NPORT-P
    false
    
      
      
        
          0000920547
          XXXXXXXX
        
      
      
      
      
        S000059069
        C000193692
      
      
      
    
  
  
    
      Touchstone Variable Series Trust
      811-08416
      0000920547
      549300PPYZ5OV9N1T150
      303 Broadway
      Suite 1100
      Cincinnati
      
      45202
      8006388194
      Touchstone Variable Series Trust-Touchstone Small Company Fund
      S000059069
      549300GF3RH4W7L2TB96
      2022-12-31
      2022-03-31
      N
    
    
      68697748.940000000000
      291980.510000000000
      68405768.430000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      0.000000000000
      N
      
        
          
        
        
        
        
      
      
      
      
      
      
    
    
      
        Frontdoor Inc
        5493008RB0JZJI3QGZ06
        Frontdoor Inc COM USD0.01
        35905A109
        
          
          
          
        
        25816
        NS
        USD
        770607.6
        1.1265242942
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Gibraltar Industries, Inc.
        549300AE5O3GN0YBLM57
        Gibraltar Industries, Inc. COM USD0.01
        374689107
        
          
          
          
        
        16678
        NS
        USD
        716320.1
        1.0471632970
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Globus Med Inc
        5299003M2P4CIK0RF205
        Globus Med Inc COM USD0.001 CL 'A'
        379577208
        
          
          
          
        
        11528
        NS
        USD
        850535.84
        1.2433685923
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Tower Semiconductor Limited
        54930086ZSNXZOUX0C54
        Tower Semiconductor Limited ORD ILS1
        M87915274
        
          
          
          
        
        15430
        NS
        USD
        746812
        1.0917383389
        Long
        EC
        CORP
        IL
        N
        
        1
        
          N
          N
          N
        
      
      
        Evercore Inc
        529900P6KLPT95DW3W58
        Evercore Inc COM USD0.01 CLASS 'A'
        29977A105
        
          
          
          
        
        8166
        NS
        USD
        909039.12
        1.3288924909
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Exlservice Holdings Inc
        81E3DTNF6OSH489ZOV15
        Exlservice Holdings Inc COM STK USD0.001
        302081104
        
          
          
          
        
        7137
        NS
        USD
        1022517.99
        1.4947832814
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Webster Financial Corp.
        KMRURHT0VWKYS6Z5KU67
        Webster Financial Corp. COM USD0.01
        947890109
        
          
          
          
        
        23523
        NS
        USD
        1320110.76
        1.9298237419
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Ziff Davis Inc
        5493008OJYGLHD7MXA18
        Ziff Davis Inc COM USD0.001
        48123V102
        
          
          
          
        
        8855
        NS
        USD
        856986.9
        1.2527991713
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Commvault Systems Inc.
        65T5VRP62VXG39YFML83
        Commvault Systems Inc. COM STK USD0.01
        204166102
        
          
          
          
        
        12910
        NS
        USD
        856578.5
        1.2522021456
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Corporate Office Properties Trust
        YY1J47X6LF9TYY8JY420
        Corporate Office Properties Trust COM USD0.01
        22002T108
        
          
          
          
        
        57715
        NS
        USD
        1647186.1
        2.4079637402
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Covetrus Inc
        5493009S30DUFCF75V87
        Covetrus Inc COM USD0.01
        22304C100
        
          
          
          
        
        43532
        NS
        USD
        730902.28
        1.0684804758
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Regal Rexnord Corporation
        QH78R09VCJGQKPBPYU33
        Regal Rexnord Corporation COM USD0.01
        758750103
        
          
          
          
        
        5317
        NS
        USD
        791063.26
        1.1564277080
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        F N B Corp (Pennsylvania)
        PCYSKIGYNYFDTBLVZU83
        F N B Corp (Pennsylvania) COM USD0.01
        302520101
        
          
          
          
        
        75110
        NS
        USD
        935119.5
        1.3670184861
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Forward Air Corp.
        N/A
        Forward Air Corp. COM USD0.01
        349853101
        
          
          
          
        
        8930
        NS
        USD
        873175.4
        1.2764645732
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Fox Factory Holding Corporation
        529900GE1HSV0617R721
        Fox Factory Holding Corporation COM USD0.001
        35138V102
        
          
          
          
        
        8080
        NS
        USD
        791436
        1.1569726036
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Silgan Holdings Inc.
        KAF673KJXD92C8KSLU49
        Silgan Holdings Inc. COM USD0.01
        827048109
        
          
          
          
        
        21620
        NS
        USD
        999492.6
        1.4611232692
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Skyline Champion Corporation
        N/A
        Skyline Champion Corporation COM USD0.0277
        830830105
        
          
          
          
        
        12760
        NS
        USD
        700268.8
        1.0236984630
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        American Eagle Outfitters Inc.
        5299001Z9HXK01DHW793
        American Eagle Outfitters Inc. COM USD0.01
        02553E106
        
          
          
          
        
        40430
        NS
        USD
        679224
        0.9929338060
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Madden(Steven)Ltd.
        549300Z9GZ7GYJWSGF43
        Madden(Steven)Ltd. COM USD0.0001
        556269108
        
          
          
          
        
        34252
        NS
        USD
        1323497.28
        1.9347743770
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Pacific Premier Bancorp Inc
        549300Q1KIC3KLI0XG98
        Pacific Premier Bancorp Inc COM USD0.01
        69478X105
        
          
          
          
        
        21910
        NS
        USD
        774518.5
        1.1322415021
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        PacWest Bancorp
        549300YI8VMFO7G36V04
        PacWest Bancorp COM NPV
        695263103
        
          
          
          
        
        28558
        NS
        USD
        1231706.54
        1.8005887051
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Crane Co.
        549300X1RO9ID7AUCA83
        Crane Co. COM USD1
        224399105
        
          
          
          
        
        13275
        NS
        USD
        1437417
        2.1013096307
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Curtiss-Wright Corp.
        TEL51ETZWP7D0ZM4X325
        Curtiss-Wright Corp. COM USD1
        231561101
        
          
          
          
        
        5610
        NS
        USD
        842397.6
        1.2314715840
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Digi International Inc.
        529900KG656HGROI4N27
        Digi International Inc. COM USD0.01
        253798102
        
          
          
          
        
        34408
        NS
        USD
        740460.16
        1.0824528062
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Topbuild Corporation
        5493007YSKHOL4RWII46
        Topbuild Corporation COM USD0.01 'WI'
        89055F103
        
          
          
          
        
        3830
        NS
        USD
        694723.7
        1.0155922752
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Encompass Health Corporation
        549300FVRPM9DRQZRG64
        Encompass Health Corporation COM USD0.01
        29261A100
        
          
          
          
        
        11693
        NS
        USD
        831489.23
        1.2155250194
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Ensign Group Inc
        5493003K4HEEA8Q0BC72
        Ensign Group Inc COM USD0.001
        29358P101
        
          
          
          
        
        10110
        NS
        USD
        910001.1
        1.3302987758
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Clean Harbors, Inc.
        5493000SJVZVZJKHJF48
        Clean Harbors, Inc. COM USD0.01
        184496107
        
          
          
          
        
        12759
        NS
        USD
        1424414.76
        2.0823021109
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Dreyfus Govt Cash
        549300F7IDB6WRO7VJ11
        Dreyfus Govt Cash SH BEN INT
        262006208
        
          
          
          
        
        1191999.76
        NS
        USD
        1191999.76
        1.7425427524
        Long
        STIV
        RF
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Eagle Materials Inc.
        529900KRXRGXL61SG039
        Eagle Materials Inc. COM USD0.01
        26969P108
        
          
          
          
        
        6541
        NS
        USD
        839602.76
        1.2273859051
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Box Inc.
        549300KQUCPD8687YS68
        Box Inc. COM USD0.0001 CL 'A'
        10316T104
        
          
          
          
        
        60770
        NS
        USD
        1765976.2
        2.5816188321
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        KBR Inc
        254900OFQDXZRKRCV808
        KBR Inc COM USD0.001
        48242W106
        
          
          
          
        
        16430
        NS
        USD
        899213.9
        1.3145293455
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        KnowBe4 Inc
        N/A
        KnowBe4 Inc CL A
        49926T104
        
          
          
          
        
        44306
        NS
        USD
        1019924.12
        1.4909913936
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        LHC Group Inc
        5299009NPLWAMRQYZX73
        LHC Group Inc COM USD0.01
        50187A107
        
          
          
          
        
        5956
        NS
        USD
        1004181.6
        1.4679779543
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Grand Canyon Education Inc
        529900XFER799IYOSW74
        Grand Canyon Education Inc COM USD0.01
        38526M106
        
          
          
          
        
        8750
        NS
        USD
        849712.5
        1.2421649804
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Integra LifeSciences Holdings Corporation
        WB7IJCYY8YFTENS4O147
        Integra LifeSciences Holdings Corporation COM STK USD0.01
        457985208
        
          
          
          
        
        11672
        NS
        USD
        750042.72
        1.0964612155
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Great Lakes Dredge & Dock Corporation
        549300H65E3MZ1CX0P05
        Great Lakes Dredge & Dock Corporation COM STK USD0.01
        390607109
        
          
          
          
        
        51129
        NS
        USD
        717339.87
        1.0486540630
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        NuVasive Inc.
        549300C5ZB4NZ6TWM881
        NuVasive Inc. COM USD0.001
        670704105
        
          
          
          
        
        15347
        NS
        USD
        870174.9
        1.2720782472
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Malibu Boats Inc
        549300MHGS3WZNRLUK77
        Malibu Boats Inc COM USD0.01 CL A
        56117J100
        
          
          
          
        
        22394
        NS
        USD
        1299075.94
        1.8990736744
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Omnicell Inc
        5493008RH0GTKHHPZI77
        Omnicell Inc COM USD0.001
        68213N109
        
          
          
          
        
        5881
        NS
        USD
        761530.69
        1.1132550770
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        SPS Commerce Inc
        2549006XVF9GCCETDQ72
        SPS Commerce Inc COM USD0.001
        78463M107
        
          
          
          
        
        5564
        NS
        USD
        729996.8
        1.0671567863
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Maximus Inc
        549300DQCDS8HJ7QF202
        Maximus Inc COM NPV
        577933104
        
          
          
          
        
        13077
        NS
        USD
        980121.15
        1.4328048241
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Asgn Incorporated
        LZBNYYCBUKY537072438
        Asgn Incorporated COM USD0.01
        00191U102
        
          
          
          
        
        8467
        NS
        USD
        988183.57
        1.4445909938
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Ashland Global Holdings Inc
        529900E4L9R04SB8HB11
        Ashland Global Holdings Inc COM USD0.01
        044186104
        
          
          
          
        
        9429
        NS
        USD
        927907.89
        1.3564760857
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        ITT Inc
        549300KDSERHTJOXUS80
        ITT Inc COM USD1.00
        45073V108
        
