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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

 

Investment Company Act file number: 811-09195

______________________________________________

SA FUNDS – INVESTMENT TRUST

______________________________________________________________________________

(Exact name of registrant as specified in charter)

 

190 Carondelet Plaza, Suite 600, Clayton, Missouri 63105

______________________________________________________________________________

(Address of principal executive offices) (zip code)

 

Jeff Yorg, Esq.

Chief Compliance Officer

SA Funds – Investment Trust

190 Carondelet Plaza, Suite 600

Clayton, Missouri 63105

(Name and address of agent for service)

 
Copy to:

Brian F. Link, Esq.

Managing Director and Managing Counsel

State Street Bank and Trust Company

One Congress Street, 15th Floor

Boston, Massachusetts 02114

Mark D. Perlow, Esq.

Counsel to the Trust

Dechert LLP

45 Fremont St., 26th Floor

San Francisco, California 94105

Registrant’s telephone number, including area code: (844) 366-0905

 

Date of fiscal year end: June 30

 

Date of reporting period: June 30, 2025

 

 

Table of Contents 

Item 1. Reports to Shareholders.

(a) A copy of the reports transmitted to stockholders pursuant to Rule 30e-1 under the Investment Company Act of 1940, as amended (the “1940 Act”), for the period July 1, 2024 through June 30, 2025, are filed herewith.

SA U.S. Fixed Income Fund

SAUFX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA U.S. Fixed Income Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/sa-funds/documents. You can also request this information by contacting us at 1-844-366-0905.

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAUFX $41 0.40%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® US Core Bond IndexSM, which is composed of U.S. dollar-denominated investment grade bonds and is designed to be representative of the U.S. bond market overall. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® US 1-3 Year Composite Government and Corporate Bond IndexSM, which is designed to measure the performance of U.S. dollardenominated government and corporate bonds with maturities between one and three years. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

 

For the fiscal year ended June 30, 2025, the Fund had a net return of 6.01%, compared to a return of 5.89% for the Fund’s Secondary Benchmark. The Fund outperformed the Secondary Benchmark by 0.12% for the fiscal year primarily due to the Fund’s overweight position in corporate bonds relative to the Secondary Benchmark, particularly those corporate bonds rated A or BBB.

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

Table of Contents 

 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAUFX 6.01% 1.27% 1.12%
Primary Benchmark 6.01% (0.76%) 1.72%
Secondary Benchmark 5.89% 1.53% 1.83%
       
       
       

Key Fund Statistics
Total Net Assets $452,531,746
# of Portfolio Holdings 105
Portfolio Turnover Rate 69%
Total Advisory Fees Paid $634,671
   
   
   

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?

Portfolio Composition

(As a % of long-term investments)

Corporate Bonds and Notes 48.2%
U.S. Government & Agency Obligations 36.7
Yankee Corporate Bonds and Notes 15.1

 

 

 

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund’s prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905

 

SA U.S. Fixed Income Fund

Annual Shareholder Report - June 30, 2025

SAUFX

 

Table of Contents 

SA Global Fixed Income Fund
SAXIX
Annual Shareholder Report - June 30, 2025
   

This annual shareholder report contains important information about SA Global Fixed Income Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/sa-funds/documents. You can also request this information by contacting us at 1-844-366-0905.

 

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAXIX $52 0.51%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® Global Core Bond Hedged IndexSM, which is composed of investment grade bonds and is designed to be representative of the global bond market overall. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® Global 1-5 Year Treasury Bond Hedged IndexSM, which is designed to measure the performance of global investment grade government bonds with maturities between one and five years. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

 

For the fiscal year ended June 30, 2025, the Fund had a net return of 5.67%, compared to a return of 6.11% for the Fund’s Secondary Benchmark. The Fund underperformed the Secondary Benchmark for the fiscal year by 0.44% primarily due to the Fund’s overweight exposure (relative to the benchmark) in higher grade bonds.

 

 

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAXIX 5.67% 0.81% 1.14%
Primary Benchmark 5.96% (0.22%) 2.10%
Secondary Benchmark 6.11% 1.66% 2.00%
                       

Key Fund Statistics
Total Net Assets $543,289,524
# of Portfolio Holdings 124
Portfolio Turnover Rate 77%
Total Advisory Fees Paid $1,445,230
   

 

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?

Portfolio Composition
(As a % of long-term investments)
Sovereign Bonds and Notes 54.1%
Corporate Bonds and Notes 25.7
U.S. Government & Agency Obligations 20.2

Top Ten Largest Countries
(As a % of long-term investments)
United States 29.7%
Canada 17.6
Supranational 14.8
Australia 9.7
France8.7
New Zealand 3.5
Netherlands 3.1
Norway 2.8
Finland 2.7
Others 7.4

 

 

 

 

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund’s prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905
   

SA Global Fixed Income Fund
Annual Shareholder Report - June 30, 2025

SAXIX

 

 

Table of Contents 

SA U.S. Core Market Fund

SAMKX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA U.S. Core Market Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/sa-funds/documents. You can also request this information by contacting us at 1-844-366-0905.

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAMKX $71 0.67%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of a broad-based securities market index. For this Fund, performance is compared to the Morningstar® US Market Extended IndexSM (the "Primary Benchmark"), which is composed of large, mid, and small cap U.S. stocks. The benchmark index is unmanaged and does not involve fees and expenses like the Fund.

 

For the fiscal year ended June 30, 2025, the Fund had a net return of 13.13% compared to a return of 15.15% for the Fund’s Primary Benchmark. The Fund underperformed the Primary Benchmark during the fiscal year by 2.02%, after deducting the Fund’s net operating expenses for the year. Across the fiscal year the Fund had more exposure to stocks of companies with higher levels of operating profitability ("high profitability stocks") and less exposure to stocks of companies with lower levels of operating profitability ("low profitability stocks") compared to the Primary Benchmark. However, during the fiscal year, the returns of low profitability stocks were stronger than the returns of higher profitability stocks, hence the Fund's lower exposure to low profitability stocks caused the underperformance of the Fund to its Primary Benchmark.

 

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark.

Date

 

Table of Contents 

 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAMKX 13.13% 15.29% 12.59%
Primary Benchmark 15.15% 15.93% 12.98%
       
       
       
       

Key Fund Statistics
Total Net Assets $669,637,380
# of Portfolio Holdings 832
Portfolio Turnover Rate 1%
Total Advisory Fees Paid $2,691,835
   
   
   

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?

Top Ten Largest Sectors
(As a % of long-term investments)
Information Technology   29.1%
Financials   16.8
Consumer Discretionary   10.7
Communication Services   10.7
Health Care   9.6
Industrials   9.3
Consumer Staples   6.5
Utilities   2.8
Energy   2.5
Materials   1.9

 

 

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund's prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905

 

SA U.S. Core Market Fund

Annual Shareholder Report - June 30, 2025

SAMKX

 

Table of Contents 

SA U.S. Value Fund

SABTX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA U.S. Value Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/sa-funds/documents. You can also request this information by contacting us at 1-844-366-0905.

 

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SABTX $77 0.74%

 

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® US Market Extended IndexSM, which is composed of large, mid, and small cap U.S. stocks. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® US Large-Mid Cap Broad Value IndexSM, which is designed to measure the performance of value stocks within the large and mid-capitalization segment of the U.S. stock market. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

For the fiscal year ended June 30, 2025, the Fund had a net return of 8.58%, compared to a return of 11.57% for the Fund’s Secondary Benchmark. The Fund underperformed this Secondary Benchmark during the fiscal year by 2.99%, after deducting the Fund’s net operating expenses for the year. Across the fiscal year the Fund held larger positions in the stocks of companies whose ratio of price-to-book-value was below the median price-to-book value of stocks ("deeper value stocks") found in the Secondary Benchmark. These deeper value stocks - particularly those selected to be held in the Fund - significantly underperformed the stocks in the Secondary Benchmark, leading to the Fund's underperformance relative to the Secondary Benchmark.

 

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SABTX 8.58% 14.00% 8.34%
Primary Benchmark 15.15% 15.93% 12.98%
Secondary Benchmark 11.57% 14.92% 10.88%
       
       

Key Fund Statistics
Total Net Assets $524,067,789
# of Portfolio Holdings 272
Portfolio Turnover Rate 11%
Total Advisory Fees Paid $2,183,649
   
   

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

 

What did the Fund invest in?

Top Ten Largest Sectors

(As a % of long-term investments)

Financials 26.1%
Health Care 15.0
Industrials 12.5
Energy 11.2
Information Technology 9.7
Communication Services 7.7
Materials 7.6
Consumer Discretionary 5.0
Consumer Staples 4.6
Real Estate 0.6

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund's prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905

 

SA U.S. Value Fund

Annual Shareholder Report - June 30, 2025

SABTX

 

Table of Contents 

SA U.S. Small Company Fund

SAUMX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA U.S. Small Company Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/sa-funds/documents. You can also request this information by contacting us at 1-844-366-0905.

 

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAUMX $93 0.89%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® US Market Extended IndexSM, which is composed of large, mid, and small cap U.S. stocks. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® US Small Cap Extended IndexSM, which is designed to measure the performance of small cap stocks within the U.S. stock market. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

 

For the fiscal year ended June 30, 2025, the Fund had a net return of 7.99%, compared to a return of 9.35% for the Fund’s Secondary Benchmark. The Fund underperformed this benchmark during the fiscal year by 1.36% after deducting the Fund’s net operating expenses for the year. The Fund’s underperformance relative to its Secondary Benchmark over the fiscal year was the result of the Fund’s tendency to avoid holding smaller cap stocks that exhibit both lower levels of profitability and also higher levels of price-to-book ratios (“growth-oriented low profit stocks”). However, these growth-oriented low profit stocks are found in the Secondary Benchmark, and during the fiscal year, these stocks performed well, leading to the returns of the Secondary Benchmark outperforming the returns of the Fund.

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAUMX 7.99% 13.31% 7.73%
Primary Benchmark 15.15% 15.93% 12.98%
Secondary Benchmark 9.35% 11.30% 7.41%
       
       
       

Key Fund Statistics
Total Net Assets $295,676,287
# of Portfolio Holdings 1,445
Portfolio Turnover Rate 3%
Total Advisory Fees Paid $1,240,169
   
   
   

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?
Top Ten Largest Sectors
(As a % of long-term investments)
Industrials   22.4%
Financials   21.4
Consumer Discretionary   15.0
Information Technology   11.8
Health Care   8.7
Materials   5.6
Consumer Staples   5.4
Utilities   3.7
Energy   3.2
Communication Services   2.2

 

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund’s prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

Toll-free: 1-844-366-0905

 

SA U.S. Small Company Fund

Annual Shareholder Report - June 30, 2025

SAUMX

 

Table of Contents 

SA International Value Fund

SAHMX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA International Value Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/sa-funds/documents. You can also request this information by contacting us at 1-844-366-0905.

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAHMX $101 0.91%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® Developed Markets ex-US All Cap Target Market Exposure IndexSM, which is composed of large, mid, and small cap stocks trading in international developed markets. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® Developed Markets ex-US Value Target Market Exposure IndexSM, which is designed to measure the performance of value stocks within the large and mid-capitalization segments of the international developed markets. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

 

For the fiscal year ended June 30, 2025, the Fund had a net return of 22.47%, compared to a return of 22.95% for the Fund’s Secondary Benchmark. The Fund underperformed the Secondary Benchmark during the fiscal year by 0.48% after deducting the Fund’s net operating expenses for the year. The Fund's underperformance relative to the Secondary Benchmark during the fiscal year was primarily the result of the fact that the Fund charges net operating expenses while the Secondary Benchmark does not.

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAHMX 22.47% 16.21% 6.34%
Primary Benchmark 19.04% 11.15% 6.60%
Secondary Benchmark 22.95% 14.61% 6.49%
       

Key Fund Statistics
Total Net Assets $577,005,303
# of Portfolio Holdings 433
Portfolio Turnover Rate 9%
Total Advisory Fees Paid $2,480,531
   

 

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?  

Top Ten Largest Sectors
(As a % of long-term investments)
Financials 35.2%
Energy 13.0
Materials 12.3
Consumer Discretionary 10.8
Industrials 9.4
Health Care 5.9
Consumer Staples 5.0
Communication Services 3.0
Utilities 2.1
Real Estate 2.0

 

Top Ten Largest Countries
(As a % of long-term investments)
Japan 20.4%
United Kingdom 12.4
France 10.7
Canada 10.6
Switzerland 9.4
Germany 8.6
Australia 6.1
Netherlands 4.7
Spain 3.4
Others 13.7

 

 

 

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund's prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

Toll-free: 1-844-366-0905

 

SA International Value Fund

Annual Shareholder Report - June 30, 2025

SAHMX

 

Table of Contents 

SA International Small Company Fund

SAISX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA International Small Company Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/safunds/documents. You can also request this information by contacting us at 1-844-366-0905.

 

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAISX $59 0.53%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® Developed Markets ex-US All Cap Target Market Exposure IndexSM, which is composed of large, mid, and small cap stocks trading in international developed markets. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® Developed Markets ex-US Small Cap Target Market Exposure IndexSM, which is designed to measure the performance of small cap stocks within the international developed markets. The Secondary Benchmark is more representative of the investment universe of the series of The DFA Investment Trust Company through which the Fund invests. Please see the following page for additional information about these series. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.


For the fiscal year ended June 30, 2025, the Fund had a net return of 23.19%, compared to a return of 23.04% for the Fund’s Secondary Benchmark. The Fund outperformed the Secondary Benchmark during the fiscal year by 0.15% after deducting the Fund’s net operating expenses for the year. The Fund’s performance during the fiscal year was relatively similar to the performance of the Secondary Benchmark, as a result of positive returns in the Fund roughly offsetting the fees paid by the Fund. The Fund’s performance relative to the Secondary Benchmark was primarily the result of the Fund’s avoidance of REITs and growth-oriented low profitability stocks.

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAISX 23.19% 11.66% 6.49%
Primary Benchmark 19.04% 11.15% 6.60%
Secondary Benchmark 23.04% 8.82% 5.87%
       
       

Key Fund Statistics
Total Net Assets $271,544,757
# of Portfolio Holdings 1
Portfolio Turnover Rate 4%
Total Advisory Fees Paid $631,768
   
   

 

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?

Largest Holdings

(As a % of total investments)

DFA International Small Company Portfolio, Class Institutional * 100.0

 

 

 

 

 

 

 

 

 

 

*The Fund pursues its goal by investing substantially all its assets in the International Small Company Portfolio of DFA Investment Dimensions Group Inc. (the “DFA Portfolio”), a separate registered investment company with the same investment objective and investment policies as the Fund. The DFA Portfolio invests substantially all its assets in the following series of The DFA Investment Trust Company: The Japanese Small Company Series, The United Kingdom Small Company Series, The Continental Small Company Series, The Asia Pacific Small Company Series and The Canadian Small Company Series. Financial statements and other information about the DFA International Small Company Portfolio, including its portfolio holdings, are available at https://www.dimensional.com/usen/funds/dfisx/international-small-company-portfolio-i.

 

 

 

 

 

 

 

 

 

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund’s prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905

 

SA International Small Company Fund

Annual Shareholder Report - June 30, 2025

SAISX

 

Table of Contents 

SA Emerging Markets Value Fund

SAEMX

Annual Shareholder Report - June 30, 2025
 

This annual shareholder report contains important information about SA Emerging Markets Value Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/safunds/documents. You can also request this information by contacting us at 1-844-366-0905.

 

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name

Cost of a $10,000 investment

Costs paid as a percentage of a $10,000 investment

SAEMX

$109

1.04%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® Emerging Markets All Cap Target Market Exposure IndexSM, which is composed of large, mid, and small cap stocks trading in emerging markets. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® Emerging Markets Value Target Market Exposure IndexSM, which is designed to measure the performance of value stocks within the large and mid-capitalization segment of the emerging markets. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

 

For the fiscal year ended June 30, 2025, the Fund had a net return of 10.33%, compared to a return of 17.33% for the Fund’s Secondary Benchmark. The Fund underperformed the Secondary Benchmark by 7.00% after deducting the Fund’s net operating expenses for the year. Across the fiscal year the Fund maintained a larger position than that of the Secondary Benchmark in the stocks of companies whose ratio of price-to-book-value were among the lowest in the Secondary Benchmark (known as “deeper value stocks"), while also minimizing exposure to stocks of companies whose price-to-book-value ratio was above the median ratio of companies in the Secondary Benchmark. During the fiscal year, returns of companies with price-to-book-value ratios above the median of the Secondary Benchmark were particularly strong, contributing to the Fund’s underperformance relative to the Secondary Benchmark.

 

 

Fund Performance

 

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

 

 

Date

 

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAEMX 10.33% 11.53% 4.79%
Primary Benchmark 13.40% 7.86% 5.31%
Secondary Benchmark 17.33% 11.37% 6.30%
       

Key Fund Statistics

Total Net Assets $203,591,960
# of Portfolio Holdings 1,806
Portfolio Turnover Rate 17%
Total Advisory Fees Paid $308,010
  

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?

Top Ten Largest Sectors
(As a % of long-term investments)
Financials 30.5%
Information Technology 14.0
Consumer Discretionary 12.4
Materials 11.2
Energy 9.4
Industrials 9.4
Health Care 3.5
Communication Services 2.8
Real Estate 2.8
Consumer Staples 2.4

Top Ten Largest Countries

(As a % of long-term investments)

China 28.4%
India 21.7
Taiwan 19.8
Korea 11.2
South Africa 3.4
Brazil 3.1
Mexico 1.8
United Arab Emirates 1.5
Indonesia 1.5
Others 7.6

 

     

Additional Information

   

If you wish to view additional information about the Fund; including but not limited to the Fund’s prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905

 

SA Emerging Markets Value Fund

Annual  Shareholder Report - June 30, 2025

SAEMX

 

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SA Real Estate Securities Fund

SAREX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA Real Estate Securities Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/sa-funds/documents. You can also request this information by contacting us at 1-844-366-0905.

 

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAREX $80 0.77%

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® US Market Extended IndexSM, which is composed of large, mid, and small cap U.S. stocks. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® US REIT IndexSM, which is designed to measure the performance of real estate stocks within the U.S. stock market. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

 

For the fiscal year ended June 30, 2025, the Fund had a net return of 8.29%, compared to a return of 9.66% for the Fund’s Secondary Benchmark. The Fund underperformed the Secondary Benchmark during the fiscal year by 1.37% after deducting the Fund’s net operating expenses for the year. Part of the Fund's underperformance to the Secondary Benchmark during the fiscal year was due to the fact that the Fund pays operating expenses while the Secondary Benchmark does not. The remainder of the underperformance was due to the fact that the Fund held a small percentage of stocks that are not included in the Secondary Benchmark, and these stocks had significantly underperformed the Secondary Benchmark.

 

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the past ten years. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years 10 Years
SAREX 8.29% 5.98% 5.66%
Primary Benchmark 15.15% 15.93% 12.98%
Secondary Benchmark 9.66% 6.59% 6.50%
       
       
       

Key Fund Statistics
Total Net Assets $118,724,719
# of Portfolio Holdings 133
Portfolio Turnover Rate 5%
Total Advisory Fees Paid $335,224
   
   
   

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?

Largest Industry Holdings

(As a % of long-term investments)

Specialized REITs 39.5%
Retail REITs 15.7
Residential REITs 14.3
Health Care REITs 11.7
Industrial REITs 10.7
Office REITs 3.5
Diversified REITs 2.3
Hotel & Resort REITs 2.3

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund's prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905

 

SA Real Estate Securities Fund

Annual Shareholder Report - June 30, 2025

SAREX

 

Table of Contents 

SA Worldwide Moderate Growth Fund

SAWMX

Annual Shareholder Report - June 30, 2025

This annual shareholder report contains important information about SA Worldwide Moderate Growth Fund for the period of July 1, 2024 to June 30, 2025. You can find additional information about the Fund at https://advisor.focuspartners.com/safunds/documents. You can also request this information by contacting us at 1-844-366-0905.

 

What were the Fund costs for last year?

(based on a hypothetical $10,000 investment)

Fund Name Cost of a $10,000 investment Costs paid as a percentage of a $10,000 investment
SAWMX $0* 0.00%*
*Focus Partners Advisor Solutions, LLC, (the "Adviser") has contractually agreed to waive fees and/or reimburse expenses to the Fund's total annual operating expenses (excluding interest, taxes, brokerage commissions, acquired fund fees and expense and extraordinary expenses). Shareholders would have paid $75, or 0.71% when considering the acquired fund fees.

 

How did the Fund perform last year and what affected its performance?

Investment performance of the Fund is judged against the performance of certain market indexes. For this Fund, performance is compared to a broad-based securities market index (the “Primary Benchmark”) known as the Morningstar® Global Markets IndexSM, which is composed of large, mid, and small cap stocks and is designed to be representative of the global stock market overall. The Fund’s performance is also compared to an additional index (the “Secondary Benchmark”) known as the Morningstar® US Moderate Target Allocation IndexSM, which is designed to measure the performance of a portfolio holding 60% global stocks and 40% global bonds. The Secondary Benchmark is closer in scope to the universe of securities chosen within the Fund. The benchmark indexes are unmanaged and do not involve fees and expenses like the Fund.

For the fiscal year ended June 30, 2025, the Fund had a net return of 11.69%, compared to a return of 12.16% for the Fund’s Secondary Benchmark. Since the Fund invests exclusively in shares of the SA Fund family (the “Underlying Funds”), the performance of the Fund relative to the Secondary Benchmark is driven primarily by the performance of each of the Underlying Funds against the relevant components of that Secondary Benchmark. For the fiscal year, two of the eight Underlying Funds contributed positively to relative performance, notably the SA International Value Fund. Six of the eight Underlying Funds contributed negatively to relative performance for the fiscal year, most notably the SA US Core Market Fund and the SA Global Fixed Income Fund.

 

Fund Performance

The following line chart and table are intended to help you understand the risks of investing in the Fund. The chart shows the growth of $10,000 over the period since the Fund's inception. The table shows the total return for the selected time periods for the SA Fund as well as for the Primary Benchmark and the Secondary Benchmark.

Date

 

Table of Contents 

 

Average Annual Total Returns
  1 Year 5 Years Since
Inception
7/1/15
SAWMX 11.69% 11.15% 6.78%
Primary Benchmark 15.76% 13.28% 9.67%
Secondary Benchmark 12.16% 8.98% 7.97%
       
       

Key Fund Statistics
Total Net Assets $21,148,705
# of Portfolio Holdings 8
Portfolio Turnover Rate 9%
Total Advisory Fees Paid $0
   
   

The Fund’s past performance is not a good predictor of how the Fund will perform in the future. The graph and table do not reflect the deduction of taxes that a shareholder would pay on Fund distributions or redemption of Fund shares.

What did the Fund invest in?

Largest Holdings

(As a % of total investments)

SA International Value Fund 20.2
SA U.S. Core Market Fund 16.9
SA U.S. Value Fund 16.9
SA U.S. Fixed Income Fund 14.9
SA Global Fixed Income Fund 14.8
SA Emerging Markets Value Fund 6.7
SA U.S. Small Company Fund 6.7
SA Real Estate Securities Fund 2.9

 

Additional Information

If you wish to view additional information about the Fund; including but not limited to the Fund's prospectus, financial statements, holdings and proxy voting information, please visit https://advisor.focuspartners.com/sa-funds/documents. To reduce Fund expenses, only one copy of most shareholder documents may be mailed to shareholders with multiple accounts at the same address, called “Householding”. If you would prefer that your Fund documents not be householded, please contact us at 1-844-366-0905, or contact your financial intermediary.

 

Toll-free: 1-844-366-0905

 

SA Worldwide Moderate Growth Fund

Annual Shareholder Report - June 30, 2025

SAWMX

 

Table of Contents 

(b) Not applicable.

Item 2. Code of Ethics.

(a) As of the end of the period covered by this Form N-CSR, the registrant has adopted a code of ethics, as defined in Item 2(b) of Form N-CSR, that applies to the registrant’s chief executive officer and chief financial and accounting officer.

(c) During the period, the registrant’s code of ethics was not revised.

(d) The registrant has not granted any waivers from any provisions of its code of ethics during the period covered by this Form N-CSR.

(e) Not applicable.

(f) A copy of the registrant’s code of ethics is filed as Exhibit 19(a)(1) to this Form N-CSR.

Item 3. Audit Committee Financial Expert.

(a)(1) The registrant’s Board of Trustees (the “Board”) has determined that the registrant has three members serving on the registrant’s Audit Committee that possess the attributes identified in Form N-CSR to qualify as an “audit committee financial expert.”

(a)(2) The audit committee financial experts are Bryan W. Brown, Harold M. Shefrin and Charles M. Roame. Each has been deemed to be “independent” as that term is defined in Form N-CSR.

Item 4. Principal Accountant Fees and Services.

For the fiscal year June 30, 2025, Cohen & Co. (“Cohen”) serves as the independent registered public accounting firm for the registrant.

(a) Audit Fees.

For the fiscal years ended June 30, 2025 and June 30, 2024, the aggregate fees billed for professional services rendered by Cohen for the audit of the registrant’s annual financial statements or for services that are normally provided by Cohen in connection with statutory and regulatory filings or engagements were $203,500 and $197,500 respectively.

(b) Audit-Related Fees.

For the fiscal years ended June 30, 2025 and June 30, 2024, the aggregate fees billed for assurance and related services rendered by Cohen that are reasonably related to the performance of the audit or review of the registrant’s financial statements and that are not reported under Audit Fees above were $0 and $0, respectively. Services for which fees in the Audit-Related Fees category were billed include Cohen’s reasonable out-of-pocket expenses and ticket charges for booking travel related to conducting the audit.

For the twelve month periods ended June 30, 2025 and June 30, 2024, aggregate Audit-Related Fees billed by Cohen that were required to be approved by the registrant’s Audit Committee for audit-related services rendered to the registrant’s investment adviser and any entity controlling, controlled by or under common control with the investment adviser that provides ongoing services to the registrant (the “Affiliated Service Providers”) that relate directly to the operations and financial reporting of the registrant were $0 and $0, respectively.

 

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(c) Tax Fees.

For the fiscal years ended June 30, 2025 and June 30, 2024, the aggregate fees billed for tax compliance, tax advice and tax planning by Cohen were $42,000 and $42,000, respectively. Services for which fees in the Tax Fees category are billed include Cohen’s review of the registrant’s U.S. federal income tax returns and the required state corporate income tax returns, as well as Cohen’s review of excise tax distribution calculations.

For the twelve month periods ended June 30, 2025 and June 30, 2024, the aggregate Tax Fees billed Cohen that were required to be approved by the registrant’s Audit Committee for tax compliance, tax advice and tax planning services rendered on behalf of Affiliated Service Providers that relate directly to the operations and financial reporting of the registrant were $0 and $0, respectively.

(d) All Other Fees.

For the fiscal years ended June 30, 2025 and June 30, 2024, the aggregate fees billed by Cohen to the registrant for all services other than services reported under Audit Fees, Audit-Related Fees, and Tax Fees were $9,550 and $9,000, respectively.

For the twelve month periods ended June 30, 2025 and June 30, 2024, the aggregate fees in this category billed by Cohen that were required to be approved by the registrant’s Audit Committee for services rendered on behalf of Affiliated Service Providers that relate directly to the operations and financial reporting of the registrant were $0 and $0, respectively.

(e)(1) Audit Committee’s Pre-Approval Policies and Procedures.

The registrant’s Audit Committee has the sole authority to pre-approve all audit and non-audit services to be provided by Cohen to the registrant, subject to the de minimis exceptions for non-audit services described in Section 10A(i)(1)B of the Securities Exchange Act of 1934, as amended (“Exchange Act”). Pre-approval of audit and non-audit services is not required if the engagement to render the services is entered into pursuant to pre-approval policies and procedures established by the Audit Committee. The Audit Committee has not established such policies and procedures.

(e)(2) Percentage of Services.

None of the services described in each of paragraphs (b) through (d) of this Item were approved by the registrant’s Audit Committee pursuant to paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

(f) Not applicable.

(g) For the fiscal years ended June 30, 2025 and June 30, 2024, aggregate non-audit fees billed by Cohen for services rendered to the registrant were $0 and $0, respectively.

For the twelve month periods ended June 30, 2025 and June 30, 2024, aggregate non-audit fees billed by Cohen for services rendered to the Affiliated Service Providers were $0 and $0, respectively.

(h) Not applicable.

(i) Not applicable.

 

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(j) Not applicable.

Item 5. Audit Committees of Listed Registrants.

Not applicable to the registrant.

Item 6. Investments.

(a) The Schedule of Investments is included in the financial statements filed under Item 7(a) of this Form.

(b) Not applicable to the registrant.

Item 7. Financial Statements and Financial Highlights for Open-End Management Investment Companies.

 

(a)The Registrant’s Financial Statements are attached herewith.

 

(b)The Registrant’s Financial Highlights are included as part of the Financial Statements filed under Item 7(a) of this report.

 

 

Table of Contents 

 

ANNUAL FINANCIALS AND OTHER INFORMATION

June 30, 2025

 

 

 

 

Table of Contents 

 
TABLE OF CONTENTS
 

 

  Page
Item 7. Financial Statements and Financial Highlights for Open-End Management Investment Companies  
Portfolios of Investments  
SA U.S. Fixed Income Fund 1
SA Global Fixed Income Fund 4
SA U.S. Core Market Fund 9
SA U.S. Value Fund 20
SA U.S. Small Company Fund 24
SA International Value Fund 40
SA International Small Company Fund 46
SA Emerging Markets Value Fund 47
SA Real Estate Securities Fund 72
SA Worldwide Moderate Growth Fund 74
Statements of Assets and Liabilities 76
Statements of Operations 78
Statements of Changes in Net Assets 80
Financial Highlights 87
Notes to Financial Statements 97
Report of Independent Registered Public Accounting Firm 114
Additional Information 115
Item 8. Changes in and Disagreements with Accountants 115
Item 9. Proxy Disclosures 115
Item 10. Remuneration Paid to Directors, Officers, and Others 116
Item 11. Statement Regarding the Basis for the Board’s Approval of Investment Advisory Contracts 116
Trustees and Officers’ Information 121
Tax Information Notice 124

 

 

Table of Contents 

 

SA U.S. Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025

 

   FACE     
   AMOUNT   VALUE† 
           
YANKEE CORPORATE BONDS AND NOTES — 14.7%          
Consumer, Cyclical — 0.1%          
Magna International, Inc., 5.500%, 3/21/33  $400,000   $409,871 
           
Consumer, Non-cyclical — 1.0%          
Ashtead Capital, Inc., 5.550%, 5/30/33 ±   1,480,000    1,497,759 
BAT Capital Corp., 6.000%, 2/20/34   3,000,000    3,163,728 
         4,661,487 
           
Financial — 7.6%          
Australia & New Zealand Banking Group Ltd., SOFR + 0.560%, 4.973%, 3/18/26 ±‡   12,803,000    12,819,243 
Commonwealth Bank of Australia, SOFR + 0.400%, 4.743%, 7/07/25 ±‡   1,950,000    1,950,106 
Cooperatieve Rabobank UA, SOFR + 0.700%, 5.048%, 7/18/25 ‡   1,109,000    1,109,241 
Cooperatieve Rabobank UA, SOFR + 0.710%, 5.100%, 3/05/27 ‡   9,500,000    9,536,681 
Credit Agricole SA, SOFR + 0.870%, 5.266%, 3/11/27 ±‡   572,000    573,105 
Credit Agricole SA, 5.514%, 7/05/33 ±   400,000    418,249 
Nordea Bank Abp, 0.750%, 8/28/25 ±   680,000    675,948 
Westpac Banking Corp., SOFR + 0.420%, 4.769%, 4/16/26 ‡   2,300,000    2,300,690 
Westpac Banking Corp., SOFR + 0.720%, 5.096%, 11/17/25 ‡   5,000,000    5,006,502 
         34,389,765 
           
Government — 6.0%          
African Development Bank, 3.375%, 7/07/25   5,974,000    5,972,848 
European Investment Bank, SOFR + 0.320%, 4.682%, 8/14/29 ‡   5,000,000    5,005,692 
Inter-American Development Bank, SOFR + 0.370%, 4.726%, 8/01/29 ‡   4,000,000    4,004,491 
Kommunalbanken AS, SOFR + 0.400%, 4.785%, 3/03/28 ±‡   5,000,000    5,005,150 
Province of Ontario Canada, 4.200%, 1/18/29   3,000,000    3,031,642 
Svensk Exportkredit AB, SOFR + 1.000%, 5.358%, 8/03/26 ‡  1,600,000   1,612,835 
Svensk Exportkredit AB, SOFR + 1.000%, 5.359%, 5/05/27 ‡   2,500,000    2,530,518 
         27,163,176 
           
TOTAL YANKEE CORPORATE BONDS AND NOTES
(Identified Cost $66,305,896)
        66,624,299 
           
CORPORATE BONDS AND NOTES — 47.0%          
Basic Materials — 0.6%          
LYB International Finance III LLC, 5.500%, 3/01/34   2,000,000    1,998,022 
Nucor Corp., 3.125%, 4/01/32   1,000,000    911,516 
         2,909,538 
           
Communications — 2.5%          
Amazon.com, Inc., 3.600%, 4/13/32   4,719,000    4,519,626 
Comcast Corp., 4.250%, 1/15/33   3,500,000    3,383,467 
Meta Platforms, Inc., 4.550%, 8/15/31   400,000    405,592 
Meta Platforms, Inc., 4.950%, 5/15/33   3,000,000    3,077,686 
         11,386,371 
           
Consumer, Cyclical — 3.0%          
American Honda Finance Corp., SOFR + 0.600%, 4.968%, 8/14/25 ‡   340,000    340,154 
Costco Wholesale Corp., 1.750%, 4/20/32   5,000,000    4,280,505 
Hyatt Hotels Corp., 5.375%, 12/15/31   2,600,000    2,631,404 
Walmart, Inc., SOFR + 0.430%, 4.785%, 4/28/27 ‡   6,213,000    6,233,970 
         13,486,033 
           
Consumer, Non-cyclical — 8.6%          
Cargill, Inc., 4.000%, 6/22/32 ±   2,000,000    1,920,360 
Cigna Group (The), 5.250%, 2/15/34   3,000,000    3,049,649 
Elevance Health, Inc., 4.100%, 5/15/32   151,000    145,095 
Nestle Capital Corp., 4.875%, 3/12/34 ±   9,000,000    9,113,697 
Novartis Capital Corp., 4.000%, 9/18/31   5,000,000    4,925,046 
Philip Morris International, Inc., 5.250%, 2/13/34   3,000,000    3,061,264 

 

The accompanying notes are an integral part of these financial statements.

 

1

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SA U.S. Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025 (Continued)

 

   FACE     
   AMOUNT   VALUE† 
           
CORPORATE BONDS AND NOTES (Continued)          
Consumer, Non-cyclical (Continued)          
Procter & Gamble Co. (The), 4.550%, 1/29/34  $4,000,000   $4,015,955 
Roche Holdings, Inc., 4.909%, 3/08/31 ±   5,400,000    5,535,980 
Roche Holdings, Inc., SOFR + 0.740%, 5.106%, 11/13/26 ±‡   900,000    906,328 
Roche Holdings, Inc., 5.593%, 11/13/33 ±   6,000,000    6,364,919 
         39,038,293 
           
Energy — 2.4%          
BP Capital Markets America, Inc., 4.812%, 2/13/33   1,000,000    999,300 
BP Capital Markets America, Inc., 4.893%, 9/11/33   2,500,000    2,507,612 
Chevron USA, Inc., SOFR + 0.360%, 4.739%, 2/26/27 ‡   459,000    460,226 
Chevron USA, Inc., SOFR + 0.470%, 4.849%, 2/26/28 ‡   6,744,000    6,775,429 
Phillips 66 Co., 5.300%, 6/30/33   110,000    111,189 
         10,853,756 
           
Financial — 21.7%          
Allstate Corp. (The), 5.250%, 3/30/33   400,000    410,424 
American Express Co., SOFR + 0.650%, 5.009%, 11/04/26 ‡   1,500,000    1,503,096 
American National Group, Inc., 6.144%, 6/13/32 ±   1,100,000    1,128,576 
Americold Realty Operating Partnership LP, 5.600%, 5/15/32   2,000,000    2,010,131 
Ameriprise Financial, Inc., 5.150%, 5/15/33   1,000,000    1,027,689 
Assurant, Inc., 2.650%, 1/15/32   2,000,000    1,705,875 
Assured Guaranty U.S. Holdings, Inc., 3.150%, 6/15/31   1,900,000    1,756,593 
Bank of America NA, SOFR + 1.020%, 5.390%, 8/18/26 ‡   2,500,000    2,516,146 
Bank of New York Mellon Corp. (The), 2.050%, 1/26/27   5,000,000    4,848,924 
Bank of New York Mellon Corp. (The), 2.500%, 1/26/32   400,000    353,056 
BlackRock Funding, Inc., 5.000%, 3/14/34   4,000,000    4,088,975 
Blackrock, Inc., 1.900%, 1/28/31   5,800,000    5,102,823 
Camden Property Trust, 4.900%, 1/15/34   1,500,000    1,504,095 
Charles Schwab Corp. (The), 2.900%, 3/03/32   1,000,000    900,614 
Citibank NA, SOFR + 1.060%, 5.449%, 12/04/26 ‡  2,000,000   2,014,998 
CNA Financial Corp., 5.125%, 2/15/34   3,000,000    3,007,105 
EPR Properties, 3.600%, 11/15/31   2,700,000    2,453,727 
Jefferies Financial Group, Inc., 6.200%, 4/14/34   2,000,000    2,093,436 
JPMorgan Chase Bank NA, SOFR + 1.000%, 5.391%, 12/08/26 ‡   13,000,000    13,109,255 
Lincoln National Corp., 5.852%, 3/15/34   2,800,000    2,883,118 
Mastercard, Inc., 2.000%, 11/18/31   771,000    672,202 
Mastercard, Inc., 4.350%, 1/15/32   7,600,000    7,571,854 
Mid-America Apartments LP, 5.000%, 3/15/34   2,400,000    2,417,985 
Mid-America Apartments LP, 5.300%, 2/15/32   1,000,000    1,033,911 
Morgan Stanley Bank NA, SOFR + 1.165%, 5.524%, 10/30/26 ‡   4,000,000    4,027,247 
National Securities Clearing Corp., 0.750%, 12/07/25 ±   614,000    604,179 
National Securities Clearing Corp., SOFR + 0.570%, 4.943%, 5/20/27 ±‡   1,000,000    1,002,369 
Public Storage Operating Co., SOFR + 0.700%, 5.047%, 4/16/27 ‡   2,000,000    2,007,721 
Realty Income Corp., 2.850%, 12/15/32   2,900,000    2,541,857 
Realty Income Corp., 5.125%, 2/15/34   1,000,000    1,011,541 
Simon Property Group LP, 5.500%, 3/08/33   1,000,000    1,044,721 
State Street Bank & Trust Co., SOFR + 0.460%, 4.837%, 11/25/26 ‡   450,000    450,477 
State Street Corp., SOFR + 0.640%, 4.990%, 10/22/27 ‡   520,000    519,476 
State Street Corp., SOFR + 0.845%, 5.205%, 8/03/26 ‡   4,000,000    4,026,479 
Store Capital LLC, 5.400%, 4/30/30 ±   2,000,000    2,026,855 
Wells Fargo Bank NA, 5.254%, 12/11/26   4,500,000    4,566,219 
Wells Fargo Bank NA, SOFR + 1.060%, 5.421%, 8/07/26 ‡   2,924,000    2,943,648 
Wells Fargo Bank NA, 5.450%, 8/07/26   5,000,000    5,064,490 
         97,951,887 
           
Industrial — 1.8%          
Amphenol Corp., 5.250%, 4/05/34   600,000    618,255 
Avnet, Inc., 5.500%, 6/01/32   3,000,000    3,029,647 

 

The accompanying notes are an integral part of these financial statements.

 

2

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SA U.S. Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025 (Continued)

 

   FACE     
   AMOUNT   VALUE† 
           
CORPORATE BONDS AND NOTES (Continued)          
Industrial (Continued)          
Caterpillar Financial Services Corp., SOFR + 0.520%, 4.908%, 3/03/28 ‡  $3,105,000   $3,109,387 
Stanley Black & Decker, Inc., 3.000%, 5/15/32   1,400,000    1,230,998 
         7,988,287 
           
Technology — 3.8%          
Accenture Capital, Inc., 4.500%, 10/04/34   5,000,000    4,868,570 
IBM International Capital Pte. Ltd., 4.900%, 2/05/34   3,000,000    2,996,597 
Intel Corp., 5.150%, 2/21/34   2,000,000    1,996,502 
Texas Instruments, Inc., 1.900%, 9/15/31   8,401,000    7,330,419 
         17,192,088 
           
Utilities — 2.6%          
Eversource Energy, 5.500%, 1/01/34   2,000,000    2,038,121 
Georgia Power Co., 5.250%, 3/15/34   2,600,000    2,653,382 
NextEra Energy Capital Holdings, Inc., 5.250%, 3/15/34   3,000,000    3,030,272 
NextEra Energy Capital Holdings, Inc., 5.300%, 3/15/32   1,000,000    1,030,920 
Virginia Electric & Power Co., 5.000%, 1/15/34   3,000,000    3,007,431 
         11,760,126 
           
TOTAL CORPORATE BONDS AND NOTES
(Identified Cost $209,410,619)
        212,566,379 
           
U.S. GOVERNMENT & AGENCY OBLIGATIONS — 35.8%          
Sovereign — 0.5%          
Federal Home Loan Mortgage Corp., SOFR + 0.220%, 4.610%, 5/23/28 ‡   2,339,000    2,340,906 
           
U.S. Treasury Securities — 35.3%          
U.S. Treasury Floating Rate Notes, 3 mo. Treasury Money Market Yield + 0.125%, 4.406%, 7/31/25 ‡   20,000,000    19,998,294 
U.S. Treasury Floating Rate Notes, 3 mo. Treasury Money Market Yield + 0.160%, 4.441%, 4/30/27 ‡   25,000,000    24,999,966 
U.S. Treasury Floating Rate Notes, 3 mo. Treasury Money Market Yield + 0.170%, 4.451%, 10/31/25 ‡   20,000,000    20,007,303 
U.S. Treasury Floating Rate Notes, 3 mo. Treasury Money Market Yield + 0.245%, 4.526%, 1/31/26 ‡  6,750,000   6,757,599 
U.S. Treasury Inflation-Indexed Notes, 0.125%, 7/15/26   22,748,890    22,553,642 
U.S. Treasury Inflation-Indexed Notes, 0.125%, 10/15/26   23,476,800    23,208,867 
U.S. Treasury Inflation-Indexed Notes, 0.125%, 4/15/27   23,857,260    23,360,884 
U.S. Treasury Inflation-Indexed Notes, 0.375%, 7/15/27   19,013,415    18,758,654 
         159,645,209 
           
TOTAL U.S. GOVERNMENT & AGENCY OBLIGATIONS
(Identified Cost $162,149,581)
        161,986,115 
           
    SHARES      
           
SHORT-TERM INVESTMENTS — 1.6%          
Investment Company — 1.6%          
State Street Institutional U.S. Government Money Market Fund 4.020%   7,299,859    7,299,859 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $7,299,859)
        7,299,859 
           
Total Investments — 99.1%
(Identified Cost $445,165,955)
        448,476,652 
Cash and Other Assets, Less Liabilities — 0.9%        4,055,094 
           
Net Assets — 100.0%       $452,531,746 

 

See Note 1
± 144A Securities. Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers. These securities have been deemed by the Fund to be liquid and at June 30, 2025 amounted to $51,542,824 or 11.39% of the net assets of the Fund.
Floating rate or variable rate note. Rate shown is as of June 30, 2025.

 

Key to abbreviations:
SOFR — Secured Overnight Financing Rate

 

The accompanying notes are an integral part of these financial statements.

 

3

Table of Contents 

 

SA Global Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025

 

       FACE
AMOUNT
   VALUE† 
                
BONDS AND NOTES — 99.6%               
Australia — 9.6%               
Australia & New Zealand Banking Group Ltd., (3-mo. Swap + 0.830%), 4.434%, 3/31/26 ‡   AUD    1,500,000   $990,918 
Australia & New Zealand Banking Group Ltd., (3-mo. Swap + 0.920%), 4.770%, 11/04/25 ‡   AUD    2,500,000    1,648,995 
Australia & New Zealand Banking Group Ltd., (3-mo. Swap + 0.970%), 4.770%, 5/12/27 ‡   AUD    500,000    331,737 
Australia & New Zealand Banking Group Ltd., (SOFR + 0.620%), 5.033%, 6/18/28 @±‡   USD    2,000,000    2,002,332 
Australia & New Zealand Banking Group Ltd., (3-mo. Swap + 1.200%), 5.050%, 11/04/27 ‡   AUD    500,000    333,597 
Australia & New Zealand Banking Group Ltd., (SOFR + 0.650%), 5.074%, 9/30/27 ±‡   USD    713,000    715,374 
Australia & New Zealand Banking Group Ltd., (SOFR + 0.810%), 5.160%, 1/18/27 ±‡   USD    1,900,000    1,909,927 
Commonwealth Bank of Australia, (3-mo. Swap + 0.750%), 4.558%, 8/17/26 ‡   AUD    500,000    330,530 
Commonwealth Bank of Australia, (3-mo. Swap + 0.800%), 4.608%, 8/18/25 ‡   AUD    2,000,000    1,317,488 
Commonwealth Bank of Australia, (SOFR + 0.400%), 4.743%, 7/07/25 ±‡   USD    3,548,000    3,548,193 
Commonwealth Bank of Australia, (3-mo. Swap + 0.700%), 4.748%, 1/14/27 ‡   AUD    1,000,000    660,493 
Commonwealth Bank of Australia, (SOFR + 0.460%), 4.847%, 11/27/26 ±‡   USD    2,750,000    2,754,747 
Commonwealth Bank of Australia, (3-mo. Swap + 0.900%), 4.948%, 1/13/26 ‡   AUD    6,200,000    4,093,589 
Commonwealth Bank of Australia, (SOFR + 0.630%), 5.036%, 9/12/25 ±‡   USD    233,000    233,183 
Commonwealth Bank of Australia, (SOFR + 0.640%), 5.048%, 3/14/28 ±‡   USD    2,160,000    2,167,626 
Commonwealth Bank of Australia, (3-mo. Swap + 1.150%), 5.198%, 1/13/28 ‡   AUD    1,500,000    1,000,247 
National Australia Bank Ltd., (3-mo. Swap + 0.780%), 4.580%, 5/12/26 ‡   AUD    1,500,000   991,154 
National Australia Bank Ltd., (3-mo. Swap + 0.920%), 4.630%, 11/25/25 ‡   AUD    2,500,000    1,649,423 
National Australia Bank Ltd., (3-mo. Swap + 1.200%), 4.910%, 11/25/27 ‡   AUD    500,000    333,580 
National Australia Bank Ltd., (SOFR + 0.620%), 5.024%, 6/11/27 ±‡   USD    5,969,000    5,991,190 
National Australia Bank Ltd., (SOFR + 0.650%), 5.057%, 6/13/28 ±‡   USD    2,200,000    2,204,073 
National Australia Bank Ltd., (SOFR + 0.790%), 5.136%, 1/14/30 ±‡   USD    2,000,000    2,012,611 
New South Wales Treasury Corp., 1.750%, 3/20/34   AUD    4,000,000    2,081,124 
Queensland Treasury Corp., 1.750%, 7/20/34   AUD    4,500,000    2,298,764 
Treasury Corp. of Victoria, 2.250%, 9/15/33   AUD    6,000,000    3,311,588 
Westpac Banking Corp., (3-mo. Swap + 0.750%), 4.547%, 2/16/26 ‡   AUD    1,000,000    659,875 
Westpac Banking Corp., (3-mo. Swap + 0.700%), 4.596%, 1/25/27 ‡   AUD    1,000,000    660,566 
Westpac Banking Corp., (3-mo. Swap + 0.800%), 4.600%, 8/11/25 ‡   AUD    6,000,000    3,951,914 
Westpac Banking Corp., (3-mo. Swap + 0.950%), 4.750%, 11/11/25 ‡   AUD    1,400,000    923,723 
Westpac Banking Corp., (3-mo. Swap + 0.980%), 4.777%, 2/16/28 ‡   AUD    500,000    332,010 
Westpac Banking Corp., (3-mo. Swap + 1.230%), 5.030%, 11/11/27 ‡   AUD    1,500,000    1,001,816 
              52,442,387 
                
Belgium — 2.2%               
Kingdom of Belgium Government Bonds, 2.850%, 10/22/34   EUR    2,800,000    3,241,708 
Ministeries Van de Vlaamse Gemeenschap, 3.125%, 6/22/34   EUR    7,300,000    8,557,539 
              11,799,247 
                
Canada — 17.5%               
CPPIB Capital, Inc., 4.300%, 6/02/34   CAD    10,000,000    7,664,483 
CPPIB Capital, Inc., (SOFR + 1.250%), 5.641%, 3/11/26 ±‡   USD    250,000    251,706 

 

The accompanying notes are an integral part of these financial statements.

 

4

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SA Global Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025 (Continued)

 

       FACE
AMOUNT
   VALUE† 
                
BONDS AND NOTES (Continued)               
Canada (Continued)               
OMERS Finance Trust, 3.250%, 1/28/35   EUR    2,000,000   $2,347,067 
Province of Alberta Canada, 3.125%, 10/16/34   EUR    2,500,000    2,935,625 
Province of Alberta Canada, 4.150%, 6/01/33   CAD    12,800,000    9,784,154 
Province of British Columbia Canada, 4.150%, 6/18/34   CAD    18,300,000    13,864,620 
Province of Manitoba Canada, 3.800%, 6/02/33   CAD    9,000,000    6,694,857 
Province of Manitoba Canada, 4.250%, 6/02/34   CAD    11,000,000    8,372,658 
Province of Manitoba Canada, 4.850%, 8/28/34   AUD    2,000,000    1,315,734 
Province of Ontario Canada, 3.650%, 6/02/33   CAD    14,000,000    10,340,055 
Province of Ontario Canada, 4.150%, 6/02/34   CAD    6,600,000    5,003,597 
Province of Ontario Canada, 5.350%, 5/08/34   AUD    2,000,000    1,368,176 
Province of Quebec Canada, 3.600%, 9/01/33   CAD    5,000,000    3,668,919 
Province of Quebec Canada, 4.450%, 9/01/34   CAD    10,000,000    7,730,252 
Province of Saskatchewan Canada, 3.300%, 5/08/34   EUR    6,600,000    7,838,052 
PSP Capital, Inc., 3.250%, 7/02/34   EUR    5,000,000    5,913,668 
              95,093,623 
                
Denmark — 2.1%               
Novo Nordisk Finance Netherlands BV, 3.375%, 5/21/34   EUR    9,400,000    11,184,878 
                
Finland — 2.7%               
Kuntarahoitus OYJ, 0.250%, 2/25/32   EUR    2,000,000    2,006,848 
Kuntarahoitus OYJ, (SOFR + 1.000%), 5.359%, 2/02/29 ‡   USD    7,500,000    7,647,309 
Nordea Bank Abp, (SOFR + 0.740%), 5.145%, 3/19/27 ±‡   USD    5,000,000    5,026,401 
              14,680,558 
                
France — 8.7%               
Agence Francaise de Developpement EPIC, 3.000%, 1/17/34   EUR    5,000,000    5,786,035 
Agence France Locale, 3.125%, 3/20/34   EUR    14,500,000    16,924,132 
Bpifrance SACA, 3.375%, 5/25/34   EUR    7,000,000    8,300,735 
Caisse des Depots et Consignations, (SOFR + 0.340%), 4.699%, 5/03/26 ‡   USD    4,800,000   4,797,183 
Gestion Securite de Stocks Securite SA, 3.000%, 11/25/31   EUR    1,000,000    1,178,457 
LVMH Moet Hennessy Louis Vuitton SE, 2.625%, 3/07/29   EUR    3,000,000    3,533,605 
Regie Autonome des Transports Parisiens EPIC, 3.250%, 4/11/33   EUR    1,000,000    1,178,318 
Societe Des Grands Projets EPIC, 1.125%, 5/25/34   EUR    2,000,000    1,975,214 
Societe Nationale SNCF SACA, 3.375%, 5/25/33   EUR    3,000,000    3,585,175 
              47,258,854 
                
Germany — 0.3%               
Deutsche Boerse AG, 3.875%, 9/28/33   EUR    1,300,000    1,600,989 
                
Netherlands — 3.1%               
BNG Bank NV, 2.750%, 8/28/34   EUR    5,000,000    5,796,730 
Cooperatieve Rabobank UA, (3-mo. Swap + 0.880%), 4.610%, 5/22/26 ‡   AUD    700,000    462,488 
Cooperatieve Rabobank UA, (SOFR + 0.710%), 5.100%, 3/05/27 ‡   USD    500,000    501,931 
Cooperatieve Rabobank UA, (SOFR + 0.900%), 5.242%, 10/05/26 ‡   USD    1,110,000    1,116,953 
Enexis Holding NV, 0.625%, 6/17/32   EUR    2,250,000    2,249,168 
Enexis Holding NV, 0.750%, 7/02/31   EUR    4,000,000    4,146,586 
Enexis Holding NV, 3.625%, 6/12/34   EUR    2,000,000    2,415,867 
              16,689,723 
                
New Zealand — 3.5%               
New Zealand Government Bonds, 2.000%, 5/15/32   NZD    30,000,000    15,888,507 
New Zealand Local Government Funding Agency Bonds, 5.000%, 3/08/34   AUD    4,500,000    3,010,514 
              18,899,021 
                
Norway — 2.8%               
Kommunalbanken AS, (SOFR + 1.000%), 5.397%, 6/17/26 ‡   USD    15,300,000    15,398,436 
                
Singapore — 2.0%               
DBS Group Holdings Ltd., (SOFR + 0.600%), 5.010%, 3/21/28 ±‡   USD    3,400,000    3,407,249 

 

The accompanying notes are an integral part of these financial statements.

 

5

Table of Contents 

 

SA Global Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025 (Continued)

 

       FACE
AMOUNT
   VALUE† 
                
BONDS AND NOTES (Continued)               
Singapore (Continued)               
DBS Group Holdings Ltd., (SOFR + 0.650%), 5.060%, 3/21/30 @‡   USD    5,100,000   $5,101,075 
United Overseas Bank Ltd., (3-mo. Swap + 0.590%), 4.486%, 10/27/25 ‡   AUD    3,500,000    2,305,622 
              10,813,946 
                
Supranational — 14.6%               
Asian Development Bank, (SOFR + 0.300%), 4.701%, 6/20/28 ‡   USD    2,000,000    1,998,407 
Asian Development Bank, 4.800%, 1/17/33   AUD    5,000,000    3,371,473 
Asian Development Bank, (SOFR + 1.000%), 5.340%, 4/06/27 ‡   USD    200,000    202,631 
Asian Development Bank, (SOFR + 1.000%), 5.376%, 8/27/26 ‡   USD    2,896,000    2,923,813 
Asian Infrastructure Investment Bank (The), (SOFR + 0.620%), 4.986%, 8/16/27 ‡   USD    5,000,000    5,032,859 
European Bank for Reconstruction & Development, (SOFR + 0.190%), 4.535%, 4/14/26 ‡   USD    3,126,000    3,125,165 
European Bank for Reconstruction & Development, (SOFR + 0.330%), 4.699%, 2/20/28 ‡   USD    10,000,000    10,009,253 
European Investment Bank, (SOFR + 0.320%), 4.682%, 8/14/29 ‡@   USD    2,000,000    2,002,277 
European Investment Bank, (SOFR + 1.000%), 5.375%, 5/21/28 ‡   USD    3,800,000    3,871,423 
European Union, 3.000%, 12/04/34   EUR    5,000,000    5,901,592 
Inter-American Development Bank, (SOFR + 0.280%), 4.625%, 4/12/27 ‡   USD    1,000,000    1,000,291 
Inter-American Development Bank, (SOFR + 0.270%), 4.671%, 3/20/28 ‡   USD    2,000,000    1,997,521 
Inter-American Development Bank, (SOFR + 0.350%), 4.690%, 10/05/28 ‡   USD    3,020,000    3,023,658 
Inter-American Development Bank, (SOFR + 0.350%), 4.692%, 10/04/27 ‡   USD    5,483,000    5,486,298 
Inter-American Development Bank, (SOFR + 0.370%), 4.726%, 8/01/29 ‡   USD    4,000,000    4,004,491 
International Bank for Reconstruction & Development, 4.200%, 4/21/33   AUD    2,000,000    1,293,384 
International Bank for Reconstruction & Development, (SOFR + 0.180%), 4.576%, 6/15/26 ‡   USD    1,500,000   1,499,497 
International Bank for Reconstruction & Development, (SOFR + 0.270%), 4.666%, 6/15/27 @‡   USD    8,500,000    8,501,551 
International Bank for Reconstruction & Development, (SOFR + 0.370%), 4.715%, 1/12/27 ‡   USD    1,000,000    1,001,896 
International Bank for Reconstruction & Development, (SOFR + 0.430%), 4.798%, 8/19/27 ‡   USD    3,650,000    3,662,758 
International Finance Corp., 3.635%, 8/26/33   AUD    500,000    310,091 
Nordic Investment Bank, (SOFR + 0.290%), 4.632%, 10/04/27 ±‡   USD    8,325,000    8,326,343 
Nordic Investment Bank, (SOFR + 1.000%), 5.361%, 5/12/26 ‡   USD    1,050,000    1,057,363 
              79,604,035 
                
Sweden — 0.9%               
Svensk Exportkredit AB, (SOFR + 1.000%), 5.358%, 8/03/26 ‡   USD    1,835,000    1,849,720 
Svensk Exportkredit AB, (SOFR + 1.000%), 5.359%, 5/05/27 ‡   USD    3,000,000    3,036,621 
              4,886,341 
                
United States — 29.6%               
Berkshire Hathaway Finance Corp., 2.000%, 3/18/34   EUR    10,000,000    10,613,908 
Blackrock, Inc., 4.750%, 5/25/33   USD    5,000,000    5,057,001 
Chevron USA, Inc., (SOFR + 0.470%), 4.849%, 2/26/28 ‡   USD    2,000,000    2,009,321 
Exxon Mobil Corp., 0.835%, 6/26/32   EUR    6,900,000    6,963,696 
Federal Farm Credit Banks Funding Corp., (SOFR + 0.120%), 4.510%, 7/10/26 ‡   USD    2,000,000    2,001,515 
Federal Farm Credit Banks Funding Corp., (SOFR + 0.130%), 4.520%, 8/12/26 ‡   USD    780,000    780,715 
Morgan Stanley Bank NA, (SOFR + 1.165%), 5.524%, 10/30/26 ‡   USD    5,250,000    5,285,762 

 

The accompanying notes are an integral part of these financial statements.

 

6

Table of Contents 

 

SA Global Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025 (Continued)

 

       FACE
AMOUNT
   VALUE† 
                
BONDS AND NOTES (Continued)               
United States (Continued)               
National Securities Clearing Corp., (SOFR + 0.570%), 4.943%, 5/20/27 ±‡   USD    1,500,000   $1,503,554 
Nestle Finance International Ltd., 2.875%, 1/14/32   EUR    102,000    120,063 
Procter & Gamble Co. (The), 3.200%, 4/29/34   EUR    4,500,000    5,350,294 
Roche Holdings, Inc., (SOFR + 0.740%), 5.106%, 11/13/26 ±‡   USD    1,050,000    1,057,383 
Sanofi SA, 2.750%, 3/11/31   EUR    5,200,000    6,091,711 
State Street Corp., (SOFR + 0.640%), 4.990%, 10/22/27 ‡   USD    3,560,000    3,556,412 
U.S. Treasury Inflation-Indexed Notes, 0.125%, 10/15/26   USD    25,237,560    24,949,532 
U.S. Treasury Inflation-Indexed Notes, 0.125%, 1/15/30   USD    12,467,200    11,769,777 
U.S. Treasury Inflation-Indexed Notes, 0.125%, 7/15/30   USD    17,514,840    16,459,280 
U.S. Treasury Inflation-Indexed Notes, 0.125%, 1/15/31   USD    13,554,200    12,564,343 
U.S. Treasury Inflation-Indexed Notes, 0.250%, 7/15/29   USD    16,301,870    15,659,232 
U.S. Treasury Inflation-Indexed Notes, 0.375%, 7/15/27   USD    25,569,765    25,227,155 
Visa, Inc., 2.000%, 6/15/29   EUR    3,000,000    3,458,808 
Wells Fargo Bank NA, (SOFR + 1.070%), 5.466%, 12/11/26 ‡   USD    385,000    388,079 
              160,867,541 
                
TOTAL BONDS AND NOTES
(Identified Cost $528,136,885)
             541,219,579 
         
   SHARES     
           
SHORT-TERM INVESTMENTS — 1.7%          
Investment Company — 1.2%          
State Street Institutional U.S. Government Money Market Fund 4.020%   6,650,224    6,650,224 
           
Collateral For Securities On Loan — 0.5%          
State Street Navigator Securities Lending Government Money Market Portfolio 4.350%   2,351,750    2,351,750 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $9,001,974)
       9,001,974 
           
Total Investments — 101.3%
(Identified Cost $537,138,859)
        550,221,553 
Liabilities in excess of Cash and Other Assets — (1.3%)        (6,932,029)
           
Net Assets — 100.0%       $543,289,524 

 

See Note 1
Floating rate or variable rate note. Rate shown is as of June 30, 2025.
@ A portion or all of the security was held on loan. As of June 30, 2025, the fair value of the securities on loan was $2,671,094.
± 144A Securities. Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers. These securities have been deemed by the Fund to be liquid and at June 30, 2025 amounted to $43,111,893 or 7.94% of the net assets of the Fund.

