177,113 19,886,248
Carnival Corp. (a) 677,484 16,943,875
Chipotle Mexican Grill, Inc. (a) 23,694 43,064,319
Darden Restaurants, Inc. 109,918 16,649,279
Domino's Pizza, Inc. 30,984 14,778,129
Expedia Group, Inc. (a) 118,186 19,370,685
Hilton Worldwide Holdings, Inc. (a) 234,479 30,977,021
Las Vegas Sands Corp. (a) 274,075 10,031,145
Marriott International, Inc., Class A (a) 229,982 34,058,034
McDonald's Corp. 628,153 151,453,970
MGM Resorts International 345,525 14,909,404
Norwegian Cruise Line Holdings Ltd. (a)(c) 315,188 8,418,671
Penn National Gaming, Inc. (a)(c) 123,533 8,951,201
Royal Caribbean Cruises Ltd. (a) 184,059 16,372,048
Starbucks Corp. 991,931 109,419,909
Wynn Resorts, Ltd. (a) 89,689 7,601,143
Yum! Brands, Inc. 250,266 30,610,034
Total Hotels, Restaurants & Leisure   635,536,062
Household Durables | 0.4%
D.R. Horton, Inc. 274,922 23,085,200
Garmin Ltd. 127,190 19,772,958
Leggett & Platt, Inc. 111,006 4,977,509
Lennar Corp., Class A 230,882 21,629,026
Mohawk Industries, Inc. (a) 48,814 8,659,604
Newell Brands, Inc. 322,363 7,137,117
NVR, Inc. (a) 2,878 13,797,362
PulteGroup, Inc. 224,449 10,306,698
Whirlpool Corp. 52,405 10,683,283
Total Household Durables   120,048,757
Household Products | 1.3%
Church & Dwight Co., Inc. 206,456 17,047,072
Clorox Co. 104,297 17,272,626
Colgate-Palmolive Co. 711,677 53,788,548
Kimberly-Clark Corp. 284,060 37,620,906
Procter & Gamble Co. 2,040,807 285,304,819
Total Household Products   411,033,971
 
                
35

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Independent Power and Renewable Electricity Producers | 0.0%
AES Corp. 558,229 $12,744,368
Total Independent Power and Renewable Electricity Producers   12,744,368
Industrial Conglomerates | 1.1%
3M Co. 487,989 85,603,030
General Electric Co. 923,768 95,175,817
Honeywell International, Inc. 580,438 123,215,379
Roper Technologies, Inc. 88,594 39,524,441
Total Industrial Conglomerates   343,518,667
Insurance | 1.9%
Aflac, Inc. 518,798 27,044,940
Allstate Corp. 251,993 32,081,229
American International Group, Inc. 721,630 39,610,271
Aon PLC, Class A 189,957 54,284,012
Arthur J Gallagher & Co. 171,665 25,518,002
Assurant, Inc. 51,422 8,111,820
Brown & Brown, Inc. 196,507 10,896,313
Chubb Ltd. 368,861 63,990,006
Cincinnati Financial Corp. 126,390 14,436,266
Everest Re Group Ltd. 33,258 8,340,441
Globe Life, Inc. 77,552 6,904,455
Hartford Financial Services Group, Inc. 300,917 21,139,419
Lincoln National Corp. 152,238 10,466,362
Loews Corp. 170,875 9,215,289
Marsh & McLennan Cos., Inc. 428,099 64,827,032
MetLife, Inc. 612,355 37,800,674
Principal Financial Group, Inc. 215,671 13,889,212
Progressive Corp. 492,601 44,526,204
Prudential Financial, Inc. 331,278 34,850,446
Travelers Cos., Inc. 210,469 31,993,393
W.R. Berkley Corp. 118,923 8,702,785
Willis Towers Watson PLC 108,797 25,290,951
Total Insurance   593,919,522
Interactive Media & Services | 6.6%
Alphabet, Inc., Class A (a) 253,179 676,879,120
Alphabet, Inc., Class C (a) 236,874 631,342,641
Facebook, Inc., Class A (a) 2,004,140 680,185,074
Match Group, Inc. (a) 232,723 36,535,184
Twitter, Inc. (a) 671,889 40,575,377
Total Interactive Media & Services   2,065,517,396
Internet & Direct Marketing Retail | 4.1%
Amazon.com, Inc. (a) 366,170 1,202,883,097
eBay, Inc. 544,772 37,954,265
Etsy, Inc. (a)(c) 107,866 22,431,813
Total Internet & Direct Marketing Retail   1,263,269,175
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
IT Services | 4.8%
Accenture PLC, Class A 533,137 $170,561,189
Akamai Technologies, Inc. (a) 137,627 14,394,408
Automatic Data Processing, Inc. 358,215 71,614,343
Broadridge Financial Solutions, Inc. 96,708 16,115,421
Cognizant Technology Solutions Corp., Class A 445,044 33,026,715
DXC Technology Co. (a) 212,880 7,154,897
Fidelity National Information Services, Inc. 522,042 63,522,071
Fiserv, Inc. (a) 501,389 54,400,706
FleetCor Technologies, Inc. (a)(c) 69,975 18,282,368
Gartner, Inc. (a) 70,326 21,370,665
Global Payments, Inc. 248,522 39,162,097
International Business Machines Corp. 752,197 104,502,729
Jack Henry & Associates, Inc. 63,214 10,370,889
Mastercard, Inc., Class A 732,408 254,643,613
Paychex, Inc. 269,402 30,294,255
PayPal Holdings, Inc. (a) 988,924 257,327,914
VeriSign, Inc. (a) 82,771 16,968,883
Visa Inc., Class A 1,418,850 316,048,837
Western Union Co. 348,604 7,048,773
Total IT Services   1,506,810,773
Leisure Products | 0.0%
Hasbro, Inc. 109,344 9,755,672
Total Leisure Products   9,755,672
Life Sciences Tools & Services | 1.9%
Agilent Technologies, Inc. 255,445 40,240,251
Bio-Rad Laboratories, Inc., Class A (a) 18,020 13,442,019
Bio-Techne Corp. 32,720 15,855,130
Charles River Laboratories International, Inc. (a) 42,647 17,599,137
Danaher Corp. 534,411 162,696,085
Illumina, Inc. (a) 122,908 49,852,714
IQVIA Holdings Inc. (a) 161,346 38,648,821
Mettler-Toledo International, Inc. (a) 19,589 26,981,105
PerkinElmer, Inc. 93,759 16,247,497
Thermo Fisher Scientific, Inc. 330,864 189,032,529
Waters Corp. (a) 52,362 18,708,943
Total Life Sciences Tools & Services   589,304,231
Machinery | 1.5%
Caterpillar, Inc. 461,145 88,526,006
Cummins, Inc. 123,078 27,638,396
Deere & Co. 238,655 79,966,131
Dover Corp. 122,144 18,993,392
Fortive Corp. 301,310 21,263,447
IDEX Corp. 64,439 13,335,651
 