          
          
          
        
        11778
        NS
        USD
        885823.38
        1.2949542127
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Axalta Coating Systems Limited
        529900AGLPA40GV6H619
        Axalta Coating Systems Limited COM USD1.00
        G0750C108
        
          
          
          
        
        29790
        NS
        USD
        732238.2
        1.0704334105
        Long
        EC
        CORP
        BM
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Advanced Energy Industries, Inc.
        549300756XI3QLFT2U27
        Advanced Energy Industries, Inc. COM USD0.001
        007973100
        
          
          
          
        
        9222
        NS
        USD
        793829.76
        1.1604719576
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        8X8 Inc New
        254900XWSOC5U1BRW939
        8X8 Inc New COM USD0.001
        282914100
        
          
          
          
        
        47590
        NS
        USD
        599158.1
        0.8758882675
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Healthcare Realty Trust Incorporated
        549300CB86LH2IOKHH22
        Healthcare Realty Trust Incorporated COM USD0.01
        421946104
        
          
          
          
        
        24950
        NS
        USD
        685626
        1.0022926659
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Cargurus Inc
        54930027BKQN6B7X7G78
        Cargurus Inc COM USD0.001 CL A
        141788109
        
          
          
          
        
        30374
        NS
        USD
        1289680.04
        1.8853381368
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Allscripts Healthcare Solutions, Inc
        Y68YJHVB1GU4TAU3C223
        Allscripts Healthcare Solutions, Inc COM USD0.01
        01988P108
        
          
          
          
        
        39170
        NS
        USD
        882108.4
        1.2895234134
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Oxford Industries, Inc.
        IDZ20O0XD3GS4UOI2L88
        Oxford Industries, Inc. COM USD1
        691497309
        
          
          
          
        
        8800
        NS
        USD
        796400
        1.1642293015
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        STAG Industrial, Inc.
        549300QWYX2W6FASVQ07
        STAG Industrial, Inc. COM USD0.01
        85254J102
        
          
          
          
        
        21420
        NS
        USD
        885717
        1.2947986995
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Tactile Systems Technology Inc.
        54930069VDTITHOTKJ98
        Tactile Systems Technology Inc. COM USD0.001
        87357P100
        
          
          
          
        
        24400
        NS
        USD
        491904
        0.7190972506
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Bio-Techne Corp
        54930073RLKQ51TILZ35
        Bio-Techne Corp COM USD0.01
        09073M104
        
          
          
          
        
        1816
        NS
        USD
        786400.64
        1.1496115869
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Pinnacle Financial Partners Inc
        54930098EZ8JMSAZGS24
        Pinnacle Financial Partners Inc COM USD1.00
        72346Q104
        
          
          
          
        
        9263
        NS
        USD
        852937.04
        1.2468788226
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Premier Inc
        N/A
        Premier Inc COM USD0.01 CL'A'
        74051N102
        
          
          
          
        
        40218
        NS
        USD
        1431358.62
        2.0924530969
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Zumiez Inc.
        549300J0PDF58P6HZD25
        Zumiez Inc. COM NPV
        989817101
        
          
          
          
        
        22176
        NS
        USD
        847344.96
        1.2387039565
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Zurn Water Solutions Corporation
        549300AM3633XDFU1Q85
        Zurn Water Solutions Corporation COM
        98983L108
        
          
          
          
        
        36090
        NS
        USD
        1277586
        1.8676582828
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Agree Realty Corp
        N/A
        Agree Realty Corp COM USD0.0001
        008492100
        
          
          
          
        
        13810
        NS
        USD
        916431.6
        1.3396992988
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Onto Innovation Incorporation
        549300V1USTYXJ7TNR79
        Onto Innovation Incorporation COM
        683344105
        
          
          
          
        
        15802
        NS
        USD
        1373035.78
        2.0071929773
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Progyny Inc
        N/A
        Progyny Inc COM
        74340E103
        
          
          
          
        
        15580
        NS
        USD
        800812
        1.1706790500
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Anika Therapeutics Inc.
        529900R9LS3Z0O6QH455
        Anika Therapeutics Inc. COM USD0.01
        035255108
        
          
          
          
        
        23082
        NS
        USD
        579589.02
        0.8472809140
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Valley National Bancorp
        549300ET52S1UBIB9762
        Valley National Bancorp COM NPV
        919794107
        
          
          
          
        
        61910
        NS
        USD
        806068.2
        1.1783629049
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Verint Systems Inc
        549300KEQJS5FRVUCO94
        Verint Systems Inc COM USD0.001
        92343X100
        
          
          
          
        
        16151
        NS
        USD
        835006.7
        1.2206670858
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Vericel Corporation
        54930076YM3PLTDR4B91
        Vericel Corporation COM NPV
        92346J108
        
          
          
          
        
        9741
        NS
        USD
        372301.02
        0.5442538379
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        WNS Holdings Ltd
        529900RM7QHUD3W9DM42
        WNS Holdings Ltd SPONS ADR EA REPR 1 ORD SHS
        92932M101
        
          
          
          
        
        10040
        NS
        USD
        858319.6
        1.2547473988
        Long
        EC
        CORP
        JE
        
        N
        
        1
        
          N
          N
          N
        
      
      
        Western Alliance Bancorporation
        5493003VJXZ5JXT9S762
        Western Alliance Bancorporation COM USD0.0001
        957638109
        
          
          
          
        
        10817
        NS
        USD
        895863.94
        1.3096321561
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Aritzia Inc
        549300U83HKFRL1EX527
        Aritzia Inc SUB VTG SHS
        04045U102
        
          
          
          
        
        20282
        NS
        
        827893.02
        1.2102678458
        Long
        EC
        CORP
        CA
        N
        
        1
        
          N
          N
          N
        
      
      
        ChampionX Corporation
        549300EP2909K6DYYP38
        ChampionX Corporation COM
        15872M104
        
          
          
          
        
        31860
        NS
        USD
        779932.8
        1.1401564779
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Chemed Corporation
        54930020031IDJT2IM79
        Chemed Corporation CAP USD1
        16359R103
        
          
          
          
        
        1580
        NS
        USD
        800349
        1.1700022065
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Leslie's Inc.
        N/A
        Leslie's Inc. COM
        527064109
        
          
          
          
        
        68440
        NS
        USD
        1324998.4
        1.9369688119
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Quanta Services, Inc.
        SHVRXXEACT60MMH07S24
        Quanta Services, Inc. COM USD0.00001
        74762E102
        
          
          
          
        
        5633
        NS
        USD
        741359.13
        1.0837669790
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        QuinStreet Inc.
        549300TP8MFBFPOS4Y78
        QuinStreet Inc. COM USD0.001
        74874Q100
        
          
          
          
        
        43390
        NS
        USD
        503324
        0.7357917491
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
      
        Texas Roadhouse Inc
        5299002Y1CNRPDGXTQ75
        Texas Roadhouse Inc COM USD0.001
        882681109
        
          
          
          
        
        9328
        NS
        USD
        781033.44
        1.1417654650
        Long
        EC
        CORP
        US
        N
        
        1
        
          N
          N
          N
        
      
    
    
      2022-05-26
      Touchstone Variable Series Trust
      Terrie A. Wiedenheft
      Terrie A. Wiedenheft
      Controller & Treasurer
    
  
  XXXX




Portfolio of Investments
Touchstone Balanced Fund – March 31, 2022 (Unaudited)
Shares       Market
Value
  Common Stocks — 64.7%  
  Information Technology — 19.1%  
   17,617 Apple, Inc. $ 3,076,105
    4,367 International Business Machines Corp.    567,797
   12,059 Microsoft Corp.  3,717,910
   11,246 Oracle Corp.    930,382
    3,762 PayPal Holdings, Inc.*    435,075
    5,146 salesforce, Inc.*  1,092,599
    8,036 SS&C Technologies Holdings, Inc.    602,861
    5,122 Texas Instruments, Inc.    939,785
    4,468 Visa, Inc. - Class A    990,868
    2,796 Workday, Inc. - Class A*    669,530
        13,022,912
  Communication Services — 9.7%  
    1,000 Alphabet, Inc. - Class C*  2,792,990
    9,870 AT&T, Inc.    233,229
   15,413 Comcast Corp. - Class A    721,637
   11,397 Fox Corp. - Class A    449,612
    6,673 Meta Platforms, Inc. - Class A*  1,483,808
    1,377 Netflix, Inc.*    515,810
    3,151 Walt Disney Co. (The)*    432,191
         6,629,277
  Health Care — 9.2%  
    5,185 AmerisourceBergen Corp.    802,171
    8,055 BioMarin Pharmaceutical, Inc.*    621,041
   16,566 Bristol-Myers Squibb Co.  1,209,815
    3,411 HCA Healthcare, Inc.    854,865
    7,614 Johnson & Johnson  1,349,429
    2,825 UnitedHealth Group, Inc.  1,440,665
         6,277,986
  Financials — 7.4%  
   28,524 Bank of America Corp.  1,175,759
    5,607 Berkshire Hathaway, Inc. - Class B*  1,978,767
    3,522 Goldman Sachs Group, Inc. (The)  1,162,612
      297 Markel Corp.*    438,146
      989 Signature Bank    290,262
         5,045,546
  Consumer Discretionary — 7.0%  
    3,019 Airbnb, Inc. - Class A*    518,543
    3,142 Alibaba Group Holding Ltd. (China) ADR*    341,850
      731 Amazon.com, Inc.*  2,383,023
    7,922 Hilton Worldwide Holdings, Inc.*  1,202,084
    3,984 Starbucks Corp.    362,425
         4,807,925
  Industrials — 5.4%  
    1,134 Deere & Co.    471,132
    1,118 FedEx Corp.    258,694
    4,447 Hubbell, Inc.    817,225
    1,269 Parker-Hannifin Corp.    360,091
   12,231 Raytheon Technologies Corp.  1,211,725
   12,061 Southwest Airlines Co.*    552,394
         3,671,261
  Consumer Staples — 2.3%  
    9,646 Monster Beverage Corp.*    770,715
    8,556 Philip Morris International, Inc.    803,751
         1,574,466
  Energy — 2.0%  
   10,485 Exxon Mobil Corp.    865,956
   11,589 Schlumberger NV    478,742
         1,344,698
Shares       Market
Value
     
  Real Estate — 1.6%  
    4,451 Jones Lang LaSalle, Inc.* $ 1,065,837
  Materials — 1.0%  
    9,297 DuPont de Nemours, Inc.    684,073
  Total Common Stocks $44,123,981
Principal
Amount
       
