Green CALIFORNIA TAX FREE INCOME FUND
Portfolio of Investments
May 31, 2026
         
SECURITY DESCRIPTION  Par Value   Value 
         
Municipal Bonds (92.81%)          
           
CALIFORNIA EDUCATIONAL FACILITIES AUTHORITY          
California Educational Facilities Authority, 5.000%, 04/01/2051   2,000,000   $2,244,438 
           
CALIFORNIA ENTERPRISE DEVELOPMENT AUTHORITY          
California Enterprise Development Authority, 5.250%, 11/01/2049   500,000    535,864 
           
CALIFORNIA HEALTH FACILITIES FINANCING AUTHORITY          
California Health Facilities Financing Authority, 4.000%, 08/15/2048   1,000,000    952,093 
           
CALIFORNIA HEALTH FACILITIES FINANCING AUTHORITY          
California Health Facilities Financing Authority, 3.000%, 11/01/2039   730,000    667,499 
           
CALIFORNIA HOUSING FINANCE AGENCY          
California Housing Finance Agency, 4.000%, 03/20/2033   305,490    312,022 
California Housing Finance Agency, 4.950%, 08/01/2050   1,000,000    1,014,994 
           
CALIFORNIA MUNICIPAL FINANCE AUTHORITY          
California Municipal Finance Authority, 5.000%, 10/01/2044   480,000    497,390 
           
CALIFORNIA STATE PUBLIC WORKS BOARD          
California State Public Works Board, 4.000%, 05/01/2036   540,000    563,690 
           
CHAFFEY COMMUNITY COLLEGE DISTRICT          
Chaffey Community College District, 5.500%, 06/01/2049   500,000    552,921 
           
CITY OF LOS ANGELES CA WASTEWATER SYSTEM REVENUE          
City of Los Angeles CA Wastewater System Revenue, 5.250%, 06/01/2047   1,500,000    1,520,304 
           
CITY OF LOS ANGELES DEPARTMENT OF AIRPORTS          
City of Los Angeles Department of Airports, 5.000%, 05/15/2048   1,000,000    1,064,149 
City of Los Angeles Department of Airports, 5.250%, 05/15/2051   500,000    537,870 
           
DESERT COMMUNITY COLLEGE DISTRICT          
Desert Community College District, 4.000%, 08/01/2051   1,350,000    1,274,913 
           
EAST BAY MUNICIPAL UTILITY DISTRICT WATER SYSTEM REVENUE          
East Bay Municipal Utility District Water System Revenue, 5.000%, 06/01/2050   1,000,000    1,070,582 
East Bay Municipal Utility District Water System Revenue, 5.000%, 06/01/2055   1,000,000    1,063,097 
           
LOS ANGELES COUNTY METROPOLITAN TRANSPORTATION AUTHORITY SALES TAX REVENUE          
Los Angeles County Metropolitan Transportation Authority Sales Tax Revenue, 4.000%, 07/01/2028   500,000    500,310 
           
LOS ANGELES UNIFIED SCHOOL DISTRICT          
Los Angeles Unified School District, 4.000%, 07/01/2049   1,000,000    956,933 
Los Angeles Unified School District, 5.000%, 07/01/2045   500,000    544,953 
           
MILPITAS UNIFIED SCHOOL DISTRICT          
Milpitas Unified School District, 3.000%, 08/01/2034   750,000    742,779 
           
MT SAN ANTONIO COMMUNITY COLLEGE DISTRICT          
Mt San Antonio Community College District, 5.000%, 08/01/2046   500,000    546,561 
           
PENINSULA CORRIDOR JOINT POWERS BOARD MEASURE RR SALES TAX REVENUE          
Peninsula Corridor Joint Powers Board Measure RR Sales Tax Revenue, 5.000%, 06/01/2036   200,000    221,164 

 

 

 

 

SACRAMENTO MUNICIPAL UTILITY DISTRICT          
Sacramento Municipal Utility District, 5.000%, 11/15/2054   565,000    594,367 
           
SAN DIEGO COUNTY REGIONAL TRANSPORTATION COMMISSION          
San Diego County Regional Transportation Commission, 5.000%, 04/01/2037   500,000    565,654 
           
SAN DIEGO PUBLIC FACILITIES FINANCING AUTHORITY          
San Diego Public Facilities Financing Authority, 5.000%, 05/15/2052   1,500,000    1,561,814 
           
SAN DIEGO UNIFIED SCHOOL DISTRICT          
San Diego Unified School District, 4.000%, 07/01/2053   1,000,000    944,101 
San Diego Unified School District, 4.000%, 07/01/2054   1,300,000    1,223,861 
           