 

Key to abbreviations:
AUD — Australian Dollar
CAD — Canadian Dollar
EUR — Euro Currency
NOK — Norwegian Krone
NZD — New Zealand Dollar
SEK — Swedish Krona
SOFR — Secured Overnight Financing Rate
USD — U.S. Dollar

 

The accompanying notes are an integral part of these financial statements.

 

7

Table of Contents 

 

SA Global Fixed Income Fund

 

PORTFOLIO OF INVESTMENTS — AS OF June 30, 2025 (Continued)

 

Forward Foreign Currency Exchange Contracts sold outstanding as of June 30, 2025 

Settlement
Date
  Currency
Purchased
  Currency
Sold
  Counterparty  Total
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
 
07/02/25  USD  62,889,494  EUR  57,249,639  State Street Bank & Trust Co.  $67,437,249  $  $(4,547,755)
07/16/25  USD  22,853,052  AUD  35,889,731  State Street Bank & Trust Co.   23,626,173      (773,122)
07/22/25  USD  6,283,580  SEK  60,722,105  State Street Bank & Trust Co.   6,426,500      (142,920)
07/24/25  USD  48,596,807  EUR  42,511,064  State Street Bank & Trust Co.   50,148,678      (1,551,871)
07/25/25  USD  8,039,180  NZD  13,400,232  State Street Bank & Trust Co.   8,174,067      (134,887)
07/28/25  USD  27,478,464  AUD  42,993,685  State Street Bank & Trust Co.   28,309,540      (831,076)
08/01/25  USD  58,162,823  EUR  49,484,596  State Street Bank & Trust Co.   58,405,990      (243,167)
08/07/25  USD  6,748,086  NOK  69,357,958  State Street Bank & Trust Co.   6,882,595      (134,508)
08/15/25  USD  20,471,440  EUR  17,735,355  State Street Bank & Trust Co.   20,952,199      (480,759)
08/26/25  USD  11,759,011  CAD  16,097,635  State Street Bank & Trust Co.   11,854,009      (94,998)
08/26/25  USD  9,018,411  NZD  15,079,228  State Street Bank & Trust Co.   9,208,301      (189,890)
08/29/25  USD  60,810,265  CAD  82,976,172  State Street Bank & Trust Co.   61,111,454      (301,189)
08/29/25  USD  13,010,956  EUR  11,320,187  State Street Bank & Trust Co.   13,385,851      (374,895)
                      $  $(9,801,037)

 

Forward Foreign Currency Exchange Contracts purchased outstanding as of June 30, 2025 

Settlement
Date
  Currency
Purchased
  Currency
Sold
  Counterparty  Total
Value
  Unrealized
Appreciation
  Unrealized
Depreciation
 
07/02/25  EUR  57,249,639  USD  66,883,302  State Street Bank & Trust Co.  $67,437,249  $553,947  $ 
07/22/25  SEK  60,722,105  USD  6,203,890  State Street Bank & Trust Co.   6,426,500   222,610    
07/28/25  AUD  14,204,931  USD  9,235,384  State Street Bank & Trust Co.   9,353,351   117,968    
08/07/25  NOK  69,357,958  USD  6,975,205  State Street Bank & Trust Co.   6,882,595      (92,610)
08/26/25  NZD  2,450,083  USD  1,460,668  State Street Bank & Trust Co.   1,496,171   35,502    
                      $930,027  $(92,610)
Total                     $930,027  $(9,893,647)

 

The accompanying notes are an integral part of these financial statements.

 

8

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025

 

   SHARES   VALUE† 
           
COMMON STOCKS — 95.5%          
Aerospace & Defense — 1.7%          
ATI, Inc. *   1,233   $106,457 
Axon Enterprise, Inc. *   500    413,970 
Boeing Co. (The) *   8,201    1,718,356 
BWX Technologies, Inc.   1,200    172,872 
Curtiss-Wright Corp.   374    182,718 
General Dynamics Corp.   2,545    742,275 
General Electric Co.   2,729    702,417 
HEICO Corp.   574    188,272 
HEICO Corp., Class A   576    149,040 
Howmet Aerospace, Inc.   1,946    362,209 
Huntington Ingalls Industries, Inc.   544    131,354 
L3Harris Technologies, Inc.   1,258    315,557 
Lockheed Martin Corp.   4,139    1,916,936 
Moog, Inc., Class A   182    32,937 
Northrop Grumman Corp.   1,347    673,473 
RTX Corp.   13,121    1,915,928 
Textron, Inc.   2,582    207,309 
TransDigm Group, Inc.   738    1,122,232 
Woodward, Inc.   586    143,623 
         11,197,935 
           
Air Freight & Logistics — 0.4%          
CH Robinson Worldwide, Inc.   2,534    243,138 
Expeditors International of Washington, Inc.   2,033    232,270 
FedEx Corp.   4,493    1,021,304 
United Parcel Service, Inc., Class B   14,446    1,458,179 
         2,954,891 
           
Automobile Components — 0.1%          
Aptiv PLC *   2,924    199,475 
Autoliv, Inc.   1,465    163,934 
BorgWarner, Inc.   3,685    123,374 
         486,783 
           
Automobiles — 1.0%          
Ford Motor Co.   8,430    91,466 
General Motors Co.   6,389    314,403 
Rivian Automotive, Inc., Class A *@   3,399    46,702 
Tesla, Inc. *   19,044    6,049,517 
         6,502,088 
           
Beverages — 1.3%          
Brown-Forman Corp., Class B @   4,083    109,874 
Celsius Holdings, Inc. *   1,188    55,111 
Coca-Cola Co. (The)   57,587    4,074,280 
Coca-Cola Consolidated, Inc.   1,320    147,378 
Constellation Brands, Inc., Class A   1,757    285,829 
Keurig Dr Pepper, Inc.   3,375    111,577 
Molson Coors Beverage Co., Class B   1,400    67,326 
Monster Beverage Corp. *   8,929    559,313 
PepsiCo, Inc.   26,459    3,493,646 
         8,904,334 
           
Biotechnology — 2.2%          
AbbVie, Inc.   34,699   6,440,828 
Alnylam Pharmaceuticals, Inc. *   1,198    390,656 
Amgen, Inc.   11,547    3,224,038 
Biogen, Inc. *   1,615    202,828 
BioMarin Pharmaceutical, Inc. *   1,169    64,260 
Exact Sciences Corp. *   1,421    75,512 
Exelixis, Inc. *   3,578    157,700 
Gilead Sciences, Inc.   20,378    2,259,309 
GRAIL, Inc. *@   262    13,472 
Halozyme Therapeutics, Inc. *   3,014    156,788 
Incyte Corp. *   894    60,881 
Insmed, Inc. *   516    51,930 
Moderna, Inc. *   1,128    31,122 
Natera, Inc. *   327    55,243 
Neurocrine Biosciences, Inc. *   608    76,420 
Regeneron Pharmaceuticals, Inc.   639    335,475 
United Therapeutics Corp. *   544    156,319 
Vertex Pharmaceuticals, Inc. *   2,429    1,081,391 
         14,834,172 
           
Broadline Retail — 4.2%          
Amazon.com, Inc. *   125,219    27,471,796 
Coupang, Inc. *   6,806    203,908 
eBay, Inc.   6,141    457,259 
Etsy, Inc. *   1,250    62,700 
Ollie’s Bargain Outlet Holdings, Inc. *   691    91,060 
         28,286,723 
           
Building Products — 0.6%          
A.O. Smith Corp.   1,521    99,732 
AAON, Inc.   253    18,659 
Advanced Drainage Systems, Inc.   200    22,972 
Allegion PLC   2,478    357,129 
Armstrong World Industries, Inc.   243    39,473 
AZEK Co., Inc. (The) *   968    52,611 
Builders FirstSource, Inc. *   2,521    294,176 
Carlisle Cos., Inc.   646    241,216 
Carrier Global Corp.   5,139    376,123 
Fortune Brands Innovations, Inc.   1,834    94,414 
Johnson Controls International PLC   580    61,260 
Lennox International, Inc.   638    365,727 
Masco Corp.   4,275    275,139 
Owens Corning   1,257    172,863 
Simpson Manufacturing Co., Inc.   116    18,016 
Trane Technologies PLC   3,115    1,362,532 
Trex Co., Inc. *   2,464    133,992 
UFP Industries, Inc.   812    80,680 
Zurn Elkay Water Solutions Corp.   642    23,478 
         4,090,192 

The accompanying notes are an integral part of these financial statements.

9

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Capital Markets — 2.7%          
Affiliated Managers Group, Inc.   600   $118,062 
Ameriprise Financial, Inc.   1,564    834,754 
Ares Management Corp., Class A   1,606    278,159 
Bank of New York Mellon Corp. (The)   4,707    428,855 
Blackrock, Inc.   1,265    1,327,301 
Blackstone, Inc.   6,683    999,643 
Carlyle Group, Inc. (The)   1,219    62,657 
Cboe Global Markets, Inc.   1,028    239,740 
Charles Schwab Corp. (The)   14,444    1,317,871 
CME Group, Inc.   2,477    682,711 
Coinbase Global, Inc., Class A *   739    259,012 
Evercore, Inc., Class A   400    108,008 
FactSet Research Systems, Inc.   506    226,324 
Franklin Resources, Inc.   2,732    65,158 
Goldman Sachs Group, Inc. (The)   2,257    1,597,392 
Hamilton Lane, Inc., Class A   723    102,753 
Houlihan Lokey, Inc.   916    164,834 
Interactive Brokers Group, Inc., Class A   3,848    213,218 
Intercontinental Exchange, Inc.   3,821    701,039 
Invesco Ltd.   2,611    41,175 
Janus Henderson Group PLC   1,850    71,854 
Jefferies Financial Group, Inc.   1,620    88,598 
KKR & Co., Inc.   5,286    703,197 
LPL Financial Holdings, Inc.   1,322    495,710 
MarketAxess Holdings, Inc.   627    140,034 
Moody’s Corp.   2,659    1,333,728 
Morgan Stanley   13,418    1,890,059 
Morningstar, Inc.   304    95,435 
MSCI, Inc.   1,016    585,968 
Nasdaq, Inc.   3,887    347,576 
Northern Trust Corp.   1,618    205,146 
Raymond James Financial, Inc.   1,945    298,305 
Robinhood Markets, Inc., Class A *   1,886    176,586 
S&P Global, Inc.   2,070    1,091,490 
SEI Investments Co.   1,932    173,609 
State Street Corp.   1,628    173,121 
Stifel Financial Corp.   1,678    174,143 
T Rowe Price Group, Inc.   3,705    357,532 
Tradeweb Markets, Inc., Class A   325    47,580 
         18,218,337 
           
Chemicals — 1.2%          
Air Products & Chemicals, Inc.   2,422    683,149 
Albemarle Corp.   956    59,913 
Axalta Coating Systems Ltd. *   1,604    47,623 
Balchem Corp.   630   100,296 
Cabot Corp.   991    74,325 
Celanese Corp.   1,241    68,665 
CF Industries Holdings, Inc.   2,192    201,664 
Corteva, Inc.   5,428    404,549 
Dow, Inc.   4,511    119,451 
DuPont de Nemours, Inc.   1,434    98,358 
Eastman Chemical Co.   1,476    110,198 
Ecolab, Inc.   3,375    909,360 
Element Solutions, Inc.   3,767    85,323 
International Flavors & Fragrances, Inc.   2,270    166,958 
Linde PLC   4,857    2,278,807 
LyondellBasell Industries NV, Class A   4,468    258,518 
Mosaic Co. (The)   3,485    127,133 
PPG Industries, Inc.   3,241    368,664 
RPM International, Inc.   1,681    184,641 
Sherwin Williams Co. (The)   4,148    1,424,257 
Westlake Corp.   439    33,333 
         7,805,185 
           
Commercial Banks — 2.6%          
Bank of America Corp.   51,509    2,437,406 
BOK Financial Corp.   300    29,289 
Cadence Bank   2,969    94,949 
Citigroup, Inc.   5,386    458,456 
Citizens Financial Group, Inc.   454    20,317 
Comerica, Inc.   957    57,085 
Commerce Bancshares, Inc.   2,628    163,383 
Cullen/Frost Bankers, Inc.   699    89,849 
East West Bancorp, Inc.   1,781    179,845 
Fifth Third Bancorp   7,840    322,459 
First Citizens Bancshares, Inc., Class A   112    219,125 
First Financial Bankshares, Inc.   1,684    60,590 
First Horizon Corp.   3,862    81,874 
FNB Corp.   5,930    86,459 
Home BancShares, Inc.   1,840    52,366 
Huntington Bancshares, Inc.   7,352    123,220 
JPMorgan Chase & Co.   27,294    7,912,804 
KeyCorp   4,839    84,295 
M&T Bank Corp.   522    101,263 
Old National Bancorp   2,043    43,598 
Pinnacle Financial Partners, Inc.   731    80,710 
PNC Financial Services Group, Inc. (The)   2,775    517,316 
Popular, Inc.   1,642    180,965 
Prosperity Bancshares, Inc.   1,026    72,066 
Regions Financial Corp.   3,661    86,107 
SouthState Corp.   400    36,812 
Synovus Financial Corp.   1,811    93,719 
Truist Financial Corp.   3,912    168,177 
U.S. Bancorp   16,477    745,584 
UMB Financial Corp.   355    37,332 

The accompanying notes are an integral part of these financial statements.

10

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Commercial Banks (Continued)          
Webster Financial Corp.   377   $20,584 
Wells Fargo & Co.   31,501    2,523,860 
Western Alliance Bancorp   1,740    135,685 
Wintrust Financial Corp.   600    74,388 
Zions Bancorp NA   2,092    108,658 
         17,500,595 
           
Commercial Services & Supplies — 0.7%          
Casella Waste Systems, Inc., Class A *   549    63,344 
Cintas Corp.   5,991    1,335,214 
Clean Harbors, Inc. *   770    178,009 
Copart, Inc. *   8,667    425,290 
MSA Safety, Inc.   600    100,518 
Republic Services, Inc.   2,885    711,470 
Rollins, Inc.   4,629    261,168 
Tetra Tech, Inc.   3,200    115,072 
Veralto Corp.   2,108    212,802 
Waste Management, Inc.   6,609    1,512,271 
         4,915,158 
           
Communications Equipment — 0 .9%          
Arista Networks, Inc. *   10,520    1,076,301 
Ciena Corp. *   2,569    208,937 
Cisco Systems, Inc.   48,649    3,375,268 
F5, Inc. *   679    199,843 
Motorola Solutions, Inc.   2,888    1,214,288 
         6,074,637 
           
Computers & Peripherals — 5.1%          
Apple, Inc.   156,653    32,140,496 
Dell Technologies, Inc., Class C   3,734    457,788 
Hewlett Packard Enterprise Co.   6,204    126,872 
HP, Inc.   17,328    423,843 
NetApp, Inc.   4,285    456,567 
Pure Storage, Inc., Class A *   2,027    116,715 
Sandisk Corp. *   821    37,232 
Seagate Technology Holdings PLC   2,827    408,021 
Western Digital Corp. @   2,465    157,735 
         34,325,269 
           
Construction & Engineering — 0.2%          
AECOM   1,355    152,925 
API Group Corp. *   1,855    94,698 
Comfort Systems USA, Inc.   533    285,800 
EMCOR Group, Inc.   656    350,888 
Everus Construction Group, Inc. *   1    64 
Fluor Corp. *   831    42,605 
MasTec, Inc. *   736    125,436 
Quanta Services, Inc.   1,481    559,937 
Valmont Industries, Inc.   200    65,314 
         1,677,667 
           
Construction Materials — 0.1%          
CRH PLC   936    85,925 
Eagle Materials, Inc.   548    110,756 
Martin Marietta Materials, Inc.   602    330,474 
Vulcan Materials Co.   1,521    396,707 
         923,862 
           
Consumer Finance — 0.6%          
Ally Financial, Inc.   1,983    77,238 
American Express Co.   9,168    2,924,409 
Capital One Financial Corp.   4,202    894,017 
Credit Acceptance Corp. *@   86    43,811 
OneMain Holdings, Inc.   677    38,589 
SLM Corp.   800    26,232 
SoFi Technologies, Inc. *   6,056    110,280 
Synchrony Financial   2,776    185,270 
         4,299,846 
           
Consumer Staples Distribution & Retail — 2.5%          
Albertsons Cos., Inc., Class A   714    15,358 
BJ’s Wholesale Club Holdings, Inc. *   2,341    252,430 
Casey’s General Stores, Inc.   442    225,539 
Costco Wholesale Corp.   6,712    6,644,477 
Dollar General Corp.   4,801    549,138 
Dollar Tree, Inc. *   1,472    145,787 
Kroger Co. (The)   12,248    878,549 
Performance Food Group Co. *   1,336    116,860 
Sprouts Farmers Market, Inc. *   1,478    243,338 
Sysco Corp.   9,579    725,514 
Target Corp.   10,492    1,035,036 
U.S. Foods Holding Corp. *   1,600    123,216 
Walmart, Inc.   59,102    5,778,994 
         16,734,236 
           
Containers & Packaging — 0.3%          
Amcor PLC   32,254    296,414 
AptarGroup, Inc.   845    132,183 
Avery Dennison Corp.   2,232    391,649 
Ball Corp.   3,018    169,280 
Crown Holdings, Inc.   1,714    176,508 
Graphic Packaging Holding Co.   4,358    91,823 
International Paper Co.   4,336    203,055 
Packaging Corp. of America   1,211    228,213 
Silgan Holdings, Inc.   991    53,692 
Smurfit WestRock PLC   1    43 
         1,742,860 

The accompanying notes are an integral part of these financial statements.

11

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Distributors — 0.1%          
Genuine Parts Co.   2,179   $264,335 
LKQ Corp.   4,303    159,254 
Pool Corp. @   665    193,834 
         617,423 
           
Diversified Consumer Services — 0.1%          
ADT, Inc.   3,988    33,778 
Bright Horizons Family Solutions, Inc. *   639    78,974 
Duolingo, Inc. *   94    38,542 
H&R Block, Inc.   2,885    158,358 
Service Corp. International   2,254    183,476 
         493,128 
           
Diversified Telecommunication Services — 0.6%          
AT&T, Inc.   55,778    1,614,215 
Sunrise Communications AG, Class A, ADR @*   408    23,073 
Verizon Communications, Inc.   61,775    2,673,004 
         4,310,292 
           
Electric Utilities — 1.8%          
Alliant Energy Corp.   4,621    279,432 
American Electric Power Co., Inc.   8,417    873,348 
Constellation Energy Corp.   4,140    1,336,226 
Duke Energy Corp.   12,780    1,508,040 
Edison International   6,635    342,366 
Entergy Corp.   5,738    476,943 
Evergy, Inc.   3,652    251,732 
Eversource Energy   5,876    373,831 
Exelon Corp.   15,965    693,200 
FirstEnergy Corp.   8,176    329,166 
IDACORP, Inc.   647    74,696 
NextEra Energy, Inc.   26,939    1,870,105 
NRG Energy, Inc.   5,256    844,009 
OGE Energy Corp.   3,314    147,075 
PG&E Corp.   2,100    29,274 
Pinnacle West Capital Corp.   1,978    176,972 
PPL Corp.   9,200    311,788 
Southern Co. (The)   17,830    1,637,329 
Xcel Energy, Inc.   9,222    628,018 
         12,183,550 
           
Electrical Equipment — 0.7%          
Acuity, Inc.   354    105,612 
AMETEK, Inc.   2,307    417,475 
Eaton Corp. PLC   4,909    1,752,464 
Emerson Electric Co.   5,965    795,314 
GE Vernova, Inc.   682   360,880 
Generac Holdings, Inc. *   762    109,126 
Hubbell, Inc.   711    290,380 
NEXTracker, Inc., Class A *   947    51,488 
nVent Electric PLC   1,736    127,162 
Ralliant Corp. *   749    36,335 
Regal Rexnord Corp.   1,098    159,166 
Rockwell Automation, Inc.   1,487    493,937 
Vertiv Holdings Co., Class A   1,257    161,411 
         4,860,750 
           
Electronic Equipment, Instruments & Components — 0.8%          
Amphenol Corp., Class A   15,840    1,564,200 
Arrow Electronics, Inc. *   830    105,767 
Badger Meter, Inc.   331    81,078 
CDW Corp.   2,939    524,876 
Coherent Corp. *   812    72,438 
Corning, Inc.   8,949    470,628 
Fabrinet *   506    149,108 
Flex Ltd. *   5,442    271,665 
Jabil, Inc.   2,109    459,973 
Keysight Technologies, Inc. *   1,745    285,936 
TD SYNNEX Corp.   836    113,445 
TE Connectivity PLC   3,575    602,995 
Teledyne Technologies, Inc. *   315    161,378 
Trimble, Inc. *   1,892    143,754 
Vontier Corp.   3,024    111,586 
Zebra Technologies Corp., Class A *   374    115,327 
         5,234,154 
           
Energy Equipment & Services — 0.1%          
Baker Hughes Co.   3,464    132,810 
Halliburton Co.   2,470    50,339 
Schlumberger NV   9,537    322,350 
TechnipFMC PLC   4,963    170,926 
         676,425 
           
Entertainment — 1.6%          
Atlanta Braves Holdings, Inc., Class C *   58    2,713 
Electronic Arts, Inc.   2,343    374,177 
Liberty Media Corp.-Liberty Formula One, Class A *   2    190 
Liberty Media Corp.-Liberty Formula One, Class C *   1,723    180,054 
Liberty Media Corp.-Liberty Live, Class A *   328    26,069 
Liberty Media Corp.-Liberty Live, Class C *   367    29,786 
Live Nation Entertainment, Inc. *   2,466    373,056 
Madison Square Garden Sports Corp. *   279    58,297 

The accompanying notes are an integral part of these financial statements.

12

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Entertainment (Continued)          
Netflix, Inc. *   4,747   $6,356,850 
ROBLOX Corp., Class A *   2,017    212,188 
Spotify Technology SA *   572    438,918 
Take-Two Interactive Software, Inc. *   2,052    498,328 
TKO Group Holdings, Inc.   628    114,265 
Walt Disney Co. (The)   14,767    1,831,256 
Warner Bros Discovery, Inc. *   7,497    85,916 
Warner Music Group Corp., Class A   1,467    39,961 
         10,622,024 
           
Financial Services — 4.4%          
Affirm Holdings, Inc. *   1,361    94,100 
Apollo Global Management, Inc.   5,497    779,859 
Berkshire Hathaway, Inc., Class B *   12,209    5,930,766 
Block, Inc. *   2,239    152,095 
Corebridge Financial, Inc.   814    28,897 
Corpay, Inc. *   1,396    463,221 
Equitable Holdings, Inc.   7,584    425,462 
Essent Group Ltd.   700    42,511 
Euronet Worldwide, Inc. *   39    3,954 
Fidelity National Information Services, Inc.   5,177    421,460 
Fiserv, Inc. *   5,324    917,911 
Global Payments, Inc.   2,160    172,886 
Jack Henry & Associates, Inc.   953    171,702 
Jackson Financial, Inc., Class A   477    42,353 
MasterCard, Inc., Class A   15,945    8,960,133 
MGIC Investment Corp.   4,400    122,496 
PayPal Holdings, Inc. *   9,049    672,522 
Rocket Cos., Inc., Class A @   1,367    19,384 
Shift4 Payments, Inc., Class A *@   780    77,306 
Toast, Inc., Class A *   2,632    116,571 
Visa, Inc., Class A   28,029    9,951,696 
Voya Financial, Inc.   1,206    85,626 
         29,652,911 
           
Food Products — 0.5%          
Archer-Daniels-Midland Co.   455    24,015 
Bunge Global SA   836    67,114 
Campbell’s Co. (The)   2,104    64,488 
Conagra Brands, Inc.   1,972    40,367 
Flowers Foods, Inc.   2    32 
General Mills, Inc.   8,511    440,955 
Hershey Co. (The)   2,946    488,889 
Hormel Foods Corp.   3,316    100,309 
Ingredion, Inc.   866    117,447 
J.M. Smucker Co. (The)   1,268    124,517 
Kraft Heinz Co. (The)   3,268    84,380 
Lamb Weston Holdings, Inc.   3,492    181,060 
McCormick & Co., Inc.   2,892    219,271 
Mondelez International, Inc., Class A   11,759    793,027 
Pilgrim’s Pride Corp.   940    42,281 
Post Holdings, Inc. *   1,136   123,858 
Tyson Foods, Inc., Class A   2,688    150,367 
         3,062,377 
           
Gas Utilities — 0.1%          
Atmos Energy Corp.   2,360    363,700 
MDU Resources Group, Inc.   1    17 
National Fuel Gas Co.   1,600    135,536 
Southwest Gas Holdings, Inc.   300    22,317 
UGI Corp. @   2,799    101,939 
         623,509 
           
Ground Transportation — 0.9%          
CSX Corp.   30,853    1,006,733 
JB Hunt Transport Services, Inc.   1,094    157,099 
Knight-Swift Transportation Holdings, Inc.   2,249    99,473 
Norfolk Southern Corp.   2,236    572,349 
Old Dominion Freight Line, Inc.   2,534    411,268 
Ryder System, Inc.   259    41,181 
Saia, Inc. *   200    54,798 
U-Haul Holding Co.   1,188    64,592 
U-Haul Holding Co. *@   152    9,205 
Uber Technologies, Inc. *   9,836    917,699 
Union Pacific Corp.   9,813    2,257,775 
XPO, Inc. *   1,934    244,245 
         5,836,417 
           
Health Care Equipment & Supplies — 1.6%          
Abbott Laboratories   18,506    2,517,001 
ABIOMED, Inc. CVR ¶*§   350     
Align Technology, Inc. *   581    110,001 
Baxter International, Inc.   5,511    166,873 
Becton Dickinson & Co.   1,681    289,552 
Boston Scientific Corp. *   10,979    1,179,254 
Cooper Cos., Inc. (The) *   1,444    102,755 
Dexcom, Inc. *   3,076    268,504 
Edwards Lifesciences Corp. *   3,957    309,477 
Envista Holdings Corp. *   1    20 
GE HealthCare Technologies, Inc.   909    67,330 
Globus Medical, Inc., Class A *   57    3,364 
Hologic, Inc. *   2,522    164,333 
IDEXX Laboratories, Inc. *   1,317    706,360 
Insulet Corp. *   740    232,493 
Intuitive Surgical, Inc. *   1,973    1,072,148 
Lantheus Holdings, Inc. *@   438    35,855 
Medtronic PLC   9,595    836,396 
Merit Medical Systems, Inc. *   769    71,886 
Penumbra, Inc. *   300    76,989 
ResMed, Inc.   1,455    375,390 
Solventum Corp. *   3,287    249,286 
STERIS PLC   889    213,556 

The accompanying notes are an integral part of these financial statements.

13

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Health Care Equipment & Supplies (Continued)          
Stryker Corp.   3,389   $1,340,790 
Teleflex, Inc.   364    43,083 
Zimmer Biomet Holdings, Inc.   1,186    108,175 
         10,540,871 
           
Health Care Providers & Services — 1.6%          
Cardinal Health, Inc.   3,943    662,424 
Cencora, Inc.   2,652    795,202 
Centene Corp. *   3,666    198,991 
Chemed Corp.   339    165,069 
Cigna Group (The)   2,633    870,417 
CorVel Corp. *   300    30,834 
CVS Health Corp.   4,313    297,511 
DaVita, Inc. *   544    77,493 
Elevance Health, Inc.   2,219    863,102 
Encompass Health Corp.   1,356    166,286 
Ensign Group, Inc. (The)   687    105,977 
HCA Healthcare, Inc.   2,371    908,330 
HealthEquity, Inc. *   331    34,676 
Henry Schein, Inc. *@   1,827    133,462 
Humana, Inc.   1,186    289,953 
Labcorp Holdings, Inc.   579    151,993 
McKesson Corp.   1,644    1,204,690 
Molina Healthcare, Inc. *   831    247,555 
Quest Diagnostics, Inc.   980    176,038 
Tenet Healthcare Corp. *   1,281    225,456 
UnitedHealth Group, Inc.   8,939    2,788,700 
Universal Health Services, Inc., Class B   662    119,921 
         10,514,080 
           
Health Care Technology — 0.1%          
Doximity, Inc., Class A *   742    45,514 
Veeva Systems, Inc., Class A *   1,016    292,588 
         338,102 
           
Hotels, Restaurants & Leisure — 2.1%          
Airbnb, Inc., Class A *   1,780    235,565 
Aramark   2,445    102,372 
Booking Holdings, Inc.   427    2,472,005 
Brinker International, Inc. *   491    88,542 
Caesars Entertainment, Inc. *@   1,253    35,573 
Carnival Corp. *   2,589    72,803 
Chipotle Mexican Grill, Inc. *   21,150    1,187,572 
Choice Hotels International, Inc. @   413    52,401 
Churchill Downs, Inc.   1,048    105,848 
Darden Restaurants, Inc.   1,935    421,772 
Domino’s Pizza, Inc.   426    191,956 
DoorDash, Inc., Class A *   392    96,632 
DraftKings, Inc., Class A *   2,512    107,740 
Dutch Bros, Inc., Class A *   691    47,244 
Expedia Group, Inc.   2,025    341,577 
Hilton Worldwide Holdings, Inc.   3,388    902,360 
Hyatt Hotels Corp., Class A @   300    41,895 
Las Vegas Sands Corp.   3,185    138,579 
Light & Wonder, Inc. *   727    69,981 
Marriott International, Inc., Class A   3,059    835,749 
McDonald’s Corp.   9,357    2,733,835 
Norwegian Cruise Line Holdings Ltd. *   2,479    50,274 
Planet Fitness, Inc., Class A *   1,127    122,899 
Royal Caribbean Cruises Ltd.   2,550    798,507 
Starbucks Corp.   14,871    1,362,630 
Texas Roadhouse, Inc.   971    181,975 
Vail Resorts, Inc. @   666    104,649 
Wingstop, Inc.   324    109,104 
Wyndham Hotels & Resorts, Inc.   1,412    114,669 
Wynn Resorts Ltd. @   738    69,128 
Yum! Brands, Inc.   3,703    548,711 
         13,744,547 
           
Household Durables — 0.3%          
DR Horton, Inc.   2,791    359,816 
Garmin Ltd.   1,512    315,585 
Lennar Corp., Class A   1,950    215,689 
Lennar Corp., Class B @   72    7,578 
Mohawk Industries, Inc. *   600    62,904 
NVR, Inc. *   44    324,969 
PulteGroup, Inc.   2,304    242,980 
SharkNinja, Inc. *   397    39,299 
Somnigroup International, Inc. @   3,440    234,092 
Taylor Morrison Home Corp. *   1,243    76,345 
Toll Brothers, Inc.   1,295    147,798 
TopBuild Corp. *   500    161,870 
Whirlpool Corp. @   1,199    121,603 
         2,310,528 
           
Household Products — 1.2%          
Church & Dwight Co., Inc.   1,955    187,895 
Clorox Co. (The)   2,311    277,482 
Colgate-Palmolive Co.   12,032    1,093,709 
Kimberly-Clark Corp.   4,287    552,680 
Procter & Gamble Co. (The)   38,727    6,169,985 
         8,281,751 
           
Independent Power Producers & Energy Traders — 0.1%          
AES Corp. (The)   11,000    115,720 
Clearway Energy, Inc., Class C   2,400    76,800 
Ormat Technologies, Inc.   300    25,128 
Vistra Corp.   3,161    612,633 
         830,281 
           
Industrial Conglomerates — 0.5%          
3M Co.   5,998    913,135 
Honeywell International, Inc.   9,442    2,198,853 
         3,111,988 
           
Insurance — 2.1%          
Aflac, Inc.   4,376    461,493 
Allstate Corp. (The)   2,506    504,483 
American Financial Group, Inc.   429    54,144 

The accompanying notes are an integral part of these financial statements.

14

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Insurance (Continued)          
American International Group, Inc.   8,089   $692,338 
Aon PLC, Class A   4,021    1,434,532 
Arch Capital Group Ltd.   3,373    307,112 
Arthur J Gallagher & Co.   1,706    546,125 
Assurant, Inc.   793    156,610 
Axis Capital Holdings Ltd.   1,300    134,966 
Brown & Brown, Inc.   2,460    272,740 
Chubb Ltd.   3,276    949,123 
Cincinnati Financial Corp.   1,150    171,258 
Erie Indemnity Co., Class A   350    121,376 
Everest Group Ltd.   191    64,911 
F&G Annuities & Life, Inc.   306    9,786 
Fidelity National Financial, Inc.   2,857    160,163 
First American Financial Corp.   2,024    124,253 
Globe Life, Inc.   959    119,194 
Hanover Insurance Group, Inc. (The)   243    41,278 
Hartford Insurance Group, Inc. (The)   4,796    608,469 
Kinsale Capital Group, Inc.   257    124,362 
Lincoln National Corp.   1,449    50,135 
Loews Corp.   1,471    134,832 
Markel Group, Inc. *   100    199,736 
Marsh & McLennan Cos., Inc.   7,886    1,724,195 
MetLife, Inc.   4,850    390,037 
Old Republic International Corp.   2,863    110,054 
Primerica, Inc.   435    119,046 
Principal Financial Group, Inc.   2,619    208,027 
Progressive Corp. (The)   6,652    1,775,153 
Prudential Financial, Inc.   957    102,820 
Reinsurance Group of America, Inc.   649    128,736 
RenaissanceRe Holdings Ltd.   783    190,191 
RLI Corp.   1,020    73,664 
Selective Insurance Group, Inc.   829    71,833 
Travelers Cos., Inc. (The)   5,041    1,348,669 
Unum Group   1,700    137,292 
W R Berkley Corp.   3,002    220,557 
Willis Towers Watson PLC   1,050    321,825 
         14,365,518 
           
Interactive Media & Services — 7.6%          
Alphabet, Inc., Class A   70,180    12,367,821 
Alphabet, Inc., Class C   70,345    12,478,500 
Match Group, Inc.   2,359    72,870 
Meta Platforms, Inc., Class A   34,924    25,777,055 
         50,696,246 
           
IT Services — 1.5%          
Accenture PLC, Class A   8,280    2,474,809 
Akamai Technologies, Inc. *   1,909    152,262 
Amdocs Ltd.   2,260    206,202 
Cloudflare, Inc., Class A *   1,142    223,638 
Cognizant Technology Solutions Corp., Class A   4,925    384,298 
EPAM Systems, Inc. *   639    112,988 
Gartner, Inc. *   1,538    621,690 
GoDaddy, Inc., Class A *   2,137    384,788 
International Business Machines Corp.   16,047    4,730,335 
Kyndryl Holdings, Inc. *   900    37,764 
MongoDB, Inc. *   284    59,637 
Okta, Inc. *   1,243    124,263 
Snowflake, Inc., Class A *   834    186,624 
Twilio, Inc., Class A *   609    75,735 
VeriSign, Inc.   1,126    325,189 
         10,100,222 
           
Leisure Equipment & Products — 0.0%          
Hasbro, Inc.   2,087    154,062 
Mattel, Inc. *   2,404    47,407 
         201,469 
           
Life Sciences Tools & Services — 0.7%          
Agilent Technologies, Inc.   2,790    329,248 
Bio-Rad Laboratories, Inc., Class A *   223    53,814 
Bio-Techne Corp.   1,750    90,037 
Bruker Corp.   2,044    84,213 
Charles River Laboratories International, Inc. *   640    97,107 
Danaher Corp.   5,687    1,123,410 
ICON PLC *   70    10,181 
Illumina, Inc. *   1,155    110,199 
IQVIA Holdings, Inc. *   2,227    350,953 
Medpace Holdings, Inc. *   500    156,930 
Mettler-Toledo International, Inc. *   306    359,464 
Repligen Corp. *   355    44,155 
Revvity, Inc.   1,223    118,289 
Thermo Fisher Scientific, Inc.   2,491    1,010,001 
Waters Corp. *   991    345,899 
West Pharmaceutical Services, Inc.   759    166,069 
         4,449,969 
           
Machinery — 1.9%          
AGCO Corp.   932    96,145 
Allison Transmission Holdings, Inc.   1,376    130,706 
Caterpillar, Inc.   7,693    2,986,500 
Chart Industries, Inc. *   259    42,644 
CNH Industrial NV   6,879    89,152 
Crane Co.   560    106,338 
Cummins, Inc.   1,437    470,618 
Deere & Co.   3,381    1,719,205 
Donaldson Co., Inc.   2,651    183,847 
Dover Corp.   1,494    273,746 
Esab Corp.   564    67,990 
Federal Signal Corp.   808    85,987 
Flowserve Corp.   1,589    83,184 

The accompanying notes are an integral part of these financial statements.

15

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Machinery (Continued)          
Fortive Corp.   2,248   $117,188 
Franklin Electric Co., Inc.   300    26,922 
Graco, Inc.   1,969    169,275 
IDEX Corp.   881    154,677 
Illinois Tool Works, Inc.   6,432    1,590,312 
Ingersoll Rand, Inc.   2,640    219,595 
ITT, Inc.   917    143,813 
Lincoln Electric Holdings, Inc.   920    190,734 
Middleby Corp. (The) *   1,043    150,192 
Mueller Industries, Inc.   776    61,669 
Nordson Corp.   589    126,264 
Oshkosh Corp.   1,453    164,974 
Otis Worldwide Corp.   5,642    558,671 
PACCAR, Inc.   5,173    491,745 
Parker-Hannifin Corp.   1,277    891,946 
Pentair PLC   1,393    143,005 
RBC Bearings, Inc. *   421    162,001 
Snap-on, Inc.   632    196,666 
SPX Technologies, Inc. *   182    30,518 
Stanley Black & Decker, Inc.   1,936    131,164 
Toro Co. (The)   1,330    94,004 
Watts Water Technologies, Inc., Class A   400    98,356 
Westinghouse Air Brake Technologies Corp.   1,144    239,497 
Xylem, Inc.   1,764    228,191 
         12,717,441 
           
Marine Transportation — 0.0%          
Kirby Corp. *   322    36,518 
           
Media — 0.6%          
Charter Communications, Inc., Class A *@   1,915    782,871 
Comcast Corp., Class A   58,373    2,083,332 
Fox Corp. Class A   3,686    206,564 
Fox Corp., Class B   661    34,128 
GCI Liberty, Inc. *§   1,444     
Interpublic Group of Cos., Inc. (The)   6,061    148,373 
Liberty Broadband Corp., Class A *   39    3,815 
Liberty Broadband Corp., Class C *   1,043    102,610 
New York Times Co. (The), Class A   749    41,929 
News Corp., Class A   3,913    116,294 
News Corp., Class B @   1,525    52,323 
Omnicom Group, Inc.   4,831    347,542 
Paramount Global, Class A   616    14,137 
Paramount Global, Class B   1,143    14,745 
Sirius XM Holdings, Inc.   1,275    29,287 
Trade Desk, Inc. (The), Class A *   3,136    225,761 
         4,203,711 
           
Metals & Mining — 0.3%          
Alcoa Corp.   2,296    67,755 
Carpenter Technology Corp.   592    163,617 
Commercial Metals Co.   1,475    72,142 
Freeport-McMoRan, Inc.   6,585    285,460 
Newmont Corp.   4,649    270,851 
Nucor Corp.   1,511    195,735 
Reliance, Inc.   589    184,887 
Royal Gold, Inc.   1,115    198,291 
Southern Copper Corp.   1,839    186,052 
Steel Dynamics, Inc.   1,501    192,143 
         1,816,933 
           
Multi-Utilities — 0.7%          
Ameren Corp.   3,328    319,621 
CenterPoint Energy, Inc.   6,700    246,158 
CMS Energy Corp.   5,199    360,187 
Consolidated Edison, Inc.   5,063    508,072 
Dominion Energy, Inc.   13,388    756,690 
DTE Energy Co.   3,247    430,097 
NiSource, Inc.   5,791    233,609 
Public Service Enterprise Group, Inc.   8,415    708,375 
Sempra   5,686    430,828 
WEC Energy Group, Inc.   4,251    442,954 
         4,436,591 
           
Oil, Gas & Consumable Fuels — 2.4%          
Antero Midstream Corp.   3,600    68,220 
Antero Resources Corp. *   3,300    132,924 
Cheniere Energy, Inc.   3,667    892,988 
Chevron Corp.   14,873    2,129,665 
ConocoPhillips   17,157    1,539,669 
Coterra Energy, Inc.   8,623    218,852 
Devon Energy Corp.   4,928    156,760 
Diamondback Energy, Inc.   1,132    155,537 
DT Midstream, Inc.   1,111    122,110 
EOG Resources, Inc.   6,790    812,152 
EQT Corp.   3,800    221,616 
Expand Energy Corp.   2,016    235,751 
Exxon Mobil Corp.   44,247    4,769,827 
Hess Corp.   3,997    553,744 
HF Sinclair Corp.   2,161    88,774 
Kinder Morgan, Inc.   8,265    242,991 
Marathon Petroleum Corp.   2,105    349,661 
Matador Resources Co.   1,362    64,995 
Occidental Petroleum Corp.   12,838    539,324 
ONEOK, Inc.   6,204    506,432 
Ovintiv, Inc.   3,035    115,482 
Phillips 66   2,402    286,559 
Range Resources Corp.   3,129    127,256 
Targa Resources Corp.   1,997    347,638 
Texas Pacific Land Corp.   174    183,812 
Valero Energy Corp.   2,058    276,636 
Vitesse Energy, Inc.   190    4,197 
Williams Cos., Inc. (The)   11,984    752,715 
         15,896,287 

The accompanying notes are an integral part of these financial statements.

16

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Paper & Forest Products — 0.0%          
Louisiana-Pacific Corp.   1,020   $87,710 
           
Passenger Airlines — 0.1%          
Alaska Air Group, Inc. *   912    45,126 
American Airlines Group, Inc. *@   4,400    49,368 
Delta Air Lines, Inc.   4,487    220,670 
Southwest Airlines Co. @   5,800    188,152 
United Airlines Holdings, Inc. *   2,884    229,653 
         732,969 
           
Personal Products — 0.2%          
BellRing Brands, Inc. *   2,728    158,033 
Estee Lauder Cos., Inc. (The), Class A   3,525    284,820 
Kenvue, Inc.   29,296    613,165 
         1,056,018 
           
Pharmaceuticals — 3.5%          
Bristol-Myers Squibb Co.   15,925    737,168 
Elanco Animal Health, Inc. *@   4,517    64,503 
Eli Lilly & Co.   15,842    12,349,314 
Jazz Pharmaceuticals PLC *   1,092    115,883 
Johnson & Johnson   34,649    5,292,635 
Merck & Co., Inc.   33,114    2,621,304 
Pfizer, Inc.   42,944    1,040,962 
Royalty Pharma PLC, Class A   1,519    54,730 
Viatris, Inc.   10,369    92,595 
Zoetis, Inc.   7,283    1,135,784 
         23,504,878 
           
Professional Services — 1.0%          
Amentum Holdings, Inc. *@   206    4,864 
Automatic Data Processing, Inc.   7,063    2,178,229 
Booz Allen Hamilton Holding Corp.   3,549    369,557 
Broadridge Financial Solutions, Inc.   1,956    475,367 
CACI International, Inc., Class A *   457    217,852 
Concentrix Corp. @   144    7,611 
Dayforce, Inc. *   995    55,113 
Equifax, Inc.   1,224    317,469 
ExlService Holdings, Inc. *   1,320    57,803 
FTI Consulting, Inc. *   662    106,913 
Genpact Ltd.   2,839    124,944 
Jacobs Solutions, Inc.   195    25,633 
KBR, Inc.   2,177    104,365 
Leidos Holdings, Inc.   1,015    160,126 
Parsons Corp. *   540    38,756 
Paychex, Inc.   5,938    863,742 
Paycom Software, Inc.   888    205,483 
Paylocity Holding Corp. *   668    121,035 
SS&C Technologies Holdings, Inc.   3,246    268,769 
TransUnion   2,099    184,712 
Verisk Analytics, Inc.   2,746    855,379 
         6,743,722 
           
Real Estate Management & Development — 0.1%          
CBRE Group, Inc., Class A *   2,928    410,271 
CoStar Group, Inc. *   2,760    221,904 
Jones Lang LaSalle, Inc. *   303    77,501 
Zillow Group, Inc., Class A *@   436    29,862 
Zillow Group, Inc., Class C *   1,159    81,188 
         820,726 
           
Semiconductors & Semiconductor Equipment — 11.4%          
Advanced Micro Devices, Inc. *   11,782    1,671,866 
Analog Devices, Inc.   3,247    772,851 
Applied Materials, Inc.   10,509    1,923,883 
Broadcom, Inc.   47,350    13,052,027 
Cirrus Logic, Inc. *   899    93,725 
Enphase Energy, Inc. *   1,883    74,661 
Entegris, Inc.   1,569    126,540 
First Solar, Inc. *@   1,023    169,347 
Intel Corp.   40,658    910,739 
KLA Corp.   2,606    2,334,298 
Lam Research Corp.   21,008    2,044,919 
Lattice Semiconductor Corp. *   859    42,082 
MACOM Technology Solutions Holdings, Inc. *   654    93,712 
Marvell Technology, Inc.   6,331    490,019 
Microchip Technology, Inc.   7,490    527,071 
Micron Technology, Inc.   7,907    974,538 
MKS, Inc. @   347    34,478 
Monolithic Power Systems, Inc.   470    343,749 
NVIDIA Corp.   280,061    44,246,837 
NXP Semiconductors NV   1,369    299,113 
ON Semiconductor Corp. *   5,429    284,534 
Onto Innovation, Inc. *   307    30,985 
Qorvo, Inc. *   1,305    110,808 
QUALCOMM, Inc.   16,133    2,569,342 
Skyworks Solutions, Inc.   1,474    109,842 
Teradyne, Inc.   1,789    160,867 
Texas Instruments, Inc.   11,896    2,469,848 
Universal Display Corp.   786    121,406 
         76,084,087 
           
Software — 9.4%          
Adobe, Inc. *   6,972    2,697,327 
Appfolio, Inc., Class A *   96    22,107 
AppLovin Corp., Class A *   1,162    406,793 
Atlassian Corp., Class A *   1,245    252,847 
Autodesk, Inc. *   2,329    720,989 
Bentley Systems, Inc., Class B   2,343    126,452 
Cadence Design Systems, Inc. *   2,824    870,216 
CCC Intelligent Solutions Holdings, Inc. *   3,847    36,200 
Crowdstrike Holdings, Inc., Class A *   825    420,181 
Datadog, Inc., Class A *   784    105,315 
DocuSign, Inc. *   1,359    105,852 
Dolby Laboratories, Inc., Class A   938    69,656 
Dropbox, Inc., Class A *   3,142    89,861 

The accompanying notes are an integral part of these financial statements.

17

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Software (Continued)          
Dynatrace, Inc. *   1,205   $66,528 
Fair Isaac Corp. *   324    592,259 
Fortinet, Inc. *   10,538    1,114,077 
Gen Digital, Inc.   3,818    112,249 
Guidewire Software, Inc. *   488    114,900 
HubSpot, Inc. *   406    225,992 
InterDigital, Inc. @   105    23,544 
Intuit, Inc.   2,742    2,159,681 
Manhattan Associates, Inc. *   1,022    201,814 
Microsoft Corp.   75,928    37,767,346 
Nutanix, Inc., Class A *   1,172    89,588 
Oracle Corp.   26,244    5,737,726 
Palantir Technologies, Inc., Class A *   13,943    1,900,710 
Palo Alto Networks, Inc. *   6,022    1,232,342 
Pegasystems, Inc. @   1,150    62,249 
Procore Technologies, Inc. *   362    24,768 
PTC, Inc. *   1,031    177,683 
Qualys, Inc. *   503    71,864 
Roper Technologies, Inc.   709    401,890 
Salesforce, Inc.   6,264    1,708,130 
Samsara, Inc., Class A *   1,046    41,610 
SentinelOne, Inc., Class A *   2,184    39,923 
ServiceNow, Inc. *   1,553    1,596,608 
SPS Commerce, Inc. *   393    53,483 
Synopsys, Inc. *   1,534    786,451 
Tyler Technologies, Inc. *   290    171,924 
Workday, Inc., Class A *   981    235,440 
Zoom Communications, Inc. *   832    64,879 
Zscaler, Inc. *   705    221,328 
         62,920,782 
           
Specialty Retail — 2.4%          
AutoNation, Inc. *   654    129,917 
AutoZone, Inc. *   220    816,691 
Bath & Body Works, Inc.   1,486    44,521 
Best Buy Co., Inc.   4,769    320,143 
Burlington Stores, Inc. *   571    132,838 
CarMax, Inc. *   1,900    127,699 
Carvana Co. *   1,078    363,243 
Chewy, Inc., Class A *   1,711    72,923 
Dick’s Sporting Goods, Inc.   946    187,128 
Floor & Decor Holdings, Inc., Class A *   701    53,248 
GameStop Corp., Class A *   2,483    60,560 
Gap, Inc. (The)   1,878    40,959 
Group 1 Automotive, Inc.   57    24,893 
Home Depot, Inc. (The)   18,549    6,800,805 
Lithia Motors, Inc.   199    67,226 
Lowe’s Cos., Inc.   7,334    1,627,195 
Murphy USA, Inc.   374    152,143 
O’Reilly Automotive, Inc. *   11,280    1,016,666 
Penske Automotive Group, Inc.   257    44,155 
Ross Stores, Inc.   5,358    683,574 
TJX Cos., Inc. (The)   18,249    2,253,569 
Tractor Supply Co.   8,708    459,521 
Ulta Beauty, Inc. *   736    344,316 
Valvoline, Inc. *   466    17,647 
Williams-Sonoma, Inc.   2,047    334,418 
         16,175,998 
           
Textiles, Apparel & Luxury Goods — 0.4%          
Columbia Sportswear Co.   600    36,648 
Crocs, Inc. *   468    47,399 
Deckers Outdoor Corp. *   2,200    226,754 
Lululemon Athletica, Inc. *   2,254    535,505 
NIKE, Inc., Class B   19,778    1,405,029 
PVH Corp.   1    68 
Ralph Lauren Corp.   507    139,060 
Skechers U.S.A., Inc., Class A *   1,800    113,580 
Tapestry, Inc.   2,865    251,576 
VF Corp. @   1,109    13,031 
         2,768,650 
           
Tobacco — 0.8%          
Altria Group, Inc.   23,551    1,380,795 
Philip Morris International, Inc.   21,340    3,886,654 
         5,267,449 
           
Trading Companies & Distributors — 0.5%          
Air Lease Corp.   1,296    75,803 
Applied Industrial Technologies, Inc.   374    86,936 
Core & Main, Inc., Class A *   1,729    104,345 
Fastenal Co.   15,131    635,502 
Ferguson Enterprises, Inc.   332    72,293 
FTAI Aviation Ltd.   961    110,554 
GATX Corp.   410    62,960 
SiteOne Landscape Supply, Inc. *   454    54,907 
United Rentals, Inc.   1,075    809,905 
Watsco, Inc. @   357    157,658 
WESCO International, Inc.   596    110,379 
WW Grainger, Inc.   720    748,973 
         3,030,215 
           
Water Utilities — 0.1%          
American Water Works Co., Inc.   3,475    483,407 
Essential Utilities, Inc.   3,662    136,007 
         619,414 
           
Wireless Telecommunication Services — 0.2%          
T-Mobile U.S., Inc.   7,083    1,687,596 
TOTAL COMMON STOCKS
(Identified Cost $97,881,027)
        639,740,997 
           
MUTUAL FUNDS — 4.2%          
Others — 4.2%          
DFA U.S. Micro Cap Portfolio   1,012,194    28,533,744 
           
TOTAL MUTUAL FUNDS
(Identified Cost $12,139,355)
        28,533,744 

 

The accompanying notes are an integral part of these financial statements.

18

Table of Contents 

SA U.S. Core Market Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
SHORT-TERM INVESTMENTS — 0.2%          
Investment Company — 0.2%          
State Street Institutional U.S. Government Money Market Fund 4.020%   898,428   $898,428 
           
Collateral For Securities On Loan — 0.0%          
State Street Navigator Securities Lending Government Money Market Portfolio 4.350%   127,824    127,824 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $1,026,252)
        1,026,252 
           
Total Investments — 99.9%
(Identified Cost $111,046,634)
        669,300,993 
Cash and Other Assets, Less Liabilities — 0.1%        336,387 
           
Net Assets — 100.0%       $669,637,380 

 

See Note 1
* Non-income producing security
@ A portion or all of the security was held on loan. As of June 30, 2025, the fair value of the securities on loan was $3,112,949.
Contingent value rights based on future performance.
§ Fair valued security. Security is valued using significant unobservable inputs as determined pursuant to procedures approved by the Fund’s Board of Trustees. See Note 1
   
Key to abbreviations
CVR — Contingent Value Rights

The accompanying notes are an integral part of these financial statements.

19

Table of Contents 

SA U.S. Value Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025

 

   SHARES   VALUE† 
           
COMMON STOCKS — 99.7%          
Aerospace & Defense — 2.3%          
General Dynamics Corp.   7,826   $2,282,531 
L3Harris Technologies, Inc.   6,055    1,518,836 
Northrop Grumman Corp.   4,548    2,273,909 
RTX Corp.   36,091    5,270,008 
Textron, Inc.   6,061    486,638 
         11,831,922 
           
Air Freight & Logistics — 0.8%          
FedEx Corp.   16,968    3,856,996 
United Parcel Service, Inc., Class B   4,156    419,507 
         4,276,503 
           
Automobile Components — 0.2%          
BorgWarner, Inc.   24,241    811,589 
Gentex Corp.   863    18,977 
         830,566 
           
Automobiles — 1.3%          
Ford Motor Co.   170,891    1,854,167 
General Motors Co.   98,964    4,870,019 
         6,724,186 
           
Beverages — 0.5%          
Constellation Brands, Inc., Class A   10,451    1,700,168 
Keurig Dr Pepper, Inc.   27,263    901,315 
         2,601,483 
           
Biotechnology — 1.0%          
Biogen, Inc. *   4,545    570,807 
Gilead Sciences, Inc.   24,769    2,746,139 
Regeneron Pharmaceuticals, Inc.   3,232    1,696,800 
United Therapeutics Corp. *   683    196,260 
         5,210,006 
           
Broadline Retail — 0.3%          
eBay, Inc.   20,328    1,513,623 
           
Building Products — 1.2%          
Builders FirstSource, Inc. *   5,259    613,673 
Carrier Global Corp.   14,950    1,094,191 
Fortune Brands Innovations, Inc.   11,027    567,670 
Johnson Controls International PLC   34,370    3,630,159 
Owens Corning   4,150    570,708 
         6,476,401 
           
Capital Markets — 4.3%          
Bank of New York Mellon Corp. (The)   49,756    4,533,269 
Franklin Resources, Inc.   5,210    124,258 
Goldman Sachs Group, Inc. (The)   11,884    8,410,901 
Jefferies Financial Group, Inc.   3,449    188,626 
Morgan Stanley   52,586    7,407,264 
Northern Trust Corp.   938    118,929 
Raymond James Financial, Inc.   4,361    668,847 
State Street Corp.   10,112    1,075,310 
T Rowe Price Group, Inc.   1,285    124,003 
         22,651,407 
           
Chemicals — 3.0%          
Air Products & Chemicals, Inc.   5,579    1,573,613 
CF Industries Holdings, Inc.   9,615    884,580 
Corteva, Inc.   18,513    1,379,774 
Dow, Inc.   51,700    1,369,016 
DuPont de Nemours, Inc.   10,913    748,523 
Eastman Chemical Co.   11,080    827,233 
International Flavors & Fragrances, Inc.   6,709    493,447 
Linde PLC   12,036    5,647,050 
LyondellBasell Industries NV, Class A   21,390    1,237,625 
PPG Industries, Inc.   8,879    1,009,986 
Westlake Corp.   4,853    368,488 
         15,539,335 
           
Commercial Banks — 11.0%          
Bank of America Corp.   90,136    4,265,236 
Citigroup, Inc.   42,851    3,647,477 
Citizens Financial Group, Inc.   15,595    697,876 
East West Bancorp, Inc.   2,390    241,342 
Fifth Third Bancorp   70,601    2,903,819 
First Citizens Bancshares, Inc., Class A   153    299,340 
Huntington Bancshares, Inc.   72,900    1,221,804 
JPMorgan Chase & Co.   87,889    25,479,900 
KeyCorp   33,936    591,165 
M&T Bank Corp.   3,759    729,208 
PNC Financial Services Group, Inc. (The)   11,566    2,156,134 
Regions Financial Corp.   119,937    2,820,918 
Truist Financial Corp.   45,621    1,961,247 
U.S. Bancorp   40,031    1,811,403 
Wells Fargo & Co.   109,689    8,788,283 
Zions Bancorp NA   4,933    256,220 
         57,871,372 
           
Commercial Services & Supplies — 0.0%          
Republic Services, Inc.   294    72,503 
           
Communications Equipment — 1.9%          
Cisco Systems, Inc.   139,870    9,704,181 
F5, Inc. *   869    255,764 
         9,959,945 
Computers & Peripherals — 0.8%          
Dell Technologies, Inc., Class C   861    105,559 
Hewlett Packard Enterprise Co.   141,847    2,900,771 
HP, Inc.   4,715    115,329 
Sandisk Corp. *   5,006    227,022 
Western Digital Corp. @   15,020    961,130 
         4,309,811 
Construction Materials — 1.2%          
CRH PLC   19,422    1,782,940 
Martin Marietta Materials, Inc.   4,136    2,270,498 
Vulcan Materials Co.   8,594    2,241,487 
         6,294,925 

The accompanying notes are an integral part of these financial statements.

20

Table of Contents 

SA U.S. Value Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Consumer Finance — 1.4%          
Ally Financial, Inc.   10,944   $426,269 
Capital One Financial Corp.   23,386    4,975,605 
Synchrony Financial   25,544    1,704,807 
         7,106,681 
           
Consumer Staples Distribution & Retail — 1.5%          
Casey’s General Stores, Inc.   1,143    583,239 
Dollar General Corp.   4,555    521,001 
Dollar Tree, Inc. *   12,596    1,247,508 
Kroger Co. (The)   41,321    2,963,955 
Target Corp.   16,536    1,631,276 
U.S. Foods Holding Corp. *   11,078    853,117 
         7,800,096 
           
Containers & Packaging — 0.5%          
Amcor PLC   20,769    190,867 
Ball Corp.   6,731    377,542 
International Paper Co.   36,643    1,715,992 
Packaging Corp. of America   2,898    546,128 
Sonoco Products Co.   611    26,615 
         2,857,144 
           
Distributors — 0.2%          
Genuine Parts Co.   2,990    362,717 
LKQ Corp.   22,668    838,943 
         1,201,660 
           
Diversified Telecommunication Services — 2.9%          
AT&T, Inc.   287,354    8,316,024 
Verizon Communications, Inc.   156,451    6,769,635 
         15,085,659 
           
Electrical Equipment — 0.3%          
AMETEK, Inc.   6,575    1,189,812 
Emerson Electric Co.   2,442    325,592 
NEXTracker, Inc., Class A *   695    37,787 
Ralliant Corp. *   2,437    118,170 
         1,671,361 
           
Electronic Equipment, Instruments & Components — 1.8%          
Corning, Inc.   84,494    4,443,540 
Flex Ltd. *   23,432    1,169,725 
Keysight Technologies, Inc. *   1,802    295,276 
TD SYNNEX Corp.   1,605    217,799 
TE Connectivity PLC   19,914    3,358,894 
Teledyne Technologies, Inc. *   243    124,491 
         9,609,725 
           
Energy Equipment & Services — 0.7%          
Baker Hughes Co.   54,341    2,083,434 
Halliburton Co.   10,538    214,765 
Schlumberger NV   33,294    1,125,337 
         3,423,536 
           
Entertainment — 1.0%          
Electronic Arts, Inc.   9,241    1,475,787 
Liberty Media Corp.-Liberty Formula One, Class A *   1,097    104,171 
Liberty Media Corp.-Liberty Formula One, Class C *   2,194    229,273 
Walt Disney Co. (The)   18,682    2,316,755 
Warner Bros Discovery, Inc. *   74,693    855,982 
         4,981,968 
           
Financial Services — 3.4%          
Berkshire Hathaway, Inc., Class B *   25,243    12,262,292 
Fidelity National Information Services, Inc.   27,979    2,277,770 
Fiserv, Inc. *   11,916    2,054,438 
Global Payments, Inc.   7,128    570,525 
PayPal Holdings, Inc. *   8,539    634,619 
         17,799,644 
           
Food Products — 2.1%          
Archer-Daniels-Midland Co.   24,965    1,317,653 
Bunge Global SA   7,718    619,601 
Campbell’s Co. (The)   3,702    113,466 
Conagra Brands, Inc.   8,302    169,942 
General Mills, Inc.   38,095    1,973,702 
Hormel Foods Corp.   5,728    173,272 
J.M. Smucker Co. (The)   880    86,416 
Kraft Heinz Co. (The)   20,920    540,155 
McCormick & Co., Inc.   1,921    145,650 
Mondelez International, Inc., Class A   51,728    3,488,536 
Post Holdings, Inc. *   973    106,086 
Tyson Foods, Inc., Class A   41,844    2,340,753 
         11,075,232 
           
Ground Transportation — 1.3%          
CSX Corp.   74,654    2,435,960 
Norfolk Southern Corp.   14,303    3,661,139 
U-Haul Holding Co. *@   1,815    109,916 
U-Haul Holding Co.   11,881    645,970 
         6,852,985 
           
Health Care Equipment & Supplies — 2.6%          
Abbott Laboratories   35,000    4,760,350 
Becton Dickinson & Co.   8,851    1,524,585 
Cooper Cos., Inc. (The) *   548    38,996 
Edwards Lifesciences Corp. *   7,417    580,084 
GE HealthCare Technologies, Inc.   24,661    1,826,640 
Hologic, Inc. *   5,323    346,847 
Medtronic PLC   35,985    3,136,812 
STERIS PLC   3,097    743,961 
Zimmer Biomet Holdings, Inc.   8,154    743,726 
         13,702,001 
           
Health Care Providers & Services — 6.1%          
Centene Corp. *   19,196    1,041,959 
Cigna Group (The)   18,662    6,169,284 
CVS Health Corp.   58,448    4,031,743 

The accompanying notes are an integral part of these financial statements.