  Corporate Bonds — 14.9%  
  Financials — 4.7%  
$  150,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Ireland), 2.450%, 10/29/26    138,710
   130,000 Allstate Corp. (The), 1.450%, 12/15/30    112,398
    74,000 American Express Co., 2.250%, 3/4/25     72,768
    60,000 American Financial Group, Inc., 5.250%, 4/2/30     64,723
   112,000 Ares Capital Corp., 3.250%, 7/15/25    108,778
    81,000 Bank of America Corp., 2.687%, 4/22/32     74,501
    82,000 Bank of America Corp., 3.705%, 4/24/28     82,648
   119,000 Bank of America Corp., MTN, 4.000%, 1/22/25    121,304
    94,000 Bank of Montreal (Canada), 3.803%, 12/15/32     93,047
    70,000 Berkshire Hathaway Finance Corp., 4.250%, 1/15/49     76,617
   142,000 Charles Schwab Corp. (The), 1.150%, 5/13/26    132,399
    94,000 Charles Schwab Corp. (The), 5.000%(A)     93,647
   128,000 Citigroup, Inc., 0.981%, 5/1/25    122,114
    77,000 Citigroup, Inc., 3.200%, 10/21/26     76,498
    45,000 Citigroup, Inc., 4.750%, 5/18/46     48,374
   138,000 Corestates Capital III, 144a, (3M LIBOR +0.570%), 1.076%, 2/15/27(B)    132,487
   122,000 Goldman Sachs Group, Inc. (The), 2.615%, 4/22/32    110,897
   105,000 Goldman Sachs Group, Inc. (The), 3.615%, 3/15/28    104,950
    55,000 Goldman Sachs Group, Inc. (The), 3.691%, 6/5/28     55,147
   126,000 Huntington Bancshares, Inc., 2.550%, 2/4/30    118,289
   128,000 JPMorgan Chase & Co., 2.956%, 5/13/31    119,785
   100,000 JPMorgan Chase & Co., 3.509%, 1/23/29     99,708
   200,000 Lloyds Banking Group PLC (United Kingdom), 3.574%, 11/7/28    195,681
   112,000 Mastercard, Inc., 2.000%, 11/18/31    102,122
   109,000 Morgan Stanley, 3.950%, 4/23/27    110,926
    77,000 Northwestern Mutual Life Insurance Co. (The), 144a, 3.850%, 9/30/47     75,109
   132,000 PNC Capital Trust, (3M LIBOR +0.570%), 1.093%, 6/1/28(B)    123,432
    92,000 Prudential Financial, Inc., 5.125%, 3/1/52     93,003
   120,000 Toronto-Dominion Bank (The) (Canada), MTN, 1.150%, 6/12/25    113,388
   197,000 Truist Bank, Ser A, (3M LIBOR +0.670%), 1.180%, 5/15/27(B)    187,867
   22,000 Truist Financial Corp., MTN, 2.850%, 10/26/24     22,004
         3,183,321
  Consumer Discretionary — 1.5%  
   135,000 BAT Capital Corp. (United Kingdom), 3.557%, 8/15/27    131,596
    58,000 Brunswick Corp., 4.400%, 9/15/32     57,350
    60,000 Ford Motor Co., 3.250%, 2/12/32     53,498
   105,000 General Motors Financial Co., Inc., 3.100%, 1/12/32     94,390
    56,000 General Motors Financial Co., Inc., 5.650%, 1/17/29     60,560
    59,000 Home Depot, Inc. (The), 5.950%, 4/1/41     76,265
    94,000 Hyundai Capital America, 144a, 2.650%, 2/10/25     91,170
   113,000 Lowe's Cos., Inc., 4.500%, 4/15/30    120,934
    58,000 Magallanes, Inc., 144a, 4.279%, 3/15/32     58,347
    58,000 Magallanes, Inc., 144a, 5.141%, 3/15/52     59,354
   142,000 Procter & Gamble Co. (The), 1.200%, 10/29/30    123,688
    26,000 Toll Brothers Finance Corp., 3.800%, 11/1/29     25,142
   95,000 Walmart, Inc., 2.850%, 7/8/24     96,144
         1,048,438
 
1

Touchstone Balanced Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Corporate Bonds — 14.9% (Continued)  
  Industrials — 1.3%  
$   98,000 Amcor Flexibles North America, Inc., 2.630%, 6/19/30 $    90,324
    53,000 Boeing Co. (The), 5.805%, 5/1/50     61,172
    81,000 Burlington Northern Santa Fe LLC, 5.750%, 5/1/40    101,026
    54,000 Carrier Global Corp., 3.577%, 4/5/50     49,386
   118,000 CNH Industrial Capital LLC, 1.450%, 7/15/26    108,493
    94,000 FedEx Corp., 5.100%, 1/15/44    105,063
    99,000 John Deere Capital Corp., MTN, 2.450%, 1/9/30     94,635
    81,000 Norfolk Southern Corp., 4.837%, 10/1/41     91,293
   103,000 Roper Technologies, Inc., 2.950%, 9/15/29     99,293
  117,000 Xylem, Inc., 1.950%, 1/30/28    108,474
           909,159
  Utilities — 1.2%  
    52,000 American Water Capital Corp., 6.593%, 10/15/37     67,506
    83,000 CMS Energy Corp., 4.750%, 6/1/50     82,170
    74,000 Duke Energy Progress LLC, 4.150%, 12/1/44     76,227
    72,000 Edison International, 4.125%, 3/15/28     71,524
    82,000 FirstEnergy Transmission LLC, 144a, 5.450%, 7/15/44     89,481
   104,000 Ohio Power Co., Ser R, 2.900%, 10/1/51     86,132
   126,000 Pacific Gas and Electric Co., 3.500%, 8/1/50    100,619
    89,000 PacifiCorp., 5.750%, 4/1/37    104,768
  188,000 WEC Energy Group, Inc., (3M LIBOR +2.112%), 2.619%, 5/15/67(B)    159,424
           837,851
  Communication Services — 1.2%  
    42,000 Alphabet, Inc., 1.900%, 8/15/40     34,178
    76,000 AT&T, Inc., 3.850%, 6/1/60     67,987
    54,000 AT&T, Inc., 4.500%, 5/15/35     57,136
    79,000 Charter Communications Operating LLC / Charter Communications Operating Capital, 6.484%, 10/23/45     90,014
    74,000 Comcast Corp., 4.000%, 3/1/48     75,735
    36,000 Deutsche Telekom International Finance BV (Germany), 8.750%, 6/15/30     48,308
   122,000 Netflix, Inc., 144a, 4.875%, 6/15/30    129,625
    51,000 Paramount Global, 4.950%, 5/19/50     53,146
   118,000 T-Mobile USA, Inc., 3.875%, 4/15/30    118,467
  141,000 Verizon Communications, Inc., 2.987%, 10/30/56    115,980
           790,576
  Health Care — 1.2%  
    84,000 AbbVie, Inc., 4.450%, 5/14/46     89,906
    76,000 Becton Dickinson and Co., 4.685%, 12/15/44     81,693
    86,000 CommonSpirit Health, 4.187%, 10/1/49     85,530
   100,000 CommonSpirit Health, 4.200%, 8/1/23    101,579
    73,000 CVS Health Corp., 5.125%, 7/20/45     82,487
   104,000 DH Europe Finance II Sarl, 3.250%, 11/15/39     99,752
    45,000 Johnson & Johnson, 2.900%, 1/15/28     45,272
    93,000 Mylan, Inc., 4.550%, 4/15/28     94,181
  107,000 UnitedHealth Group, Inc., 3.500%, 8/15/39    106,240
           786,640
  Information Technology — 1.0%  
    67,000 Apple, Inc., 4.650%, 2/23/46     79,240
   116,000 Broadcom, Inc., 4.150%, 11/15/30    117,580
   112,000 Microchip Technology, Inc., 144a, 0.983%, 9/1/24    106,133
    49,000 Microsoft Corp., 3.500%, 2/12/35     51,326
    90,000 NXP BV / NXP Funding LLC (China), 144a, 5.350%, 3/1/26     95,584
    46,000 Oracle Corp., 2.650%, 7/15/26     44,167
    32,000 Oracle Corp., 3.600%, 4/1/40     27,785
    65,000 Visa, Inc., 4.150%, 12/14/35     70,696
   96,000 VMware, Inc., 1.400%, 8/15/26     88,253
           680,764
Principal
Amount
      MarketValue
     
  Energy — 1.0%  
$   78,000 Boardwalk Pipelines LP, 4.800%, 5/3/29 $    80,675
    65,000 Canadian Natural Resources Ltd. (Canada), 6.250%, 3/15/38     77,730
    74,000 Cenovus Energy, Inc. (Canada), 5.250%, 6/15/37     80,178
    60,000 Continental Resources, Inc., 144a, 5.750%, 1/15/31     65,628
   115,000 Energy Transfer LP, 4.150%, 9/15/29    115,353
    66,000 Midwest Connector Capital Co. LLC, 144a, 3.900%, 4/1/24     66,253
    93,000 NGPL PipeCo LLC, 144a, 7.768%, 12/15/37    116,738
    20,000 Sabine Pass Liquefaction LLC, 5.000%, 3/15/27     21,188
   48,000 Valero Energy Corp., 4.000%, 6/1/52     45,086
           668,829
  Real Estate — 0.9%  
   100,000 Crown Castle International Corp. REIT, 3.650%, 9/1/27     99,432
    84,000 Equinix, Inc. REIT, 2.900%, 11/18/26     81,462
   122,000 Host Hotels & Resorts LP REIT, Ser F, 4.500%, 2/1/26    124,927
    88,000 Invitation Homes Operating Partnership LP REIT, 4.150%, 4/15/32     89,885
    55,000 Mid-America Apartments LP REIT, 3.750%, 6/15/24     55,833
    74,000 Sabra Health Care LP REIT, 5.125%, 8/15/26     75,788
    37,000 STORE Capital Corp. REIT, 4.500%, 3/15/28     37,993
   63,000 STORE Capital Corp. REIT, 4.625%, 3/15/29     65,388
           630,708
  Consumer Staples — 0.8%  
   127,000 7-Eleven, Inc., 144a, 0.950%, 2/10/26    115,568
   121,000 Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc. (Belgium), 4.900%, 2/1/46    134,507
    33,000 JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 144a, 4.375%, 2/2/52     28,699
    64,000 Kroger Co. (The), 5.000%, 4/15/42     71,072
    96,000 Mars, Inc., 144a, 3.875%, 4/1/39     97,142
    55,000 PepsiCo, Inc., 1.625%, 5/1/30     49,457
   65,000 Starbucks Corp., 3.350%, 3/12/50     58,491
           554,936
  Materials — 0.1%  
   83,000 Sherwin-Williams Co. (The), 4.500%, 6/1/47     87,860
  Total Corporate Bonds $10,179,082
  U.S. Treasury Obligations — 14.2%
1,175,000 U.S. Treasury Bond, 1.750%, 8/15/41      1,019,496
    15,000 U.S. Treasury Bond, 1.875%, 2/15/51         13,113
   360,000 U.S. Treasury Bond, 2.250%, 2/15/52        345,094
3,170,000 U.S. Treasury Note, 0.125%, 4/30/23      3,114,401
1,805,000 U.S. Treasury Note, 0.250%, 10/31/25      1,666,029
1,650,000 U.S. Treasury Note, 0.750%, 5/31/26      1,536,434
   935,000 U.S. Treasury Note, 0.875%, 1/31/24        911,808
1,106,000 U.S. Treasury Note, 1.625%, 5/15/31      1,041,886
  Total U.S. Treasury Obligations  $9,648,261
Shares        
  Exchange-Traded Fund — 2.1%  
   14,788 iShares JP Morgan USD Emerging Markets Bond ETF  1,445,675
Principal
Amount
       