SAN FRANCISCO BAY AREA RAPID TRANSIT DISTRICT          
San Francisco Bay Area Rapid Transit District, 3.000%, 08/01/2050   605,000    460,093 
San Francisco Bay Area Rapid Transit District, 5.000%, 08/01/2036   1,000,000    1,027,432 
           
SAN FRANCISCO CITY & COUNTY PUBLIC UTILITIES COMMISSION WASTEWATER REVENUE          
San Francisco City & County Public Utilities Commission Wastewater Revenue, 4.000%, 10/01/2048   500,000    487,965 
San Francisco City & County Public Utilities Commission Wastewater Revenue, 5.000%, 10/01/2049   1,000,000    1,060,921 
           
SAN JOSE FINANCING AUTHORITY          
San Jose Financing Authority, 5.000%, 11/01/2052   1,500,000    1,577,875 
           
SAN MATEO FOSTER CITY PUBLIC FINANCING AUTHORITY          
San Mateo Foster City Public Financing Authority, 4.000%, 08/01/2044   1,500,000    1,491,845 
           
STATE OF CALIFORNIA          
State of California, 3.000%, 10/01/2028   850,000    850,054 
State of California, 5.250%, 10/01/2045   500,000    545,695 
           
TURLOCK IRRIGATION DISTRICT          
Turlock Irrigation District, 5.000%, 01/01/2036   300,000    322,096 
Total Municipal Bonds (Cost $30,824,672)        30,098,299 
           
Variable Rate Demand Notes* (5.88%)          
California Health Facilities Financing Authority, 5.000%, 08/15/2047*,**,***   500,000    550,226 
Regents of the University of California Medical Center Pooled Revenue, 2.250%, 05/15/2047*,**,***   300,000    300,000 
San Mateo County Transit District Sales Tax Revenue, 2.350%, 06/01/2049*,**,***    400,000    400,000 
University of California, 2.400%, 05/15/2048*,**,***    655,000    655,000 
Total Variable Rate Demand Notes (Cost $1,903,173)        1,905,226 
           
Total Investments (Cost $32,727,846) (98.69%)       $32,003,525 
Other Net Assets (1.31%)        425,728 
Net Assets (100.00%)       $32,429,253 
           
* Stated maturity reflects next reset date.
** In accordance with the offering documents, daily interest rates are determined by the Remarketing Agents.
*** Rate Effective as of May 31, 2026

 

 

 

 

U.S. GOVERNMENT SECURITIES FUND
Portfolio of Investments
May 31, 2026
         
Security Description  Par Value   Value 
         
Government National Mortgage Association (1.63%)          
3.500%, 11/20/2044   72,991   $67,835 
5.000%, 03/15/2038   63,441    64,281 
5.500%, 04/15/2036   34,550    35,323 
6.000%, 06/15/2038   8,179    8,523 
Total Government National Mortgage Association (Cost $180,929)        175,962 
           
United States Treasury Bonds (33.56%)          
2.000%, 11/15/2041   2,000,000    1,377,109 
2.250%, 05/15/2041   700,000    507,691 
2.875%, 08/15/2045   800,000    589,469 
4.500%, 11/15/2054   1,250,000    1,154,590 
Total United States Treasury Bonds (Cost $4,008,032)        3,628,859 
           
United States Treasury Notes (61.05%)          
0.625%, 03/31/2027   950,000    925,372 
2.750%, 02/15/2028   150,000    146,924 
3.500%, 09/30/2029   1,450,000    1,424,000 
3.500%, 11/30/2030   300,000    292,324 
3.875%, 03/15/2028   200,000    199,578 
3.875%, 08/15/2033   850,000    827,787 
3.875%, 08/15/2034   800,000    773,563 
4.000%, 04/30/2032   1,200,000    1,186,688 
4.875%, 10/31/2030   800,000    823,813 
Total United States Treasury Notes (Cost $6,655,966)        6,600,049 
           
United States Treasury Bills (3.21%)          
0.000%, 08/20/2026   250,000    248,003 
0.000%, 09/01/2026   100,000    99,079 
Total United States Treasury Bills (Cost $347,104)        347,082 
           
Total Investments (Cost $11,192,031) (99.45%)       $10,751,952 
Other Net Assets (0.55%)        59,539 
Net Assets (100.00%)       $10,811,491 

 

 

 

 

THE UNITED STATES TREASURY TRUST        
Portfolio of Investments        
May 31, 2026        
         