36
                

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Machinery | 1.5% (Continued)
Illinois Tool Works, Inc. 241,988 $50,001,981
Ingersoll Rand Inc. (a)(c) 340,640 17,171,662
Otis Worldwide Corp. 358,805 29,522,475
PACCAR Inc. 291,061 22,970,534
Parker-Hannifin Corp. 108,526 30,346,040
Pentair PLC 138,010 10,023,666
Snap-on, Inc. 45,895 9,589,760
Stanley Black & Decker, Inc. 135,562 23,765,374
Westinghouse Air Brake Technologies Corp. 158,926 13,701,011
Xylem, Inc. 152,793 18,897,438
Total Machinery   475,712,964
Media | 1.2%
Charter Communications, Inc., Class A (a) 106,636 77,584,088
Comcast Corp., Class A 3,859,671 215,871,399
Discovery, Inc., Class A (a)(c) 143,129 3,632,614
Discovery, Inc., Class C (a)(c) 254,964 6,187,976
DISH Network Corp., Class A (a)(c) 205,755 8,942,113
Fox Corp., Class A 280,017 11,231,482
Fox Corp., Class B 124,115 4,607,149
Interpublic Group of Cos., Inc. 330,733 12,127,979
News Corp., Class A 321,091 7,555,271
News Corp., Class B 114,231 2,653,586
Omnicom Group, Inc. 180,687 13,092,580
ViacomCBS, Inc., Class B 506,664 20,018,295
Total Media   383,504,532
Metals & Mining | 0.3%
Freeport-McMoRan Inc. 1,233,728 40,133,172
Newmont Corp. 674,444 36,622,309
Nucor Corp. 250,753 24,696,663
Total Metals & Mining   101,452,144
Multi-Utilities | 0.7%
Ameren Corp. 216,876 17,566,956
CenterPoint Energy, Inc. 492,640 12,118,944
CMS Energy Corp. 245,651 14,672,734
Consolidated Edison, Inc. 289,441 21,010,522
Dominion Energy, Inc. 678,958 49,577,513
DTE Energy Co. 161,717 18,065,406
NiSource, Inc. 332,857 8,065,125
Public Service Enterprise Group, Inc. 424,062 25,825,376
Sempra Energy 265,045 33,528,193
WEC Energy Group, Inc. 264,960 23,369,472
Total Multi-Utilities   223,800,241
Multiline Retail | 0.5%
Dollar General Corp. 198,845 42,182,978
Dollar Tree, Inc. (a) 194,343 18,602,512
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Multiline Retail | 0.5% (Continued)
Target Corp. 416,475 $95,276,986
Total Multiline Retail   156,062,476
Oil, Gas & Consumable Fuels | 2.5%
APA Corp. 317,469 6,803,361
Cabot Oil & Gas Corp. 344,150 7,488,704
Chevron Corp. 1,627,059 165,065,135
ConocoPhillips 1,135,985 76,985,703
Devon Energy Corp. 529,331 18,796,544
Diamondback Energy, Inc. 143,084 13,545,762
EOG Resources, Inc. 492,292 39,516,279
Exxon Mobil Corp. 3,563,930 209,630,363
Hess Corp. 230,842 18,031,069
Kinder Morgan, Inc. 1,636,136 27,372,555
Marathon Oil Corp. 660,608 9,030,511
Marathon Petroleum Corp. 536,294 33,148,332
Occidental Petroleum Corp. (c) 745,767 22,059,788
ONEOK, Inc. 374,012 21,688,956
Phillips 66 367,836 25,759,555
Pioneer Natural Resources Co. 194,711 32,421,329
Valero Energy Corp. 346,896 24,480,451
Williams Cos., Inc. 1,030,913 26,741,883
Total Oil, Gas & Consumable Fuels   778,566,280
Personal Products | 0.2%
Estee Lauder Cos., Inc., Class A 195,217 58,551,435
Total Personal Products   58,551,435
Pharmaceuticals | 3.5%
Bristol-Myers Squibb Co. 1,868,196 110,541,157
Catalent, Inc. (a) 144,561 19,236,732
Eli Lilly & Co. 670,091 154,824,526
Johnson & Johnson 2,216,878 358,025,797
Merck & Co., Inc. 2,131,569 160,102,148
Organon & Co. 212,173 6,957,153
Pfizer, Inc. 4,712,320 202,676,883
Viatris, Inc. 1,010,311 13,689,714
Zoetis Inc. 399,674 77,592,710
Total Pharmaceuticals   1,103,646,820
Professional Services | 0.4%
Equifax, Inc. 102,033 25,857,203
IHS Markit Ltd. 335,125 39,082,278
Jacobs Engineering Group, Inc. 109,619 14,527,806
Leidos Holdings Inc. 112,849 10,848,174
Nielsen Holdings PLC 301,814 5,791,811
Robert Half International, Inc. 95,263 9,557,737
Verisk Analytics, Inc. 136,594 27,355,680
Total Professional Services   133,020,689
 