21

Table of Contents 

SA U.S. Value Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Health Care Providers & Services (Continued)          
Elevance Health, Inc.   9,306   $3,619,662 
Henry Schein, Inc. *@   3,777    275,910 
Humana, Inc.   6,790    1,660,019 
Labcorp Holdings, Inc.   12,677    3,327,839 
Quest Diagnostics, Inc.   18,783    3,373,990 
UnitedHealth Group, Inc.   27,077    8,447,212 
Universal Health Services, Inc., Class B   1,221    221,184 
         32,168,802 
           
Hotels, Restaurants & Leisure — 0.3%          
Aramark   16,117    674,819 
Carnival Corp. *   27,865    783,564 
Hyatt Hotels Corp., Class A @   900    125,685 
MGM Resorts International *   2,440    83,911 
         1,667,979 
           
Household Durables — 2.6%          
DR Horton, Inc.   32,358    4,171,593 
Garmin Ltd.   11,585    2,418,021 
Lennar Corp., Class A   21,583    2,387,296 
Lennar Corp., Class B @   573    60,308 
NVR, Inc. *   15    110,785 
PulteGroup, Inc.   41,004    4,324,282 
         13,472,285 
           
Household Products — 0.0%          
Church & Dwight Co., Inc.   483    46,421 
           
Insurance — 5.9%          
Aflac, Inc.   32,730    3,451,706 
Allstate Corp. (The)   2,943    592,455 
American International Group, Inc.   29,118    2,492,210 
Arch Capital Group Ltd.   18,837    1,715,109 
Chubb Ltd.   11,440    3,314,397 
Cincinnati Financial Corp.   370    55,100 
Everest Group Ltd.   711    241,633 
F&G Annuities & Life, Inc.   103    3,294 
Fidelity National Financial, Inc.   1,515    84,931 
Hartford Insurance Group, Inc. (The)   44,213    5,609,303 
Lincoln National Corp.   9,516    329,253 
Loews Corp.   6,640    608,622 
Markel Group, Inc. *   116    231,694 
MetLife, Inc.   16,066    1,292,028 
Old Republic International Corp.   5,321    204,539 
Principal Financial Group, Inc.   26,311    2,089,883 
Prudential Financial, Inc.   22,788    2,448,343 
RenaissanceRe Holdings Ltd.   60    14,574 
Travelers Cos., Inc. (The)   20,385    5,453,803 
W R Berkley Corp.   6,200    455,514 
         30,688,391 
           
Interactive Media & Services — 0.3%          
Alphabet, Inc., Class A   4,717    831,277 
Alphabet, Inc., Class C   4,520    801,803 
         1,633,080 
           
IT Services — 0.7%          
Akamai Technologies, Inc. *   1,649    131,524 
Amdocs Ltd.   6,785    619,064 
Cognizant Technology Solutions Corp., Class A   34,305    2,676,819 
DXC Technology Co. *   2,868    43,852 
Kyndryl Holdings, Inc. *   990    41,540 
         3,512,799 
           
Life Sciences Tools & Services — 1.4%          
Danaher Corp.   19,132    3,779,335 
IQVIA Holdings, Inc. *   4,432    698,439 
Thermo Fisher Scientific, Inc.   7,432    3,013,379 
         7,491,153 
           
Machinery — 4.7%          
CNH Industrial NV   12,374    160,367 
Cummins, Inc.   10,946    3,584,815 
Deere & Co.   6,907    3,512,141 
Dover Corp.   6,916    1,267,219 
Fortive Corp.   7,311    381,122 
Ingersoll Rand, Inc.   14,939    1,242,626 
Oshkosh Corp.   984    111,723 
Otis Worldwide Corp.   23,695    2,346,279 
PACCAR, Inc.   35,870    3,409,802 
Parker-Hannifin Corp.   3,115    2,175,734 
Pentair PLC   20,400    2,094,264 
Snap-on, Inc.   6,351    1,976,304 
Stanley Black & Decker, Inc.   14,985    1,015,234 
Westinghouse Air Brake Technologies Corp.   5,333    1,116,464 
Xylem, Inc.   2,684    347,202 
         24,741,296 
           
Media — 2.4%          
Charter Communications, Inc., Class A *@   2,964    1,211,713 
Comcast Corp., Class A   223,534    7,977,928 
Fox Corp. Class A   23,101    1,294,580 
Fox Corp., Class B   14,510    749,151 
Interpublic Group of Cos., Inc. (The)   21,833    534,472 
News Corp., Class A   8,320    247,270 
News Corp., Class B @   1,734    59,494 
Paramount Global, Class B   25,564    329,776 
Sirius XM Holdings, Inc.   11,026    253,267 
         12,657,651 
           
Metals & Mining — 2.9%          
Freeport-McMoRan, Inc.   106,539    4,618,466 
Newmont Corp.   42,413    2,470,981 
Nucor Corp.   29,785    3,858,349 
Reliance, Inc.   8,301    2,605,684 
Royal Gold, Inc.   725    128,934 
Steel Dynamics, Inc.   12,183    1,559,546 
         15,241,960 

The accompanying notes are an integral part of these financial statements.

22

Table of Contents 

SA U.S. Value Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Oil, Gas & Consumable Fuels — 10.5%          
Chevron Corp.   61,746   $8,841,410 
ConocoPhillips   66,450    5,963,223 
Coterra Energy, Inc.   19,923    505,646 
Devon Energy Corp.   27,320    869,049 
Diamondback Energy, Inc.   8,816    1,211,318 
EOG Resources, Inc.   23,992    2,869,683 
EQT Corp.   3,853    224,707 
Exxon Mobil Corp.   180,851    19,495,738 
Hess Corp.   7,744    1,072,854 
HF Sinclair Corp.   471    19,349 
Kinder Morgan, Inc.   75,243    2,212,144 
Marathon Petroleum Corp.   24,742    4,109,893 
Occidental Petroleum Corp.   34,021    1,429,222 
ONEOK, Inc.   11,913    972,458 
Phillips 66   11,460    1,367,178 
Valero Energy Corp.   17,571    2,361,894 
Williams Cos., Inc. (The)   24,802    1,557,814 
         55,083,580 
           
Passenger Airlines — 0.7%          
Delta Air Lines, Inc.   37,883    1,863,086 
Southwest Airlines Co. @   18,667    605,557 
United Airlines Holdings, Inc. *   17,600    1,401,488 
         3,870,131 
           
Personal Products — 0.5%          
Kenvue, Inc.   113,017    2,365,446 
           
Pharmaceuticals — 3.8%          
Bristol-Myers Squibb Co.   51,925    2,403,608 
Jazz Pharmaceuticals PLC *   4,730    501,948 
Johnson & Johnson   69,271    10,581,145 
Merck & Co., Inc.   13,215    1,046,099 
Pfizer, Inc.   209,620    5,081,189 
Viatris, Inc.   3,308    29,541 
         19,643,530 
           
Professional Services — 0.8%          
Amentum Holdings, Inc. *@   4,068    96,045 
Jacobs Solutions, Inc.   6,136    806,577 
Leidos Holdings, Inc.   16,200    2,555,712 
ManpowerGroup, Inc.   632    25,533 
SS&C Technologies Holdings, Inc.   7,467    618,268 
         4,102,135 
           
Real Estate Management & Development — 0.6%          
CBRE Group, Inc., Class A *   19,100    2,676,292 
Jones Lang LaSalle, Inc. *   1,249    319,469 
         2,995,761 
           
Semiconductors & Semiconductor Equipment — 3.2%          
Advanced Micro Devices, Inc. *   13,752    1,951,409 
Analog Devices, Inc.   16,075    3,826,172 
First Solar, Inc. *@   248    41,054 
Intel Corp.   93,584    2,096,282 
Marvell Technology, Inc.   6,371    493,115 
Micron Technology, Inc.   47,662    5,874,342 
NXP Semiconductors NV   4,062    887,506 
ON Semiconductor Corp. *   10,923    572,474 
Qorvo, Inc. *   11,125    944,624 
Skyworks Solutions, Inc.   2,266    168,862 
         16,855,840 
           
Software — 1.2%          
Gen Digital, Inc.   3,129    91,993 
Roper Technologies, Inc.   1,163    659,235 
Salesforce, Inc.   19,631    5,353,177 
Zoom Communications, Inc. *   1,437    112,057 
         6,216,462 
           
Specialty Retail — 0.1%          
CarMax, Inc. *   3,334    224,078 
Dick’s Sporting Goods, Inc.   1,230    243,306 
         467,384 
           
Textiles, Apparel & Luxury Goods — 0.1%          
Ralph Lauren Corp.   1,676    459,693 
           
Trading Companies & Distributors — 0.3%          
United Rentals, Inc.   2,172    1,636,385 
           
Wireless Telecommunication Services — 1.1%          
T-Mobile U.S., Inc.   24,773    5,902,415 
           
TOTAL COMMON STOCKS
(Identified Cost $298,893,371)
        522,252,259 
           
SHORT-TERM INVESTMENTS — 0.2%          
Investment Company — 0.2%          
State Street Institutional U.S. Government Money Market Fund 4.020%   929,335    929,335 
           
Collateral For Securities On Loan — 0.0%          
State Street Navigator Securities Lending Government Money Market Portfolio 4.350%   112,984    112,984 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $1,042,319)
        1,042,319 
           
Total Investments — 99.9%
(Identified Cost $299,935,690)
        523,294,578 
Cash and Other Assets, Less Liabilities — 0.1%        773,211 
           
Net Assets — 100.0%       $524,067,789 

 

See Note 1
* Non-income producing security
@ A portion or all of the security was held on loan. As of June 30, 2025, the fair value of the securities on loan was $3,474,943.

The accompanying notes are an integral part of these financial statements.

23

Table of Contents 

SA U.S. Small Company Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025

 

   SHARES   VALUE† 
           
COMMON STOCKS — 99.9%          
Aerospace & Defense — 2.3%          
AAR Corp. *   3,277   $225,425 
AeroVironment, Inc. *   1,825    520,034 
Astronics Corp., Class B *   693    22,663 
ATI, Inc. *   13,573    1,171,893 
Axon Enterprise, Inc. *   11    9,107 
BWX Technologies, Inc.   3,927    565,724 
Curtiss-Wright Corp.   2,577    1,258,993 
Ducommun, Inc. *   1,489    123,036 
Hexcel Corp.   3,842    217,035 
Huntington Ingalls Industries, Inc.   370    89,340 
Innovative Solutions & Support, Inc. *   3,248    45,082 
Kratos Defense & Security Solutions, Inc. *@   11,721    544,441 
Mercury Systems, Inc. *   4,277    230,359 
Moog, Inc., Class A   2,730    494,048 
National Presto Industries, Inc.   369    36,147 
Park Aerospace Corp.   1,334    19,703 
Rocket Lab Corp. *   2,861    102,338 
Textron, Inc.   1,666    133,763 
V2X, Inc. *   1,491    72,388 
Woodward, Inc.   4,322    1,059,279 
         6,940,798 
           
Air Freight & Logistics — 0.2%          
CH Robinson Worldwide, Inc.   1,457    139,799 
Expeditors International of Washington, Inc.   758    86,601 
HUB Group, Inc., Class A   5,418    181,124 
Radiant Logistics, Inc. *   6,146    37,368 
         444,892 
           
Automobile Components — 1.4%          
Adient PLC *   4,024    78,307 
American Axle & Manufacturing Holdings, Inc. *   3,721    15,182 
Autoliv, Inc.   6,598    738,316 
BorgWarner, Inc.   15,123    506,318 
Cooper-Standard Holdings, Inc. *   1,153    24,789 
Dana, Inc.   8,268    141,796 
Dorman Products, Inc. *   2,730    334,889 
Fox Factory Holding Corp. *   4,601    119,350 
Gentex Corp.   10,395    228,586 
Gentherm, Inc. *   3,773    106,738 
Goodyear Tire & Rubber Co. (The) *   6,748    69,977 
LCI Industries   2,757    251,411 
Lear Corp.   2,432    230,991 
Modine Manufacturing Co. *@   4,772    470,042 
Motorcar Parts of America, Inc. *   2,267    25,390 
Patrick Industries, Inc. @   3,117    287,606 
Phinia, Inc.   3,024    134,538 
Standard Motor Products, Inc.   2,639    81,070 
Stoneridge, Inc. *   2,727    19,198 
Strattec Security Corp. *   941    58,540 
Visteon Corp. *   2,696    251,537 
XPEL, Inc. *@±   305    10,950 
         4,185,521 
           
Automobiles — 0.2%          
Harley-Davidson, Inc. @   5,205    122,838 
Rivian Automotive, Inc., Class A *@   14,455    198,612 
Thor Industries, Inc. @   2,397    212,877 
Winnebago Industries, Inc.   3,191    92,539 
         626,866 
           
Beverages — 0.6%          
Boston Beer Co., Inc. (The), Class A *   69    13,166 
Brown-Forman Corp., Class A @   337    9,257 
Brown-Forman Corp., Class B @   1,383    37,217 
Celsius Holdings, Inc. *   2,162    100,295 
Coca-Cola Consolidated, Inc.   6,784    757,434 
MGP Ingredients, Inc.   1,851    55,474 
Molson Coors Beverage Co., Class B   9,730    467,916 
National Beverage Corp. *   6,380    275,871 
Primo Brands Corp.   699    20,704 
         1,737,334 
           
Biotechnology — 2.0%          
Agios Pharmaceuticals, Inc. *   1,554    51,686 
Albireo Pharma, Inc. CVR ¶*§   1,018    6,261 
Aldeyra Therapeutics, Inc. *@   3,971    15,209 
Alkermes PLC *   5,522    157,984 
Allogene Therapeutics, Inc. *@   3,623    4,094 
Anika Therapeutics, Inc. *   1,795    18,991 
Arcus Biosciences, Inc. *   2,904    23,639 
Beam Therapeutics, Inc. *@   497    8,454 
Biogen, Inc. *   572    71,837 
BioMarin Pharmaceutical, Inc. *   3,496    192,175 
Biomea Fusion, Inc. *   1,472    2,650 
Catalyst Pharmaceuticals, Inc. *   5,207    112,992 
Chinook Therapeutics, Inc. CVR ¶*§   5,000    10,000 
CRISPR Therapeutics AG *@   1,927    93,729 
Cullinan Therapeutics, Inc. *   1,139    8,577 
Dynavax Technologies Corp. *   5,793    57,467 
Enanta Pharmaceuticals, Inc. *   1,585    11,983 
Exact Sciences Corp. *   3,133    166,488 
Exelixis, Inc. *   19,780    871,803 
Fate Therapeutics, Inc. *   124    139 
Halozyme Therapeutics, Inc. *   8,219    427,552 
Incyte Corp. *   4,731    322,181 
Insmed, Inc. *   2,821    283,905 
Krystal Biotech, Inc. *   1,598    219,661 
Kura Oncology, Inc. *   5,384    31,066 
Kymera Therapeutics, Inc. *@   2,801    122,236 
Mirati Therapeutics, Inc. CVR ¶*§   1,395    4,283 
Myriad Genetics, Inc. *   6,730    35,736 
Natera, Inc. *   2,782    469,991 
Neurocrine Biosciences, Inc. *   7,426    933,374 
PDL BioPharma, Inc. *@§   18,262    7,670 
Replimune Group, Inc. *   2,590    24,061 

The accompanying notes are an integral part of these financial statements.

24

Table of Contents 

SA U.S. Small Company Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Biotechnology (Continued)          
Sarepta Therapeutics, Inc. *   2,651   $45,332 
Stoke Therapeutics, Inc. *@   2,970    33,709 
Twist Bioscience Corp. *   1,125    41,389 
United Therapeutics Corp. *   2,637    757,742 
Veracyte, Inc. *   4,340    117,310 
Xencor, Inc. *   2,792    21,945 
Xenon Pharmaceuticals, Inc. *   338    10,579 
         5,795,880 
           
Broadline Retail — 0.3%          
Dillard’s, Inc., Class A @   780    325,907 
Etsy, Inc. *   418    20,967 
Macy’s, Inc.   12,269    143,057 
Ollie’s Bargain Outlet Holdings, Inc. *   3,753    494,570 
         984,501 
           
Building Products — 2.6%          
A.O. Smith Corp.   8,970    588,163 
AAON, Inc.   4,843    357,171 
Advanced Drainage Systems, Inc.   7,209    828,026 
Allegion PLC   1,427    205,659 
American Woodmark Corp. *   982    52,409 
Apogee Enterprises, Inc.   1,456    59,114 
Armstrong World Industries, Inc.   4,365    709,051 
AZZ, Inc. @   2,363    223,256 
Carlisle Cos., Inc.   609    227,401 
CSW Industrials, Inc.   1,174    336,738 
Fortune Brands Innovations, Inc.   961    49,472 
Gibraltar Industries, Inc. *   3,042    179,478 
Insteel Industries, Inc.   2,278    84,764 
Lennox International, Inc.   372    213,245 
Masco Corp.   5,470    352,049 
Owens Corning   6,683    919,046 
Quanex Building Products Corp.   3,350    63,315 
Resideo Technologies, Inc. *   681    15,023 
Simpson Manufacturing Co., Inc.   3,810    591,731 
Trex Co., Inc. *   9,543    518,948 
UFP Industries, Inc.   5,404    536,942 
Zurn Elkay Water Solutions Corp.   14,150    517,466 
         7,628,467 
           
Capital Markets — 3.6%          
Acadian Asset Management, Inc.   2,826    99,588 
Affiliated Managers Group, Inc.   3,775    742,807 
Artisan Partners Asset Management, Inc., Class A   6,206    275,112 
B Riley Financial, Inc. @*   1,204    3,576 
BGC Group, Inc., Class A   30,567    312,700 
Carlyle Group, Inc. (The)   9,519    489,277 
Cohen & Steers, Inc.   5,127    386,319 
Diamond Hill Investment Group, Inc.   204    29,643 
Donnelley Financial Solutions, Inc. *   2,776    171,140 
Evercore, Inc., Class A   3,400    918,068 
Federated Hermes, Inc.   7,863    348,488 
Franklin Resources, Inc.   13,466    321,164 
Hamilton Lane, Inc., Class A   1,792    254,679 
Houlihan Lokey, Inc.   1,002    180,310 
Invesco Ltd.   21,232    334,829 
Janus Henderson Group PLC   14,636    568,462 
Jefferies Financial Group, Inc.   21,621    1,182,452 
Lazard, Inc.   6,742    323,481 
MarketAxess Holdings, Inc.   710    158,571 
Moelis & Co., Class A   571    35,585 
Morningstar, Inc.   2,847    893,759 
Oppenheimer Holdings, Inc., Class A   1,244    81,818 
Piper Sandler Cos.   1,880    522,527 
PJT Partners, Inc., Class A   1,422    234,644 
SEI Investments Co.   4,732    425,218 
Silvercrest Asset Management Group, Inc., Class A   759    12,038 
Stifel Financial Corp.   6,170    640,323 
StoneX Group, Inc. *   4,677    426,262 
Victory Capital Holdings, Inc., Class A   982    62,524 
Virtu Financial, Inc., Class A   3,211    143,821 
Virtus Investment Partners, Inc.   608    110,291 
Westwood Holdings Group, Inc.   1,157    18,049 
WisdomTree, Inc. @   4,286    49,332 
         10,756,857 
           
Chemicals — 2.1%          
AdvanSix, Inc.   1,777    42,204 
Albemarle Corp.   750    47,003 
American Vanguard Corp. *   3,554    13,932 
Ashland, Inc.   2,287    114,990 
Avient Corp.   10,014    323,552 
Axalta Coating Systems Ltd. *   16,030    475,931 
Balchem Corp.   2,871    457,063 
Cabot Corp.   5,463    409,725 
Celanese Corp.   1,157    64,017 
CF Industries Holdings, Inc.   824    75,808 
Chemours Co. (The)   3,307    37,865 
Core Molding Technologies, Inc. *   1,500    24,885 
Dow, Inc.   2,675    70,834 
Eastman Chemical Co.   3,373    251,828 
Ecovyst, Inc. *@   5,086    41,858 
Element Solutions, Inc.   21,963    497,462 
FMC Corp.   2,021    84,377 
Hawkins, Inc.   1,851    263,027 
HB Fuller Co.   5,803    349,050 
Huntsman Corp.   9,262    96,510 
Ingevity Corp. *   1,259    54,250 
Innospec, Inc.   2,282    191,893 
International Flavors & Fragrances, Inc.   1,030    75,757 
Intrepid Potash, Inc. *   750    26,798 
Koppers Holdings, Inc.   2,308    74,202 
LSB Industries, Inc. *@   2,602    20,296 
LyondellBasell Industries NV, Class A   747    43,221 
Mativ Holdings, Inc.   3,615    24,654 
Minerals Technologies, Inc.   3,081    169,671 
Mosaic Co. (The)   9,271    338,206 
NewMarket Corp.   504    348,193 

The accompanying notes are an integral part of these financial statements.

25

Table of Contents 

SA U.S. Small Company Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Chemicals (Continued)          
Olin Corp.   2,544   $51,109 
Orion SA   3,504    36,757 
Quaker Chemical Corp. @   784    87,761 
RPM International, Inc.   4,352    478,024 
Sensient Technologies Corp.   4,568    450,039 
Stepan Co.   2,418    131,974 
Tronox Holdings PLC   1,464    7,423 
         6,352,149 
           
Commercial Banks — 10.4%          
1st Source Corp.   2,546    158,030 
Amalgamated Financial Corp.   477    14,882 
Amerant Bancorp, Inc.   661    12,050 
Ameris Bancorp   7,199    465,775 
AmeriServ Financial, Inc.   4,400    13,376 
Arrow Financial Corp. @   2,279    60,211 
Associated Banc-Corp.   15,176    370,143 
Atlantic Union Bankshares Corp.   9,016    282,020 
Axos Financial, Inc. *   3,826    290,929 
BancFirst Corp.   3,303    408,317 
Bancorp, Inc. (The) *   4,353    247,990 
Bank of Hawaii Corp.   3,456    233,384 
Bank of Marin Bancorp   1,580    36,087 
Bank OZK   4,569    215,017 
BankUnited, Inc.   3,310    117,803 
Bankwell Financial Group, Inc.   326    11,746 
Banner Corp.   3,355    215,223 
Bar Harbor Bankshares   2,089    62,586 
BCB Bancorp, Inc.   878    7,393 
Berkshire Hills Bancorp, Inc.   3,188    79,828 
BOK Financial Corp.   4,648    453,784 
Bridgewater Bancshares, Inc. *   700    11,137 
Brookline Bancorp, Inc.   7,431    78,397 
Burke & Herbert Financial Services Corp.   197    11,767 
Business First Bancshares, Inc.   553    13,631 
Byline Bancorp, Inc.   1,299    34,722 
C&F Financial Corp.   466    28,766 
Cadence Bank   15,454    494,219 
Camden National Corp.   1,756    71,258 
Capital City Bank Group, Inc.   1,890    74,372 
Capitol Federal Financial, Inc.   5,302    32,342 
Carter Bankshares, Inc. *   711    12,329 
Cathay General Bancorp   7,259    330,502 
Central Pacific Financial Corp.   3,116    87,341 
Citizens & Northern Corp.   852    16,137 
Citizens Community Bancorp, Inc.   400    5,520 
Citizens Financial Group, Inc.   9,000    402,750 
City Holding Co.   1,327    162,451 
Civista Bancshares, Inc.   270    6,264 
CNB Financial Corp.   2,264    51,755 
Coastal Financial Corp. *   555    53,763 
Columbia Financial, Inc. *   2,819    40,904 
Comerica, Inc.   7,707    459,723 
Commerce Bancshares, Inc.   9,452    587,631 
Community Financial System, Inc.   4,718    268,313 
Community Trust Bancorp, Inc.   1,552    82,132 
Community West Bancshares   1,638    31,957 
ConnectOne Bancorp, Inc.   4,545    105,262 
Cullen/Frost Bankers, Inc.   3,828    492,051 
Customers Bancorp, Inc. *   3,713    218,102 
CVB Financial Corp.   13,166    260,555 
Dime Community Bancshares, Inc.   3,168    85,346 
Eagle Bancorp, Inc.   1,459    28,421 
East West Bancorp, Inc.   9,740    983,545 
Enterprise Bancorp, Inc.   331    13,121 
Enterprise Financial Services Corp.   2,901    159,845 
Equity Bancshares, Inc., Class A   1,470    59,976 
Esquire Financial Holdings, Inc. @   569    53,862 
ESSA Bancorp, Inc.   1,900    36,860 
Farmers & Merchants Bancorp, Inc.   1,205    30,462 
Farmers National Banc Corp.   3,191    44,004 
FB Financial Corp.   2,735    123,895 
Financial Institutions, Inc.   1,855    47,636 
First BanCorp   3,381    149,068 
First BanCorp   18,672    388,938 
First BanCorp, Inc. (The)   1,876    47,669 
First Busey Corp.   5,571    127,492 
First Business Financial Services, Inc.   551    27,914 
First Commonwealth Financial Corp.   9,286    150,712 
First Community Bankshares, Inc.   1,982    77,635 
First Financial Bancorp   8,992    218,146 
First Financial Bankshares, Inc.   14,820    533,224 
First Financial Corp.   1,395    75,595 
First Foundation, Inc. @*   1,921    9,797 
First Hawaiian, Inc.   1,200    29,952 
First Horizon Corp.   28,413    602,356 
First Internet Bancorp   1,018    27,384 
First Interstate Bancsystem, Inc., Class A   4,291    123,667 
First Merchants Corp.   5,621    215,284 
First Mid Bancshares, Inc.   500    18,745 
Flagstar Financial, Inc.   1,739    18,433 
Flushing Financial Corp.   3,899    46,320 

The accompanying notes are an integral part of these financial statements.

26

Table of Contents 

SA U.S. Small Company Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Commercial Banks (Continued)          
FNB Corp.   22,576   $329,158 
FS Bancorp, Inc.   962    37,884 
Fulton Financial Corp.   15,678    282,831 
German American Bancorp, Inc.   3,217    123,887 
Glacier Bancorp, Inc.   11,842    510,153 
Great Southern Bancorp, Inc.   1,275    74,945 
Hancock Whitney Corp.   6,503    373,272 
Hanmi Financial Corp.   3,586    88,502 
HarborOne Bancorp, Inc.   6,045    70,606 
Heritage Commerce Corp.   3,576    35,510 
Heritage Financial Corp.   4,162    99,222 
Hilltop Holdings, Inc.   4,251    129,018 
Hingham Institution For Savings (The)   236    58,611 
Home Bancorp, Inc.   994    51,469 
Home BancShares, Inc.   13,006    370,151 
HomeStreet, Inc. *   1,747    22,833 
HomeTrust Bancshares, Inc.   2,255    84,360 
Hope Bancorp, Inc.   12,794    137,280 
Horizon Bancorp, Inc.   3,103    47,724 
Independent Bank Corp.   3,858    242,610 
Independent Bank Corp.   600    19,446 
International Bancshares Corp.   5,903    392,904 
Kearny Financial Corp.   4,719    30,485 
KeyCorp   26,535    462,240 
Lakeland Financial Corp.   2,447    150,368 
Live Oak Bancshares, Inc.   847    25,241 
Mercantile Bank Corp.   1,601    74,302 
Metropolitan Bank Holding Corp. *@   321    22,470 
Midland States Bancorp, Inc.   1,086    18,810 
MidWestOne Financial Group, Inc.   613    17,636 
National Bank Holdings Corp., Class A   3,376    126,971 
NBT Bancorp, Inc.   4,206    174,759 
Nicolet Bankshares, Inc.   1,020    125,950 
Northeast Bank   896    79,735 
Northfield Bancorp, Inc.   5,020    57,630 
Northrim BanCorp, Inc.   836    77,965 
Northwest Bancshares, Inc.   12,344    157,756 
OceanFirst Financial Corp.   4,432    78,048 
OFG Bancorp   4,058    173,682 
Old National Bancorp   28,203    601,852 
Old Second Bancorp, Inc.   2,244    39,809 
Origin Bancorp, Inc.   1,342    47,963 
Pacific Premier Bancorp, Inc.   5,173    109,099 
Park National Corp.   1,732    289,694 
Pathward Financial, Inc.   2,146    169,792 
Peapack-Gladstone Financial Corp.   1,992    56,274 
Penns Woods Bancorp, Inc.   1,138    34,550 
Peoples Bancorp, Inc.   3,204    97,850 
Pinnacle Financial Partners, Inc.   3,365    371,530 
Popular, Inc.   7,138    786,679 
Preferred Bank   1,186    102,642 
Primis Financial Corp.   1,858    20,159 
Prosperity Bancshares, Inc.   5,491    385,688 
Provident Financial Holdings, Inc.   1,124    17,422 
Provident Financial Services, Inc.   7,308    128,109 
QCR Holdings, Inc.   1,658    112,578 
Renasant Corp.   6,722    241,521 
Republic Bancorp, Inc., Class A   1,997    146,001 
Riverview Bancorp, Inc.   2,557    14,064 
S&T Bancorp, Inc.   3,996    151,129 
Seacoast Banking Corp. of Florida   5,003    138,183 
ServisFirst Bancshares, Inc.   5,630    436,381 
Sierra Bancorp   1,529    45,396 
Simmons First National Corp., Class A   7,315    138,692 
Southern First Bancshares, Inc. *   923    35,102 
Southern Missouri Bancorp, Inc.   686    37,579 
Southside Bancshares, Inc.   3,368    99,120 
SouthState Corp.   8,044    740,289 
Stellar Bancorp, Inc.   2,986    83,548 
Stock Yards Bancorp, Inc. @   2,936    231,885 
Synovus Financial Corp.   7,110    367,942 
Texas Capital Bancshares, Inc. *   3,132    248,681 
TFS Financial Corp. @   3,750    48,563 
Timberland Bancorp, Inc.   921    28,735 
Tompkins Financial Corp.   1,559    97,796 
Towne Bank   5,809    198,552 
TriCo Bancshares   2,959    119,810 
Triumph Financial, Inc. *   2,441    134,524 
TrustCo Bank Corp.   1,746    58,351 
Trustmark Corp.   5,770    210,374 
UMB Financial Corp.   7,466    785,125 
United Bankshares, Inc.   12,088    440,366 
United Community Banks, Inc.   8,563    255,092 
Univest Financial Corp.   3,363    101,025 
Valley National Bancorp   27,653    246,941 
Veritex Holdings, Inc.   2,791    72,845 
WaFd, Inc.   6,377    186,719 
Washington Trust Bancorp, Inc.   2,001    56,588 
Webster Financial Corp.   10,588    578,105 
WesBanco, Inc.   8,472    267,969 
West BanCorp, Inc.   1,763    34,608 
Westamerica BanCorp   2,658    128,754 
Western Alliance Bancorp   5,446    424,679 

The accompanying notes are an integral part of these financial statements.

27

Table of Contents 

SA U.S. Small Company Fund
PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Commercial Banks (Continued)          
Western New England Bancorp, Inc.   3,161   $29,176 
Wintrust Financial Corp.   5,640    699,247 
WSFS Financial Corp.   6,445    354,475 
Zions Bancorp NA   10,151    527,243 
         30,887,220 
           
Commercial Services & Supplies — 2.0%          
ABM Industries, Inc.   6,300    297,423 
ACCO Brands Corp.   6,694    23,965 
Brady Corp., Class A   4,578    311,167 
Brink’s Co. (The)   4,524    403,948 
Casella Waste Systems, Inc., Class A *   5,560    641,513 
CECO Environmental Corp. *@   4,211    119,213 
Cimpress PLC *   1,426    67,022 
Clean Harbors, Inc. *   4,977    1,150,583 
Deluxe Corp.   2,134    33,952 
Driven Brands Holdings, Inc. *   912    16,015 
Ennis, Inc.   3,110    56,415 
HNI Corp.   4,225    207,785 
Interface, Inc.   5,834    122,106 
Liquidity Services, Inc. *   3,228    76,148 
MillerKnoll, Inc.   3,785    73,505 
MSA Safety, Inc.   4,031    675,313 
NL Industries, Inc.   4,571    29,254 
OPENLANE, Inc. *   2,720    66,504 
Steelcase, Inc., Class A   9,338    97,395 
Tetra Tech, Inc.   23,452    843,334 
UniFirst Corp.   1,530    287,977 
Vestis Corp. @   6,146    35,217 
Virco Mfg. Corp.   2,494    19,902 
VSE Corp.   1,412    184,944 
         5,840,600 
           
Communications Equipment — 1.4%          
BK Technologies Corp. *   400    18,852 
Calix, Inc. *   2,992    159,145 
Ciena Corp. *   15,659    1,273,546 
Clearfield, Inc. *   1,417    61,512 
Digi International, Inc. *   3,397    118,419 
F5, Inc. *   3,709    1,091,633 
Harmonic, Inc. *   10,330    97,825 
Juniper Networks, Inc.   15,627    623,986 
KVH Industries, Inc. *   2,387    12,723 
Lantronix, Inc. *   1,100    3,157 
Lumentum Holdings, Inc. *@   2,897    275,389 
NETGEAR, Inc. *   3,539    102,879 
NetScout Systems, Inc. *   8,182    202,995 
Optical Cable Corp. *   374    1,066 
Viasat, Inc. *   1,242    18,133 
Viavi Solutions, Inc. *   21,651    218,026 
         4,279,286 
           
Computers & Peripherals — 0.2%          
AstroNova, Inc. *   1,572    18,220 
NetApp, Inc.   1,432    152,580 
Pure Storage, Inc., Class A *   5,192    298,955 
Western Digital Corp. @   3,166    202,592 
Xerox Holdings Corp. @   5,031    26,513 
         698,860 
           
Construction & Engineering — 2.7%          
AECOM   4,153    468,707 
Ameresco, Inc., Class A *   3,289    49,960 
API Group Corp. *   1,595    81,425 
Arcosa, Inc.   1,853    160,674 
Comfort Systems USA, Inc.   2,209    1,184,488 
Dycom Industries, Inc. *   2,574    629,060 
EMCOR Group, Inc.   287    153,513 
Everus Construction Group, Inc. *   2,821    179,218 
Fluor Corp. *   6,585    337,613 
Granite Construction, Inc. @   4,358    407,516 
Great Lakes Dredge & Dock Corp. *   7,436    90,645 
IES Holdings, Inc. *@   1,933    572,613 
MasTec, Inc. *   6,602    1,125,179 
Matrix Service Co. *   4,086    55,202 
MYR Group, Inc. *   1,409    255,663 
NWPX Infrastructure, Inc. *   1,211    49,663 
Primoris Services Corp.   4,901    381,984 
Sterling Infrastructure, Inc. *@   2,663    614,434 
Tutor Perini Corp. *   3,153    147,497 
Valmont Industries, Inc.   1,958    639,424 
WillScot Holdings Corp.   18,315    501,831 
         8,086,309 
           
Construction Materials — 0.3%          
Eagle Materials, Inc.   1,439    290,836 
Knife River Corp. *   2,821    230,307 
U.S. Lime & Minerals, Inc.   2,599    259,380 
         780,523 
           
Consumer Finance — 1.2%          
Ally Financial, Inc.   6,410    249,670 
Atlanticus Holdings Corp. *   1,580    86,505 
Bread Financial Holdings, Inc.   856    48,895 
Consumer Portfolio Services, Inc. *   3,813    37,482 
Credit Acceptance Corp. *@   760    387,167 
Encore Capital Group, Inc. *   2,787    107,885 
Enova International, Inc. *   2,270    253,150 
Ezcorp, Inc., Class A *   5,994    83,197 
FirstCash Holdings, Inc.   2,667    360,418 
Green Dot Corp., Class A *   4,505    48,564 
LendingClub Corp. *   1,512    18,189 
Navient Corp. @   8,170    115,197 
Nelnet, Inc., Class A   2,441    295,654 
OneMain Holdings, Inc.   7,656    436,392 
PRA Group, Inc. *   4,120    60,770 
PROG Holdings, Inc.   4,487    131,693 
Regional Management Corp.   1,467    42,851 
SLM Corp.   14,278    468,176 
SoFi Technologies, Inc. *   12,464    226,969 
World Acceptance Corp. *   514    84,872 
         3,543,696 

The accompanying notes are an integral part of these financial statements.

28

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Consumer Staples Distribution & Retail — 2.1%          
Albertsons Cos., Inc., Class A   2,854   $61,390 
Andersons, Inc. (The)   4,055    149,021 
BJ’s Wholesale Club Holdings, Inc. *   4,618    497,959 
Casey’s General Stores, Inc.   2,455    1,252,713 
Chefs’ Warehouse, Inc. (The) *   4,636    295,823 
Grocery Outlet Holding Corp. *   2,734    33,956 
Ingles Markets, Inc., Class A   1,973    125,049 
Maplebear, Inc. *   479    21,670 
Natural Grocers by Vitamin Cottage, Inc.   2,710    106,367 
Performance Food Group Co. *   9,263    810,235 
PriceSmart, Inc.   2,794    293,482 
SpartanNash Co.   3,686    97,642 
Sprouts Farmers Market, Inc. *   7,149    1,177,011 
U.S. Foods Holding Corp. *   13,615    1,048,491 
United Natural Foods, Inc. *   1,873    43,660 
Village Super Market, Inc., Class A   830    31,955 
Weis Markets, Inc. @   2,943    213,338 
         6,259,762 
           
Containers & Packaging — 1.4%          
Amcor PLC   82,137    754,839 
AptarGroup, Inc.   5,666    886,332 
Avery Dennison Corp.   751    131,778 
Ball Corp.   1,336    74,936 
Crown Holdings, Inc.   3,202    329,742 
Graphic Packaging Holding Co.   8,918    187,902 
Greif, Inc., Class A   2,553    165,919 
Greif, Inc., Class B   715    49,342 
Myers Industries, Inc.   4,361    63,191 
O-I Glass, Inc. *   8,143    120,028 
Packaging Corp. of America   762    143,599 
Sealed Air Corp.   6,808    211,252 
Silgan Holdings, Inc.   11,743    636,236 
Sonoco Products Co.   4,592    200,028 
TriMas Corp. @   3,690    105,571 
         4,060,695 
           
Distributors — 0.2%          
A-Mark Precious Metals, Inc.   2,332    51,724 
Genuine Parts Co.   1,314    159,401 
LKQ Corp.   3,492    129,239 
Pool Corp. @   660    192,377 
Weyco Group, Inc.   1,043    34,586 
         567,327 
           
Diversified Consumer Services — 1.5%          
Adtalem Global Education, Inc. *   3,867    491,998 
American Public Education, Inc. *   1,928    58,727 
Bright Horizons Family Solutions, Inc. *   1,895    234,203 
Carriage Services, Inc.   1,424    65,134 
Chegg, Inc. *   3,873    4,686 
Duolingo, Inc. *   500    205,010 
European Wax Center, Inc., Class A *   583    3,282 
Frontdoor, Inc. *   3,031    178,647 
Graham Holdings Co., Class B   388    367,114 
Grand Canyon Education, Inc. *   2,575    486,675 
H&R Block, Inc.   11,646    639,249 
Laureate Education, Inc. *   3,916    91,556 
Matthews International Corp., Class A @   2,051    49,039 
OneSpaWorld Holdings Ltd.   2,259    46,061 
Perdoceo Education Corp.   6,976    228,046 
Service Corp. International   7,334    596,988 
Strategic Education, Inc.   2,650    225,595 
Stride, Inc. *   4,184    607,475 
         4,579,485 
           
Diversified Telecommunication Services — 0.1%          
Anterix, Inc. *   1,066    27,343 
ATN International, Inc.   1,200    19,500 
Bandwidth, Inc., Class A *   766    12,179 
Costa Communications, Inc. CVR @¶*§   354    43 
IDT Corp., Class B   1,342    91,685 
Iridium Communications, Inc.   3,745    112,987 
Liberty Latin America Ltd., Class A *   1,600    9,760 
Liberty Latin America Ltd., Class C *   10,810    67,238 
Shenandoah Telecommunications Co.   6,413    87,602 
         428,337 
           
Electric Utilities — 1.4%          
ALLETE, Inc.   4,869    311,957 
Alliant Energy Corp.   8,696    525,847 
Evergy, Inc.   7,556    520,835 
Genie Energy Ltd., Class B   2,213    59,485 
Hawaiian Electric Industries, Inc. *   4,122    43,817 
IDACORP, Inc.   2,837    327,532 
MGE Energy, Inc.   3,771    333,507 
OGE Energy Corp.   10,049    445,975 
Otter Tail Corp.   4,597    354,383 
Pinnacle West Capital Corp.   5,960    533,241 
Portland General Electric Co.   5,648    229,478 
TXNM Energy, Inc.   9,280    522,650 
         4,208,707 
           
Electrical Equipment — 1.2%          
Acuity, Inc.   2,347    700,204 
Allient, Inc.   1,626    59,040 
Atkore, Inc.   3,999    282,129 
EnerSys   3,615    310,059 
Generac Holdings, Inc. *   265    37,951 
Hubbell, Inc.   34    13,886 

 

The accompanying notes are an integral part of these financial statements.

 

29

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Electrical Equipment (Continued)          
LSI Industries, Inc.   3,137   $53,360 
NEXTracker, Inc., Class A *   3,948    214,653 
nVent Electric PLC   3,043    222,900 
Powell Industries, Inc. @   1,101    231,705 
Preformed Line Products Co.   539    86,138 
Regal Rexnord Corp.   6,071    880,052 
Sensata Technologies Holding PLC   6,595    198,575 
Sunrun, Inc. *@   6,232    50,978 
Thermon Group Holdings, Inc. *   3,577    100,442 
Vicor Corp. *   3,445    156,265 
         3,598,337 
           
Electronic Equipment, Instruments & Components — 4.1%          
Advanced Energy Industries, Inc.   3,308    438,310 
Arrow Electronics, Inc. *   5,952    758,463 
Avnet, Inc.   8,026    426,020 
Badger Meter, Inc.   3,103    760,080 
Bel Fuse, Inc., Class B @   1,421    138,818 
Belden, Inc.   4,607    533,491 
Benchmark Electronics, Inc.   3,809    147,903 
Climb Global Solutions, Inc.   315    33,677 
Cognex Corp.   3,708    117,618 
Crane NXT Co. @   3,089    166,497 
CTS Corp.   3,522    150,072 
ePlus, Inc. *   1,591    114,711 
Fabrinet *   3,148    927,653 
Flex Ltd. *   22,671    1,131,736 
Insight Enterprises, Inc. *   2,809    387,881 
IPG Photonics Corp. *   1,315    90,275 
Itron, Inc. *   4,157    547,186 
Jabil, Inc.   1,644    358,556 
Key Tronic Corp. *   1,700    4,862 
Kimball Electronics, Inc. *   2,987    57,440 
Knowles Corp. *   3,541    62,392 
Littelfuse, Inc.   1,865    422,851 
Methode Electronics, Inc.   4,122    39,200 
Napco Security Technologies, Inc.   3,236    96,077 
nLight, Inc. *   1,098    21,609 
Novanta, Inc. *   3,185    410,642 
OSI Systems, Inc. *@   1,524    342,687 
PC Connection, Inc.   2,305    151,623 
Plexus Corp. *   2,380    322,038 
Richardson Electronics Ltd. @   1,505    14,523 
Rogers Corp. *   2,017    138,124 
Sanmina Corp. *   4,853    474,769 
ScanSource, Inc. *   2,807    117,361 
TD SYNNEX Corp.   3,515    476,986 
Trimble, Inc. *   7,608    578,056 
TTM Technologies, Inc. *   8,928    364,441 
Vishay Intertechnology, Inc.   11,850    188,178 
Vishay Precision Group, Inc. *@   1,694    47,601 
Vontier Corp.   8,347    308,004 
Zebra Technologies Corp., Class A *   953    293,867 
         12,162,278 
           
Energy Equipment & Services — 1.0%          
Archrock, Inc.   12,231    303,696 
Bristow Group, Inc. *   1,579    52,060 
Cactus, Inc., Class A   3,486    152,408 
ChampionX Corp.   6,255    155,374 
Core Laboratories, Inc. @   998    11,497 
Expro Group Holdings NV *   837    7,190 
Halliburton Co.   6,035    122,993 
Helix Energy Solutions Group, Inc. *   8,345    52,073 
Helmerich & Payne, Inc.   2,724    41,296 
Innovex International, Inc. *@   2,081    32,505 
Liberty Energy, Inc.   8,201    94,147 
Nabors Industries Ltd. *@   539    15,103 
Natural Gas Services Group, Inc. *   2,179    56,240 
Newpark Resources, Inc. *   5,904    50,243 
Noble Corp. PLC   2,483    65,924 
NOV, Inc.   16,544    205,642 
Oceaneering International, Inc. *   1,554    32,199 
Oil States International, Inc. *   3,584    19,210 
ProPetro Holding Corp. *   4,527    27,026 
RPC, Inc.   8,542    40,404 
SEACOR Marine Holdings, Inc. *@   3,233    16,488 
Select Water Solutions, Inc.   3,073    26,551 
Solaris Energy Infrastructure, Inc.   1,000    28,290 
TechnipFMC PLC   23,392    805,620 
TETRA Technologies, Inc. *   8,698    29,225 
Tidewater, Inc. *@   2,915    134,469 
Transocean Ltd. *   43,549    112,792 
Valaris Ltd. *@   1,881    79,209 
Weatherford International PLC   4,378    220,257 
         2,990,131 
           
Entertainment — 0.3%          
Atlanta Braves Holdings, Inc., Class A *@   934    45,962 
Atlanta Braves Holdings, Inc., Class C *   1,523    71,231 
Cinemark Holdings, Inc. @   7,484    225,867 
IMAX Corp. *@   2,245    62,770 
Liberty Media Corp.-Liberty Live, Class A *   650    51,662 
Liberty Media Corp.-Liberty Live, Class C *   836    67,850 
Lionsgate Studios Corp. *   4,178    24,274 
Madison Square Garden Entertainment Corp. *   432    17,267 

 

The accompanying notes are an integral part of these financial statements.

 

30

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Entertainment (Continued)          
Madison Square Garden Sports Corp. *   404   $84,416 
Marcus Corp. (The)   3,100    52,266 
Sphere Entertainment Co. *@   432    18,058 
Starz Entertainment Corp. *@   278    4,467 
Warner Music Group Corp., Class A   1,140    31,054 
         757,144 
           
Financial Services — 1.8%          
Acacia Research Corp. *@   1,995    7,142 
Alerus Financial Corp.   466    10,084 
AvidXchange Holdings, Inc. *   1,863    18,239 
Cantaloupe, Inc. *@   3,505    38,520 
Cass Information Systems, Inc.   1,499    65,131 
Equitable Holdings, Inc.   4,600    258,060 
Essent Group Ltd.   4,642    281,909 
Euronet Worldwide, Inc. *   2,053    208,133 
EVERTEC, Inc.   2,063    74,371 
Federal Agricultural Mortgage Corp., Class C   923    179,320 
Flywire Corp. *   4,301    50,322 
International Money Express, Inc. *   1,977    19,948 
Jack Henry & Associates, Inc.   2,212    398,536 
Jackson Financial, Inc., Class A   1,992    176,870 
Marqeta, Inc., Class A *@   3,982    23,215 
MGIC Investment Corp.   11,104    309,135 
Mr. Cooper Group, Inc. *   4,998    745,751 
NMI Holdings, Inc. *   7,878    332,373 
PennyMac Financial Services, Inc.   1,706    169,986 
Radian Group, Inc.   7,144    257,327 
Shift4 Payments, Inc., Class A *@   2,548    252,532 
Toast, Inc., Class A *   1,630    72,193 
Voya Financial, Inc.   9,648    685,008 
Walker & Dunlop, Inc.   3,120    219,898 
Waterstone Financial, Inc.   2,966    40,960 
Western Union Co. (The)   8,035    67,655 
WEX, Inc. *   1,703    250,154 
         5,212,772 
           
Food Products — 1.8%          
Alico, Inc.   713    23,301 
B&G Foods, Inc. @   5,620    23,773 
Bunge Global SA   517    41,505 
Cal-Maine Foods, Inc.   3,959    394,435 
Calavo Growers, Inc.   2,189    58,206 
Campbell’s Co. (The)   10,241    313,887 
Conagra Brands, Inc.   4,537    92,872 
Darling Ingredients, Inc. *   13,438    509,838 
Flowers Foods, Inc.   9,365    149,653 
Fresh Del Monte Produce, Inc.   5,010    162,424 
Freshpet, Inc. *   870    59,125 
Hormel Foods Corp.   3,194    96,619 
Ingredion, Inc.   3,754    509,117 
J&J Snack Foods Corp.   1,747    198,127 
J.M. Smucker Co. (The)   2,567    252,079 
John B Sanfilippo & Son, Inc.   981    62,038 
Lamb Weston Holdings, Inc.   456    23,644 
Lancaster Colony Corp.   2,908    502,415 
Lifeway Foods, Inc. *   1,756    43,285 
Limoneira Co.   2,072    32,427 
McCormick & Co., Inc.   2,384    180,755 
Mission Produce, Inc. *   1,256    14,720 
Pilgrim’s Pride Corp.   5,624    252,968 
Post Holdings, Inc. *   4,776    520,727 
Seaboard Corp.   42    120,170 
Seneca Foods Corp., Class A *   800    81,144 
Simply Good Foods Co. (The) *   4,321    136,500 
Tootsie Roll Industries, Inc. @   5,057    169,157 
TreeHouse Foods, Inc. *   2,393    46,472 
Tyson Foods, Inc., Class A   1,240    69,366 
Utz Brands, Inc.   1,291    16,202 
Vital Farms, Inc. *   2,774    106,854 
         5,263,805 
           
Gas Utilities — 0.9%          
Chesapeake Utilities Corp.   2,106    253,183 
MDU Resources Group, Inc.   11,285    188,121 
National Fuel Gas Co.   4,000    338,840 
New Jersey Resources Corp.   9,687    434,171 
Northwest Natural Holding Co.   3,354    133,221 
ONE Gas, Inc.   5,011    360,091 
RGC Resources, Inc.   600    13,428 
Southwest Gas Holdings, Inc.   4,019    298,973 
Spire, Inc.   4,808    350,936 
UGI Corp. @   6,235    227,079 
         2,598,043 
           
Ground Transportation — 0.9%          
ArcBest Corp.   2,227    171,501 
Avis Budget Group, Inc. *   279    47,165 
Covenant Logistics Group, Inc.   1,720    41,469 
Heartland Express, Inc.   5,239    45,265 
JB Hunt Transport Services, Inc.   221    31,736 
Knight-Swift Transportation Holdings, Inc.   10,458    462,557 
Landstar System, Inc.   2,867    398,570 
Marten Transport Ltd.   7,902    102,647 
PAMT Corp. *   2,517    32,394 
RXO, Inc. *   1,530    24,052 
Saia, Inc. *   1,087    297,827 
Schneider National, Inc., Class B   1,500    36,225 
U-Haul Holding Co. *@   1,058    64,072 

 

The accompanying notes are an integral part of these financial statements.

 

31

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Ground Transportation (Continued)          
U-Haul Holding Co.   9,522   $517,711 
Universal Logistics Holdings, Inc. @   2,139    54,288 
Werner Enterprises, Inc. @   6,118    167,389 
XPO, Inc. *   2,025    255,737 
         2,750,605 
           
Health Care — 0.0%          
Aduro Biotech, Inc. CVR ¶*§   237     
           
Health Care Equipment & Supplies — 1.7%          
ABIOMED, Inc. CVR ¶*§   90     
Align Technology, Inc. *   275    52,066 
AngioDynamics, Inc. *   2,110    20,931 
Artivion, Inc. *   5,028    156,371 
AtriCure, Inc. *   1,614    52,891 
Avanos Medical, Inc. *   2,452    30,012 
Axogen, Inc. *   2,643    28,677 
Baxter International, Inc.   1,410    42,695 
CONMED Corp. @   2,255    117,440 
Cooper Cos., Inc. (The) *   1,049    74,647 
Dentsply Sirona, Inc.   4,402    69,904 
Electromed, Inc. *   2,175    47,828 
Embecta Corp.   2,452    23,760 
Enovis Corp. *   2,582    80,972 
Envista Holdings Corp. *   7,727    150,986 
FONAR Corp. *   1,282    19,179 
Globus Medical, Inc., Class A *   8,354    493,053 
Haemonetics Corp. *   5,164    385,286 
Hologic, Inc. *   1,593    103,800 
Insulet Corp. *   999    313,866 
Integer Holdings Corp. *   3,152    387,601 
Integra LifeSciences Holdings Corp. *@   6,371    78,172 
iRadimed Corp.   704    42,092 
Lantheus Holdings, Inc. *@   3,768    308,448 
LeMaitre Vascular, Inc.   1,935    160,702 
LENSAR, Inc. *@   1,385    18,240 
LivaNova PLC *   2,251    101,340 
Masimo Corp. *   1,157    194,631 
Merit Medical Systems, Inc. *   3,513    328,395 
Neogen Corp. *   10,822    51,729 
Omnicell, Inc. *   4,593    135,034 
OraSure Technologies, Inc. *   6,967    20,901 
OrthoPediatrics Corp. *   1,252    26,893 
Penumbra, Inc. *   1,722    441,917 
QuidelOrtho Corp. *   446    12,854 
Semler Scientific, Inc. *@   300    11,622 
Surmodics, Inc. *   1,788    53,121 
Tactile Systems Technology, Inc. *   1,239    12,563 
Teleflex, Inc.   992    117,413 
UFP Technologies, Inc. *   700    170,912 
Utah Medical Products, Inc.   630    35,860 
Varex Imaging Corp. *   578    5,011 
Zimmer Biomet Holdings, Inc.   666    60,746 
         5,040,561 
           
Health Care Providers & Services — 3.3%          
Acadia Healthcare Co., Inc. *   3,752    85,133 
Addus HomeCare Corp. *   1,872    215,636 
Amedisys, Inc. *   336    33,059 
AMN Healthcare Services, Inc. *   3,754    77,595 
Astrana Health, Inc. *   2,532    62,996 
Brookdale Senior Living, Inc. *   7,211    50,188 
Castle Biosciences, Inc. *   1,302    26,587 
Chemed Corp.   896    436,289 
Concentra Group Holdings Parent, Inc.   9,795    201,483 
CorVel Corp. *   3,061    314,610 
Cross Country Healthcare, Inc. *   3,321    43,339 
DaVita, Inc. *   8,508    1,211,965 
Encompass Health Corp.   6,968    854,486 
Enhabit, Inc. *   1,307    12,599 
Ensign Group, Inc. (The)   3,414    526,644 
Fulgent Genetics, Inc. *   2,336    46,440 
HealthEquity, Inc. *   4,526    474,144 
Henry Schein, Inc. *@   7,338    536,041 
Hims & Hers Health, Inc. *   379    18,893 
Molina Healthcare, Inc. *   361    107,542 
National HealthCare Corp.   1,582    169,290 
National Research Corp.   2,987    50,182 
NeoGenomics, Inc. *   4,322    31,594 
Option Care Health, Inc. *   7,998    259,775 
Owens & Minor, Inc. *   2,201    20,029 
Pediatrix Medical Group, Inc. *   3,540    50,799 
Pennant Group, Inc. (The) *   2,408    71,879 
Premier, Inc., Class A   3,050    66,886 
Quest Diagnostics, Inc.   1,950    350,278 
RadNet, Inc. *@   5,402    307,428 
Select Medical Holdings Corp.   12,138    184,255 
Surgery Partners, Inc. *@   1,984    44,104 
Tenet Healthcare Corp. *   10,669    1,877,744 
U.S. Physical Therapy, Inc.   1,511    118,160 
Universal Health Services, Inc., Class B   3,730    675,689 
         9,613,761 
           
Health Care Technology — 0.1%          
Certara, Inc. *   6,275    73,417 
Doximity, Inc., Class A *   2,443    149,854 
Evolent Health, Inc., Class A *   5,196    58,507 
HealthStream, Inc.   2,771    76,674 
Simulations Plus, Inc. @   1,298    22,650 
Teladoc Health, Inc. *   2,607    22,707 
TruBridge, Inc. *   1,636    38,315 
         442,124 

 

The accompanying notes are an integral part of these financial statements.