  Commercial Mortgage-Backed Securities — 1.4%
$   60,000 BANK, Ser 2020-BN26, Class A4, 2.403%, 3/15/63         56,046
    75,000 BANK, Ser 2022-BNK39, Class A4, 2.928%, 2/15/55         72,414
    55,000 BBCMS Mortgage Trust, Ser 2021-C11, Class A5, 2.322%, 9/15/54         50,510
  165,000 BBCMS Mortgage Trust, Ser 2021-C12, Class A5, 2.689%, 11/15/54         156,176
 
2

Touchstone Balanced Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Commercial Mortgage-Backed Securities — 1.4% (Continued)
$   45,000 BBCMS Mortgage Trust, Ser 2022-C14, Class A5, 2.946%, 2/15/55     $    43,698
    50,000 Citigroup Commercial Mortgage Trust, Ser 2020-GC46, Class A5, 2.717%, 2/15/53         47,598
    80,000 COMM Mortgage Trust, Ser 2015-DC1, Class A5, 3.350%, 2/10/48         79,933
    80,000 GS Mortgage Securities Trust, Ser 2020-GC47, Class A5, 2.377%, 5/12/53         74,288
   170,000 JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2017-JP7, Class A5, 3.454%, 9/15/50        170,943
    75,000 Morgan Stanley Capital I Trust, Ser 2018-H3, Class AS, 4.177%, 7/15/51         77,591
  145,000 Wells Fargo Commercial Mortgage Trust, Ser 2019-C54, Class A4, 3.040%, 10/15/52        141,651
  Total Commercial Mortgage-Backed Securities    $970,848
  U.S. Government Mortgage-Backed Obligations — 0.8%
   119,071 FHLMC, Pool #G05624, 4.500%, 9/1/39        126,610
    87,985 FHLMC, Pool #Q29260, 4.000%, 10/1/44         91,949
    52,924 FNMA, Pool #725423, 5.500%, 5/1/34         57,385
    48,090 FNMA, Pool #725610, 5.500%, 7/1/34         52,672
     9,571 FNMA, Pool #890310, 4.500%, 12/1/40         10,185
    34,948 FNMA, Pool #AD9193, 5.000%, 9/1/40         37,613
  167,783 FNMA, Pool #AL5718, 3.500%, 9/1/44        171,257
  Total U.S. Government Mortgage-Backed Obligations    $547,671
Shares        
  Preferred Stocks — 0.3%  
  Financials — 0.2%  
      470 Bank of America Corp., Ser NN, 4.375%(A)     10,175
    1,634 Bank of America Corp., Ser QQ, 4.250%(A)     35,278
    1,880 JPMorgan Chase & Co., Ser JJ, 4.550%(A)     41,097
    1,694 JPMorgan Chase & Co., Ser MM, 4.200%(A)     35,709
      592 US Bancorp, Ser L, 3.750%(A)     11,668
      620 US Bancorp, Ser M, 4.000%(A)     12,822
      940 Wells Fargo & Co., Ser DD, 4.250%(A)     19,449
           166,198
  Real Estate — 0.1%  
    2,050 Public Storage REIT, Ser P, 4.000%(A)     42,005
  Total Preferred Stocks    $208,203
Principal
Amount
       
  Sovereign Government Obligations — 0.2%
$  146,000 Peruvian Government International Bond, 2.780%, 12/1/60    113,943
Shares        
  Short-Term Investment Fund — 2.8%  
1,878,167 Dreyfus Government Cash Management, Institutional Shares, 0.19%∞Ω  1,878,167
  Total Investment Securities—101.4%
(Cost $61,330,666)
$69,115,831
  Liabilities in Excess of Other Assets — (1.4%)   (928,062)
  Net Assets — 100.0% $68,187,769
(A) Perpetual Bond - A bond or preferred stock with no definite maturity date.
(B) Variable rate security - Rate reflected is the rate in effect as of March 31, 2022.
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of March 31, 2022.
Portfolio Abbreviations:
ADR – American Depositary Receipt
DAC – Designated Activity Company
ETF – Exchange-Traded Fund
FHLMC – Federal Home Loan Mortgage Corporation
FNMA – Federal National Mortgage Association
LIBOR – London Interbank Offered Rate
LLC – Limited Liability Company
LP – Limited Partnership
MTN – Medium Term Note
PLC – Public Limited Company
REIT – Real Estate Investment Trust
144a - This is a restricted security that was sold in a transaction qualifying for the exemption under Rule 144a of the Securities Act of 1933. This security may be sold in transactions exempt from registration, normally to qualified institutional buyers. At March 31, 2022, these securities were valued at $1,327,318 or 1.9% of net assets. These securities were deemed liquid pursuant to procedures approved by the Board of Trustees.
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $44,123,981 $$— $44,123,981
Corporate Bonds 10,179,082 10,179,082
U.S. Treasury Obligations 9,648,261 9,648,261
Exchange-Traded Fund 1,445,675 1,445,675
Commercial Mortgage-Backed Securities 970,848 970,848
U.S. Government Mortgage-Backed Obligations 547,671 547,671
Preferred Stocks 208,203 208,203
Sovereign Government Obligations 113,943 113,943
Short-Term Investment Fund 1,878,167 1,878,167
Total $47,656,026 $21,459,805 $— $69,115,831
See accompanying Notes to Portfolios of Investments.
 
3

Portfolio of Investments
Touchstone Bond Fund – March 31, 2022 (Unaudited)
Principal
Amount
      Market
Value
  Corporate Bonds — 36.2%  
  Financials — 11.4%  
$  400,000 AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Ireland), 2.450%, 10/29/26 $    369,892
   378,000 Allstate Corp. (The), 1.450%, 12/15/30     326,819
   280,000 American Express Co., 2.250%, 3/4/25     275,337
   572,579 American Financial Group, Inc., 5.250%, 4/2/30     617,653
   283,000 Ares Capital Corp., 3.250%, 7/15/25     274,859
   200,000 Bank of America Corp., 2.687%, 4/22/32     183,954
   250,000 Bank of America Corp., 3.705%, 4/24/28     251,976
   401,000 Bank of America Corp., MTN, 4.000%, 1/22/25     408,763
   335,000 Bank of Montreal (Canada), 3.803%, 12/15/32     331,604
   230,000 Bank of Nova Scotia (The) (Canada), (3M LIBOR +0.620%), 1.548%, 9/19/22(A)     230,340
   374,000 Bank of Nova Scotia (The) (Canada), Ser 2, 3.625%, 10/27/81     322,186
   377,000 Barclays PLC (United Kingdom), 2.894%, 11/24/32     342,003
   176,000 Berkshire Hathaway Finance Corp., 4.250%, 1/15/49     192,637
   134,000 BNP Paribas SA (France), 144a, 4.625%, 3/13/27     137,244
   464,000 Charles Schwab Corp. (The), 1.150%, 5/13/26     432,626
   350,000 Charles Schwab Corp. (The), 5.000%(B)     348,688
   323,000 Citigroup, Inc., 0.981%, 5/1/25     308,146
   225,000 Citigroup, Inc., 3.200%, 10/21/26     223,533
   141,000 Citigroup, Inc., 4.750%, 5/18/46     151,571
   318,000 Cooperatieve Rabobank UA (Netherlands), 144a, 1.106%, 2/24/27     291,148
   365,000 Corestates Capital III, 144a, (3M LIBOR +0.570%), 1.076%, 2/15/27(A)     350,420
   352,000 Goldman Sachs Group, Inc. (The), 2.615%, 4/22/32     319,965
   510,000 Goldman Sachs Group, Inc. (The), 3.615%, 3/15/28     509,760
   182,000 Goldman Sachs Group, Inc. (The), 3.691%, 6/5/28     182,487
   205,000 HSBC Holdings PLC (United Kingdom), 3.900%, 5/25/26     207,219
   349,000 Huntington Bancshares, Inc., 2.550%, 2/4/30     327,641
   256,000 JPMorgan Chase & Co., 2.956%, 5/13/31     239,569
   336,000 JPMorgan Chase & Co., 3.509%, 1/23/29     335,019
   343,000 Lloyds Banking Group PLC (United Kingdom), 3.574%, 11/7/28     335,593
   374,000 Mastercard, Inc., 2.000%, 11/18/31     341,014
   311,000 Morgan Stanley, 3.950%, 4/23/27     316,495
   273,000 Northwestern Mutual Life Insurance Co. (The), 144a, 3.850%, 9/30/47     266,297
   356,000 PNC Capital Trust, (3M LIBOR +0.570%), 1.093%, 6/1/28(A)     332,893
   345,000 Prudential Financial, Inc., 5.125%, 3/1/52     348,760
   304,000 Toronto-Dominion Bank (The) (Canada), MTN, 1.150%, 6/12/25     287,251
   551,000 Truist Bank, Ser A, (3M LIBOR +0.670%), 1.180%, 5/15/27(A)     525,455
  210,000 Truist Financial Corp., MTN, 2.850%, 10/26/24     210,034
         11,456,851
  Consumer Discretionary — 4.0%  
   464,000 BAT Capital Corp. (United Kingdom), 3.557%, 8/15/27     452,302
   218,000 Brunswick Corp., 4.400%, 9/15/32     215,556
   202,000 Ford Motor Co., 3.250%, 2/12/32     180,111
   505,000 General Motors Financial Co., Inc., 3.100%, 1/12/32     453,970
   169,000 General Motors Financial Co., Inc., 5.650%, 1/17/29     182,761
   318,000 GSK Consumer Healthcare Capital US LLC, 144a, 3.375%, 3/24/27     318,585
   227,000 Home Depot, Inc. (The), 5.950%, 4/1/41     293,427
   316,000 Hyundai Capital America, 144a, 2.650%, 2/10/25     306,488
   308,000 Lowe's Cos., Inc., 4.500%, 4/15/30     329,624
   218,000 Magallanes, Inc., 144a, 4.279%, 3/15/32     219,305
  218,000 Magallanes, Inc., 144a, 5.141%, 3/15/52      223,089
Principal
Amount
      Market
Value
     