                
37

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Real Estate Management & Development | 0.1%
CBRE Group, Inc., Class A (a) 281,234 $27,380,942
Total Real Estate Management & Development   27,380,942
Road & Rail | 0.9%
CSX Corp. 1,912,812 56,887,029
J.B. Hunt Transport Services, Inc. 69,564 11,632,492
Kansas City Southern 76,220 20,628,181
Norfolk Southern Corp. 207,637 49,677,152
Old Dominion Freight Line, Inc. 80,360 22,981,353
Union Pacific Corp. 548,259 107,464,246
Total Road & Rail   269,270,453
Semiconductors & Semiconductor Equipment | 5.5%
Advanced Micro Devices, Inc. (a) 1,022,844 105,250,648
Analog Devices, Inc. 453,972 76,031,231
Applied Materials, Inc. 772,517 99,446,113
Broadcom, Inc. 343,722 166,681,110
Enphase Energy, Inc. (a) 113,469 17,016,946
Intel Corp. 3,399,319 181,115,716
KLA-Tencor Corp. 129,038 43,164,501
Lam Research Corp. 120,061 68,332,718
Microchip Technology, Inc. 229,974 35,298,709
Micron Technology, Inc. 944,044 67,008,243
Monolithic Power Systems, Inc. 36,500 17,690,820
NVIDIA Corp. 2,097,848 434,590,192
NXP Semiconductors NV 222,907 43,660,794
Qorvo, Inc. (a) 94,681 15,829,716
QUALCOMM, Inc. 949,587 122,477,731
Skyworks Solutions, Inc. 138,467 22,816,592
Teradyne, Inc. 139,968 15,280,307
Texas Instruments, Inc. 777,452 149,434,049
Xilinx, Inc. 206,340 31,155,277
Total Semiconductors & Semiconductor Equipment   1,712,281,413
Software | 9.1%
Adobe, Inc. (a) 400,523 230,589,102
ANSYS, Inc. (a) 73,962 25,180,363
Autodesk, Inc. (a)(c) 185,214 52,817,476
Cadence Design Systems, Inc. (a) 235,337 35,639,435
Ceridian HCM Holding, Inc. (a)(c) 113,394 12,770,432
Citrix Systems, Inc. 103,740 11,138,564
Fortinet, Inc. (a) 114,050 33,307,162
Intuit, Inc. 230,038 124,107,801
Microsoft Corp. 6,317,987 1,781,166,895
NortonLifeLock, Inc. 492,908 12,470,572
Oracle Corp. 1,384,916 120,667,731
Paycom Software, Inc. (a) 41,128 20,389,206
PTC, Inc. (a) 88,186 10,563,801
salesforce.com, Inc. (a) 816,793 221,530,598
ServiceNow, Inc. (a) 166,218 103,432,475
Synopsys, Inc. (a) 128,358 38,431,669
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Software | 9.1% (Continued)
Tyler Technologies, Inc. (a) 34,150 $15,662,898
Total Software   2,849,866,180
Specialty Retail | 2.2%
Advance Auto Parts, Inc. 55,426 11,577,937
AutoZone, Inc. (a) 18,149 30,816,821
Bath & Body Works, Inc. 222,582 14,029,343
Best Buy Co., Inc. 187,470 19,817,454
CarMax, Inc. (a)(c) 136,909 17,518,876
Gap, Inc. 171,031 3,882,404
Home Depot, Inc. 895,085 293,820,602
Lowe's Companies, Inc. 595,083 120,718,537
O'Reilly Automotive, Inc. (a) 58,683 35,858,834
Ross Stores, Inc. 300,147 32,671,001
TJX Companies, Inc. (The) 1,015,246 66,985,931
Tractor Supply Co. 97,021 19,657,425
Ulta Beauty, Inc. (a) 46,520 16,789,998
Total Specialty Retail   684,145,163
Technology Hardware, Storage & Peripherals | 6.3%
Apple, Inc. 13,205,297 1,868,549,525
Hewlett Packard Enterprise Co. 1,101,086 15,690,476
HP, Inc. 1,009,100 27,608,976
NetApp, Inc. 187,617 16,840,502
Seagate Technology Holdings PLC 176,044 14,527,151
Western Digital Corp. (a) 260,073 14,678,520
Total Technology Hardware, Storage & Peripherals   1,957,895,150
Textiles, Apparel & Luxury Goods | 0.7%
Hanesbrands, Inc. 298,358 5,119,823
NIKE, Inc., Class B 1,073,299 155,875,214
PVH Corp. (a) 60,241 6,192,172
Ralph Lauren Corp. 39,948 4,435,826
Tapestry, Inc. 237,843 8,804,948
Under Armour, Inc., Class A (a) 150,302 3,033,094
Under Armour, Inc., Class C (a) 169,421 2,968,256
VF Corp. 269,154 18,030,627
Total Textiles, Apparel & Luxury Goods   204,459,960
Tobacco | 0.6%
Altria Group, Inc. 1,557,927 70,916,837
Philip Morris International, Inc. 1,312,027 124,367,039
Total Tobacco   195,283,876
Trading Companies & Distributors | 0.2%
Fastenal Co. 481,642 24,857,544
United Rentals, Inc. (a) 61,424 21,555,524
 
38
                

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.7% of net assets (Continued)
  Shares Value
Trading Companies & Distributors | 0.2% (Continued)
W.W. Grainger, Inc. 36,543 $14,363,591
Total Trading Companies & Distributors   60,776,659
Water Utilities | 0.1%
American Water Works Co., Inc. 153,076 25,875,967
Total Water Utilities   25,875,967
Wireless Telecommunication Services | 0.2%
T-Mobile U.S., Inc. (a) 493,333 63,028,224
Total Wireless Telecommunication Services   63,028,224
Total Common Stocks    
(Cost $13,277,551,233)   30,745,967,028
    
Investment Companies | 0.3% of net assets
iShares Core S&P 500 ETF (b) 192,742 $83,037,108
Total Investment Companies    
(Cost $83,241,641)   83,037,108
Total Long-Term Investments    
(Cost $13,360,792,874)   30,829,004,136
    