 

32

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Hotels, Restaurants & Leisure — 3.6%          
Aramark   20,945   $876,967 
Biglari Holdings, Inc., Class A *   7    9,802 
Biglari Holdings, Inc., Class B *@   74    21,624 
BJ’s Restaurants, Inc. *   2,751    122,695 
Bloomin’ Brands, Inc.   5,028    43,291 
Boyd Gaming Corp.   2,637    206,292 
Brinker International, Inc. *   5,170    932,306 
Caesars Entertainment, Inc. *@   5,163    146,578 
Cheesecake Factory, Inc. (The) @   5,035    315,493 
Choice Hotels International, Inc. @   5,300    672,464 
Churchill Downs, Inc.   6,429    649,329 
Cracker Barrel Old Country Store, Inc. @   2,324    141,950 
Dave & Buster’s Entertainment, Inc. *   2,282    68,643 
Denny’s Corp. *   4,694    19,245 
Domino’s Pizza, Inc.   558    251,435 
DraftKings, Inc., Class A *   7,597    325,835 
El Pollo Loco Holdings, Inc. *   2,723    29,980 
Expedia Group, Inc.   346    58,363 
Hyatt Hotels Corp., Class A @   811    113,256 
Inspired Entertainment, Inc. *   1,305    10,662 
International Game Technology PLC   969    15,320 
Jack in the Box, Inc. @   1,602    27,971 
Kura Sushi USA, Inc., Class A *   365    31,419 
Light & Wonder, Inc. *   1,829    176,059 
Marriott Vacations Worldwide Corp. @   3,349    242,166 
Monarch Casino & Resort, Inc.   1,490    128,796 
Nathan’s Famous, Inc.   681    75,305 
Norwegian Cruise Line Holdings Ltd. *   4,482    90,895 
Papa John’s International, Inc.   3,338    163,362 
Penn Entertainment, Inc. *@   5,194    92,817 
Planet Fitness, Inc., Class A *   8,887    969,127 
Shake Shack, Inc., Class A *   2,266    318,600 
Texas Roadhouse, Inc.   5,882    1,102,346 
Travel + Leisure Co.   3,181    164,171 
United Parks & Resorts, Inc. *@   3,740    176,341 
Vail Resorts, Inc. @   1,779    279,534 
Wendy’s Co. (The)   22,109    252,485 
Wingstop, Inc.   1,117    376,139 
Wyndham Hotels & Resorts, Inc.   5,481    445,112 
Wynn Resorts Ltd. @   5,043    472,378 
         10,616,553 
           
Household Durables — 2.8%          
Bassett Furniture Industries, Inc.   1,080    16,416 
Beazer Homes USA, Inc. *   1,643    36,754 
Cavco Industries, Inc. *   730    317,134 
Century Communities, Inc.   3,367    189,629 
Champion Homes, Inc. *   2,566    160,657 
Ethan Allen Interiors, Inc.   2,598    72,354 
Flexsteel Industries, Inc.   1,069    38,516 
Green Brick Partners, Inc. *   4,024    253,029 
Hamilton Beach Brands Holding Co., Class A   2,000    35,780 
Helen of Troy Ltd. *   2,629    74,611 
Hooker Furnishings Corp.   1,742    18,430 
Installed Building Products, Inc.   3,050    549,976 
KB Home   7,849    415,762 
La-Z-Boy, Inc.   4,321    160,612 
Leggett & Platt, Inc.   5,052    45,064 
LGI Homes, Inc. *   624    32,148 
Lifetime Brands, Inc.   2,082    10,618 
Lovesac Co. (The) *@   794    14,451 
M/I Homes, Inc. *   2,431    272,564 
Meritage Homes Corp.   6,982    467,585 
Mohawk Industries, Inc. *   3,847    403,319 
Newell Brands, Inc.   11,481    61,997 
Orleans Homebuilders, Inc. *@§   4,953     
SharkNinja, Inc. *   907    89,784 
Somnigroup International, Inc. @   18,378    1,250,623 
Sonos, Inc. *   3,418    36,949 
Taylor Morrison Home Corp. *   9,778    600,565 
Toll Brothers, Inc.   10,507    1,199,164 
TopBuild Corp. *   3,353    1,085,500 
TRI Pointe Homes, Inc. *   9,397    300,234 
Universal Electronics, Inc. *   1,292    8,553 
Whirlpool Corp. @   218    22,110 
         8,240,888 
           
Household Products — 0.3%          
Central Garden & Pet Co. *   427    15,022 
Central Garden & Pet Co., Class A *   5,453    170,624 
Clorox Co. (The)   1,886    226,452 
Spectrum Brands Holdings, Inc.   1,189    63,017 
WD-40 Co.   1,229    280,323 
         755,438 
           
Independent Power Producers & Energy Traders — 0.3%          
AES Corp. (The)   8,066    84,854 
Brookfield Renewable Corp. @   593    19,439 
Clearway Energy, Inc., Class A   3,716    112,446 
Clearway Energy, Inc., Class C   8,971    287,072 
Ormat Technologies, Inc.   5,451    456,576 
         960,387 
           
Insurance — 4.3%          
Ambac Financial Group, Inc. *   900    6,390 
American Financial Group, Inc.   3,696    466,472 
AMERISAFE, Inc.   1,125    49,196 
Assurant, Inc.   4,101    809,907 
Assured Guaranty Ltd.   4,657    405,625 
Axis Capital Holdings Ltd.   4,830    501,451 
Baldwin Insurance Group, Inc. (The) *@   3,130    133,995 
Brighthouse Financial, Inc. *   3,337    179,431 
Citizens, Inc. *@   6,126    21,380 
CNO Financial Group, Inc.   8,824    340,430 
Crawford & Co., Class A   3,214    34,004 
Crawford & Co., Class B   3,345    34,944 

 

The accompanying notes are an integral part of these financial statements.

 

33

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Insurance (Continued)          
Donegal Group, Inc., Class A   2,745   $54,969 
Employers Holdings, Inc.   2,665    125,735 
Everest Group Ltd.   18    6,117 
F&G Annuities & Life, Inc.   877    28,046 
Fidelity National Financial, Inc.   3,987    223,511 
First American Financial Corp.   7,508    460,916 
Genworth Financial, Inc. *   14,918    116,062 
Globe Life, Inc.   3,866    480,505 
Hanover Insurance Group, Inc. (The)   2,145    364,371 
HCI Group, Inc.   741    112,780 
Horace Mann Educators Corp.   4,392    188,724 
Investors Title Co. @   279    58,953 
Kemper Corp.   5,843    377,107 
Kinsale Capital Group, Inc.   808    390,991 
Lincoln National Corp.   7,815    270,399 
Mercury General Corp.   3,869    260,539 
Old Republic International Corp.   20,327    781,370 
Palomar Holdings, Inc. *   1,593    245,720 
Primerica, Inc.   2,945    805,958 
Reinsurance Group of America, Inc.   3,182    631,182 
RenaissanceRe Holdings Ltd.   2,896    703,438 
RLI Corp.   8,062    582,238 
Safety Insurance Group, Inc.   1,493    118,529 
Selective Insurance Group, Inc.   5,516    477,961 
Stewart Information Services Corp.   2,578    167,828 
Trupanion, Inc. *@   335    18,542 
Unico American Corp. *§   1,700    119 
United Fire Group, Inc.   1,185    34,010 
Universal Insurance Holdings, Inc.   2,828    78,420 
Unum Group   14,680    1,185,557 
White Mountains Insurance Group Ltd.   170    305,272 
         12,639,094 
           
Interactive Media & Services — 0.4%          
Cargurus, Inc. *   1,272    42,574 
Cars.com, Inc. *   3,931    46,582 
Match Group, Inc.   6,820    210,670 
Pinterest, Inc., Class A *   4,203    150,720 
QuinStreet, Inc. *   858    13,814 
Shutterstock, Inc.   1,210    22,942 
Snap, Inc., Class A *   24,958    216,885 
TripAdvisor, Inc. *   4,913    64,115 
Yelp, Inc. *   4,724    161,891 
Ziff Davis, Inc. *   2,996    90,689 
ZoomInfo Technologies, Inc. *   5,496    55,619 
         1,076,501 
           
IT Services — 0.8%          
Akamai Technologies, Inc. *   933    74,416 
Amdocs Ltd.   5,319    485,306 
ASGN, Inc. *   4,078    203,615 
DXC Technology Co. *   5,492    83,973 
EPAM Systems, Inc. *   367    64,893 
Fastly, Inc., Class A *   1,787    12,616 
Globant SA *   1,678    152,429 
Grid Dynamics Holdings, Inc. *   2,704    31,231 
Hackett Group, Inc. (The)   3,495    88,843 
Information Services Group, Inc.   2,180    10,464 
Kyndryl Holdings, Inc. *   2,623    110,061 
MongoDB, Inc. *   712    149,513 
Okta, Inc. *   5,003    500,150 
Twilio, Inc., Class A *   3,932    488,983 
         2,456,493 
           
Leisure Equipment & Products — 0.4%          
Acushnet Holdings Corp. @   541    39,396 
American Outdoor Brands, Inc. *   1,946    20,336 
Brunswick Corp.   3,312    182,955 
Escalade, Inc.   1,950    27,261 
Hasbro, Inc.   3,807    281,033 
Johnson Outdoors, Inc., Class A @   1,000    30,270 
Malibu Boats, Inc., Class A *@   2,116    66,315 
Marine Products Corp. @   3,930    33,444 
MasterCraft Boat Holdings, Inc. *@   1,583    29,412 
Mattel, Inc. *   16,916    333,583 
Polaris, Inc. @   2,606    105,934 
Smith & Wesson Brands, Inc. @   2,884    25,033 
Topgolf Callaway Brands Corp. *@   5,300    42,665 
         1,217,637 
           
Life Sciences Tools & Services — 0.8%          
Avantor, Inc. *   7,284    98,043 
Azenta, Inc. *   937    28,841 
Bio-Rad Laboratories, Inc., Class A *   457    110,283 
Bio-Techne Corp.   3,837    197,414 
BioLife Solutions, Inc. *   1,278    27,528 
Bruker Corp.   5,636    232,203 
Charles River Laboratories International, Inc. *   991    150,364 
CryoPort, Inc. *@   2,607    19,448 
ICON PLC *   104    15,127 
Illumina, Inc. *   200    19,082 
Medpace Holdings, Inc. *   2,141    671,974 
OmniAb, Inc. *   8,462    14,724 
OmniAb, Inc. *§   654     
OmniAb, Inc. *§   654     
Repligen Corp. *   2,618    325,627 
Revvity, Inc. @   2,555    247,119 
West Pharmaceutical Services, Inc.   447    97,804 
         2,255,581 
           
Machinery — 5.4%          
AGCO Corp.   4,840    499,294 
Alamo Group, Inc.   1,213    264,895 
Albany International Corp., Class A   2,901    203,447 
Allison Transmission Holdings, Inc.   6,647    631,399 
Astec Industries, Inc.   1,354    56,448 
Chart Industries, Inc. *   3,344    550,590 
CNH Industrial NV   11,489    148,897 
Columbus McKinnon Corp.   2,642    40,343 
Commercial Vehicle Group, Inc. *   3,758    6,238 
Crane Co.   3,089    586,570 
Donaldson Co., Inc.   8,206    569,086 
Douglas Dynamics, Inc.   2,507    73,881 

 

The accompanying notes are an integral part of these financial statements.

 

34

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Machinery (Continued)          
Eastern Co. (The)   776   $17,708 
Enerpac Tool Group Corp.   4,909    199,109 
Enpro, Inc.   1,861    356,475 
Esab Corp.   418    50,390 
ESCO Technologies, Inc.   2,269    435,353 
Federal Signal Corp.   5,364    570,837 
Flowserve Corp.   2,564    134,225 
Franklin Electric Co., Inc.   4,975    446,457 
Gorman-Rupp Co. (The)   2,754    101,127 
Graco, Inc.   4,511    387,811 
Greenbrier Cos., Inc. (The)   2,663    122,631 
Helios Technologies, Inc.   2,930    97,774 
Hurco Cos., Inc. *   1,000    18,900 
Hyster-Yale, Inc.   165    6,564 
IDEX Corp.   100    17,557 
ITT, Inc.   5,131    804,695 
Kadant, Inc. @   1,029    326,656 
Kennametal, Inc.   3,360    77,146 
L.B. Foster Co., Class A *   1,565    34,227 
Lincoln Electric Holdings, Inc.   3,365    697,632 
Lindsay Corp.   1,109    159,973 
Manitowoc Co., Inc. (The) *   3,607    43,356 
Middleby Corp. (The) *   2,710    390,240 
Miller Industries, Inc.   1,261    56,064 
Mueller Industries, Inc.   10,043    798,117 
Mueller Water Products, Inc., Class A   15,406    370,360 
Nordson Corp.   846    181,357 
Omega Flex, Inc.   590    19,104 
Oshkosh Corp.   4,130    468,920 
Park-Ohio Holdings Corp.   2,182    38,971 
Pentair PLC   11,013    1,130,595 
Perma-Pipe International Holdings, Inc. *   1,900    43,453 
RBC Bearings, Inc. *   336    129,293 
Shyft Group, Inc. (The) @   3,913    49,069 
Snap-on, Inc.   709    220,627 
SPX Technologies, Inc. *   4,239    710,796 
Standex International Corp.   1,107    173,223 
Stanley Black & Decker, Inc.   2,632    178,318 
Tennant Co.   1,721    133,343 
Terex Corp.   6,303    294,287 
Timken Co. (The)   6,902    500,740 
Titan International, Inc. *@   4,338    44,551 
Toro Co. (The)   3,825    270,351 
Trinity Industries, Inc.   4,908    132,565 
Wabash National Corp.   2,121    22,546 
Watts Water Technologies, Inc., Class A   2,409    592,349 
Worthington Enterprises, Inc.   4,458    283,707 
         15,970,637 
           
Marine Transportation — 0.3%          
Costamare Bulkers Holdings Ltd. *   1,145    9,927 
Costamare, Inc.   5,728    52,182 
Kirby Corp. *   4,368    495,375 
Matson, Inc.   2,963    329,930 
         887,414 
           
Media — 1.3%          
Boston Omaha Corp., Class A *@   1,358    19,066 
Cable One, Inc.   179    24,310 
DoubleVerify Holdings, Inc. *   5,203    77,889 
Entravision Communications Corp., Class A   3,329    7,723 
EW Scripps Co. (The), Class A *   7,073    20,795 
Fox Corp. Class A   3,642    204,098 
Fox Corp., Class B   817    42,182 
Gannett Co., Inc. *   1    4 
GCI Liberty, Inc. *§   8,984     
Gray Media, Inc.   8,433    38,201 
Interpublic Group of Cos., Inc. (The)   12,645    309,550 
John Wiley & Sons, Inc., Class A   2,491    111,173 
Liberty Broadband Corp., Class A *   824    80,604 
Liberty Broadband Corp., Class C *   2,320    228,242 
Magnite, Inc. *@   3,879    93,561 
New York Times Co. (The), Class A   17,457    977,243 
News Corp., Class A   19,977    593,716 
News Corp., Class B @   7,188    246,620 
Nexstar Media Group, Inc.   2,102    363,541 
Omnicom Group, Inc.   1,627    117,046 
Paramount Global, Class A   586    13,449 
Paramount Global, Class B   6,684    86,224 
PubMatic, Inc., Class A *   3,162    39,335 
Saga Communications, Inc., Class A   664    8,632 
Scholastic Corp.   1,911    40,093 
Sinclair, Inc. @   2,132    29,464 
Sirius XM Holdings, Inc.   6,101    140,140 
TechTarget, Inc. *   3,517    27,327 
Thryv Holdings, Inc. *   1,938    23,566 
WideOpenWest, Inc. *   4,405    17,884 
         3,981,678 
           
Metals & Mining — 1.5%          
Alcoa Corp.   12,275    362,235 
Alpha Metallurgical Resources, Inc. *   719    80,873 
Carpenter Technology Corp.   3,912    1,081,199 
Century Aluminum Co. *   8,912    160,594 
Cleveland-Cliffs, Inc. *@   10,926    83,038 
Coeur Mining, Inc. *   16,461    145,844 
Commercial Metals Co.   12,402    606,582 
Fortitude Gold Corp.   4,671    16,722 
Friedman Industries, Inc.   700    11,592 
Hecla Mining Co.   30,869    184,905 
Kaiser Aluminum Corp.   1,901    151,890 
Materion Corp.   2,175    172,630 
Metallus, Inc. *   3,673    56,601 
MP Materials Corp. *@   4,905    163,189 
Olympic Steel, Inc.   1,200    39,108 
Radius Recycling, Inc.   63    1,870 
Reliance, Inc.   301    94,484 
Royal Gold, Inc.   4,388    780,362 
Ryerson Holding Corp.   4,615    99,546 
Steel Dynamics, Inc.   380    48,644 
SunCoke Energy, Inc.   5,320    45,699 

 

The accompanying notes are an integral part of these financial statements.

 

35

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
         
COMMON STOCKS (Continued)          
Metals & Mining (Continued)          
Tredegar Corp. *   3,412   $30,026 
Warrior Met Coal, Inc.   738    33,822 
         4,451,455 
           
Multi-Utilities — 0.6%          
Avista Corp.   6,896    261,703 
Black Hills Corp.   6,023    337,890 
NiSource, Inc.   19,524    787,598 
Northwestern Energy Group, Inc.   4,148    212,793 
Unitil Corp.   1,923    100,285 
         1,700,269 
           
Oil, Gas & Consumable Fuels — 2.2%          
Amplify Energy Corp. *   1,867    5,974 
Antero Midstream Corp.   32,353    613,089 
Antero Resources Corp. *   5,180    208,650 
APA Corp.   7,972    145,808 
Ardmore Shipping Corp.   1,612    15,475 
Berry Corp.   4,166    11,540 
California Resources Corp.   1,759    80,334 
Centrus Energy Corp., Class A *   1,074    196,735 
Chord Energy Corp.   244    23,631 
Civitas Resources, Inc. @   2,093    57,599 
CNX Resources Corp. *   16,780    565,150 
Comstock Resources, Inc. *@   8,676    240,065 
Core Natural Resources, Inc.   1,743    121,557 
Coterra Energy, Inc.   417    10,583 
CVR Energy, Inc.   1,556    41,779 
Delek U.S. Holdings, Inc.   3,666    77,646 
DHT Holdings, Inc.   11,638    125,807 
Dorian LPG Ltd.   3,332    81,234 
DT Midstream, Inc.   1,881    206,741 
Evolution Petroleum Corp. @   5,356    25,173 
Expand Energy Corp.   39    4,561 
Green Plains, Inc. *   3,022    18,223 
Gulfport Energy Corp. *   944    189,905 
Hallador Energy Co. *@   3,193    50,545 
HF Sinclair Corp.   8,792    361,175 
International Seaways, Inc. @   4,383    159,892 
Magnolia Oil & Gas Corp., Class A   7,613    171,140 
Matador Resources Co.   10,827    516,664 
Murphy Oil Corp. @   7,046    158,535 
NACCO Industries, Inc., Class A   533    23,617 
New Fortress Energy, Inc.   3,932    13,054 
Nordic American Tankers Ltd. @   8,255    21,711 
Northern Oil and Gas, Inc. @   1,306    37,025 
Ovintiv, Inc.   6,163    234,502 
Par Pacific Holdings, Inc. *   2,616    69,402 
PBF Energy, Inc., Class A   6,136    132,967 
Peabody Energy Corp.   3,580    48,044 
Permian Resources Corp.   26,947    367,018 
Range Resources Corp.   10,825    440,253 
REX American Resources Corp. *   1,551    75,549 
SandRidge Energy, Inc.   2,175    23,534 
Scorpio Tankers, Inc.   1,614    63,156 
SFL Corp. Ltd. @   4,682    39,001 
Sitio Royalties Corp., Class A   3,565    65,525 
SM Energy Co.   2,124    52,484 
Talos Energy, Inc. *@   3,212    27,238 
Teekay Corp. Ltd.   4,339    35,797 
Teekay Tankers Ltd., Class A   1,880    78,434 
Vitesse Energy, Inc.   2,544    56,197 
World Kinect Corp.   2,783    78,898 
         6,468,616 
           
Paper & Forest Products — 0.3%          
Clearwater Paper Corp. *   1,838    50,067 
Louisiana-Pacific Corp.   6,194    532,622 
Magnera Corp. *   1,697    20,500 
Mercer International, Inc.   7,857    27,500 
Resolute Forest Products, Inc. CVR ¶*§   7,629     
Sylvamo Corp.   2,483    124,398 
         755,087 
           
Passenger Airlines — 0.4%          
Alaska Air Group, Inc. *   3,915    193,714 
Allegiant Travel Co. *   441    24,233 
American Airlines Group, Inc. *   12,202    136,907 
SkyWest, Inc. *   3,627    373,472 
Southwest Airlines Co. @   10,338    335,365 
         1,063,691 
           
Personal Products — 0.6%          
BellRing Brands, Inc. *   7,482    433,432 
Coty, Inc., Class A *   40,647    189,009 
Edgewell Personal Care Co.   1,878    43,964 
elf Beauty, Inc. *@   4,063    505,600 
Herbalife Ltd. *   600    5,172 
Interparfums, Inc.   2,916    382,900 
Medifast, Inc. *   1,290    18,124 
Natural Alternatives International, Inc. *   1,000    3,280 
Nature’s Sunshine Products, Inc. *   1,700    25,143 
United-Guardian, Inc.   600    4,776 
USANA Health Sciences, Inc. *   2,205    67,319 
         1,678,719 
           
Pharmaceuticals — 0.9%          
Amphastar Pharmaceuticals, Inc. *   5,315    122,032 
ANI Pharmaceuticals, Inc. *   1,669    108,902 
Collegium Pharmaceutical, Inc. *   2,590    76,586 
Corcept Therapeutics, Inc. *   7,842    575,603 
Edgewise Therapeutics, Inc. *   1,162    15,234 
Elanco Animal Health, Inc. *@   2,020    28,846 
Harmony Biosciences Holdings, Inc. *   1,923    60,767 
Innoviva, Inc. *   5,963    119,797 
Jazz Pharmaceuticals PLC *   2,825    299,789 
LENZ Therapeutics, Inc. *@   446    13,072 
Ligand Pharmaceuticals, Inc. *   1,727    196,325 
Organon & Co. @   7,211    69,803 
Pacira BioSciences, Inc. *   1,786    42,685 
Perrigo Co. PLC   6,512    174,001 
Prestige Consumer Healthcare, Inc. *   5,152    411,387 

 

The accompanying notes are an integral part of these financial statements.

 

36

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Pharmaceuticals (Continued)          
SIGA Technologies, Inc.   1,900   $12,388 
Supernus Pharmaceuticals, Inc. *   5,158    162,580 
Viatris, Inc.   18,447    164,732 
         2,654,529 
           
Professional Services — 2.8%          
Amentum Holdings, Inc. *@   16    378 
Barrett Business Services, Inc.   3,196    133,241 
Booz Allen Hamilton Holding Corp.   729    75,911 
CACI International, Inc., Class A *   1,409    671,670 
Concentrix Corp. @   3,341    176,589 
Conduent, Inc. *   5,702    15,053 
CRA International, Inc.   619    115,982 
CSG Systems International, Inc.   2,945    192,338 
Dayforce, Inc. *@   3,385    187,495 
ExlService Holdings, Inc. *   17,683    774,339 
Exponent, Inc.   4,607    344,189 
Forrester Research, Inc. *   2,360    23,364 
Franklin Covey Co. *   1,628    37,151 
FTI Consulting, Inc. *   3,603    581,884 
Genpact Ltd.   9,689    426,413 
Heidrick & Struggles International, Inc.   1,928    88,225 
Huron Consulting Group, Inc. *   1,957    269,166 
ICF International, Inc.   2,012    170,436 
Insperity, Inc.   3,407    204,829 
Jacobs Solutions, Inc.   273    35,886 
KBR, Inc.   12,616    604,811 
Kelly Services, Inc., Class A   1,510    17,682 
Kforce, Inc.   1,735    71,361 
Korn Ferry   4,964    364,010 
Leidos Holdings, Inc.   686    108,223 
ManpowerGroup, Inc.   1,804    72,882 
Mastech Digital, Inc. *   2,122    15,215 
Maximus, Inc.   2,874    201,755 
NV5 Global, Inc. *   6,408    147,961 
Parsons Corp. *   1,163    83,468 
Paycom Software, Inc.   137    31,702 
Paylocity Holding Corp. *   2,396    434,131 
RCM Technologies, Inc. *   1,296    30,547 
Resources Connection, Inc.   3,396    18,236 
Robert Half, Inc.   4,511    185,177 
Science Applications International Corp.   2,559    288,169 
SS&C Technologies Holdings, Inc.   4,194    347,263 
TransUnion   2,321    204,248 
TriNet Group, Inc.   3,424    250,431 
TrueBlue, Inc. *   3,431    22,233 
TTEC Holdings, Inc. *   4,929    23,708 
Verra Mobility Corp. *   10,023    254,484 
         8,302,236 
           
Real Estate Management & Development — 0.7%          
Cushman & Wakefield PLC *   5,956    65,933 
Douglas Elliman, Inc. *   8,113    18,822 
Forestar Group, Inc. *   3,530    70,600 
FRP Holdings, Inc. *   400    10,756 
Howard Hughes Holdings, Inc. *   1,369    92,407 
Jones Lang LaSalle, Inc. *   3,879    992,171 
Kennedy-Wilson Holdings, Inc.   7,231    49,171 
Marcus & Millichap, Inc.   1,262    38,756 
Maui Land & Pineapple Co., Inc. *   885    16,098 
Newmark Group, Inc., Class A   11,400    138,510 
RMR Group, Inc. (The), Class A   1,159    18,950 
Seaport Entertainment Group, Inc. *   344    6,447 
St. Joe Co. (The)   3,300    157,410 
Stratus Properties, Inc. *@   313    5,909 
Tejon Ranch Co. *@   2,249    38,143 
Zillow Group, Inc., Class A *@   1,311    89,790 
Zillow Group, Inc., Class C *   4,338    303,877 
         2,113,750 
           
Semiconductors & Semiconductor Equipment — 2.2%          
Allegro MicroSystems, Inc. *   1,272    43,490 
Alpha & Omega Semiconductor Ltd. *@   2,886    74,055 
Ambarella, Inc. *   1,986    131,205 
Amkor Technology, Inc.   24,529    514,864 
Amtech Systems, Inc. *   2,822    12,530 
Astera Labs, Inc. *   1,765    159,591 
Axcelis Technologies, Inc. *   3,412    237,782 
CEVA, Inc. *   3,095    68,028 
Cirrus Logic, Inc. *   3,204    334,033 
Cohu, Inc. *   3,788    72,881 
Diodes, Inc. *   4,900    259,161 
Enphase Energy, Inc. *   2,985    118,355 
Entegris, Inc.   230    18,550 
First Solar, Inc. *@   525    86,908 
FormFactor, Inc. *   8,126    279,616 
GSI Technology, Inc. *   4,641    15,594 
Ichor Holdings Ltd. *   400    7,856 
Kulicke & Soffa Industries, Inc.   5,924    204,970 
Lattice Semiconductor Corp. *   5,394    264,252 
MACOM Technology Solutions Holdings, Inc. *   2,196    314,665 
Magnachip Semiconductor Corp. *   4,588    18,260 
MaxLinear, Inc. *   3,747    53,245 
NVE Corp.   256    18,844 
ON Semiconductor Corp. *   2,857    149,735 
Onto Innovation, Inc. *   4,376    441,670 
PDF Solutions, Inc. *   4,938    105,574 
Photronics, Inc. *   7,008    131,961 
Power Integrations, Inc.   6,164    344,568 
Qorvo, Inc. *   2,760    234,352 
Rambus, Inc. *   9,749    624,131 
Silicon Laboratories, Inc. *   1,334    196,578 
Skyworks Solutions, Inc.   243    18,108 
Synaptics, Inc. *   4,162    269,781 
Teradyne, Inc.   267    24,009 
Ultra Clean Holdings, Inc. *   4,298    97,006 
Universal Display Corp.   2,218    342,592 
Veeco Instruments, Inc. *   3,448    70,063 
         6,358,863 

 

The accompanying notes are an integral part of these financial statements.

 

37

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Software — 3.0%          
A10 Networks, Inc.   4,234   $81,928 
ACI Worldwide, Inc. *   9,656    443,307 
Adeia, Inc.   7,577    107,139 
Alarm.com Holdings, Inc. *   2,460    139,162 
Bentley Systems, Inc., Class B   4,082    220,306 
Bill Holdings, Inc. *   2,276    105,288 
Blackbaud, Inc. *   5,719    367,217 
Box, Inc., Class A *   6,867    234,645 
Commvault Systems, Inc. *   2,675    466,333 
Consensus Cloud Solutions, Inc. *   1,449    33,414 
DocuSign, Inc. *   5,112    398,174 
Dolby Laboratories, Inc., Class A   2,819    209,339 
Dropbox, Inc., Class A *   14,286    408,580 
Dynatrace, Inc. *   7,032    388,237 
eGain Corp. *   4,304    26,900 
EverCommerce, Inc. *@   388    4,074 
Gen Digital, Inc.   20,625    606,375 
Guidewire Software, Inc. *   3,285    773,453 
I3 Verticals, Inc., Class A *@   1,470    40,396 
InterDigital, Inc. @   2,792    626,050 
Jamf Holding Corp. *   3,544    33,703 
JFrog Ltd. *   479    21,018 
LiveRamp Holdings, Inc. *   7,539    249,089 
Manhattan Associates, Inc. *   1,016    200,629 
Meridianlink, Inc. *   2,090    33,921 
Mitek Systems, Inc. *   1,166    11,543 
N-able, Inc. *   8,171    66,185 
Nutanix, Inc., Class A *   4,947    378,149 
Olo, Inc., Class A *   2,551    22,704 
Ooma, Inc. *   1,297    16,731 
Procore Technologies, Inc. *   1,214    83,062 
Progress Software Corp.   4,129    263,595 
Qualys, Inc. *   3,876    553,764 
Sapiens International Corp. NV   2,496    73,008 
SentinelOne, Inc., Class A *   5,750    105,110 
SPS Commerce, Inc. *   2,160    293,954 
Teradata Corp. *   4,213    93,992 
UiPath, Inc., Class A *   10,245    131,136 
Unity Software, Inc. *@   11,422    276,412 
Verint Systems, Inc. *   4,882    96,029 
Vertex, Inc., Class A *@   1,558    55,052 
Yext, Inc. *   4,488    38,148 
         8,777,251 
           
Specialty Retail — 3.2%          
1-800-Flowers.com, Inc., Class A *@   3,880    19,090 
Abercrombie & Fitch Co., Class A *   3,727    308,782 
Academy Sports & Outdoors, Inc. @   2,614    117,133 
Advance Auto Parts, Inc. @   3,109    144,537 
America’s Car-Mart, Inc. *@   822    46,065 
American Eagle Outfitters, Inc.   9,675    93,074 
Asbury Automotive Group, Inc. *   2,143    511,191 
AutoNation, Inc. *   4,060    806,519 
Bath & Body Works, Inc.   5,771    172,899 
Best Buy Co., Inc.   1,982    133,052 
Boot Barn Holdings, Inc. *   2,691    409,032 
Buckle, Inc. (The)   5,018    227,566 
Build-A-Bear Workshop, Inc.   1,640    84,558 
Burlington Stores, Inc. *   1,368    318,252 
Caleres, Inc. @   3,874    47,340 
CarMax, Inc. *   4,370    293,708 
Cato Corp. (The), Class A   2,638    7,413 
Citi Trends, Inc. *   818    27,313 
Destination XL Group, Inc. *   3,560    3,952 
Five Below, Inc. *   5,505    722,146 
Floor & Decor Holdings, Inc., Class A *   4,489    340,984 
Foot Locker, Inc. *@   3,452    84,574 
GameStop Corp., Class A *   752    18,341 
Gap, Inc. (The)   2,272    49,552 
Genesco, Inc. *   1,490    29,338 
Group 1 Automotive, Inc.   1,157    505,273 
Guess?, Inc. @   3,265    39,474 
Haverty Furniture Cos., Inc.   1,983    40,354 
Lithia Motors, Inc.   1,581    534,093 
MarineMax, Inc. *   2,209    55,534 
Monro, Inc. @   3,090    46,072 
Murphy USA, Inc.   2,265    921,402 
National Vision Holdings, Inc. *   2,877    66,200 
ODP Corp. (The) *   1,761    31,927 
Penske Automotive Group, Inc.   1,742    299,293 
PetMed Express, Inc. *@   2,360    7,835 
Revolve Group, Inc. *   706    14,155 
RH *   318    60,105 
Sally Beauty Holdings, Inc. *   3,610    33,429 
Shoe Carnival, Inc. @   3,062    57,290 
Signet Jewelers Ltd. @   4,741    377,147 
Sleep Number Corp. *@   3,221    21,758 
Sonic Automotive, Inc., Class A   1,991    159,141 
Ulta Beauty, Inc. *   499    233,442 
Upbound Group, Inc.   6,271    157,402 
Urban Outfitters, Inc. *   2,086    151,318 
Valvoline, Inc. *   6,915    261,871 
Victoria’s Secret & Co. *   2,341    43,355 
Williams-Sonoma, Inc.   1,226    200,292 
Winmark Corp.   455    171,813 
Zumiez, Inc. *   2,406    31,904 
         9,538,290 
           
Textiles, Apparel & Luxury Goods — 1.3%          
Capri Holdings Ltd. *@   5,195    91,952 
Carter’s, Inc.   1,288    38,807 
Columbia Sportswear Co. @   2,473    151,051 
Deckers Outdoor Corp. *   1,505    155,120 
Figs, Inc., Class A *   2,862    16,142 
G-III Apparel Group Ltd. *   5,008    112,179 
Kontoor Brands, Inc.   2,384    157,273 
Lakeland Industries, Inc.   1,669    22,715 
Movado Group, Inc.   2,220    33,855 
Oxford Industries, Inc. @   1,665    67,016 
PVH Corp.   1,378    94,531 
Ralph Lauren Corp.   2,279    625,084 
Rocky Brands, Inc.   1,000    22,190 
Skechers U.S.A., Inc., Class A *   6,530    412,043 
Steven Madden Ltd.   6,944    166,517 
Superior Group of Cos., Inc.   2,200    22,660 

 

The accompanying notes are an integral part of these financial statements.

 

38

Table of Contents 

 

SA U.S. Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Textiles, Apparel & Luxury Goods (Continued)          
Tapestry, Inc.   18,072   $1,586,902 
Under Armour, Inc., Class A *@   2,222    15,176 
Under Armour, Inc., Class C *@   1,318    8,554 
Unifi, Inc. *   2,394    12,497 
VF Corp.   1,731    20,339 
         3,832,603 
           
Tobacco — 0.1%          
Turning Point Brands, Inc.   1,280    96,986 
Universal Corp.   2,612    152,123 
         249,109 
           
Trading Companies & Distributors — 1.6%          
Air Lease Corp.   5,985    350,063 
Applied Industrial Technologies, Inc.   2,291    532,543 
Boise Cascade Co.   3,680    319,498 
Core & Main, Inc., Class A *   2,709    163,488 
Distribution Solutions Group, Inc. *@   224    6,153 
DNOW, Inc. *   4,946    73,349 
DXP Enterprises, Inc. *   1,824    159,874 
FTAI Aviation Ltd. @   770    88,581 
GATX Corp.   3,309    508,130 
Global Industrial Co.   3,603    97,317 
GMS, Inc. *   2,900    315,375 
Herc Holdings, Inc.   3,092    407,185 
MRC Global, Inc. *   5,657    77,557 
MSC Industrial Direct Co., Inc., Class A @   936    79,579 
Rush Enterprises, Inc., Class A   7,718    397,554 
SiteOne Landscape Supply, Inc. *   413    49,948 
Titan Machinery, Inc. *@   2,515    49,822 
WESCO International, Inc.   4,569    846,179 
Willis Lease Finance Corp.   900    128,502 
         4,650,697 
           
Water Utilities — 0.4%          
American States Water Co.   4,082    312,926 
Artesian Resources Corp., Class A   1,177    39,500 
California Water Service Group   6,097    277,292 
Consolidated Water Co. Ltd.   1,751    52,565 
Essential Utilities, Inc.   8,329    309,339 
H2O America   2,989    155,338 
Middlesex Water Co.   2,133    115,566 
Pure Cycle Corp. *   1,000    10,720 
York Water Co. (The)   1,803    56,975 
         1,330,221 
           
Wireless Telecommunication Services — 0.1%          
Gogo, Inc. *@   1,021    14,988 
Spok Holdings, Inc.   2,839    50,194 
U.S. Cellular Corp. *   1,551    99,217 
         164,399 
           
TOTAL COMMON STOCKS
(Identified Cost $144,927,951)
        295,251,719 
           
SHORT-TERM INVESTMENTS — 0.7%          
Investment Company — 0.0%          
State Street Institutional U.S. Government Money Market Fund 4.020%   133,158    133,158 
           
Collateral For Securities On Loan — 0.7%          
State Street Navigator Securities Lending Government Money Market Portfolio 4.350%   2,004,203    2,004,203 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $2,137,361)
        2,137,361 
           
Total Investments — 100.6%
(Identified Cost $147,065,312)
        297,389,080 
Liabilities in excess of Cash and Other Assets — (0.6%)        (1,712,793)
           
Net Assets — 100.0%       $295,676,287 

 

See Note 1
* Non-income producing security
@ A portion or all of the security was held on loan. As of June 30, 2025, the fair value of the securities on loan was $19,174,877.
± 144A Securities. Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers. These securities have been deemed by the Fund to be liquid and at June 30, 2025 amounted to $10,950 or 0.00% of the net assets of the Fund.
Contingent value rights based on future performance.
§ Fair valued security. Security is valued using significant unobservable inputs as determined pursuant to procedures approved by the Fund’s Board of Trustees. See Note 1

 

Key to abbreviations:

CVR — Contingent Value Rights

 

The accompanying notes are an integral part of these financial statements.

 

39

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SA International Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025

 

   SHARES   VALUE† 
           
COMMON STOCKS — 98.1%          
Australia — 6.0%          
Ampol Ltd. @   3,807   $64,494 
ANZ Group Holdings Ltd.   171,032    3,282,388 
Aurizon Holdings Ltd.   293,809    585,912 
Bendigo & Adelaide Bank Ltd.   40,324    335,456 
BlueScope Steel Ltd.   114,919    1,747,901 
Challenger Ltd.   54,241    288,446 
Cleanaway Waste Management Ltd.   139,337    249,437 
Dyno Nobel Ltd.   195,063    345,344 
Endeavour Group Ltd. @   60,152    158,752 
Evolution Mining Ltd.   224,974    1,153,440 
Fortescue Ltd. @   72,441    728,505 
Harvey Norman Holdings Ltd. @   136,089    472,018 
National Australia Bank Ltd.   178,680    4,628,668 
Northern Star Resources Ltd.   31,003    378,506 
Orica Ltd.   50,333    645,639 
Origin Energy Ltd.   168,307    1,195,222 
QBE Insurance Group Ltd.   119,130    1,833,903 
Rio Tinto Ltd. @   20,623    1,454,079 
Sandfire Resources Ltd. *   13,466    99,439 
Santos Ltd.   512,778    2,585,135 
Sonic Healthcare Ltd.   60,106    1,059,780 
South32 Ltd.   640,447    1,226,595 
Suncorp Group Ltd.   130,499    1,856,038 
TPG Telecom Ltd. @   41,292    144,850 
Westpac Banking Corp.   209,812    4,675,653 
Whitehaven Coal Ltd. @   99,731    356,414 
Woodside Energy Group Ltd. @   157,968    2,456,732 
Worley Ltd.   30,039    258,594 
Yancoal Australia Ltd. @   73,145    277,770 
         34,545,110 
           
Austria — 0.1%          
Erste Group Bank AG   1,782    151,766 
OMV AG   8,855    481,692 
         633,458 
           
Belgium — 0.7%          
Ageas SA   21,755    1,469,669 
Anheuser-Busch InBev SA/NV   5,924    406,409 
KBC Group NV   14,357    1,482,492 
Syensqo SA @   6,022    464,490 
         3,823,060 
           
Canada — 10.5%          
Agnico Eagle Mines Ltd. @   2,963    352,390 
AltaGas Ltd.   24,518    711,729 
ARC Resources Ltd.   22,231    468,700 
Bank of Montreal   1,424    157,809 
Bank of Montreal @   50,160    5,549,201 
Bank of Nova Scotia (The) @   59,376    3,281,711 
Bank of Nova Scotia (The) @   18,436    1,019,446 
Barrick Mining Corp.   194,169    4,042,599 
Barrick Mining Corp.   12,261    255,259 
Canadian Imperial Bank of Commerce @   18,668    1,322,254 
Canadian Imperial Bank of Commerce   74,432    5,283,346 
Canadian Tire Corp. Ltd., Class A @   4,020    547,287 
Cenovus Energy, Inc.   144,903    1,970,681 
Empire Co. Ltd., Class A   8,783    364,478 
Fairfax Financial Holdings Ltd.   2,377    4,290,557 
First Quantum Minerals Ltd. *   25,434    451,807 
iA Financial Corp., Inc.   16,360    1,793,563 
Imperial Oil Ltd. @   805    63,981 
Kinross Gold Corp.   173,331    2,708,635 
Kinross Gold Corp.   29,938    467,931 
Lundin Mining Corp. @   110,222    1,159,081 
Magna International, Inc. @   31,454    1,214,439 
MEG Energy Corp.   14,698    277,716 
Nutrien Ltd. @   74,537    4,341,035 
Pan American Silver Corp.   5,995    170,258 
Pembina Pipeline Corp. @   18,294    686,208 
Saputo, Inc.   6,400    130,984 
Suncor Energy, Inc. ¥   67,770    2,538,607 
Suncor Energy, Inc.   63,249    2,368,675 
Teck Resources Ltd., Class B   66,192    2,672,833 
Toronto-Dominion Bank (The)   14,737    1,083,942 
Toronto-Dominion Bank (The) @   82,217    6,038,839 
Tourmaline Oil Corp.   49,803    2,402,832 
West Fraser Timber Co. Ltd.   3,962    290,542 
         60,479,355 
           
China — 0.0%          
Budweiser Brewing Co. APAC Ltd. @±   105,100    104,030 
           
Denmark — 2.7%          
AP Moller - Maersk AS, Class A   191    352,824 
AP Moller - Maersk AS, Class B   194    360,663 
Carlsberg AS, Class B   15,088    2,137,750 
Coloplast AS, Class B   9,859    936,440 
Danske Bank AS   41,578    1,695,614 
Demant AS *   10,748    448,332 
DSV AS   16,777    4,031,513 
Genmab AS *   3,926    815,108 
H Lundbeck AS   21,000    120,554 
Novonesis Novozymes B, Class B   37,759    2,707,142 
Pandora AS   1,382    242,634 
Rockwool AS, Class B   10,530    492,772 
Tryg AS   15,313    395,533 
Vestas Wind Systems AS   53,162    797,545 
         15,534,424 
           
Finland — 0.5%          
Nokia OYJ @   18,157    94,236 
Nokia OYJ, ADR @   486,141    2,518,210 
Nordea Bank Abp   28,127    417,797 
Stora Enso OYJ, Class R @   3,306    35,921 
         3,066,164 

 

The accompanying notes are an integral part of these financial statements.

 

40

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SA International Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
France — 10.6%          
Alstom SA @*   7,667   $178,821 
Amundi SA ±   5,568    450,592 
AXA SA   4,696    230,504 
BNP Paribas SA   57,117    5,134,886 
Bollore SE   18,010    113,075 
Bouygues SA   42,399    1,917,847 
Canal & SA   40,220    125,764 
Carrefour SA   61,663    869,453 
Cie de Saint-Gobain SA   64,617    7,584,162 
Cie Generale des Etablissements Michelin SCA   119,912    4,455,038 
Credit Agricole SA   53,157    1,005,931 
Eiffage SA   11,127    1,563,017 
Engie SA   243,967    5,726,068 
Louis Hachette Group   26,542    54,354 
Orange SA   322,578    4,907,454 
Publicis Groupe SA @   10,335    1,164,820 
Renault SA   29,529    1,361,086 
Rexel SA   14,200    437,241 
Sanofi SA   47,666    4,615,943 
Societe Generale SA   82,075    4,693,829 
TotalEnergies SE   227,983    13,991,597 
Vinci SA   1,446    213,085 
Vivendi SE *   40,220    138,768 
         60,933,335 
           
Germany — 7.8%          
BASF SE   110,444    5,445,885 
Bayer AG   93,338    2,807,511 
Bayerische Motoren Werke AG   26,979    2,398,113 
Commerzbank AG   103,762    3,273,226 
Continental AG   13,542    1,182,029 
Covestro AG *   16,685    1,187,108 
Daimler Truck Holding AG   81,396    3,851,518 
Deutsche Bank AG   94,182    2,792,404 
Deutsche Bank AG   62,274    1,823,383 
Deutsche Post AG   52,113    2,406,966 
E.ON SE   135,582    2,495,452 
Evonik Industries AG   20,942    431,701 
Fresenius Medical Care AG   14,083    807,059 
Fresenius SE & Co. KGaA   34,117    1,715,230 
Hapag-Lloyd AG ±   1,127    168,599 
Heidelberg Materials AG   21,305    5,005,445 
Henkel AG & Co. KGaA   6,345    459,657 
Infineon Technologies AG   4,947    210,454 
Mercedes-Benz Group AG   81,705    4,782,387 
Merck KGaA   1,549    200,711 
RWE AG   22,298    930,602 
Talanx AG   1,300    168,294 
Volkswagen AG   4,164    449,787 
         44,993,521 
           
Hong Kong — 1.3%          
BOC Hong Kong Holdings Ltd.   302,500    1,314,053 
Cathay Pacific Airways Ltd.   230,363    314,000 
CK Asset Holdings Ltd.   82,569    363,937 
CK Hutchison Holdings Ltd.   286,124    1,760,494 
CK Infrastructure Holdings Ltd.   9,000    59,561 
Henderson Land Development Co. Ltd.   88,684    310,114 
Hong Kong & China Gas Co. Ltd.   188,000    157,825 
MTR Corp. Ltd.   74,669    268,239 
Sun Hung Kai Properties Ltd.   95,177    1,091,814 
Swire Pacific Ltd., Class A   53,500    458,331 
Swire Pacific Ltd., Class B   127,500    180,613 
WH Group Ltd. ±   1,427,959    1,373,396 
         7,652,377 
           
Ireland — 0.3%          
AIB Group PLC   73,001    600,651 
Bank of Ireland Group PLC   65,003    925,353 
         1,526,004 
           
Israel — 0.9%          
Bank Hapoalim BM   62,229    1,193,848 
Bank Leumi Le-Israel BM   116,419    2,164,343 
Clal Insurance Enterprises Holdings Ltd.   2,481    109,602 
Delek Group Ltd.   1,842    381,383 
Harel Insurance Investments & Financial Services Ltd.   6,318    176,918 
Israel Discount Bank Ltd., Class A   131,550    1,310,691 
         5,336,785 
           
Italy — 1.6%          
Banco BPM SpA @   78,217    913,250 
Eni SpA   212,093    3,437,731 
UniCredit SpA   65,428    4,386,108 
Unipol Assicurazioni SpA   21,052    417,230 
         9,154,319 
           
Japan — 20.1%          
AGC, Inc. @   44,900    1,317,956 
Air Water, Inc.   14,100    210,807 
Aisin Corp.   67,500    865,751 
Alfresa Holdings Corp.   15,700    214,941 
Amada Co. Ltd.   37,100    405,896 
Asahi Group Holdings Ltd.   182,600    2,444,092 
Asahi Kasei Corp.   191,300    1,364,294 
Bridgestone Corp. @   39,300    1,610,152 
Brother Industries Ltd.   35,600    615,809 
Canon Marketing Japan, Inc. @   7,400    271,889 
Chiba Bank Ltd. (The)   63,800    591,237 
Coca-Cola Bottlers Japan Holdings, Inc.   8,000    129,190 
COMSYS Holdings Corp.   2,900    67,221 
Concordia Financial Group Ltd.   111,200    723,702 
Cosmo Energy Holdings Co. Ltd.   11,900    510,443 
Dai Nippon Printing Co. Ltd.   13,400    203,785 
Dai-ichi Life Holdings, Inc.   250,400    1,905,756 

 

The accompanying notes are an integral part of these financial statements.

 

41

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SA International Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Japan (Continued)          
Daicel Corp.   21,300   $178,899 
Daiwa House Industry Co. Ltd.   58,900    2,026,253 
Daiwa Securities Group, Inc. @   54,700    389,154 
Denso Corp.   98,200    1,330,086 
ENEOS Holdings, Inc.   470,600    2,336,905 
FUJIFILM Holdings Corp. @   44,700    975,295 
Fukuoka Financial Group, Inc.   13,600    364,260 
Gunma Bank Ltd. (The)   8,800    73,972 
Hachijuni Bank Ltd. (The)   8,600    69,932 
Hakuhodo DY Holdings, Inc.   22,300    185,130 
Hankyu Hanshin Holdings, Inc.   28,300    770,362 
Haseko Corp.   30,800    462,733 
Hitachi Construction Machinery Co. Ltd.   8,000    238,881 
Honda Motor Co. Ltd.   466,200    4,514,537 
Hulic Co. Ltd. @   14,700    148,271 
Ibiden Co. Ltd.   5,200    229,189 
Idemitsu Kosan Co. Ltd.   147,000    893,198 
Iida Group Holdings Co. Ltd. @   14,400    203,243 
INFRONEER Holdings, Inc.   12,800    107,596 
Inpex Corp. @   144,500    2,031,961 
Isuzu Motors Ltd. @   85,200    1,083,008 
Iyogin Holdings, Inc.   13,300    146,156 
J Front Retailing Co. Ltd.   35,100    478,465 
Japan Airlines Co. Ltd.   19,000    388,101 
Japan Post Holdings Co. Ltd.   71,600    664,017 
Japan Post Insurance Co. Ltd. @   4,500    101,903 
JFE Holdings, Inc.   80,000    931,634 
Kajima Corp.   19,700    514,781 
Kamigumi Co. Ltd.   15,700    436,859 
Keihan Holdings Co. Ltd. @   1,300    27,570 
Kobe Steel Ltd. @   43,300    473,277 
Koito Manufacturing Co. Ltd.   27,300    326,925 
Komatsu Ltd.   34,100    1,121,709 
Kubota Corp. @   120,100    1,352,746 
Kuraray Co. Ltd. @   76,400    973,536 
Kyoto Financial Group, Inc. @   26,000    466,178 
Kyushu Financial Group, Inc.   16,500    83,437 
Lixil Corp.   35,000    405,403 
LY Corp.   162,700    599,258 
Marubeni Corp.   23,300    471,323 
Mazda Motor Corp.   78,600    474,531 
Mebuki Financial Group, Inc.   83,070    434,429 
Medipal Holdings Corp.   17,700    287,246 
MEIJI Holdings Co. Ltd. @   21,100    466,968 
MINEBEA MITSUMI, Inc.   38,700    568,790 
Mitsubishi Chemical Group Corp.   185,800    977,997 
Mitsubishi Corp.   50,300    1,008,759 
Mitsubishi Electric Corp.   35,900    775,563 
Mitsubishi Estate Co. Ltd.   70,900    1,330,806 
Mitsubishi Gas Chemical Co., Inc.   21,400    329,236 
Mitsubishi Logistics Corp.   12,500    102,644 
Mitsubishi Motors Corp. @   88,400    250,765 
Mitsubishi UFJ Financial Group, Inc.   240,700    3,314,525 
Mitsui & Co. Ltd.   27,300    558,683 
Mitsui Chemicals, Inc.   47,200    1,093,101 
Mitsui Fudosan Co. Ltd.   80,100    775,942 
Mizuho Financial Group, Inc.   116,740    3,236,991 
MS&AD Insurance Group Holdings, Inc.   44,084    988,794 
NGK Insulators Ltd.   41,200    518,558 
NH Foods Ltd.   11,033    382,464 
NHK Spring Co. Ltd.   7,800    85,174 
Nikon Corp.   17,200    176,772 
NIPPON EXPRESS HOLDINGS, Inc. @   47,700    958,107 
Nippon Steel Corp.   65,927    1,251,196 
Nissan Motor Co. Ltd. @*   113,200    275,287 
Nisshin Seifun Group, Inc.   22,800    272,720 
Niterra Co. Ltd.   18,000    599,979 
Nomura Holdings, Inc.   175,700    1,161,532 
Nomura Real Estate Holdings, Inc.   118,500    694,353 
Obayashi Corp.   12,700    192,742 
Oji Holdings Corp.   189,600    955,604 
Ono Pharmaceutical Co. Ltd. @   19,200    207,859 
Open House Group Co. Ltd.   7,900    357,517 
Panasonic Holdings Corp.   214,900    2,321,287 
Resona Holdings, Inc.   206,800    1,912,834 
Resonac Holdings Corp.   22,300    518,612 
Ricoh Co. Ltd. @   81,000    768,067 
Rohm Co. Ltd. @   24,600    313,810 
SBI Holdings, Inc.   20,500    716,052 
Seiko Epson Corp.   40,700    540,669 
Seino Holdings Co. Ltd.   20,400    313,781 
Sekisui Chemical Co. Ltd.   16,000    290,212 
Sekisui House Ltd.   42,700    943,815 
Seven & i Holdings Co. Ltd.   74,800    1,206,628 
Shimizu Corp.   30,600    342,326 
Shizuoka Financial Group, Inc.   46,000    536,009 
Sojitz Corp.   35,820    881,788 
Subaru Corp.   90,700    1,584,361 
Sumitomo Chemical Co. Ltd.   157,200    380,433 
Sumitomo Corp.   74,000    1,916,225 
Sumitomo Electric Industries Ltd.   164,200    3,529,037 
Sumitomo Forestry Co. Ltd. @   86,700    878,108 
Sumitomo Heavy Industries Ltd.   22,900    471,103 
Sumitomo Mitsui Financial Group, Inc.   237,500    5,993,368 
Sumitomo Mitsui Trust Group, Inc.   49,800    1,327,608 
Sumitomo Realty & Development Co. Ltd.   42,000    1,623,652 
Sumitomo Rubber Industries Ltd. @   42,800    487,576 
Suntory Beverage & Food Ltd. @   3,700    118,447 
Suzuken Co. Ltd.   1,100    39,782 
Suzuki Motor Corp.   103,600    1,253,948 
T&D Holdings, Inc.   7,100    156,293 
Taiheiyo Cement Corp.   7,500    186,660 
Takashimaya Co. Ltd.   26,200    205,317 
Takeda Pharmaceutical Co. Ltd.   126,173    3,877,057 
Tokyo Tatemono Co. Ltd. @   37,600    670,118 
Tokyu Fudosan Holdings Corp.   132,300    944,902 

 

The accompanying notes are an integral part of these financial statements.

 

42

Table of Contents 

 

SA International Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Japan (Continued)          
Toray Industries, Inc.   109,100   $748,370 
Tosoh Corp.   58,300    854,227 
Toyo Seikan Group Holdings Ltd.   16,700    327,378 
Toyo Tire Corp. @   7,400    156,936 
Toyoda Gosei Co. Ltd.   15,300    301,846 
Toyota Boshoku Corp.   9,700    132,495 
Toyota Motor Corp. @   2,917    502,482 
Toyota Motor Corp.   294,950    5,106,145 
Toyota Tsusho Corp.   62,400    1,416,518 
Yamada Holdings Co. Ltd.   48,000    151,095 
Yamaha Motor Co. Ltd. @   111,600    836,583 
Yamato Holdings Co. Ltd.   30,000    402,069 
Yokohama Rubber Co. Ltd. (The) @   27,600    761,274 
         116,042,001 
           
Macau — 0.1%          
Galaxy Entertainment Group Ltd.   105,000    466,149 
           
Netherlands — 4.7%          
ABN AMRO Bank NV, GDR ±   35,524    972,490 
Aegon Ltd. @   119,642    866,452 
Akzo Nobel NV @   13,002    909,754 
ArcelorMittal SA @   53,395    1,686,214 
ArcelorMittal SA =   1,708    54,061 
ASR Nederland NV   17,592    1,168,335 
Coca-Cola Europacific Partners PLC   8,210    756,270 
HAL Trust   1,259    179,745 
Havas NV   40,220    69,076 
Heineken NV   10,203    889,619 
ING Groep NV   223,882    4,912,085 
JDE Peet’s NV @   2,320    66,244 
Koninklijke Ahold Delhaize NV   159,582    6,673,280 
Koninklijke KPN NV   263,030    1,281,483 
Koninklijke Philips NV ¢   35,721    858,803 
Koninklijke Philips NV @   41,074    984,955 
NN Group NV   37,699    2,505,475 
Stellantis NV   191,757    1,922,015 
Stellantis NV @   12,947    129,858 
         26,886,214 
           
New Zealand — 0.2%          
Auckland International Airport Ltd.   114,710    541,542 
Fletcher Building Ltd. @*   56,820    100,094 
Infratil Ltd. @   43,038    278,078 
Mercury NZ Ltd.   41,574    152,302 
Meridian Energy Ltd.   29,271    105,269 
Port of Tauranga Ltd. @   3,033    12,664 
Ryman Healthcare Ltd. @*   33,769    46,108 
Summerset Group Holdings Ltd. @   11,643    79,841 
         1,315,898 
           
Norway — 0.6%          
Aker BP ASA   22,520    575,992 
Aker Solutions ASA   26,878    92,852 
Austevoll Seafood ASA   8,619    82,860 
DNB Bank ASA   17,623    487,109 
Equinor ASA   13,588   343,899 
Norsk Hydro ASA   88,167    503,317 
SpareBank 1 Sor-Norge ASA   18,440    339,184 
Stolt-Nielsen Ltd.   1,313    33,348 
Subsea 7 SA   28,831    541,472 
TGS ASA   6,495    55,385 
Yara International ASA   13,148    485,253 
         3,540,671 
           
Portugal — 0.0%          
EDP Renovaveis SA @   8,223    91,778 
           
Singapore — 1.3%          
BW LPG Ltd. ±   7,072    83,524 
CapitaLand Investment Ltd. @   167,400    348,887 
City Developments Ltd.   14,600    59,594 
Genting Singapore Ltd. @   191,700    107,798 
Hafnia Ltd.   9,131    45,875 
Hongkong Land Holdings Ltd.   73,200    422,364 
Keppel Ltd. @   241,100    1,406,970 
Oversea-Chinese Banking Corp. Ltd.   95,349    1,223,077 
Seatrium Ltd. @   297,440    470,196 
Singapore Airlines Ltd. @   26,700    146,362 
STMicroelectronics NV @   13,809    421,867 
United Overseas Bank Ltd.   71,400    2,021,549 
UOL Group Ltd.   47,218    229,498 
Wilmar International Ltd.   252,000    568,809 
         7,556,370 
           
South Africa — 0.1%          
Anglo American PLC   23,977    707,608 
Valterra Platinum Ltd. *   2,785    122,331 
         829,939 
           
Spain — 3.4%          
Banco Bilbao Vizcaya Argentaria SA   64,315    989,045 
Banco Bilbao Vizcaya Argentaria SA, ADR @   65,357    1,004,537 
Banco de Sabadell SA   74,625    237,606 
Banco Santander SA   1,427,311    11,814,508 
CaixaBank SA   285,333    2,471,740 
Repsol SA @   195,328    2,861,129 
Telefonica SA, ADR @   6,496    33,974 
         19,412,539 
           
Sweden — 2.4%          
Billerud Aktiebolag   22,377    232,145 
Boliden AB *   34,071    1,062,727 
Essity AB, Class B   35,389    980,025 
Getinge AB, Class B   7,190    144,166 
Hexagon AB, Class B @   53,499    538,106 
Hexpol AB @   7,086    68,681 
Holmen AB, Class B @   8,941    354,582 
Husqvarna AB, Class B   42,676    224,591 
Loomis AB   8,247    346,585 
Securitas AB, Class B   59,785    894,162 
Skandinaviska Enskilda Banken AB, Class A   140,768    2,456,510 

 

The accompanying notes are an integral part of these financial statements.

 

43

Table of Contents 

 

SA International Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Sweden (Continued)          
Skanska AB, Class B   29,166   $678,831 
SKF AB, Class A   839    19,332 
SKF AB, Class B @   64,782    1,486,558 
SSAB AB, Class A   29,362    176,403 
SSAB AB, Class B @   84,454    498,820 
Svenska Cellulosa AB SCA, Class A   244    3,172 
Svenska Cellulosa AB SCA, Class B   25,812    335,579 
Svenska Handelsbanken AB, Class A   54,423    727,393 
Svenska Handelsbanken AB, Class B @   1,918    40,161 
Swedbank AB, Class A   38,879    1,029,415 
Telefonaktiebolaget LM Ericsson, Class B   9,317    79,709 
Telia Co. AB   249,241    894,917 
Trelleborg AB, Class B @   10,544    392,409 
Volvo Car AB, Class B @*   39,107    71,800 
         13,736,779 
           
Switzerland — 9.3%          
Alcon AG   30,384    2,688,206 
Baloise Holding AG   4,379    1,033,145 
Banque Cantonale Vaudoise @   1,642    189,251 
Cie Financiere Richemont SA, Class A   27,142    5,112,322 
DSM-Firmenich AG   7,778    826,971 
Holcim AG   54,961    4,079,908 
Julius Baer Group Ltd. @   24,697    1,669,604 
Lonza Group AG   4,850    3,453,589 
Novartis AG   49,804    6,036,487 
Sandoz Group AG   24,470    1,339,073 
Sandoz Group AG, ADR @   572    31,268 
SIG Group AG @   12,171    224,875 
Swiss Life Holding AG   4,035    4,081,531 
Swiss Prime Site AG   1,636    244,951 
Swiss Re AG   27,067    4,678,605 
Swisscom AG   4,128    2,926,460 
UBS Group AG   176,008    5,956,033 
Zurich Insurance Group AG   13,216    9,237,625 
         53,809,904 
           
United Kingdom — 12.2%          
Associated British Foods PLC   9,107    257,265 
Barclays PLC, ADR   124,117    2,307,335 
Barratt Redrow PLC   47,310    296,062 
BP PLC   299,981    1,505,839 
BP PLC, ADR   100,067    2,995,005 
British American Tobacco PLC   105,869    5,032,468 
BT Group PLC @   1,231,112    3,274,153 
Centrica PLC   116,717   258,822 
Endeavour Mining PLC   6,153    189,730 
Glencore PLC *   465,148    1,810,744 
HSBC Holdings PLC   18,452    223,343 
HSBC Holdings PLC, ADR @   184,078    11,190,102 
J Sainsbury PLC   201,103    799,975 
Kingfisher PLC   299,798    1,196,693 
Lloyds Banking Group PLC   5,517,825    5,809,289 
Lloyds Banking Group PLC, ADR @   168,820    717,485 
Natwest Group PLC   428,451    3,007,610 
Natwest Group PLC, ADR @   51,478    728,414 
Shell PLC, ADR @   346,564    24,401,571 
Standard Chartered PLC   184,890    3,063,236 
Vodafone Group PLC   1,312,131    1,400,893 
Whitbread PLC   4,742    183,752 
         70,649,786 
           
United States — 0.7%          
Amrize Ltd. *   54,961    2,741,643 
International Paper Co.   22,318    1,043,115 
Shell PLC   2,416    84,682 
Tenaris SA, ADR   4,481    167,589 
         4,037,029 
           
TOTAL COMMON STOCKS
(Identified Cost $382,785,342)
        566,156,999 
           
PREFERRED STOCKS — 0.7%          
Germany — 0.7%          
Bayerische Motoren Werke AG, 6.167%   7,858    650,720 
Henkel AG & Co. KGaA, 3.060%   14,026    1,101,352 
Porsche Automobil Holding SE, 5.681%   7,710    305,973 
Volkswagen AG, 7.089%   17,837    1,883,015 
         3,941,060 
           
TOTAL PREFERRED STOCKS
(Identified Cost $4,809,037)
        3,941,060 

 

The accompanying notes are an integral part of these financial statements.