  Consumer Discretionary — (Continued)  
$  490,000 Procter & Gamble Co. (The), 1.200%, 10/29/30 $    426,809
   100,000 Toll Brothers Finance Corp., 3.800%, 11/1/29      96,699
     1,199 United Airlines 2014-2 Class B Pass Through Trust, Ser B, 4.625%, 9/3/22       1,206
  333,000 Walmart, Inc., 2.850%, 7/8/24     337,010
          4,036,942
  Communication Services — 2.9%  
   104,000 Alphabet, Inc., 1.900%, 8/15/40      84,631
   266,000 AT&T, Inc., 3.850%, 6/1/60     237,955
   238,000 AT&T, Inc., 4.500%, 5/15/35     251,821
   355,000 British Telecommunications PLC (United Kingdom), 144a, 3.250%, 11/8/29     336,434
   293,000 Charter Communications Operating LLC / Charter Communications Operating Capital, 6.484%, 10/23/45     333,850
   243,000 Comcast Corp., 4.000%, 3/1/48     248,696
   124,000 Deutsche Telekom International Finance BV (Germany), 8.750%, 6/15/30     166,396
   434,000 Netflix, Inc., 144a, 4.875%, 6/15/30     461,125
   100,000 Paramount Global, 4.950%, 5/19/50     104,208
   335,000 T-Mobile USA, Inc., 3.875%, 4/15/30     336,327
  439,000 Verizon Communications, Inc., 2.987%, 10/30/56     361,100
          2,922,543
  Industrials — 2.9%  
   250,000 Amcor Flexibles North America, Inc., 2.630%, 6/19/30     230,419
   153,000 Boeing Co. (The), 5.805%, 5/1/50     176,591
   272,000 Burlington Northern Santa Fe LLC, 5.750%, 5/1/40     339,248
   200,000 Carrier Global Corp., 3.577%, 4/5/50     182,909
   384,000 CNH Industrial Capital LLC, 1.450%, 7/15/26     353,060
   340,000 FedEx Corp., 5.100%, 1/15/44     380,017
   298,000 John Deere Capital Corp., MTN, 2.450%, 1/9/30     284,860
   243,000 Norfolk Southern Corp., 4.837%, 10/1/41     273,878
   285,000 Roper Technologies, Inc., 2.950%, 9/15/29     274,744
  423,000 Weir Group PLC (The) (United Kingdom), 144a, 2.200%, 5/13/26     395,551
          2,891,277
  Information Technology — 2.7%  
   344,000 Apple, Inc., 2.750%, 1/13/25     344,891
   234,000 Apple, Inc., 4.650%, 2/23/46     276,748
   432,000 Broadcom, Inc., 4.150%, 11/15/30     437,883
   370,000 Microchip Technology, Inc., 144a, 0.983%, 9/1/24     350,619
   148,000 Microsoft Corp., 3.500%, 2/12/35     155,027
   328,000 NXP BV / NXP Funding LLC (China), 144a, 5.350%, 3/1/26     348,353
   174,000 Oracle Corp., 2.650%, 7/15/26     167,065
   120,000 Oracle Corp., 3.600%, 4/1/40     104,194
   220,000 Visa, Inc., 4.150%, 12/14/35     239,277
  332,000 VMware, Inc., 1.400%, 8/15/26     305,209
          2,729,266
  Utilities — 2.7%  
   222,000 American Water Capital Corp., 6.593%, 10/15/37     288,198
   315,000 CMS Energy Corp., 4.750%, 6/1/50     311,850
    93,000 Duke Energy Progress LLC, 4.150%, 12/1/44      95,799
   207,000 Edison International, 4.125%, 3/15/28     205,630
   224,000 Electricite de France SA (France), 144a, 4.875%, 9/21/38     236,182
   278,000 FirstEnergy Transmission LLC, 144a, 5.450%, 7/15/44     303,363
    85,000 Fortis, Inc. (Canada), 3.055%, 10/4/26      84,105
   338,000 Ohio Power Co., Ser R, 2.900%, 10/1/51     279,928
  372,000 Pacific Gas and Electric Co., 3.500%, 8/1/50      297,066
 
4

Touchstone Bond Fund (Unaudited) (Continued)
Principal
Amount
      Market
Value
  Corporate Bonds — 36.2% (Continued)  
  Utilities — (Continued)  
$  127,000 PacifiCorp., 5.750%, 4/1/37 $    149,501
  532,000 WEC Energy Group, Inc., (3M LIBOR +2.112%), 2.619%, 5/15/67(A)     451,136
          2,702,758
  Energy — 2.5%  
   333,000 Boardwalk Pipelines LP, 4.800%, 5/3/29     344,422
   227,000 Canadian Natural Resources Ltd. (Canada), 6.250%, 3/15/38     271,457
   207,000 Cenovus Energy, Inc. (Canada), 5.250%, 6/15/37     224,282
   200,000 Continental Resources, Inc., 144a, 5.750%, 1/15/31     218,760
   395,000 Energy Transfer LP, 4.150%, 9/15/29     396,212
   193,000 MC Brazil Downstream Trading SARL (Brazil), 144a, 7.250%, 6/30/31     177,309
   248,000 Midwest Connector Capital Co. LLC, 144a, 3.900%, 4/1/24     248,950
   251,000 NGPL PipeCo LLC, 144a, 7.768%, 12/15/37     315,068
   206,000 Petroleos Mexicanos (Mexico), 6.625%, 6/15/35     184,629
  182,000 Valero Energy Corp., 4.000%, 6/1/52     170,950
          2,552,039
  Health Care — 2.3%  
   283,000 AbbVie, Inc., 4.450%, 5/14/46     302,897
   232,000 Alcon Finance Corp. (Switzerland), 144a, 3.800%, 9/23/49     216,076
   221,000 Becton Dickinson and Co., 4.685%, 12/15/44     237,555
   263,000 CommonSpirit Health, 4.187%, 10/1/49     261,563
   190,000 CommonSpirit Health, 4.200%, 8/1/23     193,000
   240,000 CVS Health Corp., 5.125%, 7/20/45     271,188
   293,000 DH Europe Finance II Sarl, 3.250%, 11/15/39     281,032
   234,000 Mylan, Inc., 4.550%, 4/15/28     236,973
  312,000 UnitedHealth Group, Inc., 3.500%, 8/15/39     309,784
          2,310,068
  Real Estate — 2.2%  
   361,000 Crown Castle International Corp. REIT, 3.650%, 9/1/27     358,951
   236,000 Equinix, Inc. REIT, 2.900%, 11/18/26     228,870
   338,000 Host Hotels & Resorts LP REIT, Ser F, 4.500%, 2/1/26     346,110
   256,000 Invitation Homes Operating Partnership LP REIT, 4.150%, 4/15/32     261,483
   186,000 Mid-America Apartments LP REIT, 3.750%, 6/15/24     188,816
   250,000 Realty Income Corp. REIT, 4.600%, 2/6/24     256,307
   290,000 Sabra Health Care LP REIT, 5.125%, 8/15/26     297,005
    96,000 STORE Capital Corp. REIT, 4.500%, 3/15/28      98,577
  188,000 STORE Capital Corp. REIT, 4.625%, 3/15/29     195,125
          2,231,244
  Consumer Staples — 2.0%  
   380,000 7-Eleven, Inc., 144a, 0.950%, 2/10/26     345,795
   439,000 Anheuser-Busch Cos. LLC / Anheuser-Busch InBev Worldwide, Inc. (Belgium), 4.900%, 2/1/46     488,005
   374,000 JBS Finance Luxembourg Sarl, 144a, 2.500%, 1/15/27     347,356
   120,000 JBS USA LUX SA / JBS USA Food Co. / JBS USA Finance, Inc., 144a, 4.375%, 2/2/52     104,360
   213,000 Kroger Co. (The), 5.000%, 4/15/42     236,536
   336,000 Mars, Inc., 144a, 3.875%, 4/1/39     339,996
  164,000 Starbucks Corp., 3.350%, 3/12/50     147,577
          2,009,625
  Materials — 0.6%  
   83,000 Braskem America Finance Co. (Brazil), 144a, 7.125%, 7/22/41       91,301
Principal
Amount
      Market
Value
     
  Materials — (Continued)  
$  176,000 Braskem Netherlands Finance BV (Brazil), 144a, 5.875%, 1/31/50 $    174,592
  301,000 Sherwin-Williams Co. (The), 4.500%, 6/1/47     318,626
            584,519
  Total Corporate Bonds  $36,427,132
  U.S. Treasury Obligations — 25.7%
6,200,000 U.S. Treasury Bond, 1.750%, 8/15/41       5,379,469
   485,000 U.S. Treasury Bond, 2.250%, 2/15/52         464,918
   825,000 U.S. Treasury Note, 0.250%, 10/31/25         761,482
3,685,000 U.S. Treasury Note, 0.750%, 5/31/26       3,431,368
6,760,000 U.S. Treasury Note, 0.875%, 1/31/24       6,592,320
    66,000 U.S. Treasury Note, 1.250%, 8/15/31          60,029
1,385,000 U.S. Treasury Note, 1.375%, 11/15/31       1,271,387
4,670,000 U.S. Treasury Note, 1.500%, 1/31/27       4,469,336
3,613,000 U.S. Treasury Note, 1.625%, 5/15/31       3,403,559
  Total U.S. Treasury Obligations  $25,833,868
  Commercial Mortgage-Backed Securities — 9.9%
   675,000 BANK, Ser 2018-BN14, Class A3, 3.966%, 9/15/60         694,645
   285,000 BANK, Ser 2020-BN26, Class A4, 2.403%, 3/15/63         266,218
   365,000 BANK, Ser 2022-BNK39, Class A4, 2.928%, 2/15/55         352,415
   275,000 BBCMS Mortgage Trust, Ser 2021-C11, Class A5, 2.322%, 9/15/54         252,551
   810,000 BBCMS Mortgage Trust, Ser 2021-C12, Class A5, 2.689%, 11/15/54         766,680
   210,000 BBCMS Mortgage Trust, Ser 2022-C14, Class A5, 2.946%, 2/15/55(A)(C)         203,926
   750,000 BHMS, Ser 2018-ATLS, Class A, 144a, (1M LIBOR +1.250%), 1.647%, 7/15/35(A)         742,227
   500,000 BPR Trust, Ser 2021-KEN, Class B, 144a, (1M LIBOR +1.950%), 2.347%, 2/15/29(A)         497,259
   250,000 Citigroup Commercial Mortgage Trust, Ser 2020-GC46, Class A5, 2.717%, 2/15/53         237,990
   352,034 COMM Mortgage Trust, Ser 2014-CR14, Class A2, 3.147%, 2/10/47         348,093
   390,000 COMM Mortgage Trust, Ser 2015-DC1, Class A5, 3.350%, 2/10/48         389,672
   360,000 DBUBS Mortgage Trust, Ser 2017-BRBK, Class B, 144a, 3.530%, 10/10/34(A)(C)         355,645
   375,000 GS Mortgage Securities Corp. II, Ser 2017-SLP, Class B, 144a, 3.772%, 10/10/32         375,005
   250,000 GS Mortgage Securities Trust, Ser 2017-FARM, Class B, 144a, 3.541%, 1/10/43(A)(C)         241,613
   390,000 GS Mortgage Securities Trust, Ser 2020-GC47, Class A5, 2.377%, 5/12/53         362,155
   315,000 HONO Mortgage Trust, Ser 2021-LULU, Class B, 144a, (1M LIBOR +1.450%), 1.847%, 10/15/36(A)         309,993
   805,000 JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2017-JP7, Class A5, 3.454%, 9/15/50         809,464
   350,000 JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2018-MINN, Class A, 144a, (1M LIBOR +1.020%), 2.270%, 11/15/35(A)         349,031
   355,000 Morgan Stanley Capital I Trust, Ser 2018-H3, Class AS, 4.177%, 7/15/51         367,263
   320,000 New York City Housing Development Corp., Ser 2014-8SPR, Class B, 3.864%, 2/15/48         327,464
  675,000 SG Commercial Mortgage Securities Trust, Ser 2019-787E, Class A, 144a, 4.163%, 2/15/41          689,383
 