Short-Term Securities | 1.0% of net assets
  Shares Value
BlackRock Cash Funds: Institutional, SL Agency Shares, 0.08% (b)(d)(e) 44,730,425 $44,752,790
BlackRock Cash Funds: Treasury, SL Agency Shares, 0.01% (b)(d) 273,701,777 273,701,777
Total Short-Term Securities    
(Cost $318,433,193)   318,454,567
Total Investments    
(Cost $13,679,226,067) | 100.0% 31,147,458,703
Liabilities in Excess of Other Assets | (0.0)%   (7,260,866)
Net Assets | 100.0%   $31,140,197,837
 
(a) Non-income producing.
(b) During the period ended September 30, 2021, investments in issuers considered to be affiliates of the Master Portfolio for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, and/or related parties of the Master Portfolio were as follows:
   
Affiliate Persons and/or Related Parties Shares Held at
December 31, 2020
Shares
Purchased
Shares
Sold
Shares Held at
September 30, 2021
Value at
September 30, 2021
Income Realized
Gain (Loss)
Change in Unrealized Appreciation (Depreciation)
BlackRock Cash Funds: Institutional, SL Agency Shares 161,818,190 (117,057,250)1 44,730,425 $44,752,790 $345,9122 $118,287 $(126,437)
BlackRock Cash Funds: Treasury, SL Agency Shares 82,440,013 191,261,7641 273,701,777 273,701,777 20,091
BlackRock, Inc. 87,650,514 1,662,104 (2,429,331) 120,278 100,872,347 1,478,631 532,851 13,456,209
iShares Core S&P 500 ETF 4,286,954 494,410,686 (444,124,987) 192,742 83,037,108 1,560,267 30,125,872 (1,661,417)
Total         $502,364,022 $3,404,901 $30,777,010 $11,668,355
1 Represents net shares purchased (sold).
2 Represents all or portion of securities lending income earned from the reinvestment of cash collateral from loaned securities, net of fees, and collateral investment expenses, and other payments to and from borrowers of securities.
(c) Security, or a portion of security, is on loan.
(d) 7-day yield at September 30, 2021.
(e) All or a portion of security was purchased with the cash collateral from loaned securities.
   
                
39

Portfolio of Investments  |  S&P 500 Index Master Portfolio  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Derivative Financial Instruments Outstanding as of Period End - Futures Contracts
Contracts Long Issue Expiration Notional Amount (000) Unrealized
Appreciation
(Depreciation)
1,354 S&P 500 E-Mini Index December 2021 $290,958 $(11,120,569)
Fair Value Hierarchy as of Period End
Various inputs are used in determining the fair value of financial instruments. These inputs to valuation techniques are categorized into a fair value hierarchy consisting of three broad levels for financial reporting purposes as follows
•  Level 1 – Unadjusted price quotations in active markets/exchanges for identical assets or liabilities that the Master Portfolio has the ability to access;
•  Level 2 – Other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market–corroborated inputs); and
•  Level 3 – Unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the BlackRock Global Valuation Methodologies Committee’s (the “Global Valuation Committee’s”) assumptions used in determining the fair value of financial instruments).
The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined based on the lowest level input that is significant to the fair value measurement in its entirety. Investments classified within Level 3 have significant unobservable inputs used by the Global Valuation Committee in determining the price for Fair Valued Investments. Level 3 investments include equity or debt issued by privately held companies or funds. There may not be a secondary market, and/or there are a limited number of investors. The categorization of a value determined for financial instruments is based on the pricing transparency of the financial instruments and is not necessarily an indication of the risks associated with investing in those securities. For information about the Master Portfolio’s policy regarding valuation of financial instruments, refer to its most recent financial statements.
The following table summarizes the Master Portfolio’s financial instruments categorized in the fair value hierarchy. The breakdown of the Master Portfolio’s financial instruments into major categories is disclosed in the Schedule of Investments above.
  Level 1 Level 2 Level 3 Total
Assets:        
Investments:        
Long-Term Investments

$30,829,004,136 $— $— $30,829,004,136
Short-Term Securities:

Money Market Funds

318,454,567 318,454,567
  $31,147,458,703 $— $— $31,147,458,703
Derivative Financial Instruments(a)        
Assets:        
Equity contracts

$(11,120,569) $— $— $(11,120,569)
(a) Derivative financial instruments are futures contracts. Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.
40
                

Portfolio of Investments
Value Fund  |  September 30, 2021  |  (Unaudited)