Security Description  Par Value   Value 
         
United States Treasury Bills, DN(a) (100.16%)          
06/11/2026   2,000,000   $1,998,019 
06/18/2026   2,000,000    1,996,618 
06/25/2026   2,200,000    2,194,798 
07/14/2026   1,250,000    1,244,615 
07/16/2026   3,000,000    2,986,608 
07/23/2026   1,500,000    1,492,238 
08/06/2026   3,500,000    3,476,954 
08/20/2026   2,600,000    2,579,313 
09/01/2026   1,250,000    1,238,524 
09/10/2026   1,500,000    1,484,909 
Total United States Treasury Bills, DN (Cost $20,692,596)        20,692,596 
           
Total Investments (Cost $20,692,596) (100.16%)       $20,692,596 
Liabilities in Excess of Other Assets (-0.16%)        (32,969)
Net Assets (100.00%)       $20,659,627 
           
(a) Discount Note. Yield to maturity is between 3.62%-3.70%.

 

 

 

 

S&P 500 INDEX FUND
Portfolio of Investments
May 31, 2026
         
Security Description  Shares   Value 
Common Stock (99.33%)          
           
Basic Materials (1.45%)          
Air Products and Chemicals Inc   1,178   $328,214 
Albemarle Corp   650    114,673 
CF Industries Holdings Inc   889    99,879 
Dow Inc   3,918    132,233 
DuPont de Nemours Inc   2,313    111,995 
Ecolab Inc   1,384    354,304 
Freeport-McMoRan Inc   7,606    499,790 
International Flavors & Fragrances Inc   1,414    107,535 
International Paper Co   2,047    68,513 
Linde PLC   2,473    1,230,787 
LyondellBasell Industries NV   1,434    95,576 
The Mosaic Co   1,777    42,470 
Newmont Corp   5,780    634,702 
Nucor Corp   1,250    312,500 
PPG Industries Inc   1,246    140,773 
Qnity Electronics Inc   1,156    180,336 
The Sherwin-Williams Co   1,221    370,989 
Steel Dynamics Inc   727    189,129 
Total Basic Materials        5,014,398 
           
Communications (17.04%)          
Airbnb Inc*   1,197    159,572 
Alphabet Inc - Class A   30,820    11,722,079 
Alphabet Inc - Class C   24,633    9,272,600 
Amazon.com Inc*   51,534    13,947,161 
AppLovin Corp*   1,460    895,111 
Arista Networks Inc*   5,470    872,301 
AT&T Inc   37,556    931,389 
Booking Holdings Inc   4,250    711,578 
CDW Corp   745    93,460 
Charter Communications Inc*   466    67,127 
Ciena Corp*   738    428,210 
Cisco Systems Inc   20,875    2,513,768 
Comcast Corp   19,253    478,822 
Corning Inc   4,177    756,705 
DoorDash Inc*   2,011    320,332 
eBay Inc   2,531    276,562 
Expedia Group Inc   659    148,796 
F5 Inc*   325    124,621 
FactSet Research Systems Inc   214    52,531 
Fox Corp - Class A   1,250    79,900 
Fox Corp - Class B   739    42,411 
Gen Digital Inc   3,034    78,247 
GoDaddy Inc*   793    68,063 
Meta Platforms Inc   11,537    7,297,268 
Motorola Solutions Inc   904    364,565 
Netflix Inc*   22,447    1,930,891 
News Corp - Class A   2,235    58,334 
News Corp - Class B   632    18,846 
Omnicom Group Inc   1,091    79,327 
Palo Alto Networks Inc*   3,588    1,010,704 
Paramount Skydance Corp   1,680    17,825 
Robinhood Markets Inc*   4,150    391,345 
T-Mobile US Inc   2,584    484,578 
Uber Technologies Inc*   11,007    774,893 
VeriSign Inc   450    128,421 
Verizon Communications Inc   22,336    1,067,884 
The Walt Disney Co   9,457    963,006 
Warner Bros Discovery Inc*   12,604    340,434 
Total Communications        58,969,667 

 

 

 

 

Consumer, Cyclical (7.30%)          
Aptiv PLC*   1,195    81,188 
AutoZone Inc*   91    267,102 
Best Buy Co Inc   1,135    88,473 
Carnival Corp Ltd   5,174    145,182 
Carvana Co*   3,630    264,990 
Chipotle Mexican Grill Inc*   7,004    223,147 
Copart Inc*   4,851    158,967 
Costco Wholesale Corp   2,347    2,244,483 
Cummins Inc   746    482,386 
Darden Restaurants Inc   648    132,134 
Deckers Outdoor Corp*   850    96,773 
Delta Air Lines Inc   3,436    283,401 
Dollar General Corp   1,222    135,165 
Dollar Tree Inc*   1,070    124,591 
Domino’s Pizza