 

44

Table of Contents 

 

SA International Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
SHORT-TERM INVESTMENTS — 5.7%          
Investment Company — 0.1%          
State Street Institutional U.S. Government Money Market Fund 4.020%   651,678   $651,678 
           
Collateral For Securities On Loan — 5.6%          
State Street Navigator Securities Lending Government Money Market Portfolio 4.350%   32,039,504    32,039,504 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $32,691,182)
        32,691,182 
           
Total Investments — 104.5%
(Identified Cost $420,285,561)
        602,789,241 
Liabilities in excess of Cash and Other Assets — (4.5%)        (25,783,938)
           
Net Assets — 100.0%       $577,005,303 

 

See Note 1
@ A portion or all of the security was held on loan. As of June 30, 2025, the fair value of the securities on loan was $87,020,911.
* Non-income producing security
± 144A Securities. Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers. These securities have been deemed by the Fund to be liquid and at June 30, 2025 amounted to $3,152,629 or 0.55% of the net assets of the Fund.
¥ Traded on the Canada, Toronto Stock Exchange.
= Traded on the France, Euronext Paris Exchange.
¢ Traded on the Netherlands, Euronext Amsterdam Stock Market.
   
Key to abbreviations:
ADR — American Depository Receipt
   

The accompanying notes are an integral part of these financial statements.

 

45

Table of Contents 

 

SA International Small Company Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025

 

   SHARES   VALUE† 
           
MUTUAL FUNDS — 100.0%          
Others — 100.0%          
DFA International Small Company Portfolio £   11,530,168   $271,650,759 
           
TOTAL MUTUAL FUNDS
(Identified Cost $115,484,961)
        271,650,759 
           
Total Investments — 100.0%
(Identified Cost $115,484,961)
        271,650,759 
Liabilities in excess of Cash and Other Assets — 0.0%        (106,002)
           
Net Assets — 100.0%       $271,544,757 

 

See Note 1
£ The Fund invests a substantial amount of its assets in the DFA International Small Company Portfolio. Financial statements and other information about the DFA International Small Company Portfolio, including its portfolio holdings, are available at https://www.dimensional.com.

 

The accompanying notes are an integral part of these financial statements.

 

46

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025

 

   SHARES   VALUE† 
           
COMMON STOCKS — 99.5%          
Belgium — 0.0%          
Titan SA   987   $44,645 
           
Brazil — 2.3%          
Anima Holding SA   29,800    23,256 
Banco Bradesco SA   70,133    187,302 
Banco Bradesco SA, ADR   87,896    271,599 
Banco do Brasil SA   75,054    305,156 
Banco Santander Brasil SA   49,700    271,593 
BrasilAgro - Co. Brasileira de Propriedades Agricolas   4,700    17,128 
C&A Modas SA   10,500    37,995 
Cia Siderurgica Nacional SA   34,656    47,457 
Cogna Educacao SA   149,565    77,355 
Cruzeiro do Sul Educacional SA   22,900    21,749 
Cyrela Brazil Realty SA Empreendimentos e Participacoes   24,974    120,156 
Dexco SA   34,954    36,478 
Gerdau SA, ADR   82,369    240,517 
Grupo SBF SA   12,700    28,518 
Hapvida Participacoes e Investimentos SA *±   10,590    71,828 
Iochpe Maxion SA   12,197    29,970 
IRB Brasil Resseguros SA *   3,822    31,825 
JHSF Participacoes SA   40,831    40,056 
M Dias Branco SA   2,888    12,757 
Petroleo Brasileiro SA - Petrobras   201,796    1,266,169 
Petroleo Brasileiro SA - Petrobras, ADR   26,329    303,837 
Petroreconcavo SA   10,435    27,523 
Sao Martinho SA   10,312    33,348 
Tupy SA   3,847    12,901 
Vale SA   20,412    197,804 
Vale SA, ADR   63,918    620,644 
Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA   4,800    22,626 
Vibra Energia SA   69,139    275,635 
YDUQS Participacoes SA   12,500    37,939 
         4,671,121 
           
British Virgin Islands — 0.0%          
AsiaInfo Technologies Ltd. @±   13,200    15,033 
           
Canada — 0.0%          
China Gold International Resources Corp. Ltd.   3,700    33,465 
           
Cayman Islands — 0.2%          
Edvantage Group Holdings Ltd.   32,244    6,243 
Fulgent Sun International Holding Co. Ltd.   8,315    29,745 
Gourmet Master Co. Ltd.   5,000    13,984 
Trip.com Group Ltd.   5,300    307,875 
         357,847 
           
Chile — 0.5%          
CAP SA *   4,662    24,012 
Cencosud SA   18,885    64,259 
Cia Cervecerias Unidas SA, ADR   788    10,181 
Cia Sud Americana de Vapores SA   1,034,584    52,883 
Empresa Nacional de Telecomunicaciones SA   13,467    43,375 
Empresas CMPC SA   57,684    88,171 
Empresas Copec SA   28,747    195,756 
Enel Americas SA   1,098,585    107,014 
Falabella SA   20,400    108,391 
Inversiones Aguas Metropolitanas SA   43,236    39,726 
Ripley Corp. SA   81,141    37,670 
Salfacorp SA   43,853    35,068 
Sigdo Koppers SA   27,803    38,797 
SMU SA   215,040    38,547 
Sociedad Matriz SAAM SA   298,644    37,519 
SONDA SA   83,103    31,578 
Vina Concha y Toro SA   23,908    27,821 
         980,768 
           
China — 28.5%          
361 Degrees International Ltd.   71,000    45,133 
3SBio, Inc. ±   74,000    222,944 
AAC Technologies Holdings, Inc.   52,000    269,607 
Advanced Technology & Materials Co. Ltd., Class A   13,900    24,985 
Agricultural Bank of China Ltd., Class H   1,402,000    1,000,159 
Airtac International Group   6,000    178,899 
Alibaba Group Holding Ltd.   304,510    4,259,288 
Aluminum Corp. of China Ltd., Class H   216,000    145,285 
Anhui Conch Cement Co. Ltd., Class H   71,500    181,802 
Anhui Guangxin Agrochemical Co. Ltd., Class A   4,312    6,421 
Anhui Heli Co. Ltd., Class A   8,200    20,301 
Anhui Hengyuan Coal Industry and Electricity Power Co. Ltd., Class A   12,600    11,606 
Anhui Huilong Agricultural Means of Production Co. Ltd., Class A   6,500    5,397 
Anhui Jiangnan Chemical Industry Co. Ltd., Class A   29,200    23,635 
Anhui Truchum Advanced Materials & Technology Co. Ltd., Class A   13,800    18,739 

 

The accompanying notes are an integral part of these financial statements.

 

47

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
Anhui Zhongding Sealing Parts Co. Ltd., Class A   13,300   $32,649 
Anjoy Foods Group Co. Ltd., Class A   2,200    24,691 
Asia - Potash International Investment Guangzhou Co. Ltd., Class A *   4,400    18,508 
Asymchem Laboratories Tianjin Co. Ltd., Class A   2,200    27,095 
AviChina Industry & Technology Co. Ltd., Class H   219,000    123,589 
BAIC Motor Corp. Ltd., Class H *±   145,000    35,835 
Baidu, Inc., ADR *   11,412    978,693 
Baidu, Inc., Class A *   6,850    72,820 
Bairong, Inc. *±   21,500    25,608 
Bank of Beijing Co. Ltd., Class A   98,400    93,793 
Bank of Changsha Co. Ltd., Class A   25,500    35,374 
Bank of Chengdu Co. Ltd., Class A   26,000    72,933 
Bank of China Ltd., Class H   3,576,902    2,077,806 
Bank of Chongqing Co. Ltd., Class H   46,500    48,277 
Bank of Communications Co. Ltd., Class H   462,400    430,005 
Bank of Guiyang Co. Ltd., Class A   22,500    19,594 
Bank of Hangzhou Co. Ltd., Class A   32,101    75,353 
Bank of Jiangsu Co. Ltd., Class A   80,100    133,472 
Bank of Nanjing Co. Ltd., Class A   61,300    99,408 
Bank of Ningbo Co. Ltd., Class A   38,780    148,074 
Bank of Qingdao Co. Ltd., Class H ±   53,000    27,614 
Bank of Shanghai Co. Ltd., Class A   68,500    101,428 
Bank of Suzhou Co. Ltd., Class A   22,220    27,227 
Baoshan Iron & Steel Co. Ltd., Class A   100,300    92,244 
BBMG Corp., Class H   103,000    9,710 
Beijing Capital Eco-Environment Protection Group Co. Ltd., Class A   48,000    20,230 
Beijing Easpring Material Technology Co. Ltd., Class A   2,700    16,530 
Beijing Enterprises Holdings Ltd.   46,000    189,275 
Beijing Enterprises Water Group Ltd. @   414,000    124,992 
Beijing GeoEnviron Engineering & Technology, Inc., Class A   11,232    8,841 
Beijing Jetsen Technology Co. Ltd., Class A *   28,600    21,992 
Beijing New Building Materials PLC, Class A   5,600    20,695 
Beijing Originwater Technology Co. Ltd., Class A   5,558    3,490 
Beijing Shougang Co. Ltd., Class A   27,500    13,049 
Beijing Sinnet Technology Co. Ltd., Class A   15,900    31,731 
Beijing SL Pharmaceutical Co. Ltd., Class A   8,900    8,806 
Beijing Yanjing Brewery Co. Ltd., Class A   9,600    17,323 
Beijing-Shanghai High Speed Railway Co. Ltd., Class A *   108,000    86,665 
Beiqi Foton Motor Co. Ltd., Class A *   66,600    25,188 
BGI Genomics Co. Ltd., Class A   1,800    12,502 
BOC International China Co. Ltd., Class A   14,300    21,334 
BOE Technology Group Co. Ltd., Class A   220,300    122,671 
BOE Varitronix Ltd.   15,000    12,612 
Bohai Leasing Co. Ltd., Class A *   64,900    30,161 
Bright Dairy & Food Co. Ltd., Class A *   7,700    9,037 
Brilliance China Automotive Holdings Ltd. @   178,000    72,107 
BTG Hotels Group Co. Ltd., Class A   5,700    11,240 
Business-intelligence of Oriental Nations Corp. Ltd., Class A *   8,200    12,474 
By-health Co. Ltd., Class A   11,100    17,412 
BYD Electronic International Co. Ltd.   3,500    14,178 
C C Land Holdings Ltd. *   38,500    5,885 
C&D International Investment Group Ltd.   55,477    112,227 
Caitong Securities Co. Ltd., Class A   15,470    17,077 
Canmax Technologies Co. Ltd., Class A   4,800    12,775 
CECEP Solar Energy Co. Ltd., Class A   30,100    18,441 
CECEP Wind-Power Corp., Class A   49,010    19,767 
CGN New Energy Holdings Co. Ltd.   130,000    41,070 
Changchun High-Tech Industry Group Co. Ltd., Class A *   2,500    34,603 
Changjiang Securities Co. Ltd., Class A   17,900    17,312 
Chengdu Kanghong Pharmaceutical Group Co. Ltd., Class A   4,900    19,811 
Chengdu Wintrue Holding Co. Ltd., Class A   8,900    11,651 
Chengxin Lithium Group Co. Ltd., Class A *   5,600    10,066 
China Baoan Group Co. Ltd., Class A   9,000    11,153 
China BlueChemical Ltd., Class H   58,000    15,516 
China Bohai Bank Co. Ltd., Class H *±   141,000    15,986 
China CAMC Engineering Co. Ltd., Class A *   4,400    5,299 
China Cinda Asset Management Co. Ltd., Class H *   103,000    17,582 

 

The accompanying notes are an integral part of these financial statements.

 

48

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
China Citic Bank Corp. Ltd., Class H   533,000   $507,881 
China Coal Energy Co. Ltd., Class H @   181,000    209,362 
China Coal Xinji Energy Co. Ltd., Class A *   19,900    17,941 
China Communications Services Corp. Ltd., Class H   231,600    125,389 
China Conch Venture Holdings Ltd.   61,500    70,980 
China Construction Bank Corp., Class H   5,076,810    5,122,114 
China Development Bank Financial Leasing Co. Ltd., Class H ±   128,000    28,372 
China Education Group Holdings Ltd.   34,181    11,844 
China Energy Engineering Corp. Ltd., Class A   88,674    27,597 
China Energy Engineering Corp. Ltd., Class H   152,000    20,331 
China Everbright Bank Co. Ltd., Class H   198,000    98,875 
China Feihe Ltd. ±   195,000    141,842 
China Foods Ltd.   86,000    33,633 
China Galaxy Securities Co. Ltd., Class H @   96,500    108,548 
China Gas Holdings Ltd.   233,800    218,314 
China Great Wall Securities Co. Ltd., Class A   8,500    9,941 
China Green Electricity Investment of Tianjin Co. Ltd., Class A   10,700    12,484 
China Hongqiao Group Ltd. @   189,000    432,897 
China Huiyuan Juice Group Ltd. *§   84,500     
China International Marine Containers Group Co. Ltd., Class H   74,460    58,810 
China Jushi Co. Ltd., Class A   22,631    36,005 
China Lesso Group Holdings Ltd.   100,000    53,376 
China Lilang Ltd.   31,000    14,770 
China Literature Ltd. *±   27,000    102,669 
China Medical System Holdings Ltd.   97,000    148,281 
China Meheco Group Co. Ltd., Class A   13,860    20,000 
China Meidong Auto Holdings Ltd.   56,000    16,194 
China Mengniu Dairy Co. Ltd.   149,000    305,594 
China Merchants Bank Co. Ltd., Class H   212,500    1,484,802 
China Merchants Energy Shipping Co. Ltd., Class A   27,400    23,937 
China Merchants Expressway Network & Technology Holdings Co. Ltd., Class A   12,700    21,269 
China Merchants Port Holdings Co. Ltd.   91,712    167,069 
China Merchants Property Operation & Service Co. Ltd., Class A   5,000    8,632 
China Merchants Shekou Industrial Zone Holdings Co. Ltd., Class A   22,000    26,926 
China Minsheng Banking Corp. Ltd., Class H   353,880    200,608 
China National Accord Medicines Corp. Ltd., Class A   4,160    14,473 
China National Building Material Co. Ltd., Class H   207,591    99,168 
China National Chemical Engineering Co. Ltd., Class A   38,700    41,425 
China National Medicines Corp. Ltd., Class A   4,600    18,720 
China National Nuclear Power Co. Ltd., Class A   53,700    69,846 
China New Higher Education Group Ltd. ±   94,587    10,724 
China Nonferrous Metal Industry’s Foreign Engineering and Construction Co. Ltd., Class A   15,100    10,600 
China Nonferrous Mining Corp. Ltd.   102,000    94,724 
China Oilfield Services Ltd., Class H   134,000    109,932 
China Overseas Grand Oceans Group Ltd.   141,402    32,063 
China Overseas Land & Investment Ltd.   201,500    349,611 
China Pacific Insurance Group Co. Ltd., Class H   127,800    437,128 
China Petroleum & Chemical Corp., Class H   1,844,400    965,673 
China Railway Group Ltd., Class H   247,000    118,309 
China Railway Hi-tech Industry Co. Ltd., Class A   10,600    10,917 
China Railway Signal & Communication Corp. Ltd., Class H ±   149,000    61,309 
China Reinsurance Group Corp., Class H   422,000    65,585 
China Resources Beer Holdings Co. Ltd.   36,000    114,650 
China Resources Building Materials Technology Holdings Ltd.   238,000    50,935 
China Resources Double Crane Pharmaceutical Co. Ltd., Class A   6,300    16,406 
China Resources Gas Group Ltd.   44,500    113,660 
China Resources Land Ltd.   251,000    850,528 
China Resources Medical Holdings Co. Ltd.   71,500    37,344 

 

The accompanying notes are an integral part of these financial statements.

 

49

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PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
China Resources Pharmaceutical Group Ltd. ±   134,500   $87,725 
China Risun Group Ltd. @   58,000    18,693 
China Shenhua Energy Co. Ltd., Class H @   177,000    686,584 
China Shineway Pharmaceutical Group Ltd.   36,000    35,954 
China South Publishing & Media Group Co. Ltd., Class A   11,600    21,240 
China State Construction Engineering Corp. Ltd., Class A *   191,200    153,963 
China State Construction International Holdings Ltd.   50,000    75,414 
China Taiping Insurance Holdings Co. Ltd.   91,000    177,364 
China Tower Corp. Ltd. Class H ±   364,800    521,412 
China Traditional Chinese Medicine Holdings Co. Ltd. @*   260,000    73,198 
China TransInfo Technology Co. Ltd., Class A *   6,900    8,955 
China Travel International Investment Hong Kong Ltd.   180,000    34,166 
China Vanke Co. Ltd., Class H @*   133,972    83,456 
China Yongda Automobiles Services Holdings Ltd. @   84,000    24,077 
China Youran Dairy Group Ltd. @*±   71,000    23,787 
China Zhenhua Group Science & Technology Co. Ltd., Class A   3,700    25,844 
China Zheshang Bank Co. Ltd., Class H   124,800    46,900 
Chinasoft International Ltd.   164,000    104,250 
Chinese Universe Publishing and Media Group Co. Ltd., Class A   9,200    13,186 
Chongqing Changan Automobile Co. Ltd., Class A *   41,230    73,421 
Chongqing Department Store Co. Ltd., Class A *   2,400    9,991 
Chongqing Rural Commercial Bank Co. Ltd., Class H @   137,000    115,709 
Chongqing Sanfeng Environment Group Corp. Ltd., Class A *   10,300    12,075 
Chongqing Zhifei Biological Products Co. Ltd., Class A   7,000    19,138 
Chow Tai Seng Jewellery Co. Ltd., Class A   12,900    23,728 
CIMC Enric Holdings Ltd.   60,000    49,988 
CITIC Ltd.   209,000    287,011 
CMOC Group Ltd., Class H   87,000    88,441 
CNGR Advanced Material Co. Ltd., Class A   2,520    11,563 
CNNC Hua Yuan Titanium Dioxide Co. Ltd., Class A   21,460    12,429 
CNOOC Energy Technology & Services Ltd., Class A   62,100    35,359 
CNSIG Inner Mongolia Chemical Industry Co. Ltd., Class A   13,650    14,573 
COFCO Biotechnology Co. Ltd., Class A *   15,100    11,759 
COFCO Joycome Foods Ltd. @*   183,000    36,833 
COFCO Sugar Holding Co. Ltd., Class A   15,600    20,574 
Concord New Energy Group Ltd.   420,000    27,287 
Consun Pharmaceutical Group Ltd.   23,000    33,167 
COSCO Shipping Development Co. Ltd., Class H   324,200    43,778 
COSCO Shipping Energy Transportation Co. Ltd., Class H @   86,000    71,320 
COSCO Shipping Holdings Co. Ltd., Class H @   223,699    388,697 
COSCO SHIPPING International Hong Kong Co. Ltd.   34,000    23,908 
COSCO SHIPPING Ports Ltd.   135,886    90,014 
COSCO SHIPPING Specialized Carriers Co. Ltd., Class A   24,600    21,457 
CRRC Corp. Ltd., Class H   177,000    106,877 
CSG Holding Co. Ltd., Class A   19,500    12,573 
CSPC Pharmaceutical Group Ltd.   350,000    343,314 
CSSC Hong Kong Shipping Co. Ltd.   70,000    18,726 
CTS International Logistics Corp. Ltd., Class A   11,000    9,518 
Daqin Railway Co. Ltd., Class A   85,800    79,029 
Dian Diagnostics Group Co. Ltd., Class A   4,800    9,981 
Dongfang Electric Corp. Ltd., Class H @   21,000    35,847 
Dongxing Securities Co. Ltd., Class A   12,000    18,673 
Dongyue Group Ltd. @   104,000    138,844 
E-Commodities Holdings Ltd.   94,000    11,136 
Easyhome New Retail Group Co. Ltd., Class A   51,400    21,878 
EEKA Fashion Holdings Ltd.   17,500    17,656 
Ever Sunshine Services Group Ltd.   42,000    10,915 
Fangda Carbon New Material Co. Ltd., Class A   15,700    10,166 
Fangda Special Steel Technology Co. Ltd., Class A   19,000    11,508 
Far East Horizon Ltd.   187,000    162,465 
FAW Jiefang Group Co. Ltd., Class A   14,900    14,265 
Fiberhome Telecommunication Technologies Co. Ltd., Class A   5,800    17,022 
FIH Mobile Ltd. *   4,500    5,905 

 

The accompanying notes are an integral part of these financial statements.

 

50

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
FinVolution Group, ADR   6,072   $57,563 
Flat Glass Group Co. Ltd., Class H   15,000    16,834 
Founder Securities Co. Ltd., Class A   23,800    26,273 
Fu Shou Yuan International Group Ltd. @   93,000    44,072 
Fufeng Group Ltd.   153,000    134,290 
Fujian Funeng Co. Ltd., Class A   18,330    24,660 
Fujian Sunner Development Co. Ltd., Class A   9,800    19,544 
Ganfeng Lithium Group Co. Ltd., Class H ±   12,000    34,854 
Gansu Energy Chemical Co. Ltd., Class A *   56,900    19,614 
Gansu Shangfeng Cement Co. Ltd., Class A   6,240    6,880 
GCL Energy Technology Co. Ltd., Class A *   4,200    8,165 
GCL Technology Holdings Ltd. @*   395,000    50,319 
GDS Holdings Ltd., Class A @*   18,600    69,899 
Geely Automobile Holdings Ltd.   340,000    691,266 
GEM Co. Ltd., Class A   33,500    29,687 
Gemdale Corp., Class A *   19,200    10,155 
Genertec Universal Medical Group Co. Ltd. ±   75,500    53,860 
GF Securities Co. Ltd., Class H   48,000    80,592 
Giant Network Group Co. Ltd., Class A   9,400    30,894 
Global New Material International Holdings Ltd. @*   25,000    14,873 
GoerTek, Inc., Class A   12,100    39,379 
Goldwind Science & Technology Co. Ltd., Class H   47,800    45,486 
Gotion High-tech Co. Ltd., Class A *   5,100    23,103 
Grand Pharmaceutical Group Ltd. @   88,500    98,309 
Great Wall Motor Co. Ltd., Class H *   124,500    191,588 
Gree Electric Appliances, Inc. of Zhuhai, Class A   9,000    56,420 
Greentown China Holdings Ltd.   78,500    94,501 
Greentown Management Holdings Co. Ltd. @±   61,000    23,001 
Greentown Service Group Co. Ltd.   102,000    56,912 
GRG Banking Equipment Co. Ltd., Class A   12,500    23,446 
Guangdong Construction Engineering Group Co. Ltd., Class A   42,300    20,543 
Guangdong Provincial Expressway Development Co. Ltd., Class A   12,700    23,626 
Guangdong Tapai Group Co. Ltd., Class A   9,300    9,604 
Guangdong Xinbao Electrical Appliances Holdings Co. Ltd., Class A   4,200    8,616 
Guanghui Energy Co. Ltd., Class A *   48,700    40,915 
Guangshen Railway Co. Ltd., Class H @   82,000    19,534 
Guangxi Liugong Machinery Co. Ltd., Class A   14,900    19,983 
Guangzhou Automobile Group Co. Ltd., Class H @   48,000    17,549 
Guangzhou Baiyun International Airport Co. Ltd., Class A   8,300    10,541 
Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd., Class H @   16,000    35,465 
Guangzhou Shiyuan Electronic Technology Co. Ltd., Class A   4,100    19,798 
Guangzhou Yuexiu Capital Holdings Group Co. Ltd., Class A *   18,042    17,273 
Guizhou Panjiang Refined Coal Co. Ltd., Class A   9,269    6,119 
Guizhou Xinbang Pharmaceutical Co. Ltd., Class A   32,400    15,735 
Guosen Securities Co. Ltd., Class A   22,400    36,013 
Guotai Haitong Securities Co. Ltd., Class H ±   105,152    168,780 
Haier Smart Home Co. Ltd., Class A   20,500    70,894 
Haier Smart Home Co. Ltd., Class H   137,800    394,093 
Hainan Meilan International Airport Co. Ltd., Class H @*   23,000    31,351 
Haitian International Holdings Ltd.   38,000    98,752 
Han’s Laser Technology Industry Group Co. Ltd., Class A   3,000    10,203 
Hangzhou Binjiang Real Estate Group Co. Ltd., Class A   22,900    31,160 
Hangzhou GreatStar Industrial Co. Ltd.   4,400    15,664 
Hangzhou Robam Appliances Co. Ltd., Class A   2,900    7,694 
Harbin Electric Co. Ltd., Class H   74,000    55,147 
Health & Happiness H&H International Holdings Ltd.   18,500    26,914 
Hello Group, Inc., ADR   12,302    103,829 
Henan Mingtai Al Industrial Co. Ltd., Class A   8,400    14,560 
Henan Shenhuo Coal Industry & Electricity Power Co. Ltd., Class A   8,500    19,739 
Hengan International Group Co. Ltd.   42,000    120,650 
Hengli Petrochemical Co. Ltd., Class A   35,500    70,648 
Hengtong Optic-electric Co. Ltd., Class A   9,680    20,669 

 

The accompanying notes are an integral part of these financial statements.

 

51

Table of Contents 

 

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PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
Hengyi Petrochemical Co. Ltd., Class A   25,000   $20,515 
Hesteel Co. Ltd., Class A   65,500    19,745 
Hisense Visual Technology Co. Ltd., Class A   8,800    28,271 
HLA Group Corp. Ltd., Class A   24,000    23,312 
Hopson Development Holdings Ltd. *   101,900    43,097 
Horizon Construction Development Ltd.   115,553    17,517 
Hoshine Silicon Industry Co. Ltd., Class A   4,200    27,783 
Hua Han Health Industry Holdings Ltd. *§   504,000     
Hua Hong Semiconductor Ltd. @±*   30,000    132,612 
Huafon Chemical Co. Ltd., Class A   27,754    25,602 
Huaibei Mining Holdings Co. Ltd., Class A   10,400    16,459 
Huapont Life Sciences Co. Ltd., Class A *   27,600    16,062 
Huatai Securities Co. Ltd., Class H ±   46,400    93,983 
Huaxi Securities Co. Ltd., Class A   12,600    15,720 
Huaxia Bank Co. Ltd., Class A   43,300    47,799 
Huaxin Cement Co. Ltd., Class A   7,000    11,567 
Huaxin Cement Co. Ltd., Class H   17,700    19,842 
Huayu Automotive Systems Co. Ltd., Class A   17,500    43,106 
Hubei Jumpcan Pharmaceutical Co. Ltd., Class A   4,400    16,168 
Hubei Xingfa Chemicals Group Co. Ltd., Class A   9,400    26,932 
Hubei Yihua Chemical Industry Co. Ltd., Class A   12,200    20,295 
Huitongda Network Co. Ltd., Class H @*±   2,800    4,851 
Humanwell Healthcare Group Co. Ltd., Class A   9,700    28,401 
Hunan Valin Steel Co. Ltd., Class A   47,300    29,045 
Hygeia Healthcare Holdings Co. Ltd. @*±   22,400    43,545 
Hytera Communications Corp. Ltd., Class A *   11,800    20,272 
IKD Co. Ltd., Class A   7,100    15,864 
Industrial & Commercial Bank of China Ltd., Class H   3,471,000    2,750,288 
Industrial Bank Co. Ltd., Class A   81,100    264,165 
Industrial Securities Co. Ltd., Class A   28,910    24,974 
Infore Environment Technology Group Co. Ltd., Class A   12,400    12,027 
Inner Mongolia BaoTou Steel Union Co. Ltd., Class A   169,960    42,457 
Inner Mongolia Berun Chemical Co. Ltd., Class A   34,700    23,196 
Inner Mongolia Dian Tou Energy Corp. Ltd., Class A   12,000    33,125 
Inner Mongolia ERDOS Resources Co. Ltd., Class A   11,760    14,295 
Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd., Class A   55,300    42,601 
Intco Medical Technology Co. Ltd., Class A   5,700    18,837 
iQIYI, Inc., ADR @*   31,465    55,693 
IRICO Display Devices Co. Ltd., Class A *   22,000    19,834 
JA Solar Technology Co. Ltd., Class A *   14,800    20,613 
JCET Group Co. Ltd., Class A   2,995    14,082 
JD Health International, Inc. *±   25,700    140,778 
JD Logistics, Inc. *±   121,400    203,211 
JD.com, Inc., Class A   145,750    2,374,719 
Jiangsu Changshu Rural Commercial Bank Co. Ltd., Class A   24,442    25,140 
Jiangsu Eastern Shenghong Co. Ltd., Class A *   29,100    33,829 
Jiangsu Guotai International Group Co. Ltd., Class A   10,400    10,552 
Jiangsu Jiangyin Rural Commercial Bank Co. Ltd., Class A   34,700    23,003 
Jiangsu Lihua Foods Group Co. Ltd.   4,320    11,328 
Jiangsu Phoenix Publishing & Media Corp. Ltd., Class A   14,700    22,915 
Jiangsu Provincial Agricultural Reclamation & Development Corp., Class A   14,300    19,697 
Jiangsu Zhangjiagang Rural Commercial Bank Co. Ltd., Class A   27,840    17,484 
Jiangsu Zhongtian Technology Co. Ltd., Class A   11,500    23,207 
Jiangxi Copper Co. Ltd., Class H   70,000    135,899 
Jilin Aodong Pharmaceutical Group Co. Ltd., Class A   7,300    17,268 
JinkoSolar Holding Co. Ltd., ADR @   3,545    75,225 
Jinneng Holding Shanxi Coal Industry Co. Ltd., Class A *   15,000    25,581 
Jinneng Science&Technology Co. Ltd., Class A   10,600    10,252 
Jinxin Fertility Group Ltd. @±*   154,500    60,226 
Jiumaojiu International Holdings Ltd. @±   74,000    26,395 
Jizhong Energy Resources Co. Ltd., Class A   21,200    17,012 

 

The accompanying notes are an integral part of these financial statements.

 

52

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
Joincare Pharmaceutical Group Industry Co. Ltd., Class A   18,700   $28,785 
Jointown Pharmaceutical Group Co. Ltd., Class A   28,792    20,653 
Keda Industrial Group Co. Ltd., Class A   18,900    25,849 
Kinetic Development Group Ltd.   104,000    14,971 
Kingboard Holdings Ltd.   59,000    188,651 
Kingfa Sci & Tech Co. Ltd., Class A   13,400    19,280 
Kunlun Energy Co. Ltd.   354,000    343,630 
Lao Feng Xiang Co. Ltd., Class A   2,700    18,746 
LB Group Co. Ltd., Class A   11,200    25,337 
Lee & Man Paper Manufacturing Ltd.   70,000    20,242 
Legend Holdings Corp., Class H *±   38,400    43,537 
Lens Technology Co. Ltd., Class A   14,740    45,873 
Lepu Medical Technology Beijing Co. Ltd., Class A   14,700    28,270 
LexinFintech Holdings Ltd., ADR   7,280    52,489 
Leyard Optoelectronic Co. Ltd., Class A   20,300    17,281 
Li Ning Co. Ltd.   157,500    339,480 
Lianhe Chemical Technology Co. Ltd., Class A   6,700    10,285 
Livzon Pharmaceutical Group, Inc., Class H   6,800    25,598 
Loncin Motor Co. Ltd., Class A   10,000    17,808 
Longfor Group Holdings Ltd. @±   118,500    139,786 
LONGi Green Energy Technology Co. Ltd., Class A   24,500    51,356 
Lonking Holdings Ltd.   158,000    42,469 
Luenmei Quantum Co. Ltd., Class A   13,300    10,431 
Luxi Chemical Group Co. Ltd., Class A   8,600    12,362 
Luye Pharma Group Ltd. @*±   161,500    73,653 
Maccura Biotechnology Co. Ltd., Class A   3,800    6,311 
Mango Excellent Media Co. Ltd., Class A   3,900    11,876 
Maoyan Entertainment ±   21,200    19,688 
Metallurgical Corp. of China Ltd., Class H   225,000    46,433 
Ming Yang Smart Energy Group Ltd., Class A   6,800    10,904 
Mingfa Group International Co. Ltd. *   91,000    1,275 
Minth Group Ltd.   56,000    159,797 
MLS Co. Ltd., Class A   20,000    21,994 
MMG Ltd. @*   330,400    161,203 
Morimatsu International Holdings Co. Ltd.   30,000    23,083 
Nanjing Iron & Steel Co. Ltd., Class A   36,600    21,453 
Nanjing Tanker Corp., Class A *   42,600    17,360 
Nanjing Xinjiekou Department Store Co. Ltd., Class A   6,900    6,471 
NetDragon Websoft Holdings Ltd.   25,500    34,888 
New China Life Insurance Co. Ltd., Class H   7,600    41,389 
New Hope Liuhe Co. Ltd., Class A *   13,600    17,803 
Newland Digital Technology Co. Ltd., Class A   2,500    11,297 
Nexteer Automotive Group Ltd. @   69,000    50,102 
Nine Dragons Paper Holdings Ltd. @*   109,000    44,850 
Ningbo Huaxiang Electronic Co. Ltd., Class A *   8,950    22,995 
Ningbo Joyson Electronic Corp., Class A   5,200    12,656 
Ningbo Shanshan Co. Ltd., Class A *   16,300    21,519 
Ningbo Zhoushan Port Co. Ltd., Class A   33,200    16,958 
Noah Holdings Ltd., ADR   2,147    25,635 
Northeast Securities Co. Ltd., Class A   8,500    9,051 
Offshore Oil Engineering Co. Ltd., Class A   27,400    20,878 
Onewo, Inc., Class H   10,700    28,693 
ORG Technology Co. Ltd., Class A   26,800    22,254 
Oriental Energy Co. Ltd., Class A *   11,300    15,234 
Oriental Pearl Group Co. Ltd., Class A   10,700    11,155 
PAX Global Technology Ltd.   20,000    15,414 
People’s Insurance Co. Group of China Ltd. (The), Class H   367,000    279,109 
PetroChina Co. Ltd., Class H   1,710,000    1,470,392 
PICC Property & Casualty Co. Ltd., Class H   150,000    290,448 
Ping An Bank Co. Ltd., Class A   42,300    71,253 
Ping An Insurance Group Co. of China Ltd., Class H   364,000    2,311,531 
Pingdingshan Tianan Coal Mining Co. Ltd., Class A   15,900    16,443 
Poly Property Group Co. Ltd.   106,431    20,473 
Poly Property Services Co. Ltd., Class H   10,200    43,074 
Postal Savings Bank of China Co. Ltd., Class H ±   571,000    398,611 
Power Construction Corp. of China Ltd., Class A   84,900    57,702 
Q Technology Group Co. Ltd.   36,000    38,064 
Qingdao Hanhe Cable Co. Ltd., Class A   35,800    16,887 

 

The accompanying notes are an integral part of these financial statements.

 

53

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
Qingdao Port International Co. Ltd. Class H ±   56,000   $46,940 
Qinhuangdao Port Co. Ltd., Class H   43,000    12,763 
Redco Properties Group Ltd. @*±   80,000    1,437 
Renhe Pharmacy Co. Ltd., Class A   19,700    14,901 
Risen Energy Co. Ltd., Class A *   6,400    8,557 
SAIC Motor Corp. Ltd., Class A   29,700    66,525 
Sanan Optoelectronics Co. Ltd., Class A *   11,300    19,586 
Sansteel Minguang Co. Ltd. Fujian, Class A *   13,700    6,711 
Sansure Biotech, Inc., Class A   3,333    9,526 
Sany Heavy Equipment International Holdings Co. Ltd. @   64,000    55,032 
Sany Heavy Industry Co. Ltd., Class A   11,000    27,556 
Satellite Chemical Co. Ltd., Class A   8,826    21,346 
SDIC Capital Co. Ltd., Class A   20,400    21,409 
Sealand Securities Co. Ltd., Class A   24,800    14,259 
Seazen Group Ltd. *   72,000    21,371 
Seazen Holdings Co. Ltd., Class A *   13,800    26,346 
SF Holding Co. Ltd., Class A   8,300    56,480 
Shaanxi Coal Industry Co. Ltd., Class A   31,937    85,754 
Shaanxi Construction Engineering Group Corp. Ltd., Class A   31,000    16,483 
Shan Xi Hua Yang Group New Energy Co. Ltd., Class A   32,400    30,114 
Shandong Buchang Pharmaceuticals Co. Ltd., Class A   9,200    20,851 
Shandong Hi-Speed Road & Bridge Group Co. Ltd., Class A   20,600    16,904 
Shandong Hualu Hengsheng Chemical Co. Ltd., Class A   12,310    37,228 
Shandong Humon Smelting Co. Ltd., Class A   10,800    17,785 
Shandong Linglong Tyre Co. Ltd., Class A   7,700    15,764 
Shandong Nanshan Aluminum Co. Ltd., Class A   37,900    20,258 
Shandong Publishing & Media Co. Ltd., Class A   13,000    17,181 
Shandong Sun Paper Industry JSC Ltd., Class A   16,800    31,558 
Shandong Weigao Group Medical Polymer Co. Ltd., Class H   153,600    119,554 
Shanghai AJ Group Co. Ltd., Class A   16,900    17,500 
Shanghai Bailian Group Co. Ltd., Class A   15,600    19,899 
Shanghai Construction Group Co. Ltd., Class A *   55,900    18,645 
Shanghai Electric Group Co. Ltd., Class H @*   102,000    37,422 
Shanghai Environment Group Co. Ltd., Class A   13,920    15,425 
Shanghai Fosun Pharmaceutical Group Co. Ltd., Class H   24,000    51,608 
Shanghai Industrial Holdings Ltd.   45,000    77,733 
Shanghai Jinjiang International Hotels Co. Ltd., Class A   7,900    24,740 
Shanghai Lingang Holdings Corp. Ltd., Class A   8,760    11,088 
Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd., Class A   13,500    16,692 
Shanghai Mechanical and Electrical Industry Co. Ltd., Class A   7,100    21,056 
Shanghai Pharmaceuticals Holding Co. Ltd., Class H   38,600    57,532 
Shanghai Pudong Development Bank Co. Ltd., Class A   118,900    230,316 
Shanghai Putailai New Energy Technology Co. Ltd., Class A   8,900    23,326 
Shanghai RAAS Blood Products Co. Ltd., Class A   37,200    35,666 
Shanghai Rural Commercial Bank Co. Ltd., Class A   9,600    12,996 
Shanghai Tunnel Engineering Co. Ltd., Class A   25,600    21,793 
Shanghai Yuyuan Tourist Mart Group Co. Ltd., Class A   18,000    13,942 
Shanghai Zhonggu Logistics Co. Ltd., Class A   9,300    12,395 
Shanxi Coal International Energy Group Co. Ltd., Class A   11,800    14,376 
Shanxi Coking Coal Energy Group Co. Ltd., Class A   39,900    35,637 
Shanxi Lanhua Sci-Tech Venture Co. Ltd., Class A *   16,700    15,196 
Shanxi Lu’an Environmental Energy Development Co. Ltd., Class A   26,900    39,606 
Shanxi Meijin Energy Co. Ltd., Class A *   31,400    18,931 
Shanxi Securities Co. Ltd., Class A   24,700    20,131 
Shanxi Taigang Stainless Steel Co. Ltd., Class A *   34,300    17,185 
Shenwan Hongyuan Group Co. Ltd., Class H ±   43,200    14,749 
Shenzhen Agricultural Power Group Co. Ltd., Class A   15,600    13,912 
Shenzhen Airport Co. Ltd., Class A   16,200    15,600 
Shenzhen Aisidi Co. Ltd., Class A   14,200    23,820 
Shenzhen Gas Corp. Ltd., Class A   22,300    19,793 

 

The accompanying notes are an integral part of these financial statements.

 

54

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PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
Shenzhen International Holdings Ltd.   116,804   $115,168 
Shenzhen Jinjia Group Co. Ltd., Class A   10,602    6,037 
Shenzhen Kaifa Technology Co. Ltd., Class A   5,900    15,430 
Shenzhen Kangtai Biological Products Co. Ltd., Class A   8,900    18,867 
Shenzhen Kinwong Electronic Co. Ltd., Class A   5,800    33,867 
Shenzhen MTC Co. Ltd., Class A   42,300    25,856 
Shenzhen Neptunus Bioengineering Co. Ltd., Class A *   28,200    9,524 
Shenzhen Overseas Chinese Town Co. Ltd., Class A *   43,200    13,565 
Shenzhen Tagen Group Co. Ltd., Class A   25,000    12,351 
Shenzhen Yan Tian Port Holding Co. Ltd., Class A   28,200    17,828 
Shenzhen YUTO Packaging Technology Co. Ltd., Class A   4,900    16,015 
Shenzhen Zhongjin Lingnan Nonfemet Co. Ltd., Class A   31,900    20,390 
Shenzhou International Group Holdings Ltd.   3,500    24,879 
Shoucheng Holdings Ltd. @   58,400    11,903 
Shougang Fushan Resources Group Ltd.   193,116    70,359 
Shui On Land Ltd.   183,500    16,831 
Sichuan Hebang Biotechnology Co. Ltd., Class A   84,300    20,588 
Sichuan Kelun Pharmaceutical Co. Ltd., Class A   3,600    18,046 
Sichuan Road & Bridge Group Co. Ltd., Class A   28,840    39,846 
Sichuan Yahua Industrial Group Co. Ltd., Class A   8,400    13,364 
Sihuan Pharmaceutical Holdings Group Ltd. @   98,000    13,857 
Silergy Corp.   7,000    85,188 
Sinofert Holdings Ltd.   244,000    39,786 
Sinoma International Engineering Co., Class A   14,600    17,482 
Sinomine Resource Group Co. Ltd., Class A *   1,300    5,835 
Sinopec Engineering Group Co. Ltd., Class H   111,000    84,558 
Sinopec Kantons Holdings Ltd.   44,000    25,503 
Sinopec Shanghai Petrochemical Co. Ltd., Class H   178,000    28,798 
Sinopharm Group Co. Ltd., Class H   109,600    256,619 
Sinotrans Ltd., Class H   145,000    73,516 
Sinotruk Hong Kong Ltd.   49,000    142,944 
Sinotruk Jinan Truck Co. Ltd., Class A   2,800    6,870 
SooChow Securities Co. Ltd., Class A   20,280    24,764 
Southern Publishing & Media Co. Ltd., Class A   10,300    22,482 
STO Express Co. Ltd., Class A   15,900    23,721 
Sun Art Retail Group Ltd.   172,500    50,322 
Sun King Technology Group Ltd.   54,000    8,324 
Suning Universal Co. Ltd., Class A   32,100    9,721 
Suzhou Anjie Technology Co. Ltd., Class A   1,100    2,079 
Suzhou Dongshan Precision Manufacturing Co. Ltd., Class A   4,500    23,720 
TangShan Port Group Co. Ltd., Class A   55,900    31,673 
Tangshan Sanyou Chemical Industries Co. Ltd., Class A   11,600    7,868 
Tasly Pharmaceutical Group Co. Ltd., Class A   9,600    20,967 
TBEA Co. Ltd., Class A   27,300    45,452 
TCL Electronics Holdings Ltd.   50,667    61,575 
TCL Technology Group Corp., Class A *   78,540    47,460 
TCL Zhonghuan Renewable Energy Technology Co. Ltd., Class A   16,000    17,149 
Tian Di Science & Technology Co. Ltd., Class A   40,500    33,856 
Tiangong International Co. Ltd. @   100,000    25,605 
Tianjin Chase Sun Pharmaceutical Co. Ltd., Class A   30,700    15,809 
Tianma Microelectronics Co. Ltd., Class A *   15,500    18,430 
Tianneng Power International Ltd. @   74,000    59,295 
Tianqi Lithium Corp., Class H *   9,200    33,929 
Tianshan Aluminum Group Co. Ltd., Class A   18,200    21,107 
Tianshui Huatian Technology Co. Ltd., Class A   9,400    13,250 
Titan Wind Energy Suzhou Co. Ltd., Class A   8,800    8,769 
Tofflon Science & Technology Group Co. Ltd., Class A   3,500    6,492 
Tomson Group Ltd.   1,426    514 
Tong Ren Tang Technologies Co. Ltd., Class H @   41,000    25,749 
Tongcheng Travel Holdings Ltd.   42,400    105,758 
Tongkun Group Co. Ltd., Class A   11,100    16,420 
Tongling Nonferrous Metals Group Co. Ltd., Class A   49,000    22,840 
Tongyu Heavy Industry Co. Ltd., Class A   40,800    16,285 
Topsports International Holdings Ltd. ±   141,000    54,963 

 

The accompanying notes are an integral part of these financial statements.

 

55

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PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
Transfar Zhilian Co. Ltd., Class A   27,553   $21,456 
TravelSky Technology Ltd., Class H   49,000    65,542 
Trina Solar Co. Ltd., Class A *   13,541    27,458 
Trip.com Group Ltd., ADR   7,869    461,438 
Tsinghua Tongfang Co. Ltd., Class A *   20,700    20,915 
Universal Scientific Industrial Shanghai Co. Ltd., Class A   10,900    22,255 
Venustech Group, Inc., Class A   6,700    14,951 
Vipshop Holdings Ltd., ADR   22,586    339,919 
Vnet Group, Inc. *   3,580    24,702 
Wanxiang Qianchao Co. Ltd., Class A   19,900    21,246 
Wasion Holdings Ltd.   48,000    50,996 
Wasu Media Holding Co. Ltd., Class A   20,700    22,937 
Weibo Corp., ADR   2,074    19,765 
Weibo Corp., Class A   1,420    13,793 
Weichai Power Co. Ltd., Class H   124,000    251,793 
Wellhope Foods Co. Ltd., Class A   7,700    8,876 
West China Cement Ltd. @   198,000    38,087 
Western Securities Co. Ltd., Class A   22,600    24,854 
Wharf Holdings Ltd. (The)   44,000    133,963 
Wingtech Technology Co. Ltd., Class A   3,900    18,250 
Wuchan Zhongda Group Co. Ltd., Class A   29,100    21,402 
Wushang Group Co. Ltd., Class A   12,600    15,228 
Wuxi Biologics Cayman, Inc. *±   127,000    414,977 
Wuxi Taiji Industry Ltd. Co., Class A   21,000    19,284 
XCMG Construction Machinery Co. Ltd., Class A   47,400    51,399 
Xi’An Shaangu Power Co. Ltd., Class A   19,200    23,499 
Xiamen Bank Co. Ltd., Class A   14,900    14,119 
Xiamen C & D, Inc., Class A   17,600    25,471 
Xiamen ITG Group Corp. Ltd., Class A   17,300    14,607 
Xiamen Tungsten Co. Ltd., Class A   7,300    21,313 
Xiamen Xiangyu Co. Ltd., Class A   22,200    21,780 
Xiaomi Corp., Class B *±   4,200    32,075 
Xinfengming Group Co. Ltd., Class A *   4,000    5,945 
Xinhua Winshare Publishing and Media Co. Ltd., Class H   18,000    26,094 
Xinte Energy Co. Ltd., Class H @*   22,800    15,481 
Xinxing Ductile Iron Pipes Co. Ltd., Class A   18,100    9,397 
Xinyi Energy Holdings Ltd. @   213,324    31,251 
Xinyi Solar Holdings Ltd. @   364,000    115,461 
Xtep International Holdings Ltd. @   108,430    77,766 
Xuji Electric Co. Ltd., Class A   3,400    10,330 
Yankuang Energy Group Co. Ltd., Class H @   192,000    191,023 
Yantai Changyu Pioneer Wine Co. Ltd., Class A   3,700    10,962 
Yantai Jereh Oilfield Services Group Co. Ltd., Class A   7,300    35,657 
YiChang HEC ChangJiang Pharmaceutical Co. Ltd., Class H @*±   25,600    48,396 
Yiren Digital Ltd., ADR   4,574    26,849 
Yixin Group Ltd. @±   126,500    37,547 
Yixintang Pharmaceutical Group Co. Ltd., Class A   2,800    6,385 
Yonfer Agricultural Technology Co. Ltd., Class A   6,900    13,318 
YongXing Special Materials Technology Co. Ltd., Class A   2,400    10,634 
Youngor Fashion Co. Ltd., Class A   11,500    11,716 
YTO Express Group Co. Ltd., Class A   12,500    22,486 
Yuexiu Services Group Ltd.   32,500    11,924 
YUNDA Holding Group Co. Ltd., Class A   16,500    15,428 
Yunnan Aluminium Co. Ltd., Class A   18,200    40,588 
Yunnan Baiyao Group Co. Ltd., Class A   1,960    15,260 
Yunnan Copper Co. Ltd., Class A   8,100    14,379 
Yunnan Energy New Material Co. Ltd., Class A *   5,200    21,256 
Yunnan Tin Co. Ltd., Class A   14,600    31,174 
Zhefu Holding Group Co. Ltd., Class A   16,400    7,049 
Zhejiang Chint Electrics Co. Ltd., Class A   13,100    41,445 
Zhejiang Dahua Technology Co. Ltd., Class A   19,700    43,659 
Zhejiang Hailiang Co. Ltd., Class A   19,700    28,373 
Zhejiang Huayou Cobalt Co. Ltd., Class A   7,300    37,715 
Zhejiang Jiahua Energy Chemical Industry Co. Ltd., Class A   9,000    10,626 
Zhejiang Jiuzhou Pharmaceutical Co. Ltd., Class A   10,800    22,925 
Zhejiang Longsheng Group Co. Ltd., Class A   19,300    27,366 
Zhejiang Medicine Co. Ltd., Class A   10,400    21,466 
Zhejiang Orient Financial Holdings Group Co. Ltd., Class A   17,420    14,708 
Zhejiang Runtu Co. Ltd., Class A   19,400    20,631 

 

The accompanying notes are an integral part of these financial statements.

 

56

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
China (Continued)          
Zhejiang Semir Garment Co. Ltd., Class A   21,700   $15,929 
Zhejiang Wanliyang Co. Ltd., Class A   11,400    11,662 
Zhejiang Xinan Chemical Industrial Group Co. Ltd., Class A   14,980    16,934 
Zhengzhou Coal Mining Machinery Group Co. Ltd., Class H   21,400    40,510 
Zhongjin Gold Corp. Ltd., Class A   10,900    22,255 
Zhongshan Broad Ocean Motor Co. Ltd., Class A   22,200    20,386 
Zhongsheng Group Holdings Ltd.   62,500    96,338 
Zhongtai Securities Co. Ltd., Class A   15,500    13,909 
Zhou Hei Ya International Holdings Co. Ltd. @±   54,000    17,266 
Zhuhai Huafa Properties Co. Ltd., Class A   11,600    7,884 
Zhuzhou CRRC Times Electric Co. Ltd., Class H   23,100    92,989 
Zhuzhou Kibing Group Co. Ltd., Class A   10,500    7,341 
Zibo Qixiang Tengda Chemical Co. Ltd., Class A   14,700    9,191 
Zoomlion Heavy Industry Science & Technology Co. Ltd., Class H   85,800    63,722 
ZTE Corp., Class H   42,600    131,871 
ZTO Express Cayman, Inc.   22,900    404,034 
         57,940,809 
           
Colombia — 0.1%          
Corp. Financiera Colombiana SA *   19,558    86,366 
Grupo Argos SA   23,765    128,445 
         214,811 
           
Czech Republic — 0.2%          
CEZ AS   559    32,836 
Komercni Banka AS   6,412    310,057 
         342,893 
           
Greece — 0.7%          
Alpha Bank SA   151,965    535,232 
Bank of Greece   859    14,267 
Helleniq Energy Holdings SA   9,060    87,832 
Motor Oil Hellas Corinth Refineries SA   4,721    131,576 
Piraeus Financial Holdings SA   85,014    589,037 
         1,357,944 
           
Hong Kong — 0.4%          
Alibaba Pictures Group Ltd. @*   430,000    52,586 
BOC Aviation Ltd. ±   10,700    88,599 
China Zhongwang Holdings Ltd. @*§   154,000     
Comba Telecom Systems Holdings Ltd. *   88,000    19,730 
CTEG @*§   98,000     
J&T Global Express Ltd. *   16,200    13,992 
Jinmao Property Services Co. Ltd.   6,646    2,413 
Kingboard Laminates Holdings Ltd.   42,000    51,149 
LK Technology Holdings Ltd.   70,000    30,319 
Lumena New Materials *§   5,599     
Orient Overseas International Ltd.   7,000    118,956 
Sino Biopharmaceutical Ltd.   479,000    320,963 
SSY Group Ltd.   46,000    16,291 
Yuexiu Property Co. Ltd.   77,006    42,182 
         757,180 
           
Hungary — 0.2%          
MOL Hungarian Oil & Gas PLC   38,539    335,572 
OTP Bank Nyrt   839    67,020 
         402,592 
           
India — 21.7%          
Aarti Drugs Ltd.   1,688    9,034 
Aarti Pharmalabs Ltd.   2,707    28,574 
ACC Ltd.   5,493    123,022 
Adani Power Ltd. *   8,056    55,014 
Aditya Birla Capital Ltd. *   49,870    161,426 
Advanced Enzyme Technologies Ltd.   3,035    11,397 
AGI Greenpac Ltd.   2,388    22,727 
Ahluwalia Contracts India Ltd.   1,765    20,946 
Ajmera Realty & Infra India Ltd.   2,596    27,973 
Alembic Pharmaceuticals Ltd.   4,429    52,625 
Allcargo Logistics Ltd.   19,940    8,263 
Amara Raja Energy & Mobility Ltd.   10,842    121,909 
Ambuja Cements Ltd.   36,667    246,827 
Apollo Tyres Ltd.   31,532    164,940 
Arvind Ltd.   13,452    55,464 
Ashoka Buildcon Ltd. *   8,590    21,380 
Aurobindo Pharma Ltd. *   25,561    337,545 
Avanti Feeds Ltd.   2,210    18,928 
Axis Bank Ltd.   133,355    1,864,420 
Axis Bank Ltd., GDR   12,180    845,292 
Bajaj Consumer Care Ltd. *   9,842    24,087 
Bajaj Holdings & Investment Ltd.   1,809    301,641 
Balrampur Chini Mills Ltd.   8,487    58,833 
Bandhan Bank Ltd. ±   54,816    120,971 
Bank of Baroda   74,524    215,942 
Bank of India   34,110    47,172 

 

The accompanying notes are an integral part of these financial statements.

 

57

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
India (Continued)          
Bank of Maharashtra   39,556   $26,360 
Bhansali Engineering Polymers Ltd.   5,648    7,715 
Bharat Heavy Electricals Ltd.   63,065    195,938 
Biocon Ltd.   11,002    45,735 
Birla Corp. Ltd.   3,237    50,608 
Birlasoft Ltd.   1,959    9,930 
Bluspring Enterprises Ltd. *   3,874    3,444 
Bombay Burmah Trading Co.   1,162    27,190 
Camlin Fine Sciences Ltd. *   4,882    17,869 
Can Fin Homes Ltd.   5,565    51,432 
Canara Bank   128,930    171,521 
Canara Bank   128,930    150,685 
Capacit’e Infraprojects Ltd. *   4,280    16,624 
Ceat Ltd.   2,913    125,066 
Chambal Fertilizers and Chemicals Ltd.   13,907    91,751 
Cholamandalam Financial Holdings Ltd.   5,275    133,474 
CIE Automotive India Ltd.   6,907    35,743 
Cipla Ltd.   24,545    430,196 
City Union Bank Ltd.   30,829    78,187 
CMS Info Systems Ltd.   9,549    55,779 
Cochin Shipyard Ltd. ±   105    2,536 
Container Corp. Of India Ltd.   7,049    62,546 
Coromandel International Ltd.   3,859    112,310 
CreditAccess Grameen Ltd.   688    9,722 
CSB Bank Ltd. *   3,753    17,417 
Cyient Ltd.   3,556    53,485 
Dalmia Bharat Ltd.   5,315    136,228 
DB Corp. Ltd.   3,441    11,493 
DCB Bank Ltd. *   19,962    33,867 
DCM Shriram Ltd.   2,904    41,650 
DCW Ltd. *   9,094    8,960 
Deepak Fertilisers & Petrochemicals Corp. Ltd.   4,535    91,218 
Delhivery Ltd. *   12,300    55,039 
Delta Corp. Ltd.   8,978    9,464 
Digitide Solutions Ltd. *   3,874    8,885 
Dilip Buildcon Ltd. ±   2,642    15,742 
Dishman Carbogen Amcis Ltd. *   5,637    16,432 
DLF Ltd.   16,547    161,688 
Dr. Reddy’s Laboratories Ltd.   1,860    27,898 
Dr. Reddy’s Laboratories Ltd., ADR   39,575    594,812 
eClerx Services Ltd.   783    31,892 
Edelweiss Financial Services Ltd.   23,512    31,734 
EID Parry India Ltd. *   7,288    94,155 
Electrosteel Castings Ltd.   23,821    36,526 
EPL Ltd.   9,507    26,993 
Equitas Small Finance Bank Ltd. ±   16,074    12,652 
Escorts Kubota Ltd.   1,181    45,947 
Eureka Forbes Ltd. *   1,532    10,629 
Exide Industries Ltd.   26,178    118,802 
Federal Bank Ltd.   144,130    357,468 
FIEM Industries Ltd.   1,108    24,891 
Finolex Cables Ltd.   3,624    41,708 
Finolex Industries Ltd.   15,431    39,259 
Firstsource Solutions Ltd.   6,425    28,132 
Force Motors Ltd.   432    81,413 
Fortis Healthcare Ltd.   8,848    81,712 
G R Infraprojects Ltd.   1,719    26,418 
GAIL India Ltd.   218,995    486,942 
Galaxy Surfactants Ltd.   569    17,443 
Gateway Distriparks Ltd.   25,136    19,429 
GHCL Ltd.   5,527    39,442 
GHCL Textiles Ltd.   5,527    6,174 
Gland Pharma Ltd. ±   1,958    41,781 
Glenmark Pharmaceuticals Ltd.   5,909    120,536 
Godawari Power & Ispat Ltd.   11,830    26,195 
Godfrey Phillips India Ltd.   794    82,594 
Godrej Industries Ltd. *   1,769    25,683 
Granules India Ltd.   7,725    44,588 
Graphite India Ltd.   2,245    14,790 
Grasim Industries Ltd.   17,963    595,066 
Great Eastern Shipping Co. Ltd. (The)   8,516    97,215 
Greaves Cotton Ltd.   5,025    11,927 
Gujarat Alkalies & Chemicals Ltd.   2,551    17,907 
Gujarat Ambuja Exports Ltd.   8,766    11,423 
Gujarat Mineral Development Corp. Ltd.   5,595    26,850 
Gujarat Narmada Valley Fertilizers & Chemicals Ltd.   8,187    52,878 
Gujarat Pipavav Port Ltd.   19,498    36,763 
Gujarat State Fertilizers & Chemicals Ltd.   15,178    36,184 
Gujarat State Petronet Ltd.   23,082    88,442 
HDFC Bank Ltd.   102,232    2,384,142 
HEG Ltd.   6,270    37,243 
HeidelbergCement India Ltd.   3,920    9,386 
Hero MotoCorp Ltd.   5,358    264,626 
HFCL Ltd.   33,650    34,038 
HG Infra Engineering Ltd.   1,150    14,455 
Hindalco Industries Ltd.   143,996    1,163,335 
IDFC First Bank Ltd. *   279,140    236,859 
IIFL Capital Services Ltd.   19,584    79,800 
IIFL Finance Ltd. *   8,058    44,537 
India Cements Ltd. (The) *   5,546    22,298 
India Glycols Ltd.   656    15,735 

 

The accompanying notes are an integral part of these financial statements.