Common Stocks | 98.2% of portfolio
  Shares Value
Communication Services | 6.2%
Interactive Media & Services    
Alphabet, Inc., Class C (a) 17,711 $47,205,305
Facebook, Inc., Class A (a) 40,600 13,779,234
Total Communication Services   60,984,539
Consumer Discretionary | 5.8%
Hotels, Restaurants & Leisure    
McDonald's Corp. 57,197 13,790,769
Multiline Retail    
Target Corp. 31,300 7,160,500
Specialty Retail    
Home Depot, Inc. 37,018 12,151,529
TJX Companies, Inc. (The) 143,600 9,474,728
Ulta Beauty, Inc. (a) 41,056 14,817,931
Total Consumer Discretionary   57,395,457
Energy | 1.2%
Oil, Gas & Consumable Fuels    
Chevron Corp. 120,600 12,234,870
Total Energy   12,234,870
Financials | 21.2%
Banks    
Bank of America Corp. 730,602 31,014,055
Citigroup, Inc. 274,739 19,281,183
JPMorgan Chase & Co. 308,891 50,562,368
Truist Financial Corp. 254,700 14,938,155
Capital Markets    
Goldman Sachs Group, Inc. 76,774 29,022,875
Insurance    
Allstate Corp. 232,284 29,572,076
American International Group, Inc. 364,794 20,023,543
Chubb Ltd. 79,138 13,728,860
Total Financials   208,143,115
Health Care | 20.7%
Biotechnology    
AbbVie Inc. 207,463 22,379,034
Amgen Inc. 34,100 7,251,365
Health Care Equipment & Supplies    
Abbott Laboratories 305,556 36,095,330
Boston Scientific Corp. (a) 328,896 14,270,797
Medtronic PLC 135,856 17,029,550
Health Care Providers & Services    
Centene Corp. (a) 297,697 18,549,500
Cigna Corp. 83,614 16,736,178
Life Sciences Tools & Services    
Mettler-Toledo International, Inc. (a) 5,504 7,580,990
Pharmaceuticals    
Bristol-Myers Squibb Co. 253,301 14,987,820
Common Stocks | 98.2% of portfolio (Continued)
  Shares Value
Health Care | 20.7% (Continued)
Merck & Co., Inc. 187,682 $14,096,795
Pfizer, Inc. 559,099 24,046,848
Royalty Pharma PLC, Class A 290,884 10,512,548
Total Health Care   203,536,755
Industrials | 17.8%
Aerospace & Defense    
Northrop Grumman Corp. 39,231 14,129,044
Airlines    
Southwest Airlines Co. (a) 250,132 12,864,289
Electrical Equipment    
Eaton Corp. PLC 88,887 13,271,718
Industrial Conglomerates    
Honeywell International, Inc. 214,373 45,507,100
Machinery    
Deere & Co. 31,500 10,554,705
Parker-Hannifin Corp. 108,122 30,233,074
Stanley Black & Decker, Inc. 83,942 14,715,872
Professional Services    
Leidos Holdings Inc. 161,117 15,488,177
Road & Rail    
CSX Corp. 619,182 18,414,473
Total Industrials   175,178,452
Information Technology | 14.6%
IT Services    
Fiserv, Inc. (a) 112,000 12,152,000
Visa Inc., Class A 113,498 25,281,680
Semiconductors & Semiconductor Equipment    
NVIDIA Corp. 64,120 13,283,099
NXP Semiconductors NV 137,963 27,022,813
Software    
Microsoft Corp. 171,714 48,409,611
VMware, Inc., Class A (a) 115,883 17,231,802
Total Information Technology   143,381,005
Materials | 8.2%
Chemicals    
Dow Inc. 181,181 10,428,779
DuPont de Nemours, Inc. 259,878 17,669,105
Containers & Packaging    
Avery Dennison Corp. 194,987 40,403,256
Metals & Mining    
Freeport-McMoRan Inc. 380,700 12,384,171
Total Materials   80,885,311
Real Estate | 2.5%
Equity Real Estate Investment Trusts (REITs)    
Digital Realty Trust, Inc. 52,301 7,554,880
 
                
41

Portfolio of Investments  |  Value Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Common Stocks | 98.2% of portfolio (Continued)
  Shares Value
Real Estate | 2.5% (Continued)
VICI Properties Inc. 611,935 $17,385,073
Total Real Estate   24,939,953
Total Common Stocks    
(Cost $515,996,281)   966,679,457
    
Money Market Fund | 1.8% of portfolio
State Street Institutional U.S. Government Money Market Fund Premier Class, 0.03% (b) 17,287,606 17,287,606
Total Money Market Fund    
(Cost $17,287,606)   17,287,606
Total Investments in Securities    
(Cost $533,283,887) | 100.0%   $983,967,063
(a) Non-income producing.
(b) 7-day yield at September 30, 2021.
PLC - Public Limited Company
NV - Naamloze Vennottschap
At September 30, 2021, the cost of investment securities for tax purposes was $533,623,124. Net unrealized appreciation of investment securities was $450,343,939 consisting of unrealized gains of $455,168,366 and unrealized losses of $4,824,427.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Value Fund Level 1 Level 2 Level 3 Total
Common Stocks

$966,679,457 $$$966,679,457
Money Market Fund

17,287,606 17,287,606
Total $983,967,063 $ — $ — $983,967,063
42
                

Portfolio of Investments
Growth Fund  |  September 30, 2021  |  (Unaudited)

Common Stocks | 99.4% of portfolio
  Shares Value
Communication Services | 26.6%
Entertainment    
Live Nation Entertainment, Inc. (a) 22,512 $2,051,519
Netflix, Inc. (a) 12,853 7,844,700
Sea Ltd. ADR (a) 5,075 1,617,555
Spotify Technology SA (a) 21,372 4,815,966
Warner Music Group Corp., Class A 16,561 707,817
Interactive Media & Services    
Alphabet, Inc., Class C (a) 4,400 11,727,364
Alphabet, Inc., Class A (a) 8,947 23,919,984
Facebook, Inc., Class A (a) 64,675 21,950,048
IAC/InterActiveCorp (a) 15,397 2,006,075
Match Group, Inc. (a) 24,456 3,839,347
Pinterest, Inc., Class A (a) 29,219 1,488,708
Snap Inc., Class A (a) 150,669 11,129,919
Tencent Holdings Ltd. ADR 74,809 4,471,334
Vimeo, Inc. (a) 40,303 1,183,699
Total Communication Services   98,754,035
Consumer Discretionary | 18.1%
Auto Components    
Aptiv PLC (a) 24,176 3,601,499
Hotels, Restaurants & Leisure    
Booking Holdings, Inc. (a) 1,662 3,945,372
Chipotle Mexican Grill, Inc. (a) 1,482 2,693,565
DraftKings Inc., Class A (a) 36,576 1,761,500
Internet & Direct Marketing Retail    
Alibaba Group Holding Ltd. ADR (a) 13,749 2,035,539
Amazon.com, Inc. (a) 9,289 30,514,737
Coupang, Inc. (a) 61,166 1,703,473
DoorDash, Inc., Class A (a) 3,349 689,827
Farfetch Ltd., Class A (a) 35,693 1,337,774
Multiline Retail    
Dollar General Corp. 20,522 4,353,537
Specialty Retail    
Carvana Co. (a) 10,697 3,225,573
Ross Stores, Inc. 53,886 5,865,491
Textiles, Apparel & Luxury Goods    
lululemon athletica Inc. (a) 7,676 3,106,477
NIKE, Inc., Class B 17,137 2,488,806
Total Consumer Discretionary   67,323,170
Financials | 1.6%
Capital Markets    
Charles Schwab Corp. 25,689 1,871,187
MarketAxess Holdings Inc. 1,962 825,394
S&P Global, Inc. 5,990 2,545,091
XP Inc., Class A (a) 21,863 878,236
Total Financials   6,119,908
Common Stocks | 99.4% of portfolio (Continued)
  Shares Value
Health Care | 13.5%
Biotechnology    
Incyte Corp. (a) 17,940 $1,233,913
Vertex Pharmaceuticals, Inc. (a) 13,020 2,361,698
Health Care Equipment & Supplies    
Becton, Dickinson & Co. 10,304 2,532,930
Intuitive Surgical, Inc. (a) 7,561 7,516,768
Stryker Corp. 27,664 7,295,550
Health Care Providers & Services    
Anthem, Inc. 5,092 1,898,298
Centene Corp. (a) 28,875 1,799,201
Cigna Corp. 33,410 6,687,346
HCA Healthcare, Inc. 18,085 4,389,591
Humana, Inc. 7,160 2,786,314
UnitedHealth Group, Inc. 19,225 7,511,976
Life Sciences Tools & Services    
Avantor, Inc. (a) 97,338 3,981,124
Total Health Care   49,994,709
Industrials | 1.6%
Machinery    
Ingersoll Rand Inc. (a) 66,950 3,374,950
Professional Services    
CoStar Group, Inc. (a) 29,921 2,575,001
Total Industrials   5,949,951
Information Technology | 38.0%
Electronic Equipment, Instruments & Components    
Amphenol Corp., Class A 34,900 2,555,727
IT Services    
Affirm Holdings, Inc. (a) 4,369 520,479
Fidelity National Information Services, Inc. 12,636 1,537,548
Global Payments, Inc. 68,112 10,733,089
MongoDB, Inc. (a) 6,810 3,210,983
PayPal Holdings, Inc. (a) 24,070 6,263,255
Shopify Inc., Class A (a) 727 985,652
Visa Inc., Class A 60,308 13,433,607
Semiconductors & Semiconductor Equipment    
Advanced Micro Devices, Inc. (a) 24,597 2,531,031
ASML Holding NV ADR 8,904 6,634,460
Software    
Fortinet, Inc. (a) 17,950 5,242,118
Intuit, Inc. 22,964 12,389,308
Microsoft Corp. 112,640 31,755,469
salesforce.com, Inc. (a) 32,954 8,937,784
SentinelOne, Inc., Class A (a) 21,200 1,135,684
ServiceNow, Inc. (a) 9,943 6,187,231
Splunk Inc. (a) 20,412 2,953,820
Synopsys, Inc. (a) 11,512 3,446,808
UiPath, Inc. (a) 14,203 747,220
Workday, Inc., Class A (a) 4,838 1,208,968
 