5

Touchstone Bond Fund (Unaudited) (Continued)
Principal
Amount
      Market
Value
  Commercial Mortgage-Backed Securities — 9.9% (Continued)
$  700,000 Wells Fargo Commercial Mortgage Trust, Ser 2019-C54, Class A4, 3.040%, 10/15/52     $    683,834
  393,215 WFRBS Commercial Mortgage Trust, Ser 2014-C19, Class A3, 3.660%, 3/15/47         392,071
  Total Commercial Mortgage-Backed Securities  $10,014,597
  U.S. Government Mortgage-Backed Obligations — 8.1%
    46,587 FHLMC, Pool #A95946, 4.000%, 1/1/41          48,811
    35,190 FHLMC, Pool #A96485, 4.500%, 1/1/41          37,418
    11,939 FHLMC, Pool #G03217, 5.500%, 9/1/37          12,855
     6,284 FHLMC, Pool #G03781, 6.000%, 1/1/38           7,024
   223,258 FHLMC, Pool #G05624, 4.500%, 9/1/39         237,394
   289,763 FHLMC, Pool #Q29056, 4.000%, 10/1/44         302,823
   144,197 FHLMC, Pool #Q29260, 4.000%, 10/1/44         150,694
   588,443 FHLMC REMIC, Pool #QD2143, 2.000%, 12/1/51         547,130
   645,293 FHLMC REMIC, Pool #SD0881, 2.500%, 2/1/52         617,315
     3,389 FNMA, Pool #561741, 7.500%, 1/1/31           3,659
   199,160 FNMA, Pool #725423, 5.500%, 5/1/34         215,947
   178,110 FNMA, Pool #725610, 5.500%, 7/1/34         195,083
     4,272 FNMA, Pool #889734, 5.500%, 6/1/37           4,696
    27,020 FNMA, Pool #AB1149, 5.000%, 6/1/40          29,258
    26,605 FNMA, Pool #AB1800, 4.000%, 11/1/40          27,858
    45,262 FNMA, Pool #AD3795, 4.500%, 4/1/40          48,086
    60,951 FNMA, Pool #AD9150, 5.000%, 8/1/40          65,621
   116,495 FNMA, Pool #AD9193, 5.000%, 9/1/40         125,376
    76,248 FNMA, Pool #AE0548, 4.500%, 11/1/40          81,210
    65,755 FNMA, Pool #AE4429, 4.000%, 10/1/40          68,830
     2,857 FNMA, Pool #AH2666, 4.000%, 1/1/26           2,945
     5,374 FNMA, Pool #AH3493, 4.000%, 2/1/26           5,547
   107,154 FNMA, Pool #AJ5457, 4.000%, 11/1/41         112,182
   100,925 FNMA, Pool #AL0054, 4.500%, 2/1/41         107,500
   207,850 FNMA, Pool #AL5718, 3.500%, 9/1/44         212,154
   273,108 FNMA, Pool #AR9195, 3.000%, 3/1/43         272,563
    85,510 FNMA, Pool #AS7813, 4.000%, 8/1/46          89,350
   223,507 FNMA, Pool #AT2016, 3.000%, 4/1/43         223,713
   178,399 FNMA, Pool #BC1158, 3.500%, 2/1/46         181,440
   625,000 FNMA, Pool #BV4148, 3.000%, 3/1/52         613,032
   351,640 FNMA, Pool #FM4996, 2.000%, 12/1/50         327,823
   346,585 FNMA, Pool #FM5166, 3.000%, 12/1/50         340,186
   309,286 FNMA, Pool #FM5279, 3.500%, 11/1/50         310,914
   250,376 FNMA, Pool #FM5468, 2.500%, 1/1/36         247,880
   318,505 FNMA, Pool #FM5682, 2.500%, 1/1/51         304,965
   103,405 FNMA, Pool #MA1175, 3.000%, 9/1/42         103,422
    67,500 FNMA, Pool #MA2177, 4.000%, 2/1/35          70,324
   405,829 FNMA, Pool #MA4166, 3.000%, 10/1/40         402,241
   685,516 FNMA, Pool #MA4571, 2.500%, 3/1/42         663,548
    84,113 GNMA, Pool #4853, 4.000%, 11/20/40          88,432
    63,133 GNMA, Pool #4883, 4.500%, 12/20/40          67,266
   254,646 GNMA, Pool #5175, 4.500%, 9/20/41         271,558
    20,690 GNMA, Pool #736696, 4.500%, 5/15/40          22,198
   150,215 GNMA, Pool #AD1745, 3.000%, 2/20/43         148,848
   93,797 GNMA, Pool #MA1157, 3.500%, 7/20/43          96,382
  Total U.S. Government Mortgage-Backed Obligations   $8,113,501
  Asset-Backed Securities — 5.2%
   400,000 Benefit Street Partners CLO XIX Ltd. (Cayman Islands), Ser 2019-19A, Class B, 144a, (3M LIBOR +2.000%), 2.241%, 1/15/33(A)         399,998
   230,126 CF Hippolyta LLC, Ser 2020-1, Class A1, 144a, 1.690%, 7/15/60         217,653
  703,250 Driven Brands Funding LLC, Ser 2019-1A, Class A2, 144a, 4.641%, 4/20/49          701,308
Principal
Amount
      Market
Value
  Asset-Backed Securities — 5.2% (Continued)
$  349,125 Driven Brands Funding LLC, Ser 2021-1A, Class A2, 144a, 2.791%, 10/20/51     $    313,907
   325,390 Elara HGV Timeshare Issuer LLC, Ser 2019-A, Class B, 144a, 2.910%, 1/25/34         313,556
   300,000 Jack in the Box Funding LLC, Ser 2022-1A, Class A2I, 144a, 3.445%, 2/26/52         283,467
   267,330 Jersey Mike's Funding, Ser 2019-1A, Class A2, 144a, 4.433%, 2/15/50         264,209
   153,750 Jimmy Johns Funding LLC, Ser 2017-1A, Class A2II, 144a, 4.846%, 7/30/47         154,506
   300,000 Jimmy Johns Funding LLC, Ser 2022-1A, Class A2I, 144a, 4.077%, 4/30/52         293,250
   375,000 Madison Park Funding XLIX Ltd. (Cayman Islands), Ser 2021-49A, Class B1, 144a, (3M LIBOR +1.700%), 1.819%, 10/19/34(A)         371,513
   289,383 Mill City Mortgage Loan Trust, Ser 2018-3, Class M3, 144a, 3.250%, 8/25/58(A)(C)         275,792
   350,000 New Mountain CLO 1 Ltd. (Cayman Islands), Ser CLO-1A, Class AR, 144a, (3M LIBOR +1.200%), 1.441%, 10/15/34(A)         346,838
   414,950 Planet Fitness Master Issuer LLC, Ser 2018-1A, Class A2II, 144a, 4.666%, 9/5/48         413,222
   300,000 Planet Fitness Master Issuer LLC, Ser 2022-1A, Class A2I, 144a, 3.251%, 12/5/51         285,505
   278,025 TAL Advantage VII LLC, Ser 2020-1A, Class A, 144a, 2.050%, 9/20/45         260,762
  380,000 Voya CLO Ltd. (Cayman Islands), Ser 2017-4A, Class A1, 144a, (3M LIBOR +1.130%), 1.371%, 10/15/30(A)         378,841
  Total Asset-Backed Securities   $5,274,327
Shares        
  Exchange-Traded Fund — 4.4%  
   45,431 iShares JP Morgan USD Emerging Markets Bond ETF   4,441,335
Principal
Amount
       
  Non-Agency Collateralized Mortgage Obligations — 4.0%
$   81,060 Agate Bay Mortgage Trust, Ser 2013-1, Class B3, 144a, 3.578%, 7/25/43(A)(C)          81,126
   325,359 Agate Bay Mortgage Trust, Ser 2015-4, Class B2, 144a, 3.535%, 6/25/45(A)(C)         325,551
   309,906 Agate Bay Mortgage Trust, Ser 2015-7, Class B1, 144a, 3.665%, 10/25/45(A)(C)         308,695
   195,620 CSMC Trust, Ser 2013-IVR3, Class B2, 144a, 3.389%, 5/25/43(A)(C)         195,900
   250,968 CSMC Trust, Ser 2015-1, Class B3, 144a, 3.935%, 1/25/45(A)(C)         250,834
   162,762 CSMC Trust, Ser 2015-WIN1, Class B3, 144a, 3.811%, 12/25/44(A)(C)         162,246
       428 Deutsche ALT-A Securities, Inc. ALT, Ser 2003-2XS, Class A6, 5.470%, 9/25/33(A)(C)             424
    74,282 EverBank Mortgage Loan Trust, Ser 2013-1, Class B1, 144a, 3.474%, 3/25/43(A)(C)          74,640
   421,823 EverBank Mortgage Loan Trust, Ser 2018-1, Class B2, 144a, 3.582%, 2/25/48(A)(C)         410,128
   297,855 GS Mortgage-Backed Securities Trust, Ser 2021-PJ6, Class A2, 144a, 2.500%, 11/25/51(A)(C)         276,350
   503,536 JP Morgan Mortgage Trust, Ser 2017-1, Class B2, 144a, 3.460%, 1/25/47(A)(C)         491,565
   443,495 JP Morgan Mortgage Trust, Ser 2022-2, Class A25A, 144a, 2.500%, 8/25/52(A)(C)         405,325
   78,679 Residential Asset Securitization Trust, Ser 2006-A1, Class 1A3, 6.000%, 4/25/36           48,282
 