 

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
India (Continued)          
Indian Bank   14,634   $109,815 
Indian Railway Finance Corp. Ltd. ±   17,190    28,423 
Indo Count Industries Ltd.   4,356    14,959 
Indus Towers Ltd. *   101,143    498,285 
IndusInd Bank Ltd. *   26,758    272,385 
Infibeam Avenues Ltd.   77,058    14,907 
Info Edge India Ltd.   16,055    277,630 
IRCON International Ltd. ±   18,858    44,616 
J Kumar Infraprojects Ltd.   2,507    21,106 
Jain Irrigation Systems Ltd. *   17,519    11,848 
Jammu & Kashmir Bank Ltd. (The)   31,797    42,935 
Jindal Saw Ltd.   28,522    80,002 
Jindal Stainless Ltd.   25,001    206,398 
Jindal Steel & Power Ltd.   44,263    484,823 
Jio Financial Services Ltd. *   176,909    675,373 
JK Lakshmi Cement Ltd.   4,751    49,859 
JK Paper Ltd.   10,798    46,555 
JK Tyre & Industries Ltd.   10,161    42,334 
JM Financial Ltd.   40,467    75,187 
JSW Energy Ltd.   13,525    82,402 
JSW Steel Ltd.   60,769    721,738 
Jubilant Pharmova Ltd.   7,273    102,531 
Just Dial Ltd. *   1,076    11,582 
Kalpataru Projects International Ltd.   7,183    101,849 
Kalyani Steels Ltd.   1,016    11,041 
Karnataka Bank Ltd. (The)   29,326    66,989 
Karur Vysya Bank Ltd. (The)   36,209    113,145 
Kaveri Seed Co. Ltd.   1,897    26,124 
KCP Ltd. (The)   6,994    16,718 
Kirloskar Oil Engines Ltd.   798    7,926 
KNR Constructions Ltd.   11,124    28,906 
Kotak Mahindra Bank Ltd.   28,870    727,136 
KRBL Ltd.   2,296    9,809 
L&T Finance Ltd.   72,832    175,108 
Larsen & Toubro Ltd., GDR   26,739    1,144,429 
LG Balakrishnan & Bros Ltd.   1,438    21,765 
LIC Housing Finance Ltd.   24,147    173,979 
LT Foods Ltd.   14,320    80,976 
Lupin Ltd.   4,573    103,180 
Maharashtra Seamless Ltd.   3,116    27,554 
Mahindra & Mahindra Financial Services Ltd.   55,632    175,115 
Mahindra & Mahindra Ltd.   37,348    1,384,350 
Man Infraconstruction Ltd.   4,652    9,805 
Manappuram Finance Ltd.   42,964    138,080 
Marksans Pharma Ltd.   9,432    28,771 
Maruti Suzuki India Ltd.   4,747    686,699 
MAS Financial Services Ltd. ±   3,106    11,144 
Mastek Ltd.   960    27,297 
Meghmani Organics Ltd. *   7,232    8,364 
MOIL Ltd.   5,661    25,612 
Motilal Oswal Financial Services Ltd.   7,072    71,879 
MRF Ltd.   181    299,707 
Muthoot Finance Ltd.   1,358    41,598 
Natco Pharma Ltd.   5,577    60,400 
National Aluminium Co. Ltd.   58,254    130,929 
National Fertilizers Ltd.   6,160    7,262 
Nava Ltd.   7,969    56,367 
NCC Ltd.   36,382    97,789 
NESCO Ltd.   965    13,082 
NIIT Learning Systems Ltd.   2,427    9,512 
NIIT Ltd.   2,427    3,699 
NMDC Ltd.   253,182    206,596 
NMDC Steel Ltd. *   47,585    22,749 
NOCIL Ltd.   7,374    17,064 
NRB Bearings Ltd.   2,776    9,711 
Nuvoco Vistas Corp. Ltd. *   2,511    10,374 
Oberoi Realty Ltd.   5,090    113,706 
Onesource Specialty Pharma Ltd. *   2,735    69,970 
Orient Cement Ltd.   4,032    11,380 
Orient Green Power Co. Ltd. *   107,182    18,172 
Patel Engineering Ltd. *   47,895    22,953 
PCBL Chemical Ltd.   11,386    55,450 
Pennar Industries Ltd. *   5,072    14,253 
Petronet LNG Ltd.   67,706    238,660 
Piramal Enterprises Ltd.   4,265    56,794 
Piramal Pharma Ltd.   29,025    69,005 
PNB Housing Finance Ltd. *±   10,969    141,845 
PNC Infratech Ltd.   7,840    28,161 
Polyplex Corp. Ltd.   2,048    28,989 
Power Finance Corp. Ltd.   121,886    607,156 
Power Mech Projects Ltd.   484    18,934 
Prakash Industries Ltd.   4,621    8,759 
Prestige Estates Projects Ltd.   6,151    119,061 
PTC India Ltd.   17,788    37,376 
Punjab National Bank   135,010    173,863 
PVR Inox Ltd. *   4,239    47,896 
Quess Corp. Ltd. ±   3,874    13,642 
Rallis India Ltd.   3,389    12,776 
Ramco Cements Ltd. (The)   5,843    73,514 
Rashtriya Chemicals & Fertilizers Ltd.   16,695    30,996 
Raymond Lifestyle Ltd. *   2,620    39,929 
Raymond Ltd. *   3,276    27,240 

 

The accompanying notes are an integral part of these financial statements.

 

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PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
India (Continued)          
Raymond Realty Ltd. *<>   3,276   $39,701 
RBL Bank Ltd. ±   35,444    102,492 
REC Ltd.   124,810    585,920 
Redington Ltd.   57,900    220,028 
Reliance Industries Ltd.   402,168    7,033,719 
Reliance Power Ltd. *   164,619    134,367 
Repco Home Finance Ltd.   1,643    8,431 
Rhi Magnesita India Ltd.   2,246    12,394 
RITES Ltd.   5,510    18,003 
Route Mobile Ltd.   1,741    20,808 
Samvardhana Motherson International Ltd.   222,498    401,747 
Sandur Manganese & Iron Ores Ltd. (The)   1,780    9,900 
Sarda Energy & Minerals Ltd.   2,267    11,746 
Shipping Corp. of India Land & Assets Ltd., Spin-off Shares   14,166    8,854 
Shipping Corp. of India Ltd.   14,166    36,902 
Shree Cement Ltd.   313    112,977 
Shriram Finance Ltd.   101,580    837,715 
Shriram Pistons & Rings Ltd.   500    14,459 
Shyam Metalics & Energy Ltd.   2,791    28,281 
SIS Ltd. *   2,091    9,019 
Sobha Ltd.   1,677    28,550 
South Indian Bank Ltd. (The)   83,493    30,044 
Star Cement Ltd. *   7,280    18,068 
State Bank of India   69,305    662,543 
State Bank of India, GDR   8,728    831,778 
Steel Authority of India Ltd.   89,762    137,919 
Strides Pharma Science Ltd.   5,470    57,401 
Sun Pharmaceutical Industries Ltd.   27,533    537,754 
Sun TV Network Ltd.   7,133    49,780 
Sunteck Realty Ltd.   5,951    30,917 
Surya Roshni Ltd.   3,092    12,502 
Tamilnad Mercantile Bank Ltd.   4,102    21,366 
Tata Chemicals Ltd.   12,988    142,056 
Tata Consumer Products Ltd.   8,150    104,346 
Tata Motors Ltd.   131,488    1,055,308 
Tata Steel Ltd.   430,140    801,497 
Tata Steel Ltd., GDR   6,923    129,114 
Technocraft Industries India Ltd.   547    19,211 
Texmaco Rail & Engineering Ltd.   11,707    23,959 
Thirumalai Chemicals Ltd.   4,154    14,192 
Thomas Cook India Ltd.   8,408    16,059 
Time Technoplast Ltd.   5,635    29,147 
TransIndia Real Estate Ltd.   4,985    2,083 
Transport Corp. of India Ltd.   1,896    24,828 
Trident Ltd.   56,042    20,506 
Triveni Engineering & Industries Ltd.   4,797    21,239 
Tube Investments of India Ltd.   320    11,616 
TVS Srichakra Ltd.   202    7,184 
Uflex Ltd.   3,166    22,549 
Unichem Laboratories Ltd. *   1,313    9,010 
Union Bank of India Ltd.   81,852    146,410 
UPL Ltd.   29,931    230,695 
UPL Ltd. *   4,520    22,721 
Usha Martin Ltd.   10,246    43,685 
VA Tech Wabag Ltd. *   3,405    58,833 
Vardhman Textiles Ltd.   8,165    47,651 
Vedanta Ltd.   44,540    239,683 
Voltamp Transformers Ltd.   223    24,638 
Welspun Corp. Ltd. *   7,360    79,633 
Welspun Enterprises Ltd.   1,530    9,661 
Welspun Living Ltd.   30,266    50,470 
West Coast Paper Mills Ltd.   3,247    19,183 
Wipro Ltd.   133,330    414,309 
Wipro Ltd., ADR @   29,490    89,060 
Wockhardt Ltd. *   5,344    106,743 
Yes Bank Ltd. *   581,105    137,958 
Zee Entertainment Enterprises Ltd.   70,032    119,339 
Zensar Technologies Ltd.   5,610    55,142 
Zydus Lifesciences Ltd.   10,313    119,040 
Zydus Wellness Ltd.   1,105    26,029 
         44,256,977 
           
Indonesia — 1.5%          
AKR Corporindo Tbk. PT   273,600    19,549 
Alamtri Resources Indonesia Tbk. PT   1,752,200    197,507 
Aneka Tambang Tbk. PT   840,200    157,327 
Aspirasi Hidup Indonesia Tbk. PT   625,900    19,122 
Astra Agro Lestari Tbk. PT   28,600    10,217 
Astra International Tbk. PT   1,944,500    538,974 
Astra Otoparts Tbk. PT   19,600    2,487 
Bank BTPN Syariah Tbk. PT   251,900    20,403 
Bank Negara Indonesia Persero Tbk. PT   1,037,332    263,247 
Bank OCBC Nisp Tbk. PT   223,000    18,475 
Bank Pan Indonesia Tbk. PT *   399,700    28,190 
Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk. PT   173,300    8,646 
Bank Pembangunan Daerah Jawa Timur Tbk. PT   403,000    12,411 
Bank Tabungan Negara Persero Tbk. PT   537,509    36,915 

 

The accompanying notes are an integral part of these financial statements.

 

60

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Indonesia (Continued)          
BFI Finance Indonesia Tbk. PT   108,300   $5,437 
Bukalapak.com Tbk. PT *   3,549,800    27,331 
Bukit Asam Tbk. PT   339,600    51,458 
Bumi Resources Minerals Tbk. PT *   2,221,900    54,196 
Bumi Resources Tbk. PT *   5,598,400    41,035 
Bumi Serpong Damai Tbk. PT *   435,700    21,067 
Charoen Pokphand Indonesia Tbk. PT   65,700    19,020 
Ciputra Development Tbk. PT   924,577    54,387 
Dayamitra Telekomunikasi PT   1,395,200    47,695 
Dharma Satya Nusantara Tbk. PT   140,700    6,760 
Elang Mahkota Teknologi Tbk. PT   999,500    29,797 
Energi Mega Persada Tbk. PT *   899,700    18,177 
Erajaya Swasembada Tbk. PT   1,042,500    34,033 
ESSA Industries Indonesia Tbk. PT   517,700    18,495 
Gudang Garam Tbk. PT *   52,600    29,645 
Hanson International Tbk. PT *§   5,335,700     
Indah Kiat Pulp & Paper Tbk. PT   294,700    104,375 
Indika Energy Tbk. PT   195,300    16,481 
Indo Tambangraya Megah Tbk. PT   52,800    71,549 
Indocement Tunggal Prakarsa Tbk. PT   129,800    42,574 
Indofood Sukses Makmur Tbk. PT   407,500    203,938 
Japfa Comfeed Indonesia Tbk. PT   567,600    52,967 
Lippo Karawaci Tbk. PT *   1,787,300    9,027 
Medco Energi Internasional Tbk. PT   1,095,352    83,998 
Metrodata Electronics Tbk. PT   524,800    17,456 
Mitra Adiperkasa Tbk. PT   620,000    45,063 
Pabrik Kertas Tjiwi Kimia Tbk. PT   92,300    31,980 
Pakuwon Jati Tbk. PT *   1,135,800    26,165 
Panin Financial Tbk. PT *   1,207,600    19,339 
Perusahaan Perkebunan London Sumatra Indonesia Tbk. PT   154,500    11,896 
Samudera Indonesia Tbk. PT   979,900    18,831 
Sarana Menara Nusantara Tbk. PT   1,152,200    35,059 
Semen Indonesia Persero Tbk. PT   315,724    52,313 
Sri Rejeki Isman Tbk. PT *§   996,900     
Summarecon Agung Tbk. PT   932,100    21,817 
Surya Citra Media Tbk. PT   1,066,200    9,851 
Surya Semesta Internusa Tbk. PT   303,100    29,685 
Trimegah Bangun Persada Tbk. PT   123,900    5,037 
Triputra Agro Persada PT   632,300    38,557 
Ultrajaya Milk Industry & Trading Co. Tbk. PT   131,500    10,935 
United Tractors Tbk. PT   169,000    223,286 
Vale Indonesia Tbk. PT   184,400    39,186 
XLSMART Telecom Sejahtera Tbk. PT   522,966    72,478 
         3,085,846 
           
Korea — 11.3%          
Amorepacific Holdings Corp.   1,044    24,561 
BH Co. Ltd.   1,193    10,855 
BNK Financial Group, Inc.   17,611    162,461 
CJ CheilJedang Corp.   744    137,267 
CJ Corp.   1,142    135,811 
CJ ENM Co. Ltd. *   1,200    66,598 
CJ Logistics Corp.   649    42,029 
Daesang Corp.   2,426    39,367 
Daewoo Engineering & Construction Co. Ltd. *   18,960    58,723 
Daishin Securities Co. Ltd.   697    12,601 
Daou Technology, Inc.   2,149    54,537 
DB HiTek Co. Ltd.   1,524    52,848 
DB Insurance Co. Ltd.   377    34,443 
DB, Inc. *   6,843    7,585 
DL E&C Co. Ltd.   1,344    51,585 
DL Holdings Co. Ltd.   1,071    36,345 
Dong-A Socio Holdings Co. Ltd.   295    24,481 
Dongkuk Holdings Co. Ltd.   1,150    6,706 
Dongkuk Steel Mill Co. Ltd.   3,583    24,956 
Dongwha Pharm Co. Ltd.   736    3,676 
Dongwon F&B Co. Ltd.   640    19,917 
Dongwon Industries Co. Ltd.   786    27,518 
Doosan Bobcat, Inc.   3,756    161,973 
DoubleUGames Co. Ltd.   604    25,555 
E-MART, Inc.   1,021    64,607 
ENF Technology Co. Ltd.   555    15,915 
GS Engineering & Construction Corp.   2,015    30,980 
GS Holdings Corp.   3,044    105,218 
GS P&L Co. Ltd. *   729    19,473 
GS Retail Co. Ltd.   3,073    37,912 
HAESUNG DS Co. Ltd.   586    12,201 
Hana Financial Group, Inc.   18,171    1,161,942 
Hanil Holdings Co. Ltd.   1,021    13,451 
Hankook Tire & Technology Co. Ltd.   5,220    153,746 
Hanwha Corp.   1,555    108,652 
Hanwha Galleria Corp. *   4,602    4,296 
Hanwha Investment & Securities Co. Ltd. *   5,680    27,819 
Hanwha Life Insurance Co. Ltd. *   20,246    49,430 
Hanwha Solutions Corp.   6,070    142,125 
Harim Holdings Co. Ltd.   2,243    15,905 

 

The accompanying notes are an integral part of these financial statements.

 

61

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Korea (Continued)          
HD Hyundai Co. Ltd.   2,792   $267,905 
HD Hyundai Construction Equipment Co. Ltd.   647    36,435 
HDC Holdings Co. Ltd.   2,781    48,424 
HDC Hyundai Development Co-Engineering & Construction   2,554    42,485 
HL Holdings Corp.   389    11,673 
HL Mando Co. Ltd.   1,823    44,373 
HMM Co. Ltd.   15,163    252,792 
HS Hyosung Corp. *   119    6,216 
Hy-Lok Corp.   918    20,508 
Hyosung Corp.   537    30,359 
Hyosung TNC Corp.   121    22,414 
Hyundai Department Store Co. Ltd.   867    48,566 
Hyundai Engineering & Construction Co. Ltd.   3,290    191,364 
Hyundai Glovis Co. Ltd.   1,742    173,993 
Hyundai Home Shopping Network Corp.   327    13,690 
Hyundai Marine & Fire Insurance Co. Ltd. *   3,214    62,989 
Hyundai Mobis Co. Ltd.   2,664    566,515 
Hyundai Motor Co.   8,933    1,346,966 
Hyundai Steel Co.   4,416    96,199 
Hyundai Wia Corp.   941    31,934 
iM Financial Group Co. Ltd.   5,382    50,127 
Industrial Bank of Korea   19,140    258,963 
Innocean Worldwide, Inc.   1,076    15,810 
JB Financial Group Co. Ltd.   5,577    84,919 
KB Financial Group, Inc., ADR @   17,477    1,443,425 
KCC Corp.   293    67,736 
KCC Glass Corp.   444    10,840 
KG Mobility Co. *   4,088    10,677 
Kia Corp.   19,935    1,431,314 
KIWOOM Securities Co. Ltd.   158    26,809 
Kolon Industries, Inc.   1,930    62,994 
Korea Asset In Trust Co. Ltd.   5,452    10,180 
Korea Electric Terminal Co. Ltd.   682    32,948 
Korea Investment Holdings Co. Ltd.   2,704    279,696 
Korea Line Corp. *   16,631    20,062 
Korea Real Estate Investment & Trust Co. Ltd.   10,376    9,403 
Korea Zinc Co. Ltd.   351    213,003 
Korean Air Lines Co. Ltd.   8,699    147,605 
Korean Reinsurance Co.   12,649    95,973 
Kumho Petrochemical Co. Ltd.   829    68,981 
Kumho Tire Co., Inc. *   3,713    12,394 
LG Chem Ltd.   2,583    404,790 
LG Corp.   4,087    241,053 
LG Display Co. Ltd. *   16,033    106,443 
LG Display Co. Ltd., ADR *   8,853    30,277 
LG Electronics, Inc.   8,307    454,251 
LG H&H Co. Ltd.   240    56,817 
LG Innotek Co. Ltd.   903    98,623 
LG Uplus Corp.   19,185    203,279 
Lotte Chemical Corp.   1,267    55,201 
Lotte Chilsung Beverage Co. Ltd.   290    25,614 
Lotte Corp.   1,582    32,587 
LOTTE Fine Chemical Co. Ltd.   1,517    44,343 
Lotte Shopping Co. Ltd.   641    35,242 
Lotte Wellfood Co. Ltd.   167    14,292 
LS Corp.   730    106,558 
LX Holdings Corp.   2,593    18,406 
LX International Corp.   3,459    79,837 
LX Semicon Co. Ltd.   278    13,327 
Mirae Asset Life Insurance Co. Ltd. *   5,257    24,618 
Mirae Asset Securities Co. Ltd.   12,278    195,142 
Netmarble Corp. ±   514    23,613 
NH Investment & Securities Co. Ltd.   6,972    103,268 
NICE Holdings Co. Ltd.   2,345    21,963 
NongShim Co. Ltd.   135    39,312 
OCI Co. Ltd.   450    18,439 
OCI Holdings Co. Ltd.   995    53,672 
Orion Holdings Corp.   2,572    41,927 
Otoki Corp.   131    38,244 
Pan Ocean Co. Ltd.   22,750    62,623 
Paradise Co. Ltd.   1,846    20,887 
Partron Co. Ltd.   1,897    8,954 
Poongsan Corp.   1,023    97,555 
POSCO Holdings, Inc.   854    165,156 
POSCO Holdings, Inc., ADR @   9,207    446,447 
S-Oil Corp.   2,562    113,711 
Samsung C&T Corp.   3,438    411,154 
Samsung Card Co. Ltd.   2,083    76,245 
Samsung Electronics Co. Ltd.   17,972    796,329 
Samsung Electronics Co. Ltd., GDR   3,471    3,821,571 
Samsung Life Insurance Co. Ltd.   2,566    242,226 
Samsung SDI Co. Ltd.   2,756    352,873 
Samsung Securities Co. Ltd.   2,679    146,098 
SeAH Steel Holdings Corp.   136    22,170 
Sebang Global Battery Co. Ltd.   697    35,428 
SFA Engineering Corp.   456    7,957 
SGC Energy Co. Ltd.   395    7,185 
Shinhan Financial Group Co. Ltd.   17,905    814,587 

 

The accompanying notes are an integral part of these financial statements.

 

62

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Korea (Continued)          
Shinhan Financial Group Co. Ltd., ADR   3,951   $178,506 
Shinsegae, Inc.   629    87,806 
SK Chemicals Co. Ltd.   314    16,752 
SK Discovery Co. Ltd.   867    37,710 
SK Gas Ltd.   175    33,454 
SK Innovation Co. Ltd.   2,300    208,595 
SK Networks Co. Ltd.   12,838    42,616 
SK, Inc.   1,745    264,414 
SL Corp.   1,820    42,142 
SNT Motiv Co. Ltd.   1,079    25,024 
Songwon Industrial Co. Ltd.   1,925    17,687 
Sungwoo Hitech Co. Ltd.   3,959    16,926 
Unid Co. Ltd.   167    11,285 
Woori Financial Group, Inc.   45,228    752,348 
Youngone Corp.   1,446    67,714 
Youngone Holdings Co. Ltd.   553    56,996 
Zinus, Inc.   1,223    15,423 
         22,961,421 
           
Kuwait — 0.0%          
Agility Global PLC   104,162    33,751 
           
Malaysia — 1.3%          
Aeon Co. M Bhd.   29,400    9,776 
AFFIN Bank Bhd. *   47,901    28,896 
Alliance Bank Malaysia Bhd.   73,200    74,930 
AMMB Holdings Bhd.   191,687    232,182 
Axiata Group Bhd.   226,300    124,155 
Bank Islam Malaysia Bhd.   68,600    37,147 
Batu Kawan Bhd.   16,500    74,535 
Berjaya Corp. Bhd. *   166,400    11,066 
Bumi Armada Bhd.   264,700    28,290 
CIMB Group Holdings Bhd.   131,573    212,179 
Dayang Enterprise Holdings Bhd.   27,900    12,192 
Dialog Group Bhd.   37,200    13,959 
Eastern & Oriental Bhd.   118,100    22,860 
Eco World Development Group Bhd.   88,900    40,961 
Genting Bhd.   179,200    129,809 
Genting Malaysia Bhd.   258,200    118,353 
Genting Plantations Bhd.   23,600    28,025 
HAP Seng Consolidated Bhd.   14,800    8,893 
Hibiscus Petroleum Bhd.   56,080    20,778 
Hong Leong Financial Group Bhd.   17,621    69,471 
IJM Corp. Bhd.   181,760    113,101 
IOI Properties Group Bhd.   75,850    35,489 
Magnum Bhd.   86,961    26,230 
Mah Sing Group Bhd.   125,685    35,522 
Malayan Cement Bhd.   6,800    8,107 
Malaysian Resources Corp. Bhd.   142,600    16,426 
Matrix Concepts Holdings Bhd.   96,300    30,648 
MBM Resources Bhd.   12,500    13,805 
MBSB Bhd.   205,001    33,351 
Mega First Corp. Bhd.   37,600    33,041 
MISC Bhd.   94,320    170,025 
MKH Bhd.   36,950    9,039 
MKH Oil Palm East Kalimantan Bhd.   5,278    771 
Oriental Holdings Bhd.   25,760    41,786 
OSK Holdings Bhd.   111,682    31,034 
Petronas Chemicals Group Bhd.   133,400    110,573 
PPB Group Bhd.   37,500    91,557 
RHB Bank Bhd.   145,390    217,541 
Sarawak Oil Palms Bhd.   30,750    22,567 
Sime Darby Bhd.   293,600    115,055 
Sime Darby Property Bhd.   308,000    105,337 
SP Setia Bhd. Group   143,480    38,166 
Ta Ann Holdings Bhd.   12,260    10,861 
TSH Resources Bhd.   43,000    11,336 
UEM Sunrise Bhd.   100,300    16,913 
UOA Development Bhd.   19,187    8,111 
Yinson Holdings Bhd.   95,599    53,356 
YTL Corp. Bhd.   111,800    61,602 
         2,759,807 
           
Mexico — 1.8%          
Alfa SAB de CV, Class A   221,384    163,403 
Banco del Bajio SA ±   37,942    91,597 
Cemex SAB de CV   685,631    474,638 
Cemex SAB de CV, ADR   2,361    16,362 
Controladora Alpek SAB de CV *   221,384    36,574 
Controladora AXTEL SAB DE CV *   260,453    10,826 
Corp. Actinver SAB de CV   15,700    15,939 
El Puerto de Liverpool SAB de CV, Class C1   7,251    39,272 
Genomma Lab Internacional SAB de CV, Class B   65,230    71,089 
Grupo Bimbo SAB de CV, Series A   9,137    25,486 
Grupo Carso SAB de CV, Series A1   10,719    76,409 
Grupo Financiero Banorte SAB de CV, Class O   79,576    730,219 
Grupo Financiero Inbursa SAB de CV, Class O   98,687    255,020 
Grupo Mexico SAB de CV, Series B   136,892    826,189 
Grupo Traxion SAB de CV *±   22,512    20,959 
Industrias CH SAB de CV, Series B *   23,916    219,220 
La Comer SAB de CV   19,443    42,317 

 

The accompanying notes are an integral part of these financial statements.

 

63

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PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Mexico (Continued)          
Megacable Holdings SAB de CV   59,163   $165,560 
Nemak SAB de CV *±   174,679    30,161 
Orbia Advance Corp. SAB de CV   51,451    35,974 
Organizacion Soriana SAB de CV, Class B *   53,109    79,191 
Promotora y Operadora de Infraestructura SAB de CV   13,054    147,233 
Promotora y Operadora de Infraestructura SAB de CV, Class L   1,600    15,519 
Regional SAB de CV   18,632    153,905 
         3,743,062 
           
Philippines — 0.6%          
ACEN Corp.   510,437    23,469 
Alliance Global Group, Inc.   253,300    40,560 
Ayala Corp.   12,590    127,397 
Ayala Land, Inc.   354,500    169,918 
China Banking Corp.   60,526    73,012 
DMCI Holdings, Inc.   265,100    51,298 
First Philippine Holdings Corp.   26,510    34,355 
GT Capital Holdings, Inc.   7,512    76,547 
JG Summit Holdings, Inc.   225,183    79,871 
LT Group, Inc.   132,300    30,204 
Megaworld Corp.   1,004,700    35,137 
Metropolitan Bank & Trust Co.   133,237    171,484 
Puregold Price Club, Inc.   86,900    55,537 
Rizal Commercial Banking Corp.   47,790    21,719 
Robinsons Land Corp.   76,255    18,411 
San Miguel Corp.   41,650    57,673 
Security Bank Corp.   30,510    37,210 
Top Frontier Investment Holdings, Inc. *   4,630    4,726 
Union Bank of the Philippines   66,330    38,623 
Universal Robina Corp.   25,650    40,777 
         1,187,928 
           
Poland — 1.4%          
AB SA   845    22,741 
Alior Bank SA   7,869    206,530 
Asseco Poland SA   3,450    193,541 
Bank Handlowy w Warszawie SA *   2,367    78,411 
Bank Polska Kasa Opieki SA   971    49,838 
BNPP Bank Polska SA   811    23,963 
Cyfrowy Polsat SA *   16,441    80,441 
Echo Investment SA *   1,732    2,369 
Enea SA *   30,606    166,092 
Inter Cars SA   72    11,206 
KGHM Polska Miedz SA *   10,823   387,056 
Mirbud SA   5,445    20,621 
ORLEN SA   47,293    1,077,242 
PGE Polska Grupa Energetyczna SA *   71,611    226,594 
Tauron Polska Energia SA *   125,505    292,909 
         2,839,554 
           
Russia — 0.0%          
Gazprom PJSC, ADR *§   162,760     
Lukoil PJSC, ADR *§   15,271     
RusHydro PJSC, ADR *§   61,905     
VTB Bank PJSC, GDR *§   92,145     
          
           
Singapore — 0.0%          
China XLX Fertiliser Ltd.   44,000    30,772 
         30,772 
           
South Africa — 3.4%          
Absa Group Ltd.   55,314    549,898 
AECI Ltd. @   8,481    50,775 
African Rainbow Minerals Ltd. @   3,656    35,534 
Aspen Pharmacare Holdings Ltd.   16,981    114,612 
Astral Foods Ltd.   2,628    26,361 
Barloworld Ltd.   18,289    116,643 
DataTec Ltd.   24,388    89,872 
Exxaro Resources Ltd.   14,326    118,897 
Foschini Group Ltd. (The)   32,332    235,444 
Grindrod Ltd.   52,062    36,671 
Harmony Gold Mining Co. Ltd.   2,362    32,662 
Impala Platinum Holdings Ltd. *   50,405    452,496 
KAP Ltd. *   176,418    20,428 
Lewis Group Ltd.   3,337    15,166 
Life Healthcare Group Holdings Ltd.   60,968    49,177 
Momentum Group Ltd.   65,482    126,831 
Motus Holdings Ltd.   16,747    88,996 
Mpact Ltd.   15,365    22,131 
MTN Group Ltd.   127,458    1,013,976 
Naspers Ltd., Class N   1,718    535,221 
Nedbank Group Ltd.   27,090    371,911 
Netcare Ltd.   99,919    78,733 
Northam Platinum Holdings Ltd. @   13,269    143,687 
Oceana Group Ltd. @   10,541    31,182 
Old Mutual Ltd.   439,975    299,965 
Omnia Holdings Ltd.   16,030    71,984 
Pepkor Holdings Ltd. ±   170,124    261,666 
PPC Ltd. @   93,872    27,413 
Raubex Group Ltd.   16,897    42,472 

 

The accompanying notes are an integral part of these financial statements.

 

64

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
South Africa (Continued)          
Reunert Ltd.   12,692   $41,222 
Sanlam Ltd.   2,107    10,553 
Sappi Ltd.   59,313    99,705 
Sasol Ltd. *   33,052    147,041 
Sibanye Stillwater Ltd. @*   132,381    241,226 
Southern Sun Ltd.   54,046    26,926 
Standard Bank Group Ltd.   77,175    991,859 
Super Group Ltd. @   29,786    26,600 
Telkom SA SOC Ltd. *   28,405    86,609 
Thungela Resources Ltd.   6,203    29,709 
Valterra Platinum Ltd.   3,909    174,501 
Zeda Ltd.   20,449    14,219 
         6,950,974 
           
Taiwan — 19.9%          
91APP, Inc.   8,000    22,949 
AcBel Polytech, Inc.   51,000    45,480 
Acer, Inc.   165,884    172,062 
Acter Group Corp. Ltd.   5,000    68,037 
Actron Technology Corp.   3,000    12,016 
ADATA Technology Co. Ltd. *   20,450    65,525 
Advanced International Multitech Co. Ltd.   8,000    17,609 
Advanced Power Electronics Corp.   1,000    2,787 
Advanced Wireless Semiconductor Co.   8,000    21,334 
Advancetek Enterprise Co. Ltd.   13,000    31,997 
Allied Supreme Corp.   3,000    25,828 
Alltek Technology Corp.   10,000    12,717 
Alpha Networks, Inc.   11,000    10,732 
Altek Corp.   14,014    18,878 
Ambassador Hotel (The)   14,000    21,159 
AMPOC Far-East Co. Ltd.   8,000    26,455 
AmTRAN Technology Co. Ltd.   64,775    31,044 
Anpec Electronics Corp.   3,000    18,383 
Apex International Co. Ltd. *   17,132    13,606 
Arcadyan Technology Corp.   11,000    75,500 
Ardentec Corp.   39,092    101,437 
Argosy Research, Inc.   3,000    16,380 
ASE Technology Holding Co. Ltd.   233,000    1,176,486 
Asia Cement Corp.   134,269    196,035 
Asia Optical Co., Inc.   5,000    23,449 
ASROCK, Inc.   2,000    18,759 
Asustek Computer, Inc.   36,000    793,646 
Aten International Co. Ltd.   5,000    10,081 
AUO Corp.   454,400    192,107 
Axiomtek Co. Ltd.   8,000    24,346 
Bank of Kaohsiung Co. Ltd.   64,606    26,761 
BenQ Materials Corp.   15,000    12,093 
BES Engineering Corp.   91,000    35,513 
Bioteque Corp.   3,000    12,118 
Bizlink Holding, Inc.   8,029    233,075 
Brighton-Best International Taiwan, Inc.   17,000    19,728 
Capital Securities Corp.   152,437    102,279 
Castles Technology Co. Ltd.   4,200    8,842 
Catcher Technology Co. Ltd.   34,000    246,748 
Cathay Financial Holding Co. Ltd.   417,170    896,833 
Cathay Real Estate Development Co. Ltd.   70,000    46,608 
Cenra, Inc.   9,500    11,773 
Center Laboratories, Inc.   12,000    15,692 
Century Iron & Steel Industrial Co. Ltd.   6,000    48,679 
Chailease Holding Co. Ltd.   103,533    448,341 
Chang Hwa Commercial Bank Ltd.   316,768    202,778 
Chang Wah Electromaterials, Inc.   20,000    26,017 
Chang Wah Technology Co. Ltd.   11,000    11,504 
Channel Well Technology Co. Ltd.   13,000    36,047 
Charoen Pokphand Enterprise   12,000    52,376 
CHC Healthcare Group   7,000    10,771 
Cheng Loong Corp.   82,000    49,404 
Cheng Shin Rubber Industry Co. Ltd.   131,000    169,513 
Cheng Uei Precision Industry Co. Ltd.   34,543    61,253 
Chia Hsin Cement Corp.   22,440    11,254 
Chicony Electronics Co. Ltd.   30,000    133,507 
Chicony Power Technology Co. Ltd.   6,000    21,875 
Chin-Poon Industrial Co. Ltd.   36,000    39,621 
China Airlines Ltd.   278,111    205,641 
China Bills Finance Corp.   89,000    45,396 
China Man-Made Fiber Corp. *   72,018    14,989 
China Metal Products   31,000    28,016 
China Motor Corp.   22,478    47,323 
China Steel Chemical Corp.   8,000    25,195 
China Steel Corp.   569,800    366,707 
Chipbond Technology Corp.   42,000    76,777 
ChipMOS Technologies, Inc.   28,897    26,659 
ChipMOS Technologies, Inc., ADR @   328    5,940 
Chong Hong Construction Co. Ltd.   12,000    34,917 
Chun Yuan Steel Industry Co. Ltd.   30,000    19,307 
Chung-Hsin Electric & Machinery Manufacturing Corp.   12,000    66,548 
Chunghwa Precision Test Tech Co. Ltd.   1,000    28,653 
Cleanaway Co. Ltd.   6,000    37,382 
Clevo Co.   28,000    42,750 
CMC Magnetics Corp.   31,979    8,769 
Co-Tech Development Corp.   17,000    33,811 
Compal Electronics, Inc.   288,000    285,910 

 

The accompanying notes are an integral part of these financial statements.

 

65

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Taiwan (Continued)          
Compeq Manufacturing Co. Ltd.   96,000   $190,278 
Concord Securities Co. Ltd.   38,850    15,228 
Continental Holdings Corp.   42,000    33,356 
Coretronic Corp.   15,800    29,586 
CTBC Financial Holding Co. Ltd.   518,280    775,326 
CTCI Corp.   33,000    29,428 
CyberPower Systems, Inc.   2,000    17,698 
D-Link Corp.   15,640    9,129 
DA CIN Construction Co. Ltd.   21,200    41,076 
Da-Li Development Co. Ltd.   13,692    22,709 
Darfon Electronics Corp.   17,000    19,583 
Depo Auto Parts Ind Co. Ltd.   8,000    52,444 
Dimerco Express Corp.   8,000    20,129 
Dyaco International, Inc.   9,022    6,717 
Dynamic Holding Co. Ltd.   21,000    32,565 
E.Sun Financial Holding Co. Ltd.   113,000    127,073 
ECOVE Environment Corp.   2,000    20,539 
Edom Technology Co. Ltd.   10,000    8,969 
Elan Microelectronics Corp.   13,000    54,070 
Elitegroup Computer Systems Co. Ltd.   35,877    22,537 
Ennoconn Corp.   6,116    60,297 
Ennostar, Inc.   44,414    53,822 
EnTie Commercial Bank Co. Ltd.   68,000    31,309 
Eternal Materials Co. Ltd.   42,300    34,753 
Eurocharm Holdings Co. Ltd.   3,000    13,864 
Eva Airways Corp.   241,478    329,829 
Evergreen Aviation Technologies Corp.   11,000    39,539 
Evergreen International Storage & Transport Corp.   54,000    62,574 
Evergreen Marine Corp. Taiwan Ltd.   74,583    508,079 
EVERGREEN Steel Corp.   13,000    37,827 
Everlight Chemical Industrial Corp.   56,000    30,864 
Everlight Electronics Co. Ltd.   32,000    76,900 
Excelsior Medical Co. Ltd.   12,733    36,876 
Far Eastern Department Stores Ltd.   85,220    62,722 
Far Eastern International Bank   144,478    63,801 
Far Eastern New Century Corp.   211,338    238,019 
Far EasTone Telecommunications Co. Ltd.   99,000    303,656 
Farglory Land Development Co. Ltd.   26,721    58,634 
Feng Hsin Steel Co. Ltd.   17,000    38,176 
First Financial Holding Co. Ltd.   595,556    592,253 
First Steamship Co. Ltd. *   58,240    11,643 
FIT Holding Co. Ltd.   9,000    14,511 
Fitipower Integrated Technology, Inc. *   5,600    41,887 
FLEXium Interconnect, Inc. *   17,000    32,706 
Flytech Technology Co. Ltd.   5,000    20,454 
FocalTech Systems Co. Ltd.   8,000    18,102 
Forcecon Tech Co. Ltd.   5,142    20,243 
Formosa Advanced Technologies Co. Ltd.   20,000    19,102 
Formosa Chemicals & Fibre Corp.   176,000    137,971 
Formosa Laboratories, Inc.   5,000    11,879 
Formosa Petrochemical Corp.   61,000    75,175 
Formosa Plastics Corp.   183,000    218,320 
Formosa Sumco Technology Corp.   5,000    13,436 
Formosa Taffeta Co. Ltd.   49,000    26,167 
Formosan Union Chemical   48,179    29,605 
Foxconn Technology Co. Ltd.   46,127    100,269 
Foxsemicon Integrated Technology, Inc.   4,000    40,737 
FSP Technology, Inc.   8,000    15,336 
Fu Hua Innovation Co. Ltd.   20,529    23,542 
Fubon Financial Holding Co. Ltd.   517,877    1,547,674 
Fulltech Fiber Glass Corp. *   14,717    18,238 
Fusheng Precision Co. Ltd.   5,000    50,835 
G Shank Enterprise Co. Ltd.   10,589    25,773 
Gamania Digital Entertainment Co. Ltd.   13,000    33,288 
Gemtek Technology Corp. *   47,000    42,154 
General Interface Solution GIS Holding Ltd. *   18,000    24,771 
Genius Electronic Optical Co. Ltd.   4,000    57,237 
Getac Holdings Corp.   21,000    79,796 
Giant Manufacturing Co. Ltd.   20,000    74,285 
Gigabyte Technology Co. Ltd.   18,000    174,380 
Global Brands Manufacture Ltd.   21,000    64,124 
Global Mixed Mode Technology, Inc.   3,000    22,131 
Global PMX Co. Ltd.   2,000    8,421 
Globalwafers Co. Ltd.   15,000    154,816 
Gloria Material Technology Corp.   34,392    40,794 
Goldsun Building Materials Co. Ltd.   82,973    111,201 
Grand Pacific Petrochemical *   119,612    38,162 
Grape King Bio Ltd.   10,000    42,962 
Great Wall Enterprise Co. Ltd.   44,330    100,005 
Greatek Electronics, Inc.   16,000    31,603 
Hannstar Board Corp.   23,814    50,136 
HannStar Display Corp. *   35,000    8,531 
HannsTouch Holdings Co. *   32,279    6,696 
Hey Song Corp.   18,750    25,642 
Highwealth Construction Corp.   93,462    132,457 
Hiwin Technologies Corp.   19,000    136,588 
Ho Tung Chemical Corp.   63,688    16,351 
Holy Stone Enterprise Co. Ltd.   10,500    28,036 
Hon Hai Precision Industry Co. Ltd.   654,068    3,604,852 

 

The accompanying notes are an integral part of these financial statements.

 

66

Table of Contents 

 

SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Taiwan (Continued)          
Hong Pu Real Estate Development Co. Ltd.   20,000   $20,505 
Hong TAI Electric Industrial   32,000    41,462 
Hota Industrial Manufacturing Co. Ltd.   13,000    25,767 
Hotai Finance Co. Ltd.   14,000    32,254 
Hsin Kuang Steel Co. Ltd.   13,000    17,467 
Hu Lane Associate, Inc.   4,100    18,456 
Hua Nan Financial Holdings Co. Ltd.   315,300    293,583 
Hua Yu Lien Development Co. Ltd.   3,000    12,016 
Huaku Development Co. Ltd. *   17,700    64,833 
Huang Hsiang Construction Corp.   9,015    13,316 
Hung Sheng Construction Ltd.   13,688    11,761 
I-Sheng Electric Wire & Cable Co. Ltd.   9,000    16,052 
IBF Financial Holdings Co. Ltd.   128,807    59,306 
Ichia Technologies, Inc.   11,000    15,269 
IEI Integration Corp.   8,000    21,334 
Innodisk Corp.   2,000    16,226 
Innolux Corp.   405,645    162,469 
Inpaq Technology Co. Ltd.   9,000    21,782 
Inventec Corp.   179,282    259,607 
ITE Technology, Inc.   6,000    28,961 
ITEQ Corp.   15,000    44,776 
Kedge Construction Co. Ltd.   4,080    11,453 
Kenda Rubber Industrial Co. Ltd.   34,650    25,799 
Kerry TJ Logistics Co. Ltd.   9,000    10,429 
KGI Financial Holding Co. Ltd.   1,154,559    590,876 
Kindom Development Co. Ltd.   25,200    43,478 
King Yuan Electronics Co. Ltd.   58,100    202,869 
King’s Town Bank Co. Ltd. *   90,000    162,057 
Kinpo Electronics   111,000    76,946 
Kinsus Interconnect Technology Corp.   28,000    80,227 
KS Terminals, Inc.   6,000    10,311 
Kung Long Batteries Industrial Co. Ltd.   8,000    38,203 
Kuo Toong International Co. Ltd.   16,000    29,467 
Kuo Yang Construction Co. Ltd.   14,000    9,585 
Kwong Lung Enterprise Co. Ltd.   12,000    20,909 
L&K Engineering Co. Ltd.   7,397    77,611 
Lanner Electronics, Inc.   6,000    15,610 
Largan Precision Co. Ltd.   7,000    570,314 
Lealea Enterprise Co. Ltd. *   83,200    18,314 
Lelon Electronics Corp.   10,000    26,017 
Li Peng Enterprise Co. Ltd. *   41,000    8,309 
Lien Hwa Industrial Holdings Corp.   53,968    79,441 
Lite-On Technology Corp.   127,874    483,708 
Longchen Paper & Packaging Co. Ltd. *   92,459    28,201 
Lotes Co. Ltd.   4,000    184,856 
Lotus Pharmaceutical Co. Ltd.   10,000    75,825 
Lumax International Corp. Ltd.   4,000    13,419 
Lung Yen Life Service Corp. *   16,000    34,397 
Macronix International Co. Ltd. *   72,171    52,500 
Makalot Industrial Co. Ltd.   2,000    16,158 
Marketech International Corp.   5,000    32,350 
MediaTek, Inc.   2,000    85,581 
Mega Financial Holding Co. Ltd.   324,287    455,702 
Mercuries & Associates Holding Ltd.   19,184    8,078 
Mercuries Life Insurance Co. Ltd. *   79,251    13,511 
Merida Industry Co. Ltd.   15,000    52,889 
Merry Electronics Co. Ltd.   15,226    57,335 
Micro-Star International Co. Ltd.   42,000    206,319 
Mitac Holdings Corp. *   48,637    110,720 
MOSA Industrial Corp. *   9,616    5,185 
Motech Industries, Inc.   17,000    10,242 
Nak Sealing Technologies Corp.   3,000    11,656 
Namchow Holdings Co. Ltd.   7,000    9,789 
Nan Kang Rubber Tire Co. Ltd.   9,000    11,215 
Nan Pao Resins Chemical Co. Ltd.   2,000    20,505 
Nan Ya Plastics Corp.   256,000    239,244 
Nan Ya Printed Circuit Board Corp.   15,000    57,511 
Nantex Industry Co. Ltd.   10,000    8,130 
Nanya Technology Corp. *   78,000    136,711 
Nichidenbo Corp. *   6,000    15,569 
Nuvoton Technology Corp.   9,000    22,275 
O-Bank Co. Ltd.   91,943    29,051 
Ocean Plastics Co. Ltd.   9,000    11,138 
Orient Semiconductor Electronics Ltd.   30,485    40,073 
Oriental Union Chemical Corp.   57,000    23,122 
Pan German Universal Motors Ltd. *   2,000    19,786 
Pan Jit International, Inc.   24,600    42,106 
Pan-International Industrial Corp.   34,380    47,194 
Parade Technologies Ltd.   3,000    61,208 
PChome Online, Inc. *   408    480 
Pegatron Corp.   139,249    366,093 
Pegavision Corp.   2,000    20,334 
Phison Electronics Corp.   9,000    154,971 
Pixart Imaging, Inc.   8,000    62,851 
Pou Chen Corp. *   137,133    145,292 
Powerchip Semiconductor Manufacturing Corp. *   65,000    34,267 
Powertech Technology, Inc.   49,000    220,577 
President Securities Corp.   86,636    66,878 
Primax Electronics Ltd.   25,000    62,389 
Prince Housing & Development Corp.   77,970    24,743 
Promate Electronic Co. Ltd.   8,000    20,896 
Qisda Corp.   129,400    115,393 

 

The accompanying notes are an integral part of these financial statements.

 

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
           
COMMON STOCKS (Continued)          
Taiwan (Continued)          
Quanta Storage, Inc.   13,000   $39,473 
Radiant Opto-Electronics Corp.   27,000    124,315 
Radium Life Tech Co. Ltd.   41,409    17,294 
Raydium Semiconductor Corp.   4,000    50,116 
Rechi Precision Co. Ltd.   30,000    25,007 
Rich Development Co. Ltd.   20,577    6,121 
Ritek Corp. *   29,000    9,977 
Ruentex Development Co. Ltd.   67,600    68,845 
Ruentex Industries Ltd.   22,891    41,923 
Run Long Construction Co. Ltd.   34,000    35,092 
Sakura Development Co. Ltd.   7,000    15,935 
Sampo Corp.   31,600    27,368 
San Fang Chemical Industry Co. Ltd.   13,000    16,889 
Sanyang Motor Co. Ltd.   41,573    88,377 
ScinoPharm Taiwan Ltd.   14,000    8,147 
SDI Corp.   10,000    24,408 
Sercomm Corp.   18,000    58,538 
Sesoda Corp.   17,193    17,892 
Shanghai Commercial & Savings Bank Ltd. (The)   219,618    348,839 
Shih Wei Navigation Co. Ltd. *   17,554    9,074 
Shihlin Electric & Engineering Corp.   11,000    67,592 
Shin Kong Financial Holding Co. Ltd. *   771,851    298,573 
Shin Zu Shing Co. Ltd.   9,064    66,556 
Shinkong Insurance Co. Ltd.   11,000    36,903 
Shinkong Synthetic Fibers Corp.   108,151    44,983 
Sigurd Microelectronics Corp. *   42,694    115,899 
Simplo Technology Co. Ltd.   9,000    118,616 
Sinbon Electronics Co. Ltd.   9,000    67,318 
Sincere Navigation Corp. *   27,810    20,659 
Sino-American Silicon Products, Inc.   33,000    103,139 
Sinon Corp.   37,000    52,881 
SinoPac Financial Holdings Co. Ltd.   607,213    503,031 
Sinyi Realty, Inc.   11,000    9,452 
Sitronix Technology Corp.   9,000    62,389 
Soft-World International Corp.   4,000    14,309 
Solar Applied Materials Technology Corp.   5,000    9,294 
Sporton International, Inc.   4,000    23,210 
Sports Gear Co. Ltd.   4,000    14,583 
St. Shine Optical Co. Ltd.   5,000    26,530 
Standard Chemical & Pharmaceutical Co. Ltd.   5,000    9,756 
Standard Foods Corp.   31,000    34,755 
Sunny Friend Environmental Technology Co. Ltd.   4,000    9,941 
Sunonwealth Electric Machine Industry Co. Ltd.   12,000    41,284 
Sunplus Technology Co. Ltd. *   12,000    7,784 
Sunrex Technology Corp.   6,000    9,222 
Superalloy Industrial Co. Ltd.   12,000    21,731 
Supreme Electronics Co. Ltd.   40,000    61,550 
Swancor Holding Co. Ltd.   5,000    11,998 
Syncmold Enterprise Corp.   5,000    11,964 
Synmosa Biopharma Corp.   16,354    20,490 
Synnex Technology International Corp.   77,300    170,414 
Systex Corp.   9,000    32,196 
T3EX Global Holdings Corp.   4,000    9,873 
TA Chen Stainless Pipe   105,444    125,073 
Ta Ya Electric Wire & Cable   47,250    61,303 
TA-I Technology Co. Ltd.   6,000    8,452 
TAI-TECH Advanced Electronics Co. Ltd.   3,000    9,756 
Taichung Commercial Bank Co. Ltd.   261,949    196,829 
TaiDoc Technology Corp.   7,000    30,073 
Taiflex Scientific Co. Ltd.   26,923    42,119 
Tainan Spinning Co. Ltd.   21,427    9,792 
Taishin Financial Holding Co. Ltd.   782,353    421,815 
Taiwan Business Bank   482,976    253,789 
Taiwan Cogeneration Corp.   27,000    41,269 
Taiwan Cooperative Financial Holding Co. Ltd.   339,897    287,979 
Taiwan Fertilizer Co. Ltd.   48,000    87,252 
Taiwan Fire & Marine Insurance Co. Ltd.   12,000    12,960 
Taiwan FU Hsing Industrial Co. Ltd.   21,000    33,284 
Taiwan Glass Industry Corp. *   81,321    44,541 
Taiwan Hon Chuan Enterprise Co. Ltd.   26,612    143,937 
Taiwan Navigation Co. Ltd.   22,000    21,050 
Taiwan Paiho Ltd.   12,000    22,183 
Taiwan PCB Techvest Co. Ltd.   28,000    29,330 
Taiwan Sakura Corp.   6,000    17,561 
Taiwan Sanyo Electric Co. Ltd.   10,000    13,299 
Taiwan Secom Co. Ltd.   4,000    15,062 
Taiwan Semiconductor Co. Ltd.   10,000    16,449 
Taiwan Shin Kong Security Co. Ltd.   19,100    27,167 
Taiwan Surface Mounting Technology Corp.   21,518    76,608 
Taiwan Union Technology Corp.   11,000    85,667 
Tatung Co. Ltd.   98,800    134,272 
TCC Group Holdings Co. Ltd.   380,971    332,561 
TCI Co. Ltd.   5,000    20,882 
Teco Electric & Machinery Co. Ltd.   65,000    105,248 
Test Research, Inc.   11,000    54,977 

 

The accompanying notes are an integral part of these financial statements.

 

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
         
COMMON STOCKS (Continued)          
Taiwan (Continued)          
Thinking Electronic Industrial Co. Ltd.   4,000   $18,143 
Thye Ming Industrial Co. Ltd.   8,000    19,088 
Ton Yi Industrial Corp.   82,000    55,159 
Tong Hsing Electronic Industries Ltd.   12,870    47,141 
Tong Yang Industry Co. Ltd.   29,921    100,583 
Topco Scientific Co. Ltd. *   8,115    76,255 
Topkey Corp.   3,000    19,256 
TPK Holding Co. Ltd. *   34,000    36,256 
Transcend Information, Inc.   10,000    34,404 
Tripod Technology Corp.   29,000    245,704 
TSRC Corp.   26,000    15,976 
TTY Biopharm Co. Ltd.   17,000    43,996 
Tung Ho Steel Enterprise Corp.   47,290    102,797 
TXC Corp.   16,000    46,994 
TYC Brother Industrial Co. Ltd.   21,000    33,716 
U-Ming Marine Transport Corp.   27,000    44,735 
Uni-President Enterprises Corp.   284,000    787,485 
Unimicron Technology Corp.   87,000    339,518 
Union Bank of Taiwan   74,090    45,400 
Unitech Printed Circuit Board Corp. *   55,184    46,283 
United Microelectronics Corp.   499,513    755,802 
United Microelectronics Corp., ADR @   56,252    430,328 
United Orthopedic Corp.   7,000    24,442 
United Renewable Energy Co. Ltd. *   24,000    5,348 
Universal Cement Corp.   49,205    46,911 
Vanguard International Semiconductor Corp.   47,576    163,679 
Visco Vision, Inc.   2,000    12,529 
VisEra Technologies Co. Ltd.   3,000    23,774 
Vizionfocus, Inc.   2,000    12,461 
Wafer Works Corp.   35,503    26,252 
Wah Lee Industrial Corp.   18,420    59,651 
Walsin Lihwa Corp.   160,198    118,454 
Walsin Technology Corp.   28,000    77,927 
Wan Hai Lines Ltd.   58,000    176,708 
Wei Chuan Foods Corp.   14,000    7,764 
Weikeng Industrial Co. Ltd.   32,945    37,555 
Win Semiconductors Corp.   25,000    74,199 
Winbond Electronics Corp. *   222,378    153,393 
Winstek Semiconductor Co. Ltd.   3,000    9,695 
Wisdom Marine Lines Co. Ltd.   27,019    50,131 
Wistron Corp.   174,431    731,473 
WNC Corp.   26,429    109,925 
WPG Holdings Ltd.   95,400    229,258 
WT Microelectronics Co. Ltd.   34,360    151,145 
Xxentria Technology Materials Corp.   10,900    17,332 
Yageo Corp.   29,950    497,253 
Yang Ming Marine Transport Corp.   106,000    257,997 
YC INOX Co. Ltd.   29,977    22,730 
Yea Shin International Development Co. Ltd.   1,000    993 
Yem Chio Co. Ltd.   22,666    12,221 
YFY, Inc.   110,385    86,533 
Yieh Phui Enterprise Co. Ltd.   56,254    29,463 
Youngtek Electronics Corp.   12,000    24,935 
Yuanta Financial Holding Co. Ltd.   676,113    790,403 
Yulon Finance Corp.   16,000    56,415 
Yulon Motor Co. Ltd.   54,247    62,488 
YungShin Global Holding Corp.   7,000    14,258 
Zeng Hsing Industrial Co. Ltd.   2,148    7,346 
Zero One Technology Co. Ltd.   9,000    32,812 
Zhen Ding Technology Holding Ltd.   55,000    189,220 
Zippy Technology Corp.   12,000    21,238 
Zyxel Group Corp.   31,438    29,219 
         40,543,218 
           
Thailand — 1.3%          
AP Thailand PCL   242,500    46,622 
Bangchak Corp. PCL   73,300    68,771 
Bangkok Bank PCL   56,300    240,726 
Bangkok Bank PCL, NVDR   13,300    56,868 
Bangkok Commercial Asset Management PCL   116,500    25,444 
Bangkok Life Assurance PCL, NVDR   26,800    12,696 
Banpu PCL   429,750    53,143 
Berli Jucker PCL   64,800    38,072 
BKI Holdings PCL   2,100    18,087 
Charoen Pokphand Foods PCL   149,400    105,701 
CP Axtra PCL   56,521    31,122 
Energy Absolute PCL *   103,600    6,246 
GFPT PCL   33,300    9,014 
Kasikornbank PCL, NVDR   27,100    127,961 
Kiatnakin Phatra Bank PCL   21,900    30,483 
Krung Thai Bank PCL   204,575    134,039 
PTT Exploration & Production PCL   76,900    259,024 
PTT Global Chemical PCL   143,128    87,615 
PTT PCL   826,300    762,533 
Quality Houses PCL   368,100    20,042 
Regional Container Lines PCL   17,100    13,545 
Sansiri PCL   1,106,700    61,278 
Siam Cement PCL (The)   31,500    162,787 
Sri Trang Agro-Industry PCL   57,200    20,938 
Sri Trang Gloves Thailand PCL   50,900    9,473 
Star Petroleum Refining PCL   80,000    12,427 

 

The accompanying notes are an integral part of these financial statements.

 

69

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
         
COMMON STOCKS (Continued)          
Thailand (Continued)          
Stecon Group PCL *   70,300   $15,894 
Supalai PCL   115,700    51,606 
Thai Oil PCL   78,877    65,511 
Thanachart Capital PCL   17,800    25,050 
TMBThanachart Bank PCL   534,672    30,920 
TPI Polene PCL   676,600    17,067 
TPI Polene Power PCL   179,000    11,783 
WHA Corp. PCL   253,200    24,612 
         2,657,100 
           
Turkey — 0.6%          
Alarko Holding AS   8,981    18,698 
Albaraka Turk Katilim Bankasi AS   137,184    28,183 
Arcelik AS *   3,037    9,343 
Dogan Sirketler Grubu Holding AS   84,330    32,976 
Dogus Otomotiv Servis ve Ticaret AS   5,901    25,817 
Enka Insaat ve Sanayi AS   52,886    88,259 
Eregli Demir ve Celik Fabrikalari TAS   123,498    82,688 
Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS, Class D *   72,396    43,855 
KOC Holding AS   52,203    201,901 
Petkim Petrokimya Holding AS *   66,430    28,712 
Sekerbank Turk AS   183,608    30,388 
Turk Hava Yollari AO   44,707    318,311 
Turk Telekomunikasyon AS *   26,876    39,722 
Turkcell Iletisim Hizmetleri AS   50,598    122,182 
Turkiye Petrol Rafinerileri AS   50,270    176,750 
Turkiye Sise ve Cam Fabrikalari AS   63,955    57,887 
         1,305,672 
           
United Arab Emirates — 1.5%          
Abu Dhabi Commercial Bank PJSC   145,289    533,272 
Abu Dhabi National Hotels   397,983    53,966 
Abu Dhabi Ports Co. PJSC *   54,207    60,073 
Agthia Group PJSC   11,305    13,421 
Ajman Bank PJSC   47,877    19,163 
Amanat Holdings PJSC   45,835    13,978 
Aramex PJSC *   21,960    16,683 
Bank of Sharjah *   40,477    10,614 
Dana Gas PJSC   486,882    97,705 
Deyaar Development PJSC   130,763    35,249 
Dubai Investments PJSC   188,914    131,683 
Emaar Properties PJSC   303,884    1,125,312 
Emirates NBD Bank PJSC   115,027    714,103 
EMSTEEL Building Materials PJSC *   112,430    41,328 
Ghitha Holding PJSC *   1,680    13,742 
Modon Holding PSC *   40,046    37,946 
Multiply Group PJSC *   133,955    87,903 
National Central Cooling Co. PJSC   13,972    10,804 
RAK Properties PJSC *   118,699    46,541 
Ras Al Khaimah Ceramics PJSC   45,645    30,698 
         3,094,184 
           
United States — 0.1%          
GCC SAB de CV   9,763    93,803 
JBS NV *   1,446    20,816 
TOTAL COMMON STOCKS
(Identified Cost $159,411,524)
        202,683,993 
           
PREFERRED STOCKS — 0.8%          
Brazil — 0.8%          
Banco ABC Brasil SA, 7.347%   9,087    37,448 
Banco Bradesco SA, 5.627%   100,741    312,063 
Banco do Estado do Rio Grande do
Sul SA, 9.459%
   14,808    31,534 
Cia de Ferro Ligas da Bahia Ferbasa, 7.360%   9,200    11,515 
Petroleo Brasileiro SA - Petrobras, 10.921%   195,991    1,131,987 
Raizen SA, 0.607%   74,020    22,479 
Randon SA Implementos e Participacoes, 4.606%   9,200    15,087 
         1,562,113 
           
Colombia — 0.0%          
Grupo de Inversiones Suramericana SA, 3.79%   4,895    45,053 
           
Philippines — 0.0%          
Cebu Air, Inc., 6.000% *   12,909    8,800 
           
TOTAL PREFERRED STOCKS
(Identified Cost $944,776)
        1,615,966 
           
RIGHTS AND WARRANTS — 0.0%          
India — 0.0%          
Infibeam Avenues Ltd. *<>   19,336    1,486 
           
Malaysia — 0.0%          
Alliance Bank Malaysia Bhd. *<>   8,611    2,004 
YTL Corp. Bhd. *<>   22,360    4,355 
           
TOTAL RIGHTS AND WARRANTS
(Identified Cost $0)
        7,845 

 

The accompanying notes are an integral part of these financial statements.

 

70

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SA Emerging Markets Value Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
         
SHORT-TERM INVESTMENTS — 1.1%          
Investment Company — 0.1%          
State Street Institutional U.S. Government Money Market Fund 4.020%   210,317   $210,317 
           
Collateral For Securities On Loan — 1.0%          
State Street Navigator Securities Lending Government Money Market Portfolio 4.350%   1,995,184    1,995,184 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $2,205,501)
        2,205,501 
           
Total Investments — 101.4%          
(Identified Cost $162,561,801)        206,513,305 
           
Liabilities in excess of Cash and Other Assets — (1.4%)        (2,921,345)
Net Assets — 100.0%       $203,591,960 

 

See Note 1
* Non-income producing security
± 144A Securities. Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers. These securities have been deemed by the Fund to be liquid and at June 30, 2025 amounted to $4,774,850 or 2.35% of the net assets of the Fund.
@ A portion or all of the security was held on loan. As of June 30, 2025, the fair value of the securities on loan was $6,044,519.
§ Fair valued security. Security is valued using significant unobservable inputs as determined pursuant to procedures approved by the Fund’s Board of Trustees. See Note 1
<>  Fair valued security. Security is valued using significant observable inputs other than quoted prices as determined pursuant to procedures approved by the Fund’s Board of Trustees. See Note 1

 

Key to abbreviations:

ADR — American Depository Receipt

GDR — Global Depository Receipt

NVDR — Non-Voting Depository Receipt

 

The accompanying notes are an integral part of these financial statements.