                
43

Portfolio of Investments  |  Growth Fund  |  September 30, 2021  |  (Unaudited)  |  (Continued)
Common Stocks | 99.4% of portfolio (Continued)
  Shares Value
Information Technology | 38.0% (Continued)
Zoom Video Communications, Inc. (a) 10,005 $2,616,307
Technology Hardware, Storage & Peripherals    
Apple, Inc. 114,674 16,226,371
Total Information Technology   141,252,919
Total Common Stocks    
(Cost $195,491,346)   369,394,692
    
Money Market Fund | 0.6% of portfolio
  Shares Value
State Street Institutional U.S. Government Money Market Fund Premier Class, 0.03% (b) 2,096,632 $2,096,632
Total Money Market Fund    
(Cost $2,096,632)   2,096,632
Total Investments in Securities    
(Cost $197,587,978) | 100.0%   $371,491,324
 
(a) Non-income producing.
(b) 7-day yield at September 30, 2021.
ADR - American Depositary Deposit
SA - Sociedad Anonima or Societe Anonyme
PLC - Public Limited Company
S&P - Standard & Poor's
NV - Naamloze Vennottschap
At September 30, 2021, the cost of investment securities for tax purposes was $197,834,818. Net unrealized appreciation of investment securities was $173,656,506 consisting of unrealized gains of $177,909,376 and unrealized losses of $4,252,870.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Growth Fund Level 1 Level 2 Level 3 Total
Common Stocks

$366,803,971 $$$369,394,692
Money Market Fund

2,096,632 2,096,632
Total $368,900,603 $ — $ — $371,491,324
44
                

Portfolio of Investments
International Equity Fund  |  September 30, 2021  |  (Unaudited)

Common Stocks | 95.6% of portfolio
  Shares Value
Australia | 2.5%
BHP Group Ltd. ADR 45,716 $2,446,720
Total Australia   2,446,720
Brazil | 0.3%
Ambev SA ADR 103,138 284,661
Total Brazil   284,661
Britain | 7.4%
Diageo PLC 30,169 1,460,632
Rio Tinto PLC 31,836 2,086,918
Royal Dutch Shell PLC, Class B 76,582 1,696,797
Standard Chartered PLC 129,089 754,626
Unilever PLC 25,815 1,397,581
Total Britain   7,396,554
Canada | 2.1%
Alimentation Couche-Tard Inc., Class B 29,800 1,140,145
Canadian National Railway Co. 8,503 983,372
Total Canada   2,123,517
China | 3.0%
Alibaba Group Holding Ltd. ADR (a) 2,461 364,350
CSPC Pharmaceutical Group Ltd. 400,000 477,342
ENN Energy Holdings Ltd. 18,417 303,760
Haier Smart Home Co., Ltd. 82,148 287,178
Ping An Insurance Group Co. of China Ltd., Class H 39,000 266,736
Tencent Holdings Ltd. 22,200 1,325,311
Total China   3,024,677
Denmark | 1.1%
Novozymes A/S, Class B 15,282 1,047,600
Total Denmark   1,047,600
France | 10.2%
Air Liquide SA 6,224 996,836
Dassault Systèmes SE 36,590 1,925,568
L’Oréal SA 9,506 3,933,621
Schneider Electric SE 19,669 3,275,948
Total France   10,131,973
Germany | 10.2%
Allianz SE REG 11,762 2,635,224
Infineon Technologies AG 98,572 4,031,414
SAP SE ADR 13,692 1,848,968
Symrise AG 12,430 1,629,213
Total Germany   10,144,819
Common Stocks | 95.6% of portfolio (Continued)
  Shares Value
Hong Kong | 3.5%
AIA Group Ltd. 299,200 $3,442,117
Total Hong Kong   3,442,117
India | 0.9%
HDFC Bank Ltd. ADR 5,614 410,327
ICICI Bank Ltd. ADR 27,120 511,755
Total India   922,082
Indonesia | 0.4%
PT Telkom Indonesia (Persero) Tbk. ADR 14,539 369,291
Total Indonesia   369,291
Israel | 1.5%
Check Point Software Technologies Ltd. (a) 12,862 1,453,920
Total Israel   1,453,920
Japan | 16.7%
Chugai Pharmaceutical Co., Ltd. 48,600 1,778,463
FANUC Corp. 4,600 1,008,605
Keyence Corp. 3,300 1,969,674
Komatsu Ltd. 60,900 1,458,458
Kubota Corp. 88,300 1,879,256
Nitori Holdings Co., Ltd. 9,800 1,931,305
Shionogi & Co., Ltd. 28,700 1,963,922
Sysmex Corp. 16,200 2,012,178
Unicharm Corp. 57,300 2,539,077
Total Japan   16,540,938
Mexico | 0.3%
Fomento Economico Mexicano, SAB de CV ADR 3,960 343,411
Total Mexico   343,411
Netherlands | 3.8%
Adyen NV (a) 1,340 3,745,785
Total Netherlands   3,745,785
Republic of South Korea | 0.8%
Samsung Electronics Co., Ltd. GDR 501 777,211
Total Republic of South Korea   777,211
Russia | 0.9%
LUKOIL PJSC ADR 6,253 591,909
Yandex NV, Class A (a) 4,239 337,806
Total Russia   929,715
 