6

Touchstone Bond Fund (Unaudited) (Continued)
Principal
Amount
      MarketValue
  Non-Agency Collateralized Mortgage Obligations — 4.0%
(Continued)
$   65,849 Sequoia Mortgage Trust, Ser 2013-10, Class B2, 144a, 3.536%, 8/25/43(A)(C)     $     65,782
    98,484 Sequoia Mortgage Trust, Ser 2013-5, Class B1, 144a, 3.502%, 5/25/43(A)(C)          98,487
   451,521 Sequoia Mortgage Trust, Ser 2018-CH3, Class B1B, 144a, 4.747%, 8/25/48(A)(C)         452,425
   409,191 Sequoia Mortgage Trust, Ser 2018-CH3, Class B2B, 144a, 4.747%, 8/25/48(A)(C)         409,783
   23,159 Washington Mutual Mortgage Pass-Through Certificates, Ser 2005-9, Class 2A4, 5.500%, 11/25/35          22,866
  Total Non-Agency Collateralized Mortgage Obligations   $4,080,409
  Sovereign Government Obligations — 1.8%
   210,000 Bahamas Government International Bond, 144a, 6.000%, 11/21/28         162,490
   202,000 Chile Government International Bond, 3.100%, 5/7/41         178,340
   306,000 Chile Government International Bond, 3.100%, 1/22/61         252,432
   206,000 Colombia Government International Bond, 3.250%, 4/22/32         172,092
   226,000 Ecuador Government International Bond, 144a, 5.000%, 7/31/30         188,712
   210,000 Egypt Government International Bond, 144a, 5.875%, 2/16/31         175,913
   210,000 Ghana Government International Bond, 144a, 7.625%, 5/16/29         152,040
   205,000 Nigeria Government International Bond, 144a, 7.625%, 11/28/47         170,335
   153,000 Panama Government International Bond, 4.300%, 4/29/53         147,054
  200,000 Republic of Uzbekistan International Bond, 144a, 3.700%, 11/25/30         172,500
  Total Sovereign Government Obligations   $1,771,908
  Agency Collateralized Mortgage Obligations — 0.9%
   565,547 FHLMC REMIC, Ser 3859, Class JB, 5.000%, 5/15/41         595,813
    14,461 FNMA REMIC, Ser 2015-51, Class KC, 3.000%, 6/25/45          13,916
  273,309 FNMA REMIC, Ser 2017-90, Class KA, 3.000%, 11/25/47         269,996
  Total Agency Collateralized Mortgage Obligations     $879,725
Shares        
  Preferred Stocks — 0.8%  
  Financials — 0.6%  
    1,750 Bank of America Corp., Ser NN, 4.375%(B)      37,888
    6,085 Bank of America Corp., Ser QQ, 4.250%(B)     131,375
    7,000 JPMorgan Chase & Co., Ser JJ, 4.550%(B)     153,020
    6,309 JPMorgan Chase & Co., Ser MM, 4.200%(B)     132,994
    2,203 US Bancorp, Ser L, 3.750%(B)      43,421
    2,306 US Bancorp, Ser M, 4.000%(B)      47,688
    3,500 Wells Fargo & Co., Ser DD, 4.250%(B)      72,415
            618,801
  Real Estate — 0.2%  
    7,631 Public Storage REIT, Ser P, 4.000%(B)     156,359
  Total Preferred Stocks     $775,160
Shares       MarketValue
  Short-Term Investment Fund — 2.9%  
2,902,856 Dreyfus Government Cash Management, Institutional Shares, 0.19%∞Ω $  2,902,856
  Total Investment Securities—99.9%
(Cost $104,314,642)
$100,514,818
  Other Assets in Excess of Liabilities — 0.1%      60,050
  Net Assets — 100.0% $100,574,868
(A) Variable rate security - Rate reflected is the rate in effect as of March 31, 2022.
(B) Perpetual Bond - A bond or preferred stock with no definite maturity date.
(C) Certain variable rate securities are not based on a published reference rate and spread but are determined by the issuer or agent and are based on current market conditions. These securities do not indicate a reference rate and spread in their description.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of March 31, 2022.
Portfolio Abbreviations:
CLO – Collateralized Loan Obligation
DAC – Designated Activity Company
ETF – Exchange-Traded Fund
FHLMC – Federal Home Loan Mortgage Corporation
FNMA – Federal National Mortgage Association
GNMA – Government National Mortgage Association
LIBOR – London Interbank Offered Rate
LLC – Limited Liability Company
LP – Limited Partnership
MTN – Medium Term Note
PLC – Public Limited Company
REIT – Real Estate Investment Trust
REMIC – Real Estate Mortgage Investment Conduit
144a - This is a restricted security that was sold in a transaction qualifying for the exemption under Rule 144a of the Securities Act of 1933. This security may be sold in transactions exempt from registration, normally to qualified institutional buyers. At March 31, 2022, these securities were valued at $20,989,076 or 20.9% of net assets. These securities were deemed liquid pursuant to procedures approved by the Board of Trustees.
 
7

Touchstone Bond Fund (Unaudited) (Continued)
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Assets:        
Corporate Bonds $$36,427,132 $— $36,427,132
U.S. Treasury Obligations 25,833,868 25,833,868
Commercial Mortgage-Backed Securities 10,014,597 10,014,597
U.S. Government Mortgage-Backed Obligations 8,113,501 8,113,501
Asset-Backed Securities 5,274,327 5,274,327
Exchange-Traded Fund 4,441,335 4,441,335
Non-Agency Collateralized Mortgage Obligations 4,080,409 4,080,409
Sovereign Government Obligations 1,771,908 1,771,908
Agency Collateralized Mortgage Obligations 879,725 879,725
Preferred Stocks 775,160 775,160
Short-Term Investment Fund 2,902,856 2,902,856
Other Financial Instruments*        
Futures        
Interest rate contracts 28,602 28,602
Total Assets $8,147,953 $92,395,467 $— $100,543,420
Liabilities:        
Other Financial Instruments*        
Futures        
Interest rate contracts $(70,968) $$— $(70,968)
Total Liabilities $(70,968) $$— $(70,968)
Total $8,076,985 $92,395,467 $— $100,472,452
* Other Financial Instruments are derivative instruments not reflected in total investments. Amounts shown represent unrealized appreciation (depreciation) on futures contracts and is included in Receivable for variation margin on futures contracts.
Futures Contracts
At March 31, 2022, $40,215 was segregated with the broker as collateral for futures contracts. The Fund had the following futures contracts, brokered by Wells Fargo, open at March 31, 2022
Description Expiration Date Number of
Contracts
Notional Value Unrealized
Appreciation/
(Depreciation)
Short Futures:        
10-Year Ultra Long U.S. Treasury Bond 6/21/2022 42 $5,718,290 $28,602
Long Futures:        
5-Year U.S. Treasury Note 6/30/2022 102 11,769,093 (70,968)
        $(42,366)
See accompanying Notes to Portfolios of Investments.
8

Portfolio of Investments
Touchstone Common Stock Fund – March 31, 2022 (Unaudited)
Shares       Market
Value
  Common Stocks — 100.0%  
  Information Technology — 29.2%  
 95,876 Apple, Inc. $ 16,740,908
 22,843 International Business Machines Corp.   2,970,047
 66,368 Microsoft Corp.  20,461,918
 58,641 Oracle Corp.   4,851,370
 19,650 PayPal Holdings, Inc.*   2,272,522
 27,302 salesforce, Inc.*   5,796,761
 41,743 SS&C Technologies Holdings, Inc.   3,131,560
 25,987 Texas Instruments, Inc.   4,768,095
 22,768 Visa, Inc. - Class A   5,049,259
 14,663 Workday, Inc. - Class A*   3,511,202
         69,553,642
  Communication Services — 15.0%  
  5,119 Alphabet, Inc. - Class C*  14,297,316
 88,597 AT&T, Inc.   2,093,547
 85,993 Comcast Corp. - Class A   4,026,192
 67,213 Fox Corp. - Class A   2,651,553
 36,968 Meta Platforms, Inc. - Class A*   8,220,205
  7,382 Netflix, Inc.*   2,765,223
 13,272 Walt Disney Co. (The)*   1,820,388
         35,874,424
  Health Care — 14.6%  
 28,055 AmerisourceBergen Corp.   4,340,389
 41,078 BioMarin Pharmaceutical, Inc.*   3,167,114
 96,298 Bristol-Myers Squibb Co.   7,032,643
 19,313 HCA Healthcare, Inc.   4,840,224
 41,371 Johnson & Johnson   7,332,183
 15,756 UnitedHealth Group, Inc.   8,035,087
         34,747,640
  Financials — 11.5%  
150,470 Bank of America Corp.   6,202,373
 32,185 Berkshire Hathaway, Inc. - Class B*  11,358,408
 18,676 Goldman Sachs Group, Inc. (The)   6,164,948
  1,512 Markel Corp.*   2,230,563
  5,282 Signature Bank   1,550,214
         27,506,506
  Consumer Discretionary — 10.7%  
 15,429 Airbnb, Inc. - Class A*   2,650,085
 17,029 Alibaba Group Holding Ltd. (China) ADR*   1,852,755
  3,978 Amazon.com, Inc.*  12,968,081
 41,460 Hilton Worldwide Holdings, Inc.*   6,291,140
 20,218 Starbucks Corp.   1,839,232
         25,601,293
  Industrials — 8.7%  
  6,341 Deere & Co.   2,634,432
  7,486 FedEx Corp.   1,732,186
 24,564 Hubbell, Inc.   4,514,126
Shares       Market
Value
     
  Industrials — (Continued)  
  6,720 Parker-Hannifin Corp. $  1,906,867
 71,176 Raytheon Technologies Corp.   7,051,406
 62,675 Southwest Airlines Co.*   2,870,515
         20,709,532
  Consumer Staples — 3.5%  
 48,551 Monster Beverage Corp.*   3,879,225
 46,964 Philip Morris International, Inc.   4,411,798
          8,291,023
  Energy — 2.9%  
 50,133 Exxon Mobil Corp.   4,140,484
 67,838 Schlumberger NV   2,802,388
          6,942,872
  Real Estate — 2.4%  
 23,427 Jones Lang LaSalle, Inc.*   5,609,830
  Materials — 1.5%  
 50,117 DuPont de Nemours, Inc.   3,687,609
  Total Common Stocks $238,524,371
  Short-Term Investment Fund — 0.1%  
229,471 Dreyfus Government Cash Management, Institutional Shares, 0.19%∞Ω     229,471
  Total Investment Securities—100.1%
(Cost $124,001,913)
$238,753,842
  Liabilities in Excess of Other Assets — (0.1%)    (197,855)
  Net Assets — 100.0% $238,555,987
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of March 31, 2022.
Portfolio Abbreviations:
ADR – American Depositary Receipt
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $238,524,371 $— $— $238,524,371
Short-Term Investment Fund 229,471 229,471
Total $238,753,842 $— $— $238,753,842
See accompanying Notes to Portfolios of Investments.
 