 

71

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SA Real Estate Securities Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025

 

   SHARES   VALUE† 
         
COMMON STOCKS — 99.3%          
Diversified REITs — 2.3%          
Alexander & Baldwin, Inc.   6,370   $113,577 
Alpine Income Property Trust, Inc.   1,013    14,901 
American Assets Trust, Inc.   4,156    82,081 
Broadstone Net Lease, Inc.   17,587    282,271 
CTO Realty Growth, Inc.   2,292    39,560 
Empire State Realty Trust, Inc., Class A   11,500    93,035 
Essential Properties Realty Trust, Inc.   19,181    612,066 
Gladstone Commercial Corp.   3,518    50,413 
Global Net Lease, Inc.   20,205    152,548 
Modiv Industrial, Inc. @   764    10,757 
One Liberty Properties, Inc.   1,495    35,671 
WP Carey, Inc.   20,388    1,271,803 
         2,758,683 
           
Health Care REITs — 11.6%          
Alexandria Real Estate Equities, Inc.   14,530    1,055,314 
American Healthcare REIT, Inc.   3,198    117,494 
CareTrust REIT, Inc.   18,054    552,452 
Community Healthcare Trust, Inc.   2,728    45,367 
Diversified Healthcare Trust   9,600    34,368 
Global Medical REIT, Inc.   5,127    35,530 
Healthcare Realty Trust, Inc.   31,194    494,737 
Healthpeak Properties, Inc.   63,793    1,117,015 
LTC Properties, Inc.   3,972    137,471 
Medical Properties Trust, Inc. @   50,086    215,871 
National Health Investors, Inc.   4,395    308,177 
Omega Healthcare Investors, Inc.   24,829    909,983 
Sabra Health Care REIT, Inc.   21,315    393,049 
Sila Realty Trust, Inc.   1,846    43,695 
Universal Health Realty Income Trust   1,361    54,399 
Ventas, Inc.   43,451    2,743,931 
Welltower, Inc.   35,826    5,507,531 
         13,766,384 
           
Hotel & Resort REITs — 2.3%          
Apple Hospitality REIT, Inc.   19,108    222,990 
Chatham Lodging Trust   5,496    38,307 
DiamondRock Hospitality Co.   15,945    122,139 
Host Hotels & Resorts, Inc.   68,688    1,055,048 
Park Hotels & Resorts, Inc.   17,492    178,943 
Pebblebrook Hotel Trust   9,868    98,581 
RLJ Lodging Trust   10,992    80,022 
Ryman Hospitality Properties, Inc.   5,706    563,011 
Service Properties Trust   13,346    31,897 
Summit Hotel Properties, Inc.   10,209    51,964 
Sunstone Hotel Investors, Inc.   19,666    170,701 
Xenia Hotels & Resorts, Inc.   9,259    116,385 
         2,729,988 
           
Industrial REITs — 10.6%          
Americold Realty Trust, Inc.   26,726    444,453 
EastGroup Properties, Inc.   4,545    759,560 
First Industrial Realty Trust, Inc.   11,460    551,570 
Industrial Logistics Properties Trust   5,224    23,769 
Innovative Industrial Properties, Inc.   2,731    150,806 
LXP Industrial Trust   28,188    232,833 
Plymouth Industrial REIT, Inc.   4,195   67,372 
Prologis, Inc.   79,245    8,330,234 
Rexford Industrial Realty, Inc.   22,254    791,575 
STAG Industrial, Inc.   18,420    668,278 
Terreno Realty Corp.   9,837    551,561 
         12,572,011 
           
Office REITs — 3.5%          
Brandywine Realty Trust   17,779    76,272 
BXP, Inc.   13,815    932,098 
City Office REIT, Inc.   5,176    27,640 
COPT Defense Properties   10,197    281,233 
Cousins Properties, Inc.   15,828    475,315 
Douglas Emmett, Inc.   15,452    232,398 
Easterly Government Properties, Inc.   3,870    85,914 
Highwoods Properties, Inc.   9,799    304,651 
JBG SMITH Properties @   6,335    109,595 
Kilroy Realty Corp.   9,917    340,252 
NET Lease Office Properties @*   1,572    51,169 
Paramount Group, Inc. *   17,848    108,873 
Peakstone Realty Trust   1,614    21,321 
Piedmont Realty Trust, Inc.   10,998    80,175 
Postal Realty Trust, Inc., Class A   1,457    21,462 
SL Green Realty Corp.   6,778    419,558 
Vornado Realty Trust   15,882    607,328 
         4,175,254 
           
Residential REITs — 14.2%          
American Homes 4 Rent, Class A   33,305    1,201,311 
Apartment Investment & Management Co., Class A   13,399    115,901 
AvalonBay Communities, Inc.   12,710    2,586,485 
Bluerock Homes Trust, Inc.   412    5,158 
BRT Apartments Corp.   400    6,256 
Camden Property Trust   9,247    1,042,045 
Centerspace   1,534    92,332 
Clipper Realty, Inc. @   1,167    4,283 
Elme Communities   7,318    116,356 
Equity LifeStyle Properties, Inc.   15,721    969,514 
Equity Residential   33,819    2,282,444 
Essex Property Trust, Inc.   5,600    1,587,040 
Independence Realty Trust, Inc.   21,679    383,502 
Invitation Homes, Inc.   58,813    1,929,067 
Mid-America Apartment Communities, Inc.   10,132    1,499,637 
NexPoint Residential Trust, Inc.   2,313    77,069 
Sun Communities, Inc.   11,398    1,441,733 
UDR, Inc.   30,795    1,257,360 
UMH Properties, Inc.   7,290    122,399 
Veris Residential, Inc.   7,019    104,513 
         16,824,405 
           
Retail REITs — 15.6%          
Acadia Realty Trust   11,503    213,611 
Agree Realty Corp.   10,301    752,591 
Alexander’s, Inc.   303    68,272 
Brixmor Property Group, Inc.   28,480    741,619 
CBL & Associates Properties, Inc.   1,387    35,216 
Curbline Properties Corp.   9,588    218,894 

 

The accompanying notes are an integral part of these financial statements.

 

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SA Real Estate Securities Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025 (Continued)

 

   SHARES   VALUE† 
         
COMMON STOCKS (Continued)          
Retail REITs (Continued)          
Federal Realty Investment Trust   7,572   $719,264 
Getty Realty Corp.   4,639    128,222 
InvenTrust Properties Corp.   6,885    188,649 
Kimco Realty Corp.   67,586    1,420,658 
Kite Realty Group Trust   20,516    464,687 
Macerich Co. (The)   22,929    370,991 
NETSTREIT Corp.   6,691    113,279 
NNN REIT, Inc.   18,414    795,117 
Phillips Edison & Co., Inc.   12,315    431,394 
Realty Income Corp.   81,823    4,713,823 
Regency Centers Corp.   17,440    1,242,251 
Saul Centers, Inc.   1,365    46,601 
Simon Property Group, Inc.   31,957    5,137,407 
SITE Centers Corp.   4,794    54,220 
Tanger, Inc.   10,913    333,720 
Urban Edge Properties   12,150    226,719 
Whitestone REIT   4,776    59,605 
         18,476,810 
           
Specialized REITs — 39.2%          
American Tower Corp.   44,923    9,928,881 
Crown Castle, Inc.   39,701    4,078,484 
CubeSmart   19,730    838,525 
Digital Realty Trust, Inc.   30,600    5,334,498 
EPR Properties   7,659    446,213 
Equinix, Inc.   8,988    7,149,684 
Esc War Ind *§   9,141     
Extra Space Storage, Inc.   19,223    2,834,239 
Four Corners Property Trust, Inc. @   9,280    249,725 
Gaming & Leisure Properties, Inc.   26,141    1,220,262 
Global Self Storage, Inc.   997    5,324 
Iron Mountain, Inc.   28,957    2,970,120 
Lamar Advertising Co., Class A   8,889    1,078,769 
National Storage Affiliates Trust   7,272    232,631 
Outfront Media, Inc.   13,931    227,354 
Public Storage   14,236    4,177,127 
SBA Communications Corp.   10,655    2,502,220 
Uniti Group, Inc. *   20,375    88,020 
VICI Properties, Inc.   99,056    3,229,226 
         46,591,302 
TOTAL COMMON STOCKS
(Identified Cost $68,295,899)
        117,894,837 
           
SHORT-TERM INVESTMENTS — 0.8%          
Investment Company — 0.3%          
State Street Institutional U.S. Government Money Market Fund 4.020%   426,821   426,821 
           
Collateral For Securities On Loan — 0.5%          
State Street Navigator Securities Lending Government Money Market Portfolio 4.350%   553,154    553,154 
           
TOTAL SHORT-TERM INVESTMENTS
(Identified Cost $979,975)
        979,975 
           
Total Investments — 100.1%          
(Identified Cost $69,275,874)        118,874,812 
Liabilities in excess of Cash and Other Assets — (0.1%)        (150,093)
           
Net Assets — 100.0%       $118,724,719 

 

See Note 1
@ A portion or all of the security was held on loan. As of June 30, 2025, the fair value of the securities on loan was $622,511.
* Non-income producing security
§ Fair valued security. Security is valued using significant unobservable inputs as determined pursuant to procedures approved by the Fund’s Board of Trustees. See Note 1

 

Key to abbreviations:

REIT — Real Estate Investment Trust

 

The accompanying notes are an integral part of these financial statements.

 

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SA Worldwide Moderate Growth Fund

 

PORTFOLIO OF INVESTMENTS — AS OF JUNE 30, 2025  

 

   SHARES   VALUE† 
         
MUTUAL FUNDS — 100.0%          
Others — 100.0%          
SA Emerging Markets Value Fund €   125,288   $1,420,767 
SA Global Fixed Income Fund €   351,075    3,135,097 
SA International Value Fund €   272,585    4,279,589 
SA Real Estate Securities Fund €   54,428    619,394 
SA U.S. Core Market Fund €   94,149    3,570,139 
SA U.S. Fixed Income Fund €   326,514    3,147,593 
SA U.S. Small Company Fund €   48,346    1,417,516 
SA U.S. Value Fund €   156,601    3,567,368 
         21,157,463 
TOTAL MUTUAL FUNDS
(Identified Cost $17,224,951)
        21,157,463 
           
Total Investments — 100.0%          
(Identified Cost $17,224,951)        21,157,463 
Liabilities in excess of Cash and Other Assets — 0.0%        (8,758)
Net Assets — 100.0%       $21,148,705 

 

See Note 1
SA Worldwide Moderate Growth Fund invests substantially all of its assets in the affiliated Underlying SA Funds.

 

The accompanying notes are an integral part of these financial statements.

 

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STATEMENTS OF ASSETS AND LIABILITIES - JUNE 30, 2025

 

   SA
U.S. Fixed
Income Fund
   SA
Global Fixed Income Fund
   SA
U.S. Core
Market Fund
 
ASSETS               
Investments in unaffiliated securities, at value(1)  $448,476,652   $550,221,553   $669,300,993 
Investments in affiliated securities, at value            
Cash       8,996    172,363 
Foreign currency, at value       743,571     
Receivable for investments sold           35,265 
Dividends and interest receivable   3,502,193    3,083,276    304,540 
Receivable for fund shares sold   901,422    1,024,873    704,947 
Unrealized appreciation on forward foreign currency exchange contracts (Note 1)       930,027     
Receivable from the Adviser (Note 2)   9,833        5,154 
Receivable for tax reclaims            
Prepaid expenses   25,895    30,439    28,760 
Other assets           686 
Total Assets   452,915,995    556,042,735    670,552,708 
                
LIABILITIES               
Payable for investments purchased            
Payable for fund shares redeemed   157,637    162,966    327,599 
Due to custodian bank            
Collateral for securities on loan (Note 1)       2,351,750    127,824 
Unrealized depreciation on forward foreign currency exchange contracts (Note 1)       9,893,647     
Advisory fee payable (Note 2)   55,520    111,497    214,684 
Sub-Advisory fee payable (Note 2)   11,104    13,380    16,101 
Sub-Administration fee payable (Note 2)   20,782    25,573    31,914 
Custody and accounting fees payable   16,247    24,528    29,825 
Shareholder servicing fee payable (Note 2)   55,520    66,898    80,506 
Transfer agent fee payable   9,480    10,354    11,974 
Professional fees payable   31,572    43,226    25,457 
Accrued foreign capital gains tax            
Accrued expenses and other liabilities   26,387    49,392    49,444 
Total Liabilities   384,249    12,753,211    915,328 
NET ASSETS  $452,531,746   $543,289,524   $669,637,380 
                
NET ASSETS CONSIST OF:               
Paid-in capital  $480,352,900   $596,040,380   $109,405,651 
Total distributable earnings (loss)(2)   (27,821,154)   (52,750,856)   560,231,729 
                
NET ASSETS  $452,531,746   $543,289,524   $669,637,380 
Shares of beneficial interest outstanding ($0.01 par value, unlimited shares authorized)   46,964,725    60,813,503    17,657,555 
Net asset value per share  $9.64   $8.93   $37.92 
Identified cost of unaffiliated investments  $445,165,955   $537,138,859   $111,046,634 
Identified cost of affiliated investments  $   $   $ 
Cost of foreign currency  $   $734,663   $ 
(1) Including securities on loan, at value (see Note 1)  $   $2,671,094   $3,112,949 
(2) Net of deferred capital gain country tax of:  $   $   $ 

 

The accompanying notes are an integral part of these financial statements.

 

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SA
U.S. Value
Fund
   SA
U.S. Small
Company Fund
   SA
International
Value Fund
   SA International
Small Company
Fund
   SA Emerging
Markets
Value Fund
   SA
Real Estate
Securities Fund
   SA Worldwide
Moderate
Growth Fund
 
                                 
$523,294,578   $297,389,080   $602,789,241   $271,650,759   $206,513,305   $118,874,812   $ 
                         21,157,463 
 101,538    84,674    36,994        6,469    21,361     
         1,934,697        671,491         
 399,248        515,025    81,000    327,376        3,640 
 376,175    170,416    1,131,276        1,171,704    484,583     
 639,497    381,251    440,140    211,200    222,846    155,183     
                          
                 32,452    10,291    17,964 
         3,206,297        13,191         
 27,459    25,811    28,351    25,541    20,625    20,310    26,817 
                     7,426     
 524,838,495    298,051,232    610,082,021    271,968,500    208,979,459    119,573,966    21,205,884 
                                 
                                 
 129,778                141,652    85,886     
 133,364    93,278    501,781    185,205    98,629    76,668    3,640 
             80,941             
 112,984    2,004,203    32,039,504        1,995,184    553,154     
                          
 168,397    95,351    210,905    54,548    74,107    34,358     
 42,099    47,675    93,736        59,285    9,817     
 25,047    15,057    23,560    10,628    8,525    6,111    961 
 18,229    20,656    36,396    6,575    88,806    10,553    6,327 
 63,149    35,757    70,302    32,729    24,702    14,725     
 11,340    11,093    11,467    10,848    10,042    9,928    298 
 25,457    25,457    50,173    25,558    125,938    27,957    25,058 
                 2,739,769         
 40,862    26,418    38,894    16,711    20,860    20,090    20,895 
 770,706    2,374,945    33,076,718    423,743    5,387,499    849,247    57,179 
$524,067,789   $295,676,287   $577,005,303   $271,544,757   $203,591,960   $118,724,719   $21,148,705 
                                 
                                 
$291,547,225   $148,348,984   $380,055,881   $128,381,448   $172,522,517   $68,724,333   $16,700,544 
 232,520,564    147,327,303    196,949,422    143,163,309    31,069,443    50,000,386    4,448,161 
                                 
$524,067,789   $295,676,287   $577,005,303   $271,544,757   $203,591,960   $118,724,719   $21,148,705 
                                 
 23,001,567    10,083,595    36,758,917    11,127,146    17,952,016    10,430,744    1,725,651 
$22.78   $29.32   $15.70   $24.40   $11.34   $11.38   $12.26 
$299,935,690   $147,065,312   $420,285,561   $115,484,961   $162,561,801   $69,275,874   $ 
$   $   $   $   $   $   $17,224,951 
$   $   $1,914,628   $   $670,325   $   $ 
$3,474,943   $19,174,877   $87,020,911   $   $6,044,519   $622,511   $ 
$   $   $   $   $2,739,769   $   $ 

 

The accompanying notes are an integral part of these financial statements.

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STATEMENTS OF OPERATIONS — YEAR ENDED JUNE 30, 2025

 

   SA U.S.   SA Global   SA U.S. 
   Fixed Income   Fixed Income   Core Market 
   Fund   Fund   Fund 
INVESTMENT INCOME               
Income:               
Unaffiliated dividends  $   $   $8,838,206 
Affiliated dividends            
Interest(1)   22,672,653    25,573,912    42,218 
Non-cash dividends            
Other income       621    3,933 
Taxes withheld           (1,648)
Total Income   22,672,653    25,574,533    8,882,709 
Expenses:               
Advisory fees (Note 2)   705,938    1,445,230    2,710,045 
Shareholder Servicing fees (Note 2)   705,938    867,138    1,016,267 
Sub-Advisory fees (Note 2)   141,188    173,428    194,767 
Sub-Administration fees (Note 2)   81,392    100,410    122,563 
Trustees’ fees and expenses (Note 2)   40,455    40,455    40,455 
Custody and accounting fees   64,089    92,975    112,570 
Transfer agent fees   66,566    71,506    85,459 
Professional fees *   54,225    73,201    42,792 
Registration fees   24,582    20,782    21,984 
Shareholders report printing expenses   41,375    43,039    44,575 
Insurance expenses            
Other expenses **   28,021    33,709    155,978 
Total expenses before waivers and reimbursements:   1,953,769    2,961,873    4,547,455 
Less: Fee waiver by the Adviser (Note 2)   (71,267)       (18,210)
Net expenses   1,882,502    2,961,873    4,529,245 
Net investment income   20,790,151    22,612,660    4,353,464 
NET REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS             
Realized gain (loss) on:               
Investments(2)^   1,705,730    2,055,636    80,819,140 
Investments in affiliates            
Forward foreign currency exchange contracts       (1,203,528)    
Foreign currency transactions       163,030     
Capital gain distributions from underlying funds            
Increase (decrease) in unrealized appreciation (depreciation) on:           
Investments(3)   4,656,750    16,700,399    (1,870,516)
Investments in affiliates            
Forward foreign currency exchange contracts       (8,398,409)    
Foreign currency transactions       78,264     
Net realized and unrealized gain on investments and foreign currency transactions and translation   6,362,480    9,395,392    78,948,624 
Net increase in net assets resulting from operations  $27,152,631   $32,008,052   $83,302,088 
(1) Interest income includes security lending income of:  $   $25,187   $13,662 
(2) Net of capital gain country tax of:  $   $   $ 
(3) Net of increase of deferred capital gain country tax accrual of:  $   $   $ 

  * Professional fees include, but are not limited to, fees associated with legal, audit and tax services.
  ** Other expenses include, but are not limited to, fees associated with insurance and printing services and ReFlow.
  ^ For the year ended June 30, 2025, the SA U.S. Core Market Fund, SA U.S. Value Fund, SA U.S. Small Company Fund, SA International Value Fund, and SA Real Estate Securities Fund had redemptions-in-kind of securities in the amount of $77,064,264, $50,291,207, $28,467,358, $17,476,902 and $10,550,978 respectively. Net realized gains (losses) on investments includes the realized gain on the transactions of $71,172,826, $36,914,686 $22,247,308, $9,208,791 and $8,619,323, respectively, which will not be realized by the Funds for tax purposes.

 

The accompanying notes are an integral part of these financial statements.

 

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SA U.S.   SA U.S.   SA International   SA International   SA Emerging   SA Real Estate   SA Worldwide 
Value   Small Company   Value   Small Company   Markets Value   Securities   Moderate 
Fund   Fund   Fund   Fund   Fund   Fund   Growth Fund 
                                 
                                 
$12,857,211   $4,321,149   $24,688,609   $9,107,613   $8,861,595   $3,839,071   $ 
                         606,056 
 47,337    41,828    335,274        73,602    13,899     
                     220,327     
 42,272    66,907    115        20    6,034     
 (618)   (4,961)   (2,459,651)       (1,125,792)        
 12,946,202    4,424,923    22,564,347    9,107,613    7,809,425    4,079,331    606,056 
                                 
 2,183,649    1,240,169    2,480,531    631,768    898,220    449,813     
 818,868    465,063    826,844    379,061    299,406    192,777     
 545,912    620,084    1,102,458        718,575    128,518     
 98,478    57,530    96,284    43,003    34,681    24,374    3,775 
 40,455    40,455    40,455    40,455    40,455    40,455    40,455 
 71,846    80,412    150,310    25,385    341,391    41,801    24,837 
 80,636    78,784    81,276    76,712    71,369    70,181    3,123 
 42,713    42,868    45,262    42,713    75,951    48,086    44,494 
 20,313    18,954    20,324    18,726    22,356    20,617    21,613 
 40,234    45,356    41,485    43,987    41,821    37,781    26,397 
                         8,096 
 113,239    76,302    105,334    27,871    121,871    44,768    17,566 
 4,056,343    2,765,977    4,990,563    1,329,681    2,666,096    1,099,171    190,356 
                 (590,210)   (114,589)   (190,356)
 4,056,343    2,765,977    4,990,563    1,329,681    2,075,886    984,582     
 8,889,859    1,658,946    17,573,784    7,777,932    5,733,539    3,094,749    606,056 
                                 
                                 
 48,265,461    20,372,606    25,129,760    9,492,777    3,699,201    9,435,267     
                         715,945 
         2,149        (402)        
         76,267        37,730         
                         34,149 
                                 
 (12,453,851)   2,220,128    69,385,381    36,122,872    9,661,346    (2,098,657)    
                         1,002,505 
                          
         308,075        17,964         
 35,811,610    22,592,734    94,901,632    45,615,649    13,415,839    7,336,610    1,752,599 
$44,701,469   $24,251,680   $112,475,416   $53,393,581   $19,149,378   $10,431,359   $2,358,655 
$2,441   $29,674   $305,859   $   $61,242   $948   $ 
$   $   $   $   $348,598   $   $ 
$   $   $   $   $80,070   $   $ 

 

The accompanying notes are an integral part of these financial statements.

 

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STATEMENTS OF CHANGES IN NET ASSETS

 

   SA U.S. Fixed Income Fund 
   Year Ended   Year Ended 
   June 30, 2025   June 30, 2024 
INCREASE (DECREASE) IN NET ASSETS          
Operations:          
Net investment income  $20,790,151   $20,664,071 
Net realized gain (loss) on investments and foreign currency transactions   1,705,730    (541,864)
Net increase (decrease) in unrealized appreciation (depreciation)   4,656,750    3,122,347 
Net increase (decrease) in net assets from operations   27,152,631    23,244,554 
Distributions to shareholders:   (20,812,291)   (21,020,646)
           
Capital share transactions          
Proceeds from sale of shares   56,140,618    113,250,771 
Value of distributions reinvested   20,611,018    20,737,460 
Cost of shares redeemed   (98,100,688)   (75,205,828)
Total capital share transactions   (21,349,052)   58,782,403 
Total increase (decrease) in net assets   (15,008,712)   61,006,311 
           
NET ASSETS          
Beginning of year  $467,540,458   $406,534,147 
End of year  $452,531,746   $467,540,458 
           
CAPITAL SHARE TRANSACTIONS          
Shares sold by subscription   5,849,368    11,888,797 
Shares issued for distributions reinvested   2,152,226    2,183,411 
Shares redeemed   (10,197,270)   (7,876,344)
Net increase (decrease) in fund shares   (2,195,676)   6,195,864 

 

The accompanying notes are an integral part of these financial statements.

 

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SA Global Fixed Income Fund   SA U.S. Core Market Fund 
Year Ended   Year Ended   Year Ended   Year Ended 
June 30, 2025   June 30, 2024   June 30, 2025   June 30, 2024 
                  
                  
$22,612,660   $24,976,925   $4,353,464   $5,278,704 
 1,015,138    13,563,990    80,819,140    68,274,335 
 8,380,254    (7,354,695)   (1,870,516)   64,135,545 
 32,008,052    31,186,220    83,302,088    137,688,584 
 (26,273,786)   (7,999,993)   (4,719,534)   (5,568,395)
                  
                  
 51,026,458    57,181,206    124,573,213    115,643,405 
 26,011,346    7,903,805    4,568,228    5,392,211 
 (124,697,528)   (176,513,811)   (226,441,644)   (205,676,471)
 (47,659,724)   (111,428,800)   (97,300,203)   (84,640,855)
 (41,925,458)   (88,242,573)   (18,717,649)   47,479,334 
                  
                  
$585,214,982   $673,457,555   $688,355,029   $640,875,695 
$543,289,524   $585,214,982   $669,637,380   $688,355,029 
                  
                  
 5,769,579    6,542,373    3,508,498    3,883,930 
 2,967,649    896,123    126,895    183,284 
 (14,101,481)   (20,322,712)   (6,373,431)   (6,883,284)
 (5,364,253)   (12,884,216)   (2,738,038)   (2,816,070)

 

The accompanying notes are an integral part of these financial statements.

 

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STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 

   SA U.S. Value Fund 
   Year Ended June 30, 2025   Year Ended June 30, 2024 
INCREASE (DECREASE) IN NET ASSETS          
Operations:          
Net investment income  $8,889,859   $8,852,271 
Net realized gain (loss) on investments and foreign currency transactions   48,265,461    40,878,399 
Net increase (decrease) in unrealized appreciation (depreciation)   (12,453,851)   29,723,357 
Net increase (decrease) in net assets from operations   44,701,469    79,454,027 
Distributions to shareholders:   (13,673,954)   (8,913,929)
           
Capital share transactions          
Proceeds from sale of shares   90,630,311    81,107,589 
Value of distributions reinvested   13,404,585    8,705,450 
Cost of shares redeemed   (157,651,926)   (133,893,450)
Total capital share transactions   (53,617,030)   (44,080,411)
Total increase (decrease) in net assets   (22,589,515)   26,459,687 
           
NET ASSETS          
Beginning of year  $546,657,304   $520,197,617 
End of year  $524,067,789   $546,657,304 
           
CAPITAL SHARE TRANSACTIONS          
Shares sold by subscription   4,073,130    4,027,124 
Shares issued for distributions reinvested   622,600    438,341 
Shares redeemed   (7,089,915)   (6,623,520)
Net decrease in fund shares   (2,394,185)   (2,158,055)

 

The accompanying notes are an integral part of these financial statements.

 

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SA U.S. Small Company Fund   SA International Value Fund 
Year Ended   Year Ended   Year Ended   Year Ended 
June 30, 2025   June 30, 2024   June 30, 2025   June 30, 2024 
                  
                  
$1,658,946   $1,683,980   $17,573,784   $17,447,823 
 20,372,606    23,141,832    25,208,176    17,268,559 
 2,220,128    8,540,338    69,693,456    30,206,810 
 24,251,680    33,366,150    112,475,416    64,923,192 
 (921,691)   (11,191,018)   (18,017,604)   (18,494,533)
                  
                  
 51,383,968    45,969,264    56,764,387    54,729,582 
 902,470    10,947,235    17,706,429    18,066,374 
 (88,472,801)   (76,159,280)   (137,413,109)   (119,158,469)
 (36,186,363)   (19,242,781)   (62,942,293)   (46,362,513)
 (12,856,374)   2,932,351    31,515,519    66,146 
                  
                  
$308,532,661   $305,600,310   $545,489,784   $545,423,638 
$295,676,287   $308,532,661   $577,005,303   $545,489,784 
                  
                  
 1,784,776    1,767,069    4,116,439    4,270,468 
 30,749    414,825    1,393,110    1,453,449 
 (3,063,338)   (2,914,439)   (9,813,938)   (9,327,226)
 (1,247,813)   (732,545)   (4,304,389)   (3,603,309)

 

 

The accompanying notes are an integral part of these financial statements.

 

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STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 

   SA International Small Company Fund 
   Year Ended   Year Ended 
   June 30, 2025   June 30, 2024 
INCREASE (DECREASE) IN NET ASSETS          
Operations:          
Net investment income  $7,777,932   $5,888,135 
Net realized gain (loss) on investments and foreign currency transactions   9,492,777    3,399,203 
Net increase (decrease) in unrealized appreciation (depreciation)   36,122,872    14,069,593 
Net increase (decrease) in net assets from operations   53,393,581    23,356,931 
Distributions to shareholders:   (9,214,208)   (8,184,779)
           
Capital share transactions          
Proceeds from sale of shares   15,417,654    17,674,837 
Value of distributions reinvested   9,084,724    8,027,729 
Cost of shares redeemed   (47,003,271)   (37,799,767)
Total capital share transactions   (22,500,893)   (12,097,201)
Total increase (decrease) in net assets   21,678,480    3,074,951 
           
NET ASSETS          
Beginning of year  $249,866,277   $246,791,326 
End of year  $271,544,757   $249,866,277 
           
CAPITAL SHARE TRANSACTIONS          
Shares sold by subscription   728,036    898,013 
Shares issued for distributions reinvested   461,388    406,262 
Shares redeemed   (2,189,324)   (1,910,719)
Net decrease in fund shares   (999,900)   (606,444)

 

The accompanying notes are an integral part of these financial statements.

 

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SA Emerging Markets Value Fund   SA Real Estate Securities Fund 
Year Ended   Year Ended   Year Ended   Year Ended 
June 30, 2025   June 30, 2024   June 30, 2025   June 30, 2024 
                  
                  
$5,733,539   $5,354,015   $3,094,749   $3,330,874 
 3,736,529    1,868,518    9,435,267    3,774,553 
 9,679,310    23,430,961    (2,098,657)   (313,435)
 19,149,378    30,653,494    10,431,359    6,791,992 
 (8,149,574)   (7,748,185)   (3,936,900)   (3,892,573)
                  
                  
 20,612,123    19,642,448    22,041,007    20,024,138 
 8,058,865    7,626,258    3,882,870    3,818,314 
 (43,898,238)   (32,437,930)   (37,691,123)   (27,899,113)
 (15,227,250)   (5,169,224)   (11,767,246)   (4,056,661)
 (4,227,446)   17,736,085    (5,272,787)   (1,157,242)
                  
                  
$207,819,406   $190,083,321   $123,997,506   $125,154,748 
$203,591,960   $207,819,406   $118,724,719   $123,997,506 
                  
                  
 1,958,110    1,990,590    1,893,259    1,916,538 
 796,330    796,060    348,552    348,386 
 (4,189,209)   (3,273,339)   (3,243,302)   (2,654,387)
 (1,434,769)   (486,689)   (1,001,491)   (389,463)

 

The accompanying notes are an integral part of these financial statements.

 

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STATEMENTS OF CHANGES IN NET ASSETS (Continued)

 

   SA Worldwide Moderate Growth Fund 
   Year Ended   Year Ended 
   June 30, 2025   June 30, 2024 
INCREASE (DECREASE) IN NET ASSETS          
Operations:          
Net investment income  $606,056   $509,936 
Net realized gain (loss) on investments and foreign currency transactions   750,094    536,860 
Net increase (decrease) in unrealized appreciation (depreciation)   1,002,505    1,655,169 
Net increase (decrease) in net assets from operations   2,358,655    2,701,965 
Distributions to shareholders   (1,336,819)   (922,426)
           
Capital share transactions          
Proceeds from sale of shares   1,829,917    2,621,268 
Value of distributions reinvested   1,331,288    919,357 
Cost of shares redeemed   (4,956,668)   (5,666,665)
Total capital share transactions   (1,795,463)   (2,126,040)
Total increase (decrease) in net assets   (773,627)   (346,501)
           
NET ASSETS          
Beginning of year  $21,922,332   $22,268,833 
End of year  $21,148,705   $21,922,332 
           
CAPITAL SHARE TRANSACTIONS          
Shares sold by subscription   153,517    236,147 
Shares issued for distributions reinvested   116,985    83,426 
Shares redeemed   (418,113)   (508,686)
Net decrease in fund shares   (147,611)   (189,113)

 

The accompanying notes are an integral part of these financial statements.

 

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FINANCIAL HIGHLIGHTS

 

   SA U.S. Fixed Income Fund  
   Year Ended June 30,  
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $9.51   $9.46   $9.54   $10.12   $10.17 
                          
Income from investment operations:                         
Net investment income (loss)   0.42(1)    0.44(1)    0.23(1)    0.01(1)    (0.02)(1)(2) 
Net realized and unrealized gain (loss) on investments   0.14    0.05    (0.08)   (0.58)   (0.03)(2)
Total from investment operations   0.56    0.49    0.15    (0.57)   (0.05)
                          
Less distributions from:                         
Net investment income   (0.43)   (0.44)   (0.23)   (0.01)   (0.00)(3)
                          
Net asset value, end of period  $9.64   $9.51   $9.46   $9.54   $10.12 
                          
Total return   6.01%   5.27%   1.65%   (5.63)%   (0.48)%
Net assets, end of period (000s)  $452,532   $467,540   $406,534   $52,715   $68,818 
Ratio of net expenses to average net assets   0.40%   0.40%   0.41%   0.63%   0.64%
Ratio of gross expenses to average net assets   0.42%(4)   0.42%(4)   0.44%(4)   0.63%   0.64%
Ratio of net investment income (loss) to average net assets   4.42%   4.57%   2.46%   0.10%   (0.15)%
Portfolio turnover rate   69%   154%   29%   203%   113%

 

(1)Calculated based on average shares outstanding during the year.

(2)Realized and unrealized gains and losses per share in this caption are balancing amounts necessary to reconcile the change in net asset value per share for the period, and may not reconcile with the aggregate gains and losses in the Statement of Operations due to share transactions for the period.

(3)Amount rounds to less than $(0.005) per share.

(4)Gross expenses before waivers of expenses.

 

The accompanying notes are an integral part of these financial statements.

 

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FINANCIAL HIGHLIGHTS (Continued)

 

   SA Global Fixed Income Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $8.84   $8.52   $8.71   $9.44   $9.42 
                          
Income from investment operations:                         
Net investment income (loss)   0.35(1)    0.36(1)    0.17(1)    0.03(1)    (0.03)(1) 
Net realized and unrealized gain (loss) on investments   0.14    0.08    (0.08)   (0.74)   0.05 
Total from investment operations   0.49    0.44    0.09    (0.71)   0.02 
                          
Less distributions from:                         
Net investment income   (0.40)   (0.12)   (0.28)   (0.02)    
                          
Net asset value, end of period  $8.93   $8.84   $8.52   $8.71   $9.44 
                          
Total return   5.67%   5.19%   1.06%   (7.50)%   0.21%
Net assets, end of period (000s)  $543,290   $585,215   $673,458   $80,670   $88,378 
Ratio of net expenses to average net assets   0.51%   0.52%   0.52%   0.71%   0.73%
Ratio of gross expenses to average net assets   0.51%   0.52%   0.52%   0.71%   0.73%
Ratio of net investment income (loss) to average net assets   3.91%   4.10%   2.01%   0.37%   (0.30)%
Portfolio turnover rate   77%   182%   97%   103%   111%

 

(1)Calculated based on average shares outstanding during the year.

 

The accompanying notes are an integral part of these financial statements.

 

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FINANCIAL HIGHLIGHTS (Continued)

 

   SA U.S. Core Market Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $33.75   $27.61   $24.52   $30.22   $23.37 
                          
Income from investment operations:                         
Net investment income   0.23(1)    0.24(1)    0.24(1)    0.14(1)    0.14(1) 
Net realized and unrealized gain (loss) on investments   4.19    6.15    4.23    (3.46)   8.87 
Total from investment operations   4.42    6.39    4.47    (3.32)   9.01 
                          
Less distributions from:                         
Net investment income   (0.25)   (0.25)   (0.22)   (0.11)   (0.22)
Capital gains           (1.16)   (2.27)   (1.94)
Total distributions   (0.25)   (0.25)   (1.38)   (2.38)   (2.16)
                          
Net asset value, end of period  $37.92   $33.75   $27.61   $24.52   $30.22 
                          
Total return   13.13%   23.29%   19.19%   (12.44)%   39.94%
Net assets, end of period (000s)  $669,637   $688,355   $640,876   $77,555   $106,102 
Ratio of net expenses to average net assets   0.67%(2)   0.67%(2)   0.68%(2)   0.86%   0.87%
Ratio of gross expenses to average net assets   0.67%(3)(4)   0.68%(3)(4)   0.69%(3)(4)   0.86%   0.87%
Ratio of net investment income to average net assets   0.64%   0.81%   0.94%   0.48%   0.53%
Portfolio turnover rate   1%   1%   3%   9%   1%

 

(1)Calculated based on average shares outstanding during the year.

(2)The ratio of net expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.65%

Year ended June 30, 2024 0.65%

Year ended June 30, 2023 0.66%

(3)Gross expenses before waivers of expenses.

(4)The ratio of gross expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.65%

Year ended June 30, 2024 0.66%

Year ended June 30, 2023 0.68%

 

The accompanying notes are an integral part of these financial statements.

 

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   SA U.S. Value Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $21.53   $18.88   $18.28   $20.71   $14.10 
                          
Income from investment operations:                         
Net investment income   0.36(1)    0.33(1)    0.32(1)    0.26(1)    0.21(1) 
Net realized and unrealized gain (loss) on investments   1.45    2.66    1.67    (1.80)   6.66 
Total from investment operations   1.81    2.99    1.99    (1.54)   6.87 
                          
Less distributions from:                         
Net investment income   (0.36)   (0.34)   (0.33)   (0.22)   (0.26)
Capital gains   (0.20)       (1.06)   (0.67)    
Total distributions   (0.56)   (0.34)   (1.39)   (0.89)   (0.26)
                          
Net asset value, end of period  $22.78   $21.53   $18.88   $18.28   $20.71 
                          
Total return   8.58%   15.96%   11.31%   (7.88)%   49.17%
Net assets, end of period (000s)  $524,068   $546,657   $520,198   $59,594   $80,613 
Ratio of net expenses to average net assets   0.74%(2)   0.74%(2)   0.77%(2)   0.94%   0.95%
Ratio of gross expenses to average net assets   0.74%(3)   0.74%(3)   0.77%(3)   0.94%   0.95%
Ratio of net investment income to average net assets   1.63%   1.66%   1.72%   1.26%   1.24%
Portfolio turnover rate   11%   6%   5%   10%   5%

 

(1)Calculated based on average shares outstanding during the year.
(2)The ratio of net expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.73%

Year ended June 30, 2024 0.73%

Year ended June 30, 2023 0.75% 

(3)The ratio of gross expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.73%

Year ended June 30, 2024 0.73%

Year ended June 30, 2023 0.75%

 

The accompanying notes are an integral part of these financial statements.

 

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   SA U.S. Small Company Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $27.23   $25.33   $22.68   $33.74   $21.77 
                          
Income from investment operations:                         
Net investment income   0.15(1)    0.14(1)    0.15(1)    0.09(1)    0.06(1) 
Net realized and unrealized gain (loss) on investments   2.03    2.72    3.25    (4.02)   12.60 
Total from investment operations   2.18    2.86    3.40    (3.93)   12.66 
                          
Less distributions from:                         
Net investment income   (0.09)   (0.14)   (0.12)   (0.07)   (0.06)
Capital gains       (0.82)   (0.63)   (7.06)   (0.63)
Total distributions   (0.09)   (0.96)   (0.75)   (7.13)   (0.69)
                          
Net asset value, end of period  $29.32   $27.23   $25.33   $22.68   $33.74 
                          
Total return   7.99%   11.43%   15.29%   (15.24)%   58.84%
Net assets, end of period (000s)  $295,676   $308,533   $305,600   $34,945   $59,623 
Ratio of net expenses to average net assets   0.89%(2)   0.89%(2)   0.91%(2)   1.09%   1.14%
Ratio of gross expenses to average net assets   0.89%(4)   0.89%(3)(4)   0.91%(3)(4)   1.09%   1.14%
Ratio of net investment income to average net assets   0.54%   0.55%   0.60%   0.31%   0.20%
Portfolio turnover rate   3%   7%   8%   7%   7%

 

(1)Calculated based on average shares outstanding during the year.

(2)The ratio of net expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.88%

Year ended June 30, 2024 0.88%

Year ended June 30, 2023 0.90%

(3)Gross expenses before waivers of expenses.

(4)The ratio of gross expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.88%

Year ended June 30, 2024 0.88%

Year ended June 30, 2023 0.90%

 

The accompanying notes are an integral part of these financial statements.

 

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   SA International Value Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $13.28   $12.21   $10.86   $12.25   $8.71 
                          
Income from investment operations:                         
Net investment income   0.44(1)    0.41(1)    0.41(1)    0.41(1)    0.28(1) 
Net realized and unrealized gain (loss) on investments   2.44    1.10    1.39    (1.43)   3.48 
Total from investment operations   2.88    1.51    1.80    (1.02)   3.76 
                          
Less distributions from:                         
Net investment income   (0.46)   (0.44)   (0.45)   (0.37)   (0.22)
                          
Net asset value, end of period  $15.70   $13.28   $12.21   $10.86   $12.25 
                          
Total return   22.47%   12.57%   17.05%   (8.57)%   43.64%
Net assets, end of period (000s)  $577,005   $545,490   $545,424   $56,827   $80,507 
Ratio of net expenses to average net assets   0.91%(2)   0.90%(2)   0.91%(2)   1.11%   1.11%
Ratio of gross expenses to average net assets   0.91%(4)   0.91%(3)(4)   0.93%(3)(4)   1.11%   1.11%
Ratio of net investment income to average net assets   3.19%   3.20%   3.63%   3.36%   2.64%
Portfolio turnover rate   9%   12%   11%   12%   9%

 

(1)Calculated based on average shares outstanding during the year.

(2)The ratio of net expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.90%

Year ended June 30, 2024 0.90%

Year ended June 30, 2023 0.91% 

(3)Gross expenses before waivers of expenses.

(4)The ratio of gross expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.90%

Year ended June 30, 2024 0.91%

Year ended June 30, 2023 0.92%

 

The accompanying notes are an integral part of these financial statements.

 

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FINANCIAL HIGHLIGHTS (Continued)

 

   SA International Small Company Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $20.60   $19.38   $18.39   $24.44   $17.32 
                          
Income from investment operations:                         
Net investment income   0.66(1)    0.47(1)    0.45(1)    0.44(1)    0.24(1) 
Net realized and unrealized gain (loss) on investments   3.93    1.41    1.64    (5.16)   7.31 
Total from investment operations   4.59    1.88    2.09    (4.72)   7.55 
                          
Less distributions from:                         
Net investment income   (0.59)   (0.51)   (0.33)   (0.57)   (0.24)
Capital gains   (0.20)   (0.15)   (0.77)   (0.76)   (0.19)
Total distributions   (0.79)   (0.66)   (1.10)   (1.33)   (0.43)
                          
Net asset value, end of period  $24.40   $20.60   $19.38   $18.39   $24.44 
                          
Total return   23.19%   9.86%   11.85%   (20.33)%   43.94%
Net assets, end of period (000s)  $271,545   $249,866   $246,791   $26,761   $43,416 
Ratio of net expenses to average net assets   0.53%   0.52%   0.55%   0.74%   0.75%
Ratio of gross expenses to average net assets   0.53%   0.52%   0.55%(2)   0.74%   0.75%(2)
Ratio of net investment income to average net assets†(3)   3.08%   2.39%   2.43%   1.92%   1.11%
Portfolio turnover rate(4)   4%   4%   7%   8%   2%

 

The DFA International Small Company Portfolio expenses are not included in the stated expense information of the SA International Small Co. Fund. Financial statements and other information about the DFA Portfolio are available at https://www.dimensional.com.

(1)Calculated based on average shares outstanding during the year.

(2)Gross expenses before waivers of expenses.

(3)Recognition of net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies in which the Fund invests.
(4)The SA International Small Company Fund invests substantially all of its assets in the DFA Portfolio. Financial statements and other information about the DFA Portfolio are available at https://www.dimensional.com.

 

The accompanying notes are an integral part of these financial statements.

 

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FINANCIAL HIGHLIGHTS (Continued)

 

   SA Emerging Markets Value Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $10.72   $9.56   $9.20   $11.15   $7.75 
                          
Income from investment operations:                         
Net investment income   0.30(1)     0.27(1)     0.35(1)     0.32(1)    0.17(1) 
Net realized and unrealized gain (loss) on investments   0.76    1.29    0.32    (1.97)   3.40 
Total from investment operations   1.06    1.56    0.67    (1.65)   3.57 
                          
Less distributions from:                         
Net investment income   (0.44)   (0.40)   (0.31)   (0.30)   (0.17)
                          
Net asset value, end of period  $11.34   $10.72   $9.56   $9.20   $11.15 
                          
Total return   10.33%   16.83%   7.72%   (15.07)%   46.51%
Net assets, end of period (000s)  $203,592   $207,819   $190,083   $17,439   $24,222 
Ratio of net expenses to average net assets   1.04%   1.04%   1.05%   1.24%   1.32%
Ratio of gross expenses to average net assets(2)   1.34%   1.34%   1.34%   1.54%   1.61%
Ratio of net investment income to average net assets   2.87%   2.75%   3.82%   3.05%   1.83%
Portfolio turnover rate   17%   13%   12%   19%   22%

 

(1)Calculated based on average shares outstanding during the year.

(2)Gross expenses before waivers of expenses.

 

The accompanying notes are an integral part of these financial statements.

 

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FINANCIAL HIGHLIGHTS (Continued)

 

   SA Real Estate Securities Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $10.85   $10.59   $12.00   $13.95   $11.02 
                          
Income from investment operations:                         
Net investment income   0.28(1)    0.29(1)    0.29(1)    0.15(1)    0.17(1) 
Net realized and unrealized gain (loss) on investments   0.61    0.31    (0.91)   (0.85)   3.20 
Total from investment operations   0.89    0.60    (0.62)   (0.70)   3.37 
                          
Less distributions from:                         
Net investment income   (0.32)   (0.30)   (0.19)   (0.13)   (0.29)
Capital gains   (0.04)   (0.04)   (0.60)   (1.12)   (0.15)
Total distributions   (0.36)   (0.34)   (0.79)   (1.25)   (0.44)
                          
Net asset value, end of period  $11.38   $10.85   $10.59   $12.00   $13.95 
                          
Total return   8.29%   5.61%   (4.95)%   (6.51)%   31.57%
Net assets, end of period (000s)  $118,725   $123,998   $125,155   $15,527   $23,828 
Ratio of net expenses to average net assets   0.77%(2)   0.76%(2)   0.77%(2)   0.95%   0.95%
Ratio of gross expenses to average net assets(3)   0.86%(4)   0.86%(4)   0.87%(4)   1.02%   1.05%
Ratio of net investment income to average net assets   2.41%   2.73%   2.67%   1.04%   1.44%
Portfolio turnover rate   5%   2%   2%   2%   4%

 

(1)Calculated based on average shares outstanding during the year.

(2)The ratio of net expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.75%

Year ended June 30, 2024 0.75%

Year ended June 30, 2023 0.76%

(3)Gross expenses before waivers of expenses.

(4)The ratio of gross expenses to average net assets excluding ReFlow liquidity program fee were as follows:

Year ended June 30, 2025 0.84%

Year ended June 30, 2024 0.85%

Year ended June 30, 2023 0.86%

 

The accompanying notes are an integral part of these financial statements.

 

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   SA Worldwide Moderate Growth Fund 
   Year Ended June 30, 
   2025   2024   2023   2022   2021 
Net asset value, beginning of period  $11.70   $10.80   $10.59   $12.16   $9.54 
                          
Income from investment operations:                         
Net investment income   0.33(1)    0.26(1)    0.26(1)    0.16(1)    0.14(1) 
Net realized and unrealized gain (loss) on investments   0.98    1.11    0.79    (1.19)   3.01 
Total from investment operations   1.31    1.37    1.05    (1.03)   3.15 
                          
Less distributions from:                         
Net investment income   (0.38)   (0.21)   (0.27)   (0.16)   (0.20)
Capital gains   (0.37)   (0.26)   (0.57)   (0.38)   (0.33)
Total distributions   (0.75)   (0.47)   (0.84)   (0.54)   (0.53)
                          
Net asset value, end of period  $12.26   $11.70   $10.80   $10.59   $12.16 
                          
Total return   11.69%   12.87%   10.57%   (8.97)%   33.71%
Net assets, end of period (000s)  $21,149   $21,922   $22,269   $23,172   $27,169 
Ratio of net expenses to average net assets(2)   0.00%   0.00%   0.00%   0.00%   0.00%
Ratio of gross expenses to average net assets(2)(3)   0.88%   0.86%   0.78%   0.67%   0.69%
Ratio of net investment income to average net assets(2)(4)   2.79%   2.31%   2.46%   1.38%   1.24%
Portfolio turnover rate   9%   11%   115%   25%   11%

 

(1)Calculated based on average shares outstanding during the year.

(2)These ratios exclude the impact of the underlying affiliated funds as represented in the Portfolio of Investments.

(3)Gross expenses before waivers of expenses.

(4)Recognition of net investment income by the Fund is affected by the timing of the declaration of dividends by the underlying investment companies in which the Fund invests.

 

The accompanying notes are an integral part of these financial statements.

 

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NOTES TO FINANCIAL STATEMENTS — June 30, 2025

 

 

 

 

1. Organization and Significant Accounting Policies

 

SA Funds — Investment Trust (the “Trust”) is a Delaware statutory trust that was organized on June 16, 1998. The Agreement and Declaration of Trust permits the Trust to offer separate portfolios (“Funds”) of shares of beneficial interest and different classes of shares of each Fund. The Trust is registered under the Investment Company Act of 1940 (the “1940 Act”), and currently offers the following ten Funds, each of which (with the exception of the SA Worldwide Moderate Growth Fund) is a diversified mutual fund as defined in the 1940 Act. Each Fund represents a distinct portfolio with its own investment objective. Refer to the Prospectus for each Fund’s investment objective:

 

SA U.S. Fixed Income Fund

SA Global Fixed Income Fund

SA U.S. Core Market Fund

SA U.S. Value Fund

SA U.S. Small Company Fund

SA International Value Fund

SA International Small Company Fund

SA Emerging Markets Value Fund

SA Real Estate Securities Fund

SA Worldwide Moderate Growth Fund

 

The SA U.S. Core Market Fund, SA U.S. Value Fund, SA U.S. Small Company Fund, SA International Value Fund, and SA International Small Company Fund commenced investment operations on August 5, 1999, the SA Global Fixed Income Fund commenced operations on July 29, 1999, the SA U.S. Fixed Income Fund, SA Emerging Markets Value Fund, and SA Real Estate Securities Fund commenced operations on April 2, 2007, and the SA Worldwide Moderate Growth Fund commenced operations on July 1, 2015.

 

The SA International Small Company Fund invests substantially all of its assets in the International Small Company Portfolio (the “DFA Portfolio”), a series of DFA Investment Dimensions Group Inc., a separate registered investment company. The DFA Portfolio has the same investment objective as SA International Small Company Fund and invests its assets in The Japanese Small Company Series, The Asia Pacific Small Company Series, The United Kingdom Small Company Series, The Continental Small Company Series and The Canadian Small Company Series, each a series of The DFA Investment Trust Company (each a “Series”), an open-end management investment company. As of June 30, 2025, the SA International Small Company Fund held approximately 2.10% of the DFA Portfolio. The SA International Small Company Fund adheres closely to the accounting for a fund-of-funds investments under the AICPA Audit and Accounting Guide for Investment Companies. The performance of the SA International Small Company Fund is directly affected by the performance of the DFA Portfolio. Financial statements and other information about the DFA International Small Company Portfolio are available at https://www.dimensional.com.

 

The SA Worldwide Moderate Growth Fund invested substantially all of its assets in the Underlying SA Funds. The Underlying SA Funds managed by Focus Partners Advisor Solutions, LLC (formerly, Buckingham Strategic Partners, LLC) (the “Adviser”) comprise various asset categories and strategies. The Adviser has established an asset allocation target for the Fund. This target is the approximate percentage of the Fund’s assets that will be invested in equity investments and fixed income investments. Under normal market conditions, the SA Worldwide Moderate Growth Fund invests approximately 70% of its assets in equity investments and approximately 30% of its assets in fixed income investments as represented by the holdings of the Underlying SA Funds. The performance of the SA Worldwide Moderate Growth Fund is directly affected by the performance of the Underlying SA Funds.

 

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NOTES TO FINANCIAL STATEMENTS — June 30, 2025 (Continued)

 

 

 

 

The financial statements of the Underlying SA Funds are included elsewhere in the report and should be read in conjunction with the financial statements of the SA Worldwide Moderate Growth Fund.

 

Use of Estimates — The Funds are investment companies that follow the investment company accounting and reporting guidance of Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) Topic 946 Financial Services – Investment Companies.

 

The preparation of financial statements in accordance with accounting principles generally accepted in the United States of America requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual results could differ from those estimates.

 

The following summarizes the significant accounting policies of the Funds:

 

Security Valuation — Domestic equity securities listed on an exchange or stock market for which market quotations are readily available are valued according to the official closing price, if any, or at their last reported sale price on the exchange or stock market where the security is primarily traded, or in the absence of such reported prices, at the mean between the most recent quoted bid and asked prices. Domestic equity securities traded on the over-the-counter markets are valued at the mean between the most recent quoted bid and asked prices in the absence of an official closing price or last reported sale price.

 

Foreign equity securities traded on a foreign exchange or over-the-counter markets are generally valued at the most recent quoted bid price in the absence of an official closing price or last reported sale price. Foreign securities quoted in foreign currencies are translated into U.S. dollars using prevailing exchange rates.

 

Fixed income investments are generally valued based on prices received from independent pricing services. In determining the value of a fixed income investment, pricing services may use certain information with respect to transactions in such investments, quotations from dealers, pricing matrixes, market transactions in comparable investments, various relationships observed in the market between investments and calculated yield measures.

 

Shares of registered open-end investment companies are valued at the investment company’s net asset value. Forward currency contracts are valued based on prices received from independent pricing services. Securities for which market quotations are not readily available, or for which available quotations appear not to accurately reflect the current value of an investment, are valued at fair value as determined in good faith by the valuation designee (“Valuation Designee”) appointed by the Board of Trustees (the “Board” or “Trustees”) pursuant to procedures approved by the Board of Trustees. The Board of Trustees has designated the Adviser as the Valuation Designee for the Funds.

 

Certain Funds hold securities traded in foreign markets. Foreign securities are valued at the latest market price in the foreign market. However, if events occurring after the close of the foreign market (but before the close of regular trading on the New York Stock Exchange) are believed to materially affect the value of those securities, such securities may be valued at fair value as determined in good faith by the Valuation Designee.

 

Fair Value Measurement — The Board has adopted procedures to fair value securities and other assets of each Fund when market prices are not readily available or do not accurately reflect their current market value. The Board has designated the responsibility for applying these fair valuation methods to the Valuation Designee. For example, a Fund may fair value an asset when it is delisted or trading is halted or suspended; when it has not been traded for an extended period of time; when its primary pricing source is unavailable or other data calls the primary source’s reliability into question; or when its primary trading market is closed during regular U.S. market hours.

 

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NOTES TO FINANCIAL STATEMENTS — June 30, 2025 (Continued)

 

 

 

 

Each Fund makes fair valuation determinations in accordance with the Trust’s Procedures for Valuing Securities and Assets, as amended. The Valuation Designee may consider various factors, including unobservable market inputs when arriving at fair value. The Valuation Designee may use, but is not limited to, techniques such as review of related or comparable assets or liabilities, related market activities, recent transactions, market multiples, book value, and other relevant information when determining fair value. The Valuation Designee regularly reviews these inputs and assumptions when reviewing fair valuations of investments held by the Funds. Fair value pricing involves subjective judgement and it is possible that the fair value determined for an asset is materially different than the value that could be realized upon the sale of that asset. The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

The Funds value their investments based on a three-level hierarchy of inputs that establishes classification of fair value measurements for disclosure purposes. If inputs used to measure a financial instrument fall within different levels of the hierarchy, the categorization is based on the lowest level input that is significant to the valuation. The three-level hierarchy of inputs is summarized in the three broad levels below.

 

Level 1 – unadjusted quoted prices in active markets for identical investments.

 

Level 2 – significant observable inputs other than quoted prices within Level 1 (including quoted prices for similar investments, interest rates, yield curves, foreign exchange rates, put or call provisions, credit risk and default rates for similar securities).

 

Level 3 – significant unobservable inputs to the extent that observable inputs are not available (including the Pricing Committee or Valuation Designee’s own assumptions used to determine the fair value of investments).

 

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The tables below provide a summary of the inputs as of June 30, 2025, in valuing each Fund’s investments:

 

   Investments in Securities     
Description  Unadjusted
Quoted Prices in 
Active Markets
for Identical
Investments 
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total Fair Value
as of
June 30, 2025
 
SA U.S. Fixed Income Fund                    
Assets                    
Yankee Corporate Bonds And Notes  $   $66,624,299   $   $66,624,299 
Corporate Bonds and Notes       212,566,379        212,566,379 
U.S. Government & Agency Obligations       161,986,115        161,986,115 
Short-Term Investments   7,299,859            7,299,859 
Total Investments  $7,299,859   $441,176,793   $   $448,476,652 
SA Global Fixed Income Fund                    
Assets                    
Bonds and Notes  $   $541,219,579   $   $541,219,579 
Short-Term Investments   9,001,974            9,001,974 
Other Financial Instruments Forward Foreign Currency Exchange Contracts       930,027        930,027 
Total Investments  $9,001,974   $542,149,606   $   $551,151,580 
Liabilities                    
Other Financial Instruments Forward Foreign Currency Exchange Contracts  $   $(9,893,647)  $   $(9,893,647)
SA U.S. Core Market Fund                    
Assets                    
Common Stocks  $639,740,997   $   $0   $639,740,997 
Mutual Funds   28,533,744            28,533,744 
Short-Term Investments   1,026,252            1,026,252 
Total Investments  $669,300,993   $   $0   $669,300,993 
SA U.S. Value Fund                    
Assets                    
Common Stocks  $522,252,259   $   $   $522,252,259 
Short-Term Investments   1,042,319            1,042,319 
Total Investments  $523,294,578   $   $   $523,294,578 
SA U.S. Small Company Fund                    
Assets                    
Common Stocks  $295,223,343   $   $28,376   $295,251,719 
Short-Term Investments   2,137,361            2,137,361 
Total Investments  $297,360,704   $   $28,376   $297,389,080 

 

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   Investments in Securities     
Description  Unadjusted
Quoted Prices in
Active Markets
for Identical
Investments
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total Fair Value
as of
June 30, 2025
 
SA International Value Fund                    
Assets                    
Common Stocks  $566,156,999   $   $   $566,156,999 
Preferred Stocks   3,941,060            3,941,060 
Short-Term Investments   32,691,182            32,691,182 
Total Investments  $602,789,241   $   $   $602,789,241 
SA International Small Company Fund                    
Assets                    
Mutual Funds  $271,650,759   $   $   $271,650,759 
Total Investments  $271,650,759   $   $   $271,650,759 
SA Emerging Markets Value Fund                    
Assets                    
Common Stocks  $202,644,292   $39,701   $0   $202,683,993 
Preferred Stocks   1,615,966            1,615,966 
Rights and Warrants       7,845        7,845 
Short-Term Investments   2,205,501            2,205,501 
Total Investments  $206,465,759   $47,546   $0   $206,513,305 
SA Real Estate Securities Fund                    
Assets                    
Common Stocks  $117,894,837   $   $0   $117,894,837 
Short-Term Investments   979,975            979,975 
Total Investments  $118,874,812   $   $0   $118,874,812 
SA Worldwide Moderate Growth Fund                    
Assets                    
Mutual Funds  $21,157,463   $   $   $21,157,463 
Total Investments  $21,157,463   $   $   $21,157,463 

 

 Contains securities with a market value of zero.

 

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A reconciliation in which Level 3 inputs are used in determining fair value is presented when there are significant Level 3 assets and/or liabilities at the beginning and/or end of the period. There were no significant Level 3 assets and/or liabilities held at the beginning or end of the period.