                
45

Portfolio of Investments  |  International Equity Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 95.6% of portfolio (Continued)
  Shares Value
Singapore | 2.8%
DBS Group Holdings Ltd. 126,315 $2,798,965
Total Singapore   2,798,965
Spain | 2.1%
Banco Bilboa Vizcaya Argentaria SA 314,502 2,075,903
Total Spain   2,075,903
Sweden | 9.4%
Alfa Laval AB 50,898 1,898,420
Atlas Copco AB, Class A 68,020 4,107,432
Epiroc AB, Class A 76,991 1,600,608
Skandinaviska Enskilda Banken AB, Class A 124,809 1,758,974
Total Sweden   9,365,434
Switzerland | 13.3%
Alcon Inc. 24,045 1,934,901
Lonza Group AG REG 3,926 2,944,929
Nestlé SA ADR 18,660 2,248,344
Roche Holding AG REG 9,490 3,463,563
SGS SA REG 339 986,774
Sonova Holding AG REG 4,325 1,634,452
Total Switzerland   13,212,963
Taiwan | 1.2%
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 10,834 1,209,616
Total Taiwan   1,209,616
United States of America | 1.2%
Linde PLC 4,078 1,199,252
Total United States of America   1,199,252
Total Common Stocks    
(Cost $63,724,662)   94,987,124
    
Preferred Stocks | 0.9% of portfolio
  Shares Value
Brazil | 0.4%
Itaú Unibanco Holding SA ADR 74,855 $394,486
Total Brazil   394,486
Germany | 0.2%
FUCHS PETROLUB SE 3,058 143,177
Total Germany   143,177
Republic of South Korea | 0.3%
Samsung Electronics Co., Ltd. REG GDR 234 338,076
Total Republic of South Korea   338,076
Total Preferred Stocks    
(Cost $562,260)   875,739
    
Money Market Fund | 3.5% of portfolio
State Street Institutional U.S. Government Money Market Fund Premier Class, 0.03% (b) 3,497,294 3,497,294
Total Money Market Fund    
(Cost $3,497,294)   3,497,294
Total Investments in Securities    
(Cost $67,784,216) | 100.0%   $99,360,157
 
(a) Non-income producing.
(b) 7-day yield at September 30, 2021.
ADR - American Depositary Deposit
SA - Sociedad Anonima or Societe Anonyme
PLC - Public Limited Company
A/S - Aktieselskab
SE - Societas Europaea
REG - Registered Shares
AG - Aktiengesellschaft
Tbk. - Terbuka
SAB de CV - Sociedad Anonima Bursatil de Capital Variable
SAB - Sociedad Anonima Bursatil
46
                

Portfolio of Investments  |  International Equity Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
NV - Naamloze Vennottschap
GDR - Global Depositary Receipt
AB - Aktiebolag
At September 30, 2021, the cost of investment securities for tax purposes was $67,842,983. Net unrealized appreciation of investment securities was $31,517,174 consisting of unrealized gains of $33,050,439 and unrealized losses of $1,533,265.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
International Equity Fund Level 1 Level 2 Level 3 Total
Common Stocks

$14,231,152 $80,755,972 $$94,987,124
Preferred Stocks

394,486 481,253 875,739
Money Market Fund

3,497,294 3,497,294
Total $18,122,932 $81,237,225 $ — $99,360,157
                
47

Portfolio of Investments
Small-Company Stock Fund  |  September 30, 2021  |  (Unaudited)