9

Portfolio of Investments
Touchstone Small Company Fund – March 31, 2022 (Unaudited)
Shares       Market
Value
  Common Stocks — 98.6%  
  Health Care — 19.1%  
   39,170 Allscripts Healthcare Solutions, Inc.* $   882,108
   23,082 Anika Therapeutics, Inc.*    579,589
    1,816 Bio-Techne Corp.    786,401
    1,580 Chemed Corp.    800,349
   43,532 Covetrus, Inc.*    730,902
   11,693 Encompass Health Corp.    831,489
   10,110 Ensign Group, Inc. (The)    910,001
   11,528 Globus Medical, Inc. - Class A*    850,536
   11,672 Integra LifeSciences Holdings Corp.*    750,043
    5,956 LHC Group, Inc.*  1,004,181
   15,347 NuVasive, Inc.*    870,175
    5,881 Omnicell, Inc.*    761,531
   40,218 Premier, Inc. - Class A  1,431,359
   15,580 Progyny, Inc.*    800,812
   24,400 Tactile Systems Technology, Inc.*    491,904
   14,615 Vericel Corp.*    558,585
        13,039,965
  Information Technology — 18.0%  
   47,590 8x8, Inc.*    599,158
    9,222 Advanced Energy Industries, Inc.    793,830
   60,770 Box, Inc. - Class A*  1,765,976
   12,910 CommVault Systems, Inc.*    856,578
   34,408 Digi International, Inc.*    740,460
    7,137 ExlService Holdings, Inc.*  1,022,518
   44,306 KnowBe4, Inc. - Class A*  1,019,924
   13,077 MAXIMUS, Inc.    980,121
   15,802 Onto Innovation, Inc.*  1,373,036
    5,564 SPS Commerce, Inc.*    729,997
   15,430 Tower Semiconductor Ltd. (Israel)*    746,812
   16,151 Verint Systems, Inc.*    835,007
   10,040 WNS Holdings Ltd. (India) ADR*    858,320
        12,321,737
  Consumer Discretionary — 17.1%  
   40,430 American Eagle Outfitters, Inc.    679,224
   20,282 Aritzia, Inc. (Canada)*    827,893
    8,080 Fox Factory Holding Corp.*    791,436
   25,816 Frontdoor, Inc.*    770,608
    8,750 Grand Canyon Education, Inc.*    849,713
   68,440 Leslie's, Inc.*  1,324,998
   22,394 Malibu Boats, Inc. - Class A*  1,299,076
    8,800 Oxford Industries, Inc.    796,400
   12,760 Skyline Champion Corp.*    700,269
   34,252 Steven Madden Ltd.  1,323,497
    9,328 Texas Roadhouse, Inc.    781,033
    3,830 TopBuild Corp.*    694,724
   22,176 Zumiez, Inc.*    847,345
        11,686,216
  Industrials — 17.0%  
    8,467 ASGN, Inc.*    988,185
   12,759 Clean Harbors, Inc. *  1,424,415
   13,275 Crane Co.  1,437,417
    5,610 Curtiss-Wright Corp.    842,398
    8,930 Forward Air Corp.    873,175
   16,678 Gibraltar Industries, Inc.*    716,320
   51,129 Great Lakes Dredge & Dock Corp.*    717,340
   11,778 ITT, Inc.    885,823
   16,430 KBR, Inc.    899,214
    5,633 Quanta Services, Inc.     741,359
Shares       Market
Value
     
  Industrials — (Continued)  
    5,317 Regal Rexnord Corp. $   791,063
   36,090 Zurn Water Solutions Corp.  1,277,586
        11,594,295
  Financials — 11.3%  
    8,166 Evercore, Inc. - Class A    909,039
   75,110 FNB Corp.    935,119
   21,910 Pacific Premier Bancorp, Inc.    774,518
   28,558 PacWest Bancorp  1,231,707
    9,263 Pinnacle Financial Partners, Inc.    852,937
   61,910 Valley National Bancorp    806,068
   23,523 Webster Financial Corp.  1,320,111
   10,817 Western Alliance Bancorp    895,864
         7,725,363
  Real Estate — 6.0%  
   13,810 Agree Realty Corp. REIT    916,432
   57,715 Corporate Office Properties Trust REIT  1,647,186
   24,950 Healthcare Realty Trust, Inc. REIT    685,626
   21,420 STAG Industrial, Inc. REIT    885,717
         4,134,961
  Materials — 5.1%  
    9,429 Ashland Global Holdings, Inc.    927,908
   29,790 Axalta Coating Systems Ltd. *    732,238
    6,541 Eagle Materials, Inc.    839,603
   21,620 Silgan Holdings, Inc.    999,492
         3,499,241
  Communication Services — 3.9%  
   30,374 Cargurus, Inc.*  1,289,680
   43,390 QuinStreet, Inc.*    503,324
    8,855 Ziff Davis, Inc.*    856,987
         2,649,991
  Energy — 1.1%  
   31,860 ChampionX Corp.*    779,933
  Total Common Stocks $67,431,702
  Short-Term Investment Fund — 1.8%  
1,192,060 Dreyfus Government Cash Management, Institutional Shares, 0.19%∞Ω  1,192,060
  Total Investment Securities—100.4%
(Cost $51,489,151)
$68,623,762
  Liabilities in Excess of Other Assets — (0.4%)   (244,678)
  Net Assets — 100.0% $68,379,084
* Non-income producing security.
Open-End Fund.
Ω Represents the 7-Day SEC yield as of March 31, 2022.
Portfolio Abbreviations:
ADR – American Depositary Receipt
REIT – Real Estate Investment Trust
 
10

Touchstone Small Company Fund (Unaudited) (Continued)
Other Information:
The inputs or methodology used for valuing securities may not be an indication of the risk associated with investing in those securities. For more information on valuation inputs, and their aggregation into the levels used in the table below, please refer to the security valuation section in the accompanying Notes to Portfolios of Investments.
Valuation Inputs at Reporting Date:
Description Level 1 Level 2 Level 3 Total
Common Stocks $67,431,702 $— $— $67,431,702
Short-Term Investment Fund 1,192,060 1,192,060
Total $68,623,762 $— $— $68,623,762
See accompanying Notes to Portfolios of Investments.
11

Notes to Portfolio of Investments
March 31, 2022 (Unaudited)
Security valuation and fair value measurements — U.S. generally accepted accounting principles (“U.S. GAAP”) defines fair value as the price the Funds would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date.  All investments in securities are recorded at their fair value. The Funds define the term “market value”, as used throughout this report, as the estimated fair value. The Funds use various methods to measure fair value of their portfolio securities on a recurring basis. U.S. GAAP fair value measurement standards require disclosure of a hierarchy that prioritizes inputs to valuation methods. These inputs are summarized in the three broad levels listed below:
•  Level 1 − quoted prices in active markets for identical securities
•  Level 2 − other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.)
•  Level 3 − significant unobservable inputs (including a Fund’s own assumptions in determining the fair value of investments)
The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
The aggregate value by input level, as of March 31, 2022, for each Fund’s investments, is included in each Fund’s Portfolio of Investments, which also includes a breakdown of the Fund’s investments by portfolio or sector allocation. The Funds did not hold or transfer any Level 3 categorized securities during the period ended March 31, 2022.
Changes in valuation techniques may result in transfers into or out of an investment’s assigned level within the hierarchy.
The Funds' portfolio securities are valued as of the close of the regular session of trading on the New York Stock Exchange (“NYSE”) (currently 4:00 p.m., Eastern Time or at the time as of which the NYSE establishes official closing prices). Portfolio securities traded on stock exchanges are valued at the last reported sale price, official close price, or last bid price if no sales are reported. Portfolio securities quoted by NASDAQ are valued at the NASDAQ Official Closing Price (“NOCP”) or from the primary exchange on which the security trades. To the extent these securities are actively traded, they are categorized in Level 1 of the fair value hierarchy. Options and futures are valued at the last quoted sales price. If there is no such reported sale on the valuation date, long option positions are valued at the most recent bid price, and short option positions are valued at the most recent ask price on the valuation date and are categorized in Level 1. Shares of mutual funds in which the Funds invest are valued at their respective net asset value (“NAV”) as reported by the underlying funds and are categorized in Level 1. Options and futures are valued at the last quoted sales price. If there is no such reported sale on the valuation date, long option positions are valued at the most recent bid price, and short option positions are valued at the most recent ask price on the valuation date and are categorized in Level 1. Shares of mutual funds in which the Funds invest are valued at their respective net asset value (“NAV”) as reported by the underlying funds and are categorized in Level 1.
Debt securities held by the Funds are valued at their evaluated bid by an independent pricing service or at their last broker-quoted bid prices as obtained from one or more of the major market makers for such securities. Independent pricing services use information provided by market makers or estimates of market values through accepted market modeling conventions. Observable inputs to the models may include prepayment speeds, pricing spread, yield, trade information, dealer quotes, market color, cash flow models, the securities’ terms and conditions, among others, and are generally categorized in Level 2. Investments in asset-backed and mortgage-backed securities are valued by independent pricing services using models that consider estimated cash flows of each tranche of the security, establish a benchmark yield and develop an estimated tranche specific spread to the benchmark yield based on the unique attributes of the tranche, and are generally categorized in Level 2. Debt securities with remaining maturities of 60 days or less may be valued at amortized cost, provided such amount approximates market value and are categorized in Level 2. While this method provides consistency in valuation (and may only be used if it approximates market value), it may result in periods during which fair value, as determined by amortized cost, is higher or lower than the price that would be received if the Fund sold the investment.
Securities mainly traded on a non-U.S. exchange or denominated in foreign currencies are generally valued according to the preceding closing values on that exchange, translated to U.S. dollars using currency exchange rates as of the close of regular trading on the NYSE, and are generally categorized in Level 1. However, if an event that may change the value of a security occurs after the time that the closing value on the non-U.S. exchange was determined, but before the close of regular trading on the NYSE, the security may be priced based on fair value and is generally categorized in Level 2. This may cause the value of the security, if held on the books of a Fund, to be different from the closing value on the non-U.S. exchange and may affect the calculation of that Fund’s NAV. The Funds may use fair value pricing under the following circumstances, among others:
•  If the value of a security has been materially affected by events occurring before the Funds' pricing time but after the close of the primary markets on which the security is traded.
•  If the exchange on which a portfolio security is principally traded closes early or if trading in a particular portfolio security was halted during the day and did not resume prior to the Funds' NAV calculation.
•  If a security is so thinly traded that reliable market quotations are unavailable due to infrequent trading.
12

Notes to Portfolio of Investments (Unaudited) (Continued)
•  If the validity of market quotations is not reliable.
Securities held by the Funds that do not have readily available market quotations, significant observable inputs, or securities for which the available market quotations are not reliable, are priced at their estimated fair value using procedures approved by the Funds’ Board of Trustees and are generally categorized in Level 3.
Each Fund is an investment company that follows the accounting and reporting guidance of Accounting Standards Codification Topic 946 applicable to investment companies.
Security transactions—Security transactions are reflected for financial reporting purposes as of the trade date.
13