 

Securities Lending — The Funds may lend any of their securities held by State Street Bank and Trust Company (“State Street”) as custodian to certain qualified broker-dealers, banks and other institutions, except those securities which the Adviser or Dimensional Fund Advisor LP (the “Sub-Adviser”) specifically identifies as not being available. Any gain or loss in the fair price of the securities loaned that might occur and any interest or dividends declared during the term of the loan would accrue to the account of the Funds. Risks of delay in recovery of the securities or even loss of rights in the collateral may occur should the borrower of the securities fail financially. Risks may also arise to the extent that the value of the collateral decreases below the value of the securities loaned.

 

Upon entering into a securities lending transaction, a Fund maintains cash or other securities as collateral in an amount equal to or exceeding 100% of the current fair value of the loaned securities with respect to securities of the U.S. government or its agencies or instrumentalities, a loan of sovereign debt issued by non-U.S. governments, or a loan of non-U.S. corporate debt, 102% of the current fair value of the loaned securities with respect to other U.S. securities and 105% of the current fair value of the loaned securities with respect to foreign equity securities. The fair value of the loaned security is determined at the close of each business day of the Fund and any additional required collateral is delivered to the Fund, or excess collateral is returned by the Fund, on the next business day. Any cash received as collateral is generally invested by State Street, acting in its capacity as securities lending agent (the “Agent”), in the State Street Navigator Securities Lending Government Money Market Portfolio, which is a money market fund registered under the 1940 Act. A portion of the income received on the collateral is rebated to the borrower of the securities, and the remainder is split between the Agent and each respective Fund.

 

As of June 30, 2025, the following Funds had securities on loan, which were collateralized by short-term investments. The value of securities on loan and the value of the related collateral were as follows:

 

   Value 
of Securities
   Value of Cash
Collateral
   Value of 
Non-Cash
Collateral*
   Total
Collateral
 
SA Global Fixed Income Fund  $2,671,094   $2,351,750   $373,439   $2,725,189 
SA U.S Core Market Fund   3,112,949    127,824    3,055,543    3,183,367 
SA U.S. Value Fund   3,474,943    112,984    3,435,972    3,548,956 
SA U.S. Small Company Fund   19,174,877    2,004,203    17,634,727    19,638,930 
SA International Value Fund   87,020,911    32,039,504    58,404,148    90,443,652 
SA Emerging Markets Value Fund   6,044,519    1,995,184    4,433,378    6,428,562 
SA Real Estate Securities Fund   622,511    553,154    103,232    656,386 

 

*The Funds cannot repledge or resell this collateral. The non-cash collateral is comprised of U.S. government securities.

 

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The following table provides increased transparency about the types of collateral pledged for securities lending transactions that are accounted for as secured borrowing. Non-cash collateral is not reflected in the table because the Funds cannot repledge or resell this collateral.

 

   Remaining Contractual Maturity of the Agreements
As of June 30, 2025
 
Securities Lending Transaction (1)  Overnight and
Continuous
   <30 days   Between
30 & 90 days
   >90 days   Total 
SA Global Fixed Income Fund                         
Government Money Market  $2,351,750   $   $   $   $2,351,750 
Total Borrowings  $2,351,750   $   $   $   $2,351,750 
Gross amount of recognized liabilities for securities lending transactions         $2,351,750 
SA U.S. Core Market Fund                         
Government Money Market  $127,824   $   $   $   $127,824 
Total Borrowings  $127,824   $   $   $   $127,824 
Gross amount of recognized liabilities for securities lending transactions         $127,824 
SA U.S. Value Fund                         
Government Money Market  $112,984   $   $   $   $112,984 
Total Borrowings  $112,984   $   $   $   $112,984 
Gross amount of recognized liabilities for securities lending transactions         $112,984 
SA U.S. Small Company Fund                         
Government Money Market  $2,004,203   $   $   $   $2,004,203 
Total Borrowings  $2,004,203   $   $   $   $2,004,203 
Gross amount of recognized liabilities for securities lending transactions         $2,004,203 
SA International Value Fund                         
Government Money Market  $32,039,504   $   $   $   $32,039,504 
Total Borrowings  $32,039,504   $   $   $   $32,039,504 
Gross amount of recognized liabilities for securities lending transactions         $32,039,504 
SA Emerging Markets Value Fund                         
Government Money Market  $1,995,184   $   $   $   $1,995,184 
Total Borrowings  $1,995,184   $   $   $   $1,995,184 
Gross amount of recognized liabilities for securities lending transactions         $1,995,184 
SA Real Estate Securities Fund                         
Government Money Market  $553,154   $   $   $   $553,154 
Total Borrowings  $553,154   $   $   $   $553,154 
Gross amount of recognized liabilities for securities lending transactions         $553,154 

 

(1)Amounts represent the payable for cash collateral received on securities on loan. This will generally be in the “Overnight and Continuous” column as the securities are typically callable on demand. The payable will be allocated into categories of securities based on the market value of the securities on loan.

 

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Foreign Currency Translation and Foreign Investments — The books and records of the Funds are maintained in U.S. dollars. The value of securities, currencies and other assets and liabilities denominated in currencies other than U.S. dollars are translated into U.S. dollars based upon foreign currency exchange rates prevailing at the end of the period. Purchases and sales of investment securities are translated at contractual currency exchange rates established at the time of the trade. Income and expenses are translated at prevailing exchange rates on the respective dates of such transactions.

 

The results of operations resulting from changes in foreign exchange rates on investments are not reported separately from fluctuations arising from changes in market prices of securities held. All such fluctuations are included with net realized and unrealized gain or loss on investments. Reported net realized foreign exchange gains or losses arise from sales of foreign currencies, currency gains or losses realized between the trade and settlement dates on securities transactions, and the difference between the amounts of dividends, interest, and foreign withholding taxes recorded on the Funds’ books and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign exchange gains and losses arise from changes in the fair values of assets and liabilities, other than investments in securities at fiscal period-end, resulting from changes in exchange rates.

 

Investing in foreign securities may involve certain sovereign and other risks, in addition to the credit and market risks normally associated with domestic securities. Investments in foreign securities are subject to fluctuations in currency exchange rates, which may negatively affect the value of a Fund’s portfolio. Additional risks may include exposure to less developed or less efficient trading markets; social, political or economic instability; nationalization of assets, currency controls or redenomination; changes in tax policy; high transaction costs; settlement, custodial or other operation risks; and less stringent accounting, auditing, financial reporting, and legal standards and practices. As a result, foreign securities can fluctuate more widely in price, and may also be less liquid, than comparable U.S. securities.

 

Forward Foreign Currency Exchange Contracts — Each Fund that may invest in foreign securities may enter into forward foreign currency exchange contracts. A forward foreign currency exchange contract is an agreement between two parties to buy or sell currency at a set price on a future date. By entering into a forward contract for the purchase or sale for a fixed amount of dollars of the amount of foreign currency involved in an underlying security transaction, a Fund may be able to protect itself against a possible loss resulting from an adverse change in the relationship between the U.S. dollar and the applicable foreign currency during the period between the date the security is purchased or sold and the date on which payment is made or received.

 

The market value of a contract will fluctuate with changes in currency exchange rates. The contract is marked-to-market daily using the 4:00 PM Eastern Time pricing for the forward currency exchange rate, and the change in market value is recorded as unrealized appreciation (depreciation) on foreign currency and forward currency transactions in a fund’s statement of assets and liabilities. When the contract is closed, a realized gain or loss is recognized, which is equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed, and recorded as realized gain (loss) on foreign currency and forward currency transactions in a fund’s statement of operations.

 

Forward foreign currency exchange contracts may involve risks from the potential inability of counterparties to meet the terms of their contracts and from unanticipated movements in the value of a foreign currency relative to the U.S. dollar.

 

The Funds have adopted provisions surrounding disclosures regarding derivative instruments and hedging activities which require qualitative disclosures about objectives and strategies for using derivatives, quantitative disclosures about fair value amounts of gains and losses on derivative instruments, and disclosures about currency risk-related contingent features in derivative agreements.

 

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In order to better define its contractual rights and to secure rights that will help the SA Global Fixed Income Fund mitigate its counterparty risk, the SA Global Fixed Income Fund may enter into an International Swaps and Derivatives Association, Inc. Master Agreement (“ISDA Master Agreement”) or similar agreement with its derivative contract counterparties. An ISDA Master Agreement is a bilateral agreement between the SA Global Fixed Income Fund and a counterparty that governs over-the-counter derivatives and foreign exchange contracts and typically contains, among other things, collateral posting terms and netting provisions in the event of a default and/or termination event. Under an ISDA Master Agreement, the SA Global Fixed Income Fund may, under certain circumstances, offset with the counterparty certain derivative financial instrument’s payables and/or receivables with collateral held and/or posted and create one single net payment. The provisions of the ISDA Master Agreement typically permit a single net payment in the event of default (close-out netting) including the bankruptcy or insolvency of the counterparty. Note, however, that bankruptcy or insolvency laws of a particular jurisdiction may impose restrictions on or prohibitions against the right of offset in bankruptcy, insolvency or other events.

 

For financial reporting purposes, the SA Global Fixed Income Fund does not offset derivative assets and derivative liabilities that are subject to netting arrangements in its Statement of Assets and Liabilities.

 

The following tables, grouped into appropriate risk categories, disclose the amounts related to the SA Global Fixed Income Fund’s use of derivative instruments and hedging activities at June 30, 2025, on a gross basis:

 

           Gain or (Loss) on Derivatives
Recognized in Income
 
Risk Type  Asset Derivative
Fair Value(1)
   Liability Derivative
Fair Value(2)
   Realized
Gain(3)
   Change in
Depreciation(4)
 
Foreign currency  $930,027   $9,893,647   $(1,203,528)  $(8,398,409)

 

(1)Statement of Assets and Liabilities location: Unrealized appreciation on forward foreign currency exchange contracts.
(2)Statement of Assets and Liabilities location: Unrealized depreciation on forward foreign currency exchange contracts.
(3)Statement of Operations location: Realized gain (loss) on: forward foreign currency exchange contracts.
(4)Statement of Operations location: Increase (decrease) in unrealized appreciation (depreciation) on: forward foreign currency exchange contracts.

 

Forward Currency Contracts Assets and Collateral Held by Counterparty as of June 30, 2025:

 

Counterparty  Gross Amount
of Assets
Presented in
Statements of
Assets & Liabilities
   Financial
Instruments
Available for Offset
   Collateral
Received
   Net Amount 
State Street Bank and Trust Co.  $930,027   $(930,027)  $   $ 

 

Forward Currency Contracts Liabilities and Collateral Pledged as of June 30, 2025:

 

Counterparty  Gross Amount
of Liabilities
Presented in
Statements of
Assets & Liabilities
   Financial
Instruments
Available for Offset
   Collateral
Pledged
   Net Amount 
State Street Bank and Trust Co.  $(9,893,647)  $930,027   $   $(8,963,620)

 

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For the fiscal year ended June 30, 2025, the average monthly notional amount of SA Global Fixed Income Fund’s forward foreign currency exchange contracts was $296,900,997.

 

Investment Transactions, Income and Expenses — Investments in securities are accounted for as of trade date (the date the buy or sell is executed). Dividend income is recorded on the ex-dividend date. Interest income is recorded on an accrual basis and includes amortization of discounts and premiums based on the effective interest method. Gains and losses are determined on the identified cost basis, which is the same for U.S. federal income tax purposes.

 

The Funds characterize distributions received from mutual fund investments on the Statements of Operations using the same characterization as the distribution received.

 

Investment income and realized and unrealized gains(losses) on investments are allocated daily to each class of shares based on the relative proportion of net assets of each class.

 

Expenses directly attributable to a specific Fund are charged to the respective Fund. Expenses that cannot be attributed to a particular Fund are apportioned among the Funds evenly or based on relative net assets.

 

Indemnifications — Under the Trust’s organizational documents, its officers and Trustees are indemnified against certain liabilities arising out of the performance of their duties to the Funds. The Trustees are also indemnified against certain liabilities pursuant to an Indemnity Agreement between the Trust and each Trustee. In addition, in the normal course of business the Trust enters into contracts that contain a variety of representations and warranties which provide general indemnifications. The Funds’ maximum exposures under these arrangements are unknown as this would involve potential future claims against the Funds that have not yet occurred. However, the Funds expect the risk of loss to be remote.

 

Foreign Taxes — Each Fund may be subject to foreign taxes (a portion of which may be reclaimable) on income, corporate events, or capital gains on investments or currency repatriation. All foreign taxes are recorded in accordance with the applicable foreign tax regulations and rates that exist in the foreign markets in which the Fund invests. These foreign taxes, if any, are paid by each Fund and are disclosed in its Statement of Operations. Foreign taxes payable as of June 30, 2025, if any, are reflected in each Fund’s Statement of Assets and Liabilities. The Funds may also be subject to capital gains tax in India and potentially other foreign jurisdictions, on gains realized upon the sale of securities. Any realized losses in excess of gains in India may be carried forward to offset future gains. Funds with exposure to Indian securities and potentially other foreign jurisdictions accrue a deferred liability for unrealized gains in excess of available loss carryforwards based on existing tax rates and holding periods of the securities. As of June 30, 2025, SA Emerging Markets Value Fund recorded a deferred liability for potential future India and Thailand capital gains taxes of $2,719,001 and $20,768, respectively.

 

Federal Income Tax — Each Fund is treated as a separate entity for U.S. federal income tax purposes. Each Fund’s policy is to comply with the requirements of Subchapter M of the Internal Revenue Code that are applicable to regulated investment companies and to distribute substantially all of the Funds’ taxable income and net capital gain to their shareholders. Therefore, no income tax provision is required.

 

Each Fund recognizes the tax benefits of uncertain tax positions only when the position is “more likely than not” to be sustained upon examination by the tax authorities based on the technical merits of the tax position. As of June 30, 2025, and for all open tax years, each Fund has determined that no liability for unrecognized tax benefits is required in each Fund’s financial statements related to uncertain tax positions taken on a tax return (or expected to be taken on future tax returns). Open tax years are those that remain subject to examination and are based on each tax jurisdiction’s statute of limitation. The Funds record interest and penalties, if any, on the Statements of Operations.

 

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The Trust’s management has analyzed the Funds’ tax positions, and has concluded that no liability for unrecognized tax benefits should be recorded with respect to uncertain tax positions taken on returns filed for open tax years (2021- 2023), or expected to be taken in the Funds’ 2024 tax returns.

 

As of June 30, 2025, for U.S. federal income tax purposes, the Funds have realized capital losses which may be carried forward indefinitely to offset future net realized gains as follows:

 

  

Unlimited

Short-Term Losses

  

Unlimited

Long-Term Losses

 
SA U.S. Fixed Income Fund  $(26,903,519)  $(4,221,690)
SA Global Fixed Income Fund   (30,479,611)   (35,031,048)
U.S. Small Company Fund   (55,016)   (3,589,334)
SA Emerging Markets Value Fund       (6,832,692)

 

The federal income tax character of distributions paid to shareholders during the fiscal years ended June 30, 2025 and 2024 were as follows:

 

   2025   2024 
   Ordinary
Income
   Long-Term
Capital Gain
   Ordinary
Income
   Long-Term
Capital Gain
 
SA U.S. Fixed Income Fund  $20,812,291   $   $21,020,646   $ 
SA Global Fixed Income Fund   26,273,786        7,999,993     
SA U.S. Core Market Fund   4,719,534        5,568,395     
SA U.S. Value Fund   10,953,436    2,720,518    8,913,929     
SA U.S. Small Company Fund   921,691        2,291,715    8,899,303 
SA International Value Fund   18,017,604        18,494,533     
SA International Small Company Fund   6,873,969    2,340,239    6,343,298    1,841,481 
SA Emerging Markets Value Fund   8,149,574        7,748,185     
SA Real Estate Securities Fund   3,652,202    284,698    3,472,342    420,231 
SA Worldwide Moderate Growth Fund   675,196    661,623    474,681    447,745 

 

As of June 30, 2025, the components of distributable earnings on a federal income tax basis were:

 

   Undistributed
Ordinary
Income
   Undistributed
Long-Term
Capital Gains
   Unrealized
Appreciation/
(Depreciation)
   Post 
October
Capital/
 Late Year 
Ordinary
Loss
   Capital Loss
Carryforward
 
SA U.S. Fixed Income Fund  $   $   $3,304,055   $   $(31,125,209)
SA Global Fixed Income Fund   11,964,054        22,287,812        (65,510,659)
SA U.S. Core Market Fund   2,031,187        558,200,542         
SA U.S. Value Fund   4,352,586    4,858,308    223,309,670         
SA U.S. Small Company Fund   679,297        150,292,356        (3,644,350)
SA International Value Fund   13,094,868    1,287,236    182,310,815         
SA International Small Company Fund   2,885,794    5,848,941    134,428,574         
SA Emerging Markets Value Fund   3,574,138        37,056,870        (6,832,692)
SA Real Estate Securities Fund   1,028,910        48,971,476         
SA Worldwide Moderate Growth   71,350    483,841    3,892,970         

 

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During the fiscal year ended, June 30, 2025, the SA Global Fixed Income Fund had book-to-tax differences of $(21,492,063), primarily related to straddle loss deferrals and marked-to-market and unrealized appreciation (depreciation) on foreign currency. The SA International Value Fund and SA Emerging Markets Value Fund had book-to-tax differences of $256,503 and $(2,728,873), respectively, which were primarily related to marked-tomarket and unrealized appreciation (depreciation) on foreign currency.

 

During the fiscal year ended June 30, 2025, the SA U.S. Fixed Income Fund, SA Global Fixed Income Fund, SA International Value Fund and the SA Emerging Markets Value Fund utilized $1,704,187, $2,361,766, $12,628,863 and $3,279,848 of capital loss carryforward, respectively.

 

At June 30, 2025, the aggregate cost of investment securities, aggregate gross unrealized appreciation (depreciation) and net unrealized appreciation (depreciation) for all securities, including forward foreign currency exchange contracts, as computed on a federal income tax basis for each fund were as follows:

 

   Cost   Unrealized
Appreciation
   Unrealized
Depreciation
   Net Unrealized
Appreciation
(Depreciation)
 
SA U.S. Fixed Income Fund  $445,172,597   $3,593,711   $(289,656)  $3,304,055 
SA Global Fixed Income Fund   527,933,741    22,474,777    (186,965)   22,287,812 
SA U.S. Core Market Fund   111,100,451    558,905,728    (705,186)   558,200,542 
SA U.S. Value Fund   299,984,908    242,055,924    (18,746,254)   223,309,670 
SA U.S. Small Company Fund   147,096,724    162,514,784    (12,222,428)   150,292,356 
SA International Value Fund   420,478,426    199,212,352    (16,901,537)   182,310,815 
SA International Small Company Fund   137,222,185    134,428,574        134,428,574 
SA Emerging Markets Value Fund   169,456,435    59,109,693    (22,052,823)   37,056,870 
SA Real Estate Securities Fund   69,903,336    52,059,288    (3,087,812)   48,971,476 
SA Worldwide Moderate Growth Funds   17,264,493    3,892,970        3,892,970 

 

Distributions to Shareholders — Each Fund, excluding the SA Global Fixed Income Fund and the SA U.S. Fixed Income Fund, declares and pays dividends from its net investment income, if any, annually. The SA Global Fixed Income Fund and the SA U.S. Fixed Income Fund declare and pay dividends from net investment income, if any, quarterly. All of the Funds declare and pay distributions from net realized capital gains, if any, at least annually.

 

The SA Real Estate Securities Fund characterizes distributions received from REIT (Real Estate Investment Trust) investments based on information provided by the REITs into the following categories: ordinary income, long-term capital gains, and return of capital. If information is not available on a timely basis from the REITs in which the Fund invests, the characterization will be estimated based on available information, which may include the previous year’s allocation. If new or additional information becomes available from one or more of those REITs at a later date, a recharacterization will be made in the following year. The Fund records any amount recharacterized as dividend income as ordinary income, any amount recharacterized as long-term capital gain as realized gain in the Statement of Operations, and any amount recharacterized as a return of capital as a reduction to the cost of investments in the Statement of Assets and Liabilities and in the Portfolio of Investments. These recharacterizations are reflected in the accompanying financial statements.

 

Dividends to shareholders are recorded on the ex-dividend date. Income and capital gain distributions are determined in accordance with federal income tax regulations, which may differ from generally accepted accounting principles in the U.S. These differences are primarily due to differing treatments of income and gains on various investment securities held by the Funds, timing differences and differing characterizations of distributions made by the Funds. To the extent that distributions exceed the sum of net investment income and net capital gains

 

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for federal income tax purposes, they are reported as distributions of paid-in capital. Permanent book and tax basis differences relating to shareholder distributions will result in reclassifications to paid-in capital. Temporary book and tax differences such as wash sales, passive foreign investment companies, non-REIT return of capital, and foreign currency transactions that will reverse in a subsequent period. During any particular year, a Fund’s net realized gains from investment transactions in excess of available capital loss carry forwards will be taxable to a Fund if not distributed and, therefore, will be distributed to shareholders annually.

 

At June 30, 2025, as a result of permanent book-to-tax differences, the following reclassifications were made on the Statements of Assets and Liabilities. These differences primarily relate to the utilization of earnings and profits distributed to shareholders on redemption of shares and realized gains and losses on redemptions in-kind:

 

   Paid in Capital   Total distributable
earnings (loss)
 
SA U.S. Fixed Income Fund  $(15,376)  $ 15,376 
SA U.S. Core Market Fund   80,822,421    (80,822,421)
SA U.S. Value Fund   42,885,649    (42,885,649)
SA U.S. Small Company Fund   22,295,145    (22,295,145)
SA International Value Fund   10,892,189    (10,892,189)
SA International Small Company Fund   143,293    (143,293)
SA Real Estate Securities Fund   9,208,602    (9,208,602)
SA Worldwide Moderate Growth Fund   56,734    (56,734)

 

2. Agreements and Transactions with Affiliates

 

The Trust has an Investment Advisory and Administrative Services Agreement with the Adviser (the “Investment Advisory Agreement”) under which the Adviser manages the investments of, and provides administrative services to, each Fund.

 

For the advisory and administrative services provided to the Funds under the Investment Advisory Agreement, the Adviser is entitled to receive from each Fund a fee computed daily and payable monthly at the annual rate set forth below:

 

Fund  Advisory and
Administrative Fee
 
SA U.S. Fixed Income Fund   0.15%
SA Global Fixed Income Fund   0.25%
SA U.S. Core Market Fund   0.40%
SA U.S. Value Fund   0.40%
SA U.S. Small Company Fund   0.40%
SA International Value Fund   0.45%
SA International Small Company Fund   0.25%
SA Emerging Markets Value Fund   0.45%
SA Real Estate Securities Fund   0.35%

 

The SA Worldwide Moderate Growth Fund does not have an advisory and administration fee on assets invested in the Underlying SA Funds, any other investment companies advised or sub-advised by the Adviser, money market funds or held in cash or cash equivalents.

 

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The Trust and the Adviser have jointly entered into an Investment Sub-Advisory Agreement (the “Sub-Advisory Agreement”) with the Sub-Adviser. For the sub-advisory services provided to the Funds under the Sub-Advisory Agreement, the Sub-Adviser is entitled to a fee from each Fund computed daily and payable monthly at an annual rate based on each Fund’s average daily net assets as follows:

 

   Sub-Advisory
Fees
 
SA U.S. Fixed Income Fund   0.03%
SA Global Fixed Income Fund   0.03%
SA U.S. Core Market Fund   0.03%*
SA U.S. Value Fund   0.10%
SA U.S. Small Company Fund   0.20%
SA International Value Fund   0.20%
SA Emerging Markets Value Fund   0.36%
SA Real Estate Securities Fund   0.10%

 

* The Sub-Adviser will not receive any sub-advisory fee for its sub-advisory services to the SA U.S. Core Market Fund with respect to any assets of the SA U.S. Core Market Fund invested in the U.S. Micro Cap Portfolio of the DFA Investment Dimensions Group Inc. For its management services, the Sub-Adviser receives an investment advisory fee from the U.S. Micro Cap Portfolio.

 

The Trust has a Shareholder Servicing Agreement with the Adviser. For the shareholder services provided to the Funds, the Adviser is entitled to a fee from each Fund computed daily and payable monthly at the annual rate of 0.15% of the average daily net assets of each Fund. There is no shareholder servicing fee on assets of the SA Worldwide Moderate Growth Fund that are invested in the Underlying SA Funds, any other investment companies advised or sub-advised by the Adviser, money market funds or held in cash or cash equivalents. The SA Worldwide Moderate Growth Fund is subject to a shareholder servicing fee of 0.25% on assets invested in any other investment. The SA Worldwide Moderate Growth Fund does not currently intend to make investments that would be subject to a shareholder servicing fee.

 

The Adviser has contractually agreed, pursuant to a Fee Waiver and Expense Reimbursement Letter Agreement (the “SA Funds Fee Waiver Agreement”), to waive the fees payable to it under the Investment Advisory Agreement and/or to reimburse the operating expenses allocated to an SA Fund to the extent each SA Fund’s shares’ total annual operating expenses (excluding interest, taxes, brokerage commissions, redemption liquidity service expenses, acquired fund fees and expenses, and extraordinary expenses) exceed, in the aggregate, the rate per annum, as set forth below. The SA Funds Fee Waiver Agreement will remain in effect until October 28, 2028, at which time it may be continued, modified or eliminated and net expenses will be adjusted as necessary.

 

Fund Expense Limitation
(Shown is the resulting ratio of total annual fund operating expenses expressed as a percentage)
  Expense Limitation 
SA U.S. Fixed Income Fund   0.40%
SA Global Fixed Income Fund   0.55%
SA U.S. Core Market Fund   0.65%
SA U.S. Value Fund   0.75%
SA U.S. Small Company Fund   0.90%
SA International Value Fund   0.90%
SA International Small Company Fund   0.55%
SA Emerging Markets Value Fund   1.04%
SA Real Estate Securities Fund   0.75%

 

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Trustees’ Fees and Expenses — The Trustees of the Trust received an annual retainer fee of $128,000, as well as reimbursement for expenses incurred in connection with each meeting of the Board and its Committees. The Chairman of the Board receives an annual supplemental compensation of $12,800 per year.

 

Effective January 1, 2025, the Trustees of the Trust receive an annual retainer fee of $133,000, as well as reimbursement for expenses incurred in connection with each meeting of the Board and its Committees. Also effective January 1, 2025, the Chairman of the Board receives an annual supplemental compensation of $13,300 per year.

 

Sub-Administration Fees — State Street serves as sub-administrator for the Trust, pursuant to a Sub-Administration Agreement with the Trust and the Adviser. State Street receives a fee that is calculated daily and paid monthly at an annual rate based on the aggregate average daily net assets of the Trust as follows: 0.017% of the first $1.5 billion of net assets and 0.014% of net assets over $1.5 billion. The fee is then allocated to each Fund based on the relative net assets of each Fund, subject to a minimum fee of $54,000 annually per Fund.

 

3. Purchases and Sales of Securities

 

Excluding short-term investments, each Fund’s purchases and sales of securities for the fiscal year ended June 30, 2025 were as follows:

 

   Purchases   Sales 
   U.S.
Government
   Other   U.S.
Government
   Other 
SA U.S. Fixed Income Fund  $119,386,300   $201,797,087   $245,364,091   $108,806,177 
SA Global Fixed Income Fund   114,185,743    325,397,916    210,529,787    290,873,503 
SA U.S. Core Market Fund       7,351,200        28,338,181 
SA U.S. Value Fund       60,087,233        68,993,587 
SA U.S. Small Company Fund       7,841,355        11,420,948 
SA International Value Fund       49,954,575        96,125,040 
SA International Small Company Fund       11,366,613        35,351,000 
SA Emerging Markets Value Fund       34,431,291        51,687,279 
SA Real Estate Securities Fund       6,441,581        7,311,820 
SA Worldwide Moderate Growth Fund       1,875,464        4,376,160 

 

4. Liquidity

 

Certain Funds are permitted to participate in the ReFlow liquidity program, which is designed to provide an alternative liquidity source for mutual funds experiencing net redemptions of their shares. Pursuant to the program, ReFlow Fund, LLC (“ReFlow”) provides participating mutual funds with a source of cash to meet net shareholder redemptions by standing ready each business day to purchase fund shares up to the value of the net shares redeemed by other shareholders that are to settle the next business day. Following purchases of fund shares, ReFlow then generally redeems those shares when the fund experiences net sales, at the end of a maximum holding period determined by ReFlow (currently 8 days) or at other times at ReFlow’s discretion. While ReFlow holds fund shares, it will have the same rights and privileges with respect to those shares as any other shareholder. For use of the ReFlow service, a fund pays a fee to ReFlow each time it purchases fund shares, calculated by applying to the purchase amount a fee rate determined through an automated daily auction among participating mutual funds. ReFlow’s purchases of fund shares through the liquidity program are made on an investment-blind basis without regard to the fund’s objective, policies or anticipated performance.

 

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In accordance with federal securities laws, ReFlow is prohibited from acquiring more than 3% of the outstanding voting securities of a fund. ReFlow will periodically redeem its entire share position in participating Funds and request that such redemption be met in kind in accordance with the Funds’ redemption in-kind policies.

 

During the fiscal year ended June 30, 2025, the following Funds utilized ReFlow. The shares and amounts ReFlow subscribed to and redemptions-in-kind were as follows:

 

Fund  Shares ReFlow
Subscribed to
   Amount ReFlow
Subscribed to
   Redemptions-
 in-kind Shares
   Redemptions-
in-kind Amount
 
SA U.S. Core Market Fund  $2,330,115   $82,890,146   $(2,325,040)  $(82,622,773)
SA U.S. Value Fund   2,485,874    55,315,117    (2,500,060)   (55,581,789)
SA U.S. Small Company Fund   1,092,063    31,593,750    (1,094,369)   (31,682,923)
SA International Value Fund   1,371,321    18,991,018    (1,409,150)   (19,537,806)
SA Real Estate Securities Fund   1,159,786    13,506,182    (1,160,855)   (13,464,331)

 

5. Affiliated Ownership

 

The SA Worldwide Moderate Growth Fund invests in Underlying Securities and other Investment Companies, certain of which may be deemed to be under common control because of the same or affiliated investment adviser and membership in a common family of investment companies (the “Affiliated Underlying Funds”). A summary of the transactions with each Affiliated Underlying Fund during the fiscal year ended June 30, 2025 follows:

 

Affiliated
Investment
Companies
  Beginning
Value
as of
June 30, 2024
   Purchases
at Cost
   Proceeds
from Sales
   Net
Realized
Gain (Loss)
on Sales of
Affiliated
Investment
Companies
   Change in
Unrealized
Appreciation/
Depreciation
   Ending
Value
as of
June 30,
2025
   Shares
as of
June 30,
2025
   Dividend
Income
from
Affiliated
Investment
Companies
   Capital Gain
Distributions
from Affiliated
Investment
Companies
 
SA U.S. Fixed Income Fund  $3,284,281   $391,168   $(572,147)  $3,965   $40,326   $3,147,593    326,514   $145,240   $ 
SA Global Fixed Income Fund   3,301,112    383,406    (580,851)   20,015    11,415    3,135,097    351,075    148,657     
SA U.S. Core Market Fund   3,726,794    136,992    (729,475)   212,749    223,079    3,570,139    94,149    24,517     
SA U.S. Value Fund   3,686,160    217,404    (560,902)   86,170    138,536    3,567,368    156,601    57,814    32,077 
SA U.S. Small Company Fund   1,463,291    136,412    (304,145)   52,578    69,380    1,417,516    48,346    4,088     
SA International Value Fund   4,320,186    363,621    (1,141,807)   263,598    473,991    4,279,589    272,585    148,763     
SA Emerging Markets Value Fund   1,483,148    173,542    (321,398)   63,109    22,366    1,420,767    125,288    59,445     
SA Real Estate Securities Fund   674,737    72,919    (165,435)   13,761    23,412    619,394    54,428    17,532    2,072 
Totals  $21,939,709   $1,875,464   $(4,376,160)  $715,945   $1,002,505   $21,157,463        $606,056   $34,149 

 

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6. Recent Accounting Pronouncement

 

In this reporting period, the Funds adopted FASB Accounting Standards Update No. 2023-07, “Segment Reporting (Topic 280) – Improvements to Reportable Segment Disclosures” (“ASU 2023-07”). Adoption of the new standard impacted financial statement disclosures only and did not affect the Funds’ financial position or the results of their operations. Each fund included herein is deemed to be an individual reporting segment and is not part of a consolidated reporting entity. The objective and strategy of each fund is used by the Adviser to make investment decisions, and the results of the operations, as shown in the statements of operations and the financial highlights for each fund is the information utilized for the day-to-day management of the funds. Each fund is party to the expense agreements as disclosed in the notes to the financial statements and resources are not allocated to a fund based on performance measurements. Due to the significance of oversight and its role, the Adviser is deemed to be the Chief Operating Decision Maker. 

 

7. Subsequent Events

 

Management has evaluated the impact of all subsequent events on the Funds through the date the financial statements were issued, and has determined that there were no subsequent events that require recognition or disclosure in the financial statements. While not required, Management does want to provide notice that Buckingham Strategic Partners, LLC changed its legal name to “Focus Partners Advisor Solutions, LLC” on January 2, 2025.

 

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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

 

To the Shareholders and Board of Trustees of
SA Funds – Investment Trust

 

Opinion on the Financial Statements

 

We have audited the accompanying statements of assets and liabilities, including the portfolios of investments, of SA Funds – Investment Trust, comprising SA U.S. Fixed Income Fund, SA Global Fixed Income Fund, SA U.S. Core Market Fund, SA U.S. Value Fund, SA U.S. Small Company Fund, SA International Value Fund, SA International Small Company Fund, SA Emerging Markets Value Fund, SA Real Estate Securities Fund and SA Worldwide Moderate Growth Fund (the “Funds”) as of June 30, 2025, the related statements of operations for the year then ended, the statements of changes in net assets for each of the two years in the period then ended, the financial highlights for each of the five years in the period then ended, and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of each of the Funds as of June 30, 2025, the results of their operations for the year then ended, the changes in net assets for each of the two years in the period then ended, and the financial highlights for each of the five years in the period then ended, in conformity with accounting principles generally accepted in the United States of America.

 

Basis for Opinion

 

These financial statements are the responsibility of the Funds’ management. Our responsibility is to express an opinion on the Funds’ financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Funds in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

 

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement whether due to error or fraud.

 

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our procedures included confirmation of securities owned as of June 30, 2025, by correspondence with the custodian, transfer agent and brokers; when replies were not received from brokers, we performed other auditing procedures. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

 

We have served as the Funds’ auditor since 2020.

 

 

 

COHEN & COMPANY, LTD.

 

Cleveland, Ohio

 

August 29, 2025

 

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ADDITIONAL INFORMATION (Unaudited)

 

 

 

 

Additional Information

 

This report is prepared for the general information of shareholders and is not an offer of shares of the SA Funds. Shares are sold only through the currently effective prospectus, which must precede or accompany this report.

 

More information about the SA Funds is available without charge, upon request, please mail, visit the Funds’ website or call:

 

SA Funds – Investment Trust

c/o Focus Partners Advisor Solutions, LLC

190 Carondelet Plaza

Suite 600

Clayton, MO 63105

Toll-free: 1-844-366-0905

Website: http://www.sa-funds.com

 

Changes in and Disagreements with Accountants for Open-end Management Investment Companies (Item 8 of Form N-CSR)

 

Not applicable

 

Proxy Disclosures for Open-end Management Investment Companies (Item 9 of Form N-CSR)

 

Not applicable.

 

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Remuneration Paid to Directors, Officers, and Others of Open-end Management Investment Companies (Item 10 of Form N-CSR)

 

Remuneration Paid to Directors, Officers, and Others of Open-end Investment Companies is included as part of the Financial Statements under the heading “Trustees’ Fees and Expenses.”

 

Statement Regarding the Basis for the Board’s Approval of Investment Advisory Contracts (Item 11 of Form N-CSR)

 

Board Approval of Investment Advisory Agreements and Sub-Advisory Agreement

 

At a meeting held on June 23, 2025, the Board, consisting solely of Independent Trustees, considered the renewal for a one-year term of (1) the Investment Advisory Agreements by and between the Trust, with respect to the Funds, and the Adviser; and (2) the Sub-Advisory Agreement by and among the Trust, with respect to the Funds, except with respect to the SA Worldwide Moderate Growth Fund, the Adviser and DFA (collectively, the “Advisory Agreements”).

 

The Board discussed the role of the Funds as asset allocation tools and as a means by which smaller retail-level investors could access the investment services offered by DFA. The Board also discussed the role of the Adviser in monitoring the Funds’ effectiveness in this regard and the value added by the Adviser in ensuring that the Funds provided the type of comprehensive asset allocation investment program that shareholders were expecting to receive at reasonable cost levels. The Board also discussed asset growth and economies of scale, which, together with past reductions of the Adviser’s management fees and contractual fee waiver/expense reimbursement arrangements, have resulted in fee and/or expense reductions in recent years.

 

Factors Considered in Approving the Advisory Agreements

 

In approving the renewal of the Advisory Agreements, the Board was advised by counsel to the Independent Trustees and took into account information prepared specifically in connection with its review of the Advisory Agreements at the Meeting and the telephonic meeting of the Board on May 15, 2025 (the “May 15 Telephonic Meeting”) and information furnished to the Board throughout the year. The Board also considered the items discussed with representatives of the Trust, the Adviser and the Sub-Adviser during the May 15 Telephonic Meeting. In their deliberations, the Board considered the factors discussed below, among others. The Independent Trustees did not identify any particular piece of information that was all-important or controlling, and each Trustee may have attributed different weights to the various factors:

 

The nature, extent and quality of the services provided and to be provided by the Adviser and the Sub-Adviser. The Board considered the experience and qualifications of the personnel at the Adviser and the Sub-Adviser who are responsible for providing services to the Funds and the compensation structures of the Adviser and the Sub-Adviser. The Board noted the oversight role of the Adviser over the Sub-Adviser relating to portfolio construction and management, compliance with the Funds’ investment objectives and policies, the Trust’s compliance policies and procedures, and applicable laws and regulations, as well as the Adviser’s role in implementing the Board’s directives relating to the Funds. The Board also noted that the Adviser has extensive experience offering asset allocation and risk diversification through investment portfolios such as the Funds. The Board further noted the Sub-Adviser’s experience and expertise in constructing portfolios that reflect diverse asset classes and risk levels, as well as the extensive industry experience of the Sub-Adviser’s personnel.

 

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The Board then considered the resources, policies and procedures, and infrastructure of the Adviser and the Sub-Adviser devoted to ensuring compliance with applicable laws and regulations, as well as the Adviser’s and the Sub-Adviser’s commitment to those programs. The Board considered the information received regarding the Adviser’s and the Sub-Adviser’s respective compliance programs and compliance reports received during the prior year. The Board noted that there are currently no known pending regulatory issues with the SEC or other regulatory agencies involving the Adviser or Sub-Adviser other than routine examination matters.

 

The Board noted that the Adviser continues to provide portfolio management and reporting services, asset-class allocation, shareholder servicing and, if requested, administrative services support to investors and their financial representatives to enhance the effectiveness of the Funds as asset allocation vehicles. The Board further noted the additional resources available to the Funds as a result of the merger with the Colony Group.

 

The investment performance of the Funds achieved by the Adviser and the Sub-Adviser. The Board reviewed the short-term and longer-term performance of each of the Funds on both an absolute basis and relative to each Fund’s benchmark index, a peer group of funds based on investment style, and comparable funds managed by the Sub-Adviser. The Board noted that it received and discussed Fund performance information on a quarterly basis throughout the year. As part of its review, the Board also reviewed a report prepared by an independent consulting firm, Broadridge Financial Solutions, Inc. (“Broadridge”), which included comparisons of the performance of each Fund to certain funds determined by Broadridge to be comparable based on investment style (the “Broadridge Peer Group”) and the Fund’s benchmark index. The Board noted that the Broadridge Peer Group, which is used for both performance and expense comparisons, was determined for each Fund based on investment style, share class characteristics (to reflect similar expense structures) and asset size (to reflect similar economies of scale), as applicable. The Board examined the performance of each of the Funds for the 1-year, 3-year, 5-year and 10-year periods ended December 31, 2024, as applicable.

 

In assessing performance, the Board took into consideration that each Fund is intended to provide exposure to a particular asset class. For this reason, the Board viewed fidelity to asset class characteristics as highly important to its evaluation of the Funds. The Board noted that it looks for Fund performance to track the appropriate benchmark index(es) as closely as possible, given certain practical constraints imposed by the 1940 Act and each Fund’s investment restrictions, size and similar factors. Because the Funds are primarily asset allocation tools, the Board emphasized each Fund’s performance against its asset class benchmark index(es) and its general adherence to asset class representation, with the exception of the SA Worldwide Moderate Growth Fund, which invests in other Funds managed by the Adviser (the “Underlying Funds”) comprising various asset classes and strategies.

 

For the SA U.S. Fixed Income Fund, it was noted that the Fund’s gross total return performance was in the 4th (bottom) quartile of its Broadridge Peer Group for the 3-year, 5-year and 10-year periods ended December 31, 2024 and in the 3rd quartile for the 1-year period ended the same date. It was also noted that the Fund outperformed its benchmark, the Morningstar U.S. 1-3 Year Composite Government and Corporate Bond Index, for the 1-year and 3-year periods. The Board also took into consideration that the Fund’s relatively shorter duration and persistent bias toward higher quality credits contributed to its underperformance relative to its Broadridge Peer Group and benchmark during long stretches when interest rate risk was beneficial.

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For the SA Global Fixed Income Fund, it was noted that the Fund’s gross total return performance was in the 1st quartile of its Broadridge Peer Group for the 1-year period ended December 31, 2024, the 3rd quartile for the 3- and 5-year periods ended the same date, the 4th quartile for the 10-year period ended the same date. It was also noted that the Fund’s performance exceeded that of its benchmark, the Morningstar Global 1-5 Year Treasury Bond GR Hedged USD Index, for the 1-year period. The Board took into consideration that the Fund’s relatively shorter duration contributed to its underperformance relative to its Broadridge Peer Group and benchmark during the long stretches when taking longer duration risk would have been beneficial to the Fund.

 

For the SA U.S. Core Market Fund, it was noted that the Fund’s gross total return performance was in the 2nd quartile of its Broadridge Peer Group for the 1-year, 3-year and 10-year periods ended December 31, 2024 and the 3rd quartile for the 5-year period ended the same date. It was also noted that the Fund’s performance outperformed its benchmark, the Morningstar U.S. Market Extended USD Index, for the 3-year, 5-year and 10-year periods.

 

For the SA U.S. Value Fund, it was noted that the Fund’s gross total return performance was in the 4th quartile among its Broadridge Peer Group for the 1-year, 3-year, and 5-year periods ended December 31, 2024, and the 3rd quartile for the 10-year period ended the same date. It was also noted that the Fund underperformed its benchmark, the Morningstar U.S. Large-Mid Cap Broad Value Index, for all periods.

 

For the SA U.S. Small Company Fund, it was noted that the Fund’s gross total return performance was in the 1st quartile of its Broadridge Peer Group for the 1-year period ended December 31, 2024, and the 2nd quartile of its Broadridge Peer Group for the 3-year, 5-year, and 10-year periods ended the same date. It was also noted that the Fund outperformed its benchmark, the Morningstar U.S. Small Cap Extended Index, for all periods.

 

For the SA Real Estate Securities Fund, it was noted that the Fund’s gross total return performance was in the 3rd quartile of its Broadridge Peer Group for the 3-year and 10-year periods ended December 31, 2024 and the 4th quartile for the 1-year and 5-year periods ended the same date. It was also noted that the Fund outperformed its benchmark, the Morningstar U.S. REIT Index, for all periods.

 

For the SA International Value Fund, it was noted that the Fund’s gross total return performance was in the 1st quartile of its Broadridge Peer Group for the 1-year, 3-year and 5-year periods ended December 31, 2024 and the 2nd quartile for the 10-year period ended the same date. It was also noted that the Fund outperformed its benchmark, the Morningstar Developed Markets ex-U.S. Value Target Market Exposure Index, for all periods.

 

For the SA International Small Company Fund, it was noted that the Fund invests substantially all of its assets in the International Small Company Portfolio of DFA Investment Dimensions Group Inc. It was noted that the Fund’s gross total return performance was in the 2nd quartile of its Broadridge Peer Group for the 1-year period ended December 31, 2024 and the 3rd quartile for the 3-year period ended the same date, and the 4th quartile for the 5-year, and 10-year periods ended the same date. It was also noted that the Fund outperformed its benchmark, the Morningstar Developed Markets ex-U.S. Small Cap Target Market Exposure Index, for all periods.

 

For the SA Emerging Markets Value Fund, it was noted that the Fund’s gross total return performance was in the 1st quartile of its Broadridge Peer Group for the 3-year period ended December 31, 2024, the 3rd quartile for the 1-year period ended the same date, and the 2nd quartile for the 5-year and 10-year periods ended the same date. It was also noted that the Fund outperformed its benchmark, the Morningstar Emerging Markets Value Target Market Exposure Index, for the 3-year and 5-year periods.

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ADDITIONAL INFORMATION (Unaudited) (Continued)

 

 

 

  

For the SA Worldwide Moderate Growth Fund, it was noted that the Fund’s gross total return performance was in the 2nd quartile of its Broadridge Peer Group for the 1-year and 5-year periods ended December 31, 2024 and the 1st quartile of its Broadridge Peer Group for the 3-year period ended the same date. It was also noted that the Fund outperformed its benchmark, the Morningstar U.S. Moderate Target Allocation Index, for the 3-year period.

 

The extent to which the Adviser and the Sub-Adviser realize economies of scale as the Trust grows larger and whether fee levels reflect these economies of scale for the benefit of Fund shareholders. The Board evaluated any apparent or anticipated economies of scale in relation to the services the Adviser provides to each Fund. The Board considered the Funds’ net flows and asset levels, and noted that the Funds are designed to work together as a set of asset allocation choices and that economies of scale (and other factors) are most appropriately assessed on a Trust-level and not on a Fund-by-Fund basis. The Board also noted that although the Funds do not have advisory fee breakpoints, the Adviser has contractually agreed to waive a portion of its advisory fees and/or reimburse each of the Funds for certain expenses so that each Fund does not exceed its operating expense limitation and has taken other steps to reduce Fund operating expenses.

 

In considering potential economies of scale, the Board noted that the Adviser is still subsidizing certain operations of the Trust through the expense limitation arrangements and that the Adviser has recouped only a portion of the amounts previously waived under these expense limitation arrangements. It was further noted that in recent years the management fees payable to the Adviser were reduced on a majority of the Funds, with additional reductions in management fees and operating expense limits for a majority of Funds applicable effective January 1, 2018 and further reductions on the SA Emerging Markets Value Fund, effective March 1, 2021 and July 1, 2021 and on the SA U.S. Small Company Fund effective July 1, 2021. The Board concluded that any economies of scale generated at current asset levels were being effectively shared with Fund shareholders.

 

Total expenses of the Funds and competitiveness of fees to be paid to the Adviser and the Sub-Adviser. The Board considered the gross management fee rates charged by the Adviser and the Sub-Adviser, as well as the effective management fee rates after taking into consideration the Funds’ expense limitation arrangements with the Adviser.

 

In considering the management fees and the total fees and expenses of each Fund, the Board reviewed a comparison of each Fund’s effective advisory fee and overall expense ratio to its respective Broadridge Peer Group. The Board considered the median of the contractual management fees and overall expense ratios of each peer group.

 

It was noted that each Fund’s net expense ratio, a figure that includes all of the Fund’s operating expenses, excluding any dividend, interest or borrowing expenses, minus any expense waivers or other reimbursements, was below the median expense ratio of its respective Broadridge Peer Group.

 

The Board noted the implementation of annual operating expense limitations (as a percentage of average daily net assets) until October 28, 2025, for all Funds except the SA Worldwide Moderate Growth Fund. The Board further noted that for the SA Worldwide Moderate Growth Fund, the Adviser has contractually agreed until July 1, 2025, to reimburse expenses so that the Fund’s annual operating expenses do not exceed the total annual acquired fund fees and expenses related to the Underlying Funds in which it invests. The Board further noted that each of these contractual expense limitations would be extended until October 28, 2028.

 

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ADDITIONAL INFORMATION (Unaudited) (Continued)

 

 

 

  

In assessing the fees charged by the Sub-Adviser, the Board noted that the fees ranged from 0 to 36 bps annually, with most of them at or below 10 bps annually, except for the SA International Value Fund (20 bps annually), the SA U.S. Small Company Fund (20 bps annually) and the SA Emerging Markets Value Fund (36 bps annually). The Board took into consideration that these fees reflected an arm’s-length negotiation between the Adviser and the Sub-Adviser and determined that the fees were reasonable in light of the services provided to each Fund. The Board also noted the previous reduction in fees payable pursuant to the Sub-Advisory Agreement for most Funds.

 

The profits to be realized by the Adviser, the Sub-Adviser and their respective affiliates, from their relationship with the Trust. The Board considered other benefits derived by the Adviser from its relationship with the Funds, including amounts received by the Adviser for the provision of certain shareholder and administrative services to the Funds. It was noted that the Adviser does not receive any soft dollar benefits from the Funds. The Board also considered the profitability rates of the Sub-Adviser.

 

The Board reviewed information provided by the Adviser and the Sub-Adviser regarding their financial stability and the profitability attributable to their respective agreements with the Funds. The Board discussed the fact that the Funds were designed to operate in an integrated manner as a set of asset allocation vehicles and, for that reason, profitability of the Adviser on a Fund-by-Fund basis was not as relevant to the Board’s determinations as overall profitability of the Adviser at the Trust level. The Board also noted the difficulty of making comparisons of profitability because of differing business mixes and types of funds managed, the fact that publicly traded advisory firms for which data are available are typically much bigger than the Adviser, and the lack of an industry standard for methodology used to calculate profitability.

 

After such review, the Board determined that the profitability rates of the Adviser and the Sub-Adviser, with respect to the Investment Advisory Agreement and the Sub-Advisory Agreement, were not unreasonable in consideration of the services each provides to the Funds.

 

The Board also considered the climate in the financial services industry; the risks assumed by the Adviser and the Sub-Adviser in complying with investment restrictions, expense limitations and tax laws; the entrepreneurial risks undertaken by the Adviser in sponsoring the Trust and adding Funds to the Trust; the volatility of the financial markets and, thus, of management fee income; and the compensation of the Adviser and the Sub-Adviser and the need to provide sufficient incentives to their respective owners and employees in light of the foregoing considerations.

 

Conclusions. In approving the Advisory Agreements, the Board concluded that the terms of the Advisory Agreements are fair and reasonable and that approval of the Advisory Agreements is in the best interests of each Fund and its shareholders. In reaching this determination, the Board considered that the Adviser and the Sub-Adviser could be expected to provide a high level of service to each Fund; the performance of each Fund over time and in some cases for more recent periods, or, in the case of underperforming Funds, that it retained confidence in the Adviser’s and the Sub-Adviser’s capabilities to manage the Funds consistently with their respective specified investment objective and strategies; that each Fund’s fee structure appeared to the Board to be reasonable given the nature and quality of services provided; and that the benefits accruing to the Adviser and the Sub-Adviser by virtue of their relationship to the Funds were reasonable in comparison with the benefits accruing to each Fund. After this review and discussion, the Board concluded that the renewal of the Advisory Agreements for a one-year term was in the best interests of each Fund and its shareholders.

 

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ADDITIONAL INFORMATION (Unaudited) (Continued)

 

 

 

  

Trustees and Officers’ Information

 

Information regarding the Trustees and executive officers of the Trust is listed below. The Board is responsible for managing the business and affairs of the Trust. The Board’s role in management of the Trust is oversight. As is the case with virtually all investment companies (as distinguished from operating companies), service providers to the Trust have the responsibility for the day-to-day management of the Funds. The Board’s oversight role does not make the Board a guarantor of the Funds’ investments or activities. The Trustees are experienced executives who meet periodically throughout the year to oversee each Fund’s activities, review contractual arrangements with companies that provide services to each Fund, and review each Fund’s performance. The Board is comprised entirely of Trustees who are not “interested persons” of the Trust, as such term is defined under the 1940 Act (the “Independent Trustees”).

 

Officers of the Trust listed in the table below whose names are marked with an asterisk (*) are interested persons of the Trust (as defined by the 1940 Act) by virtue of, among other considerations, their relationships with the Adviser or its affiliated entities. Each Trustee and executive officer of the Trust oversees all Funds of the Trust.

 

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ADDITIONAL INFORMATION (Unaudited) (Continued)

 

 

 

 

Independent Trustees:

  

Name, Address,(1)
and Year of Birth
  Position(s)
 Held with
Trust and Length of
Time Served (2)
  Principal
Occupation(s)
During Past 5 Years
  Number of
Portfolios in
Fund Complex
Overseen by
Trustee
  Other
Trusteeships/
Directorships Held

Bryan W. Brown

Year of Birth: 1945

 

Trustee

(since April 1999)

Chairman

(since December 2004)

  Self-Employed Management Consultant (financial and technological systems) (since 1992).   10   Director/Officer, Kilohana Martial Arts Association (since June 2018).
Charles M. Roame Year of Birth: 1965   Trustee (since June 2012)   Managing Partner, Tiburon Strategic Advisors & Tiburon CEO Summits (since April 1998).   10   Director, Edelman Financial Engines (provider of financial planning & investment advisory services) (since January 2014). Director, FacetWealth (provider of financial planning services) (since February 2018). Director, DPL Financial Partners (insurance management platform) (since February 2022). Director, Allspring Global Investments (financial services) (since May 2022). Director, Vise Technologies (software and technology service provider) (since September 2023). Director, Foundation Source (financial services) (since October 2023). Director, Apex Fintech Solutions (financial services) (since April 2024).
Harold M. Shefrin Year of Birth: 1948   Trustee (since April 1999)   Faculty member, Santa Clara University (since 1978).   10   Trustee, Litman Gregory Funds Trust (10 portfolios) (since February 2005).

 

(1)The address of each Trustee is: Focus Partners Advisor Solutions, LLC. 190 Carondelet Plaza, Suite 600, Clayton, Missouri 63105.

 

(2)Each Trustee serves for the lifetime of the Trust or until he dies, resigns, or is removed.

 

The Funds’ Statement of Additional Information includes additional information about the Trustees and is available, without charge, upon request, by calling 1-844-366-0905. It is also available on the Funds’ website at: http://www.sa-funds.com.

 

The accompanying notes are an integral part of these financial statements.

 

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ADDITIONAL INFORMATION (Unaudited) (Continued)

 

 

 

 

Interested Trustee and Officers of the Trust

 

Name, Address (1)
and Year of Birth
  Position(s)
Held with
Trust and Length of
Time Served (2)
  Principal Occupation(s) During Past 5 Years
Jonathan Scheid* Year of Birth: 1976   Trustee (since September 2023) and President and Chief Executive Officer (since June 2023).   President, Focus Partners Advisor Solutions (since 2023); Managing Director, Focus Partners Wealth (2022 - September 2023); Managing Director, Focus Partners Advisor Solutions (2019-2021).
Dan Anderson* Year of Birth: 1976   Chief Financial and Accounting Officer and Treasurer (since March 2023).   Financial Consultant (since July 1, 2025); Chief Financial Officer, Focus Partners Wealth and Focus Partners Advisor Solutions (2018 - June 30, 2025); Chief Financial Officer, BAM Management LLC (2018 - June 30, 2025).
Jeffery Yorg* Year of Birth: 1977   Chief Compliance Officer and Anti-Money Laundering Compliance Officer (since July 2021)   Chief Compliance Officer, Focus Partners Advisor Solutions, LLC, and Associate General Counsel, Focus Partners Wealth, LLC (since October 2019).
Marcy Tsagarakis* Year of Birth: 1971   Secretary (since June 2006).   Director, Fund Administration, Focus Partners Advisor Solutions, LLC (since December 2018).

 

(1)The address of each Trustee and officer is: Focus Partners Advisor Solutions, LLC, 190 Carondelet Plaza, Suite 600, Clayton, Missouri 63105.
(2)Each Trustee serves for the lifetime of the Trust or until he dies, resigns, or is removed. The Trust’s officers are appointed annually by the Board.

  

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TAX INFORMATION NOTICE

 

 

 

 

For federal income tax purposes, the following information is furnished with respect to the distributions of the Funds for the fiscal year ended June 30, 2025:

 

Foreign Tax Credits – For the fiscal year ended June 30, 2025, the following Funds have made an election under Internal Revenue Code Section 853 to pass through foreign taxes paid by the Fund to its shareholders, all of which represents taxes witheld.

 

   Foreign
Tax Credit
   Foreign
Source Income
 
SA International Value Fund  $1,355,062   $24,667,965 
SA International Small Company Fund   388,556    4,612,943 
SA Emerging Markets Value Fund   901,042    8,861,595 
SA Worldwide Moderate Growth Fund   14,750    205,371 

 

Capital Gain Distributions – On December 18, 2024, the following Funds declared long-term capital gain distribution.

 

SA U.S. Value Fund  $2,720,518 
SA International Small Company Fund   2,340,239 
SA Real Estate Securities Fund   284,698 

 

On December 27, 2024, the SA Worldwide Moderate Growth Fund declared long-term capital gain distribution of $661,623.

 

Corporate Dividends Received Deduction – The following Funds paid distributions from ordinary income that qualify for the corporate dividends received deduction. The percentage that qualifies is noted below:

 

SA U.S. Core Market Fund   100%
SA U.S. Value Fund   100%
SA U.S. Small Company Fund   100%
SA International Value Fund   0.11%
SA International Small Company Fund   0.06%
SA Worldwide Moderate Growth Fund   17.18%

 

Qualified Dividend Income – For the fiscal year ended June 30, 2025 certain dividends paid by one or more of the Funds may be designated as qualified dividend income and subject to a maximum federal income tax rate of 15% for individual shareholders (20% for individuals with taxable income exceeding $533,401 or $600,051 if married filing jointly). Complete information will be reported in conjunction with your 2024 Form 1099-DIV.

 

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Item 8. Changes in and Disagreements with Accountants for Open-End Management Investment Companies

Not applicable.

Item 9. Proxy Disclosures for Open-End Management Investment Companies

Not applicable.

Item 10. Remuneration Paid to Directors, Officers, and Others of Open-End Management Investment Companies

Renumeration Paid to Directors, Officers, and Others of Open-End Investment Companies is included as part of the Financial Statements filed under Item 7(a) of this Form.

Item 11. Statement Regarding Basis for Approval of Investment Advisory Contract

Statement Regarding Basis for Approval of Investment Advisory Contract is included as part of the Financial Statements filed under Item 7(a) of this Form.

Item 12. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies

Not applicable to the registrant.

Item 13. Portfolio Managers of Closed-End Management Investment Companies

Not applicable to the registrant.

Item 14. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers

Not applicable to the registrant.

 

 

Item 15. Submission of Matters to a Vote of Security Holders

The registrant has not adopted procedures by which shareholders may recommend nominees to the registrant's Board of Trustees.

Item 16. Controls and Procedures

(a) Within 90 days of the filing date of this Form N-CSR, Jonathan Scheid, the registrant’s President and Chief Executive Officer, and Dan Anderson, the registrant’s Treasurer and Chief Financial and Accounting Officer, reviewed the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”)) and evaluated their effectiveness. Based on their review, Messrs. Scheid and Anderson determined that the disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the registrant on Form N-CSR and Form N-PORT is accumulated and communicated to the registrant’s management to allow timely decisions regarding required disclosure.

(b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

Item 17. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies

Not applicable to the registrant.

Item 18. Recovery of Erroneously Awarded Compensation

Not applicable to the registrant.

Item 19. Exhibits

(a)(1) Code of Ethics referred to in Item 2 is filed herewith.

(a)(2) Not applicable.

(a)(3) The certifications required by Rule 30a-2(a) of the 1940 Act and Section 302 of the Sarbanes-Oxley Act of 2002 (“Sarbanes-Oxley Act”) are filed herewith.

(a)(3) Not applicable.

(a)(4) Not applicable.

(b) The certifications required by Rule 30a-2(b) of the 1940 Act and Section 906 of the Sarbanes-Oxley Act are filed herewith.

The certifications provided pursuant to Rule 30a-2(b) of the 1940 Act and Section 906 of the Sarbanes-Oxley Act are not deemed “filed” for purposes of Section 18 of the Securities Exchange Act of 1934, as amended (the “Exchange Act”), or otherwise subject to the liability of that section. Such certifications will not be deemed to be incorporated by reference into any filing under the Securities Act of 1933 or the Exchange Act, except to the extent that the registrant specifically incorporates them by reference.

 

 

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, as amended, and the Investment Company Act of 1940, as amended, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

SA FUNDS – INVESTMENT TRUST

By: /s/Jonathan Scheid  
  Jonathan Scheid  
  President and Chief Executive Officer  
Date: September 5, 2025  

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

By: /s/Jonathan Scheid  
  Jonathan Scheid  
  President and Chief Executive Officer  
Date: September 5, 2025  
By: /s/Dan Anderson  
  Dan Anderson  
  Treasurer and Chief Financial and Accounting Officer  
Date: September 5, 2025  

 


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