Common Stocks | 98.5% of portfolio
  Shares Value
Communication Services | 0.9%
Wireless Telecommunication Services    
Shenandoah Telecommunications Co. 81,763 $2,582,076
Total Communication Services   2,582,076
Consumer Discretionary | 6.6%
Hotels, Restaurants & Leisure    
Cracker Barrel Old Country Store, Inc. 20,619 2,883,361
Hilton Grand Vacations Inc. (a) 33,700 1,603,109
Household Durables    
MDC Holdings, Inc. 102,288 4,778,896
Leisure Products    
Callaway Golf Co. (a) 181,651 5,019,017
Specialty Retail    
ARKO Corp. (a) 270,500 2,732,050
Textiles, Apparel & Luxury Goods    
Carter's, Inc. 31,851 3,097,191
Total Consumer Discretionary   20,113,624
Consumer Staples | 0.8%
Food Products    
TreeHouse Foods, Inc. (a) 63,927 2,549,409
Total Consumer Staples   2,549,409
Financials | 16.6%
Banks    
Atlantic Union Bankshares Corp. 141,992 5,232,405
Cadence Bancorporation 207,500 4,556,700
Eastern Bankshares, Inc. 365,900 7,427,770
FB Financial Corp. 152,959 6,558,882
Glacier Bancorp, Inc. 151,916 8,408,551
South State Corp. 36,675 2,738,522
Umpqua Holdings Corp. 82,300 1,666,575
Capital Markets    
Virtu Financial, Inc., Class A 104,243 2,546,657
Consumer Finance    
Encore Capital Group, Inc. (a) 143,983 7,094,042
Insurance    
Kinsale Capital Group, Inc. 27,726 4,483,294
Total Financials   50,713,398
Health Care | 21.8%
Biotechnology    
Emergent BioSolutions Inc. (a) 57,525 2,880,277
Twist Bioscience Corp. (a) 46,977 5,025,129
Health Care Equipment & Supplies    
Envista Holdings Corp. (a) 100,700 4,210,267
Integer Holdings Corp. (a) 45,970 4,106,960
NuVasive, Inc. (a) 63,500 3,800,475
STAAR Surgical Co. (a) 30,136 3,873,380
Common Stocks | 98.5% of portfolio (Continued)
  Shares Value
Health Care | 21.8% (Continued)
Health Care Providers & Services    
AMN Healthcare Services, Inc. (a) 86,687 $9,947,333
LHC Group, Inc. (a) 39,528 6,202,339
PetIQ, Inc. (a) 137,000 3,420,890
Health Care Technology    
Inovalon Holdings, Inc., Class A (a) 115,591 4,657,161
Life Sciences Tools & Services    
Medpace Holdings, Inc. (a) 57,750 10,930,920
NanoString Technologies, Inc. (a) 117,153 5,624,516
Pharmaceuticals    
Aerie Pharmaceuticals, Inc. (a) 155,838 1,776,553
Total Health Care   66,456,200
Industrials | 23.9%
Aerospace & Defense    
Triumph Group, Inc. (a) 277,700 5,173,551
Construction & Engineering    
Comfort Systems USA, Inc. 69,888 4,984,412
Dycom Industries, Inc. (a) 19,300 1,374,932
Primoris Services Corp. 199,398 4,883,257
Electrical Equipment    
Atkore Inc. (a) 99,100 8,613,772
EnerSys 54,335 4,044,697
Machinery    
Barnes Group Inc. 81,200 3,388,476
Colfax Corp. (a) 174,828 8,024,605
Federal Signal Corp. 145,494 5,618,979
Professional Services    
CACI International Inc., Class A (a) 8,971 2,351,299
ManTech International Corp., Class A 105,765 8,029,679
Road & Rail    
Werner Enterprises, Inc. 145,033 6,420,611
Trading Companies & Distributors    
Applied Industrial Technologies, Inc. 111,326 10,033,812
Total Industrials   72,942,082
Information Technology | 17.0%
Electronic Equipment, Instruments & Components    
Advanced Energy Industries, Inc. 63,162 5,542,465
Itron, Inc. (a) 51,377 3,885,643
IT Services    
CSG Systems International, Inc. 61,670 2,972,494
Semiconductors & Semiconductor Equipment    
Diodes Inc. (a) 67,486 6,113,557
Software    
Altair Engineering Inc., Class A (a) 101,177 6,975,142
Cognyte Software Ltd. (a) 79,326 1,630,149
 
48
                

Portfolio of Investments  |  Small-Company Stock Fund  |  September 30, 2021  |  (Unaudited)  |  
(Continued)
Common Stocks | 98.5% of portfolio (Continued)
  Shares Value
Information Technology | 17.0% (Continued)
Descartes Systems Group Inc. (The) (a) 101,770 $8,269,830
j2 Global, Inc. (a) 62,726 8,569,626
Model N, Inc. (a) 109,600 3,671,600
Verint Systems Inc. (a) 93,726 4,197,988
Total Information Technology   51,828,494
Materials | 7.7%
Chemicals    
Avient Corp. 230,027 10,661,752
Ingevity Corp. (a) 43,641 3,114,658
Construction Materials    
Summit Materials, Inc., Class A (a) 308,768 9,871,313
Total Materials   23,647,723
Real Estate | 3.2%
Equity Real Estate Investment Trusts (REITs)    
Community Healthcare Trust Inc. 78,900 3,565,491
Common Stocks | 98.5% of portfolio (Continued)
  Shares Value
Real Estate | 3.2% (Continued)
Easterly Government Properties, Inc. 229,311 $4,737,565
Uniti Group Inc. 128,400 1,588,308
Total Real Estate   9,891,364
Total Common Stocks    
(Cost $213,967,276)   300,724,370
    
Money Market Fund | 1.5% of portfolio
State Street Institutional U.S. Government Money Market Fund Premier Class, 0.03% (b) 4,589,330 4,589,330
Total Money Market Fund    
(Cost $4,589,330)   4,589,330
Total Investments in Securities    
(Cost $218,556,606) | 100.0%   $305,313,700
 
(a) Non-income producing.
(b) 7-day yield at September 30, 2021.
At September 30, 2021, the cost of investment securities for tax purposes was $218,625,119. Net unrealized appreciation of investment securities was $86,688,581 consisting of unrealized gains of $95,509,819 and unrealized losses of $8,821,238.
Accounting principles generally accepted in the United States (GAAP) establish a disclosure hierarchy that categorized the inputs used to value assets and liabilities at measurement date. These inputs are summarized into three broad levels as follows:
Level 1 - quoted prices in active markets for identical investments;
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
Level 3 - significant unobservable inputs (including the Fund’s own assumptions in determining the fair valuation of investments).
The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities. Changes in valuation techniques may result in transfers in or out of an investment’s assigned level within the hierarchy during the period. For more information regarding the Fund’s valuation policies please refer to the Fund’s most recent financial report.
Small-Company Stock Fund Level 1 Level 2 Level 3 Total
Common Stocks

$300,724,370 $$$300,724,370
Money Market Fund

4,589,330 4,589,330
Total $305,313,700 $ — $ — $305,313,700
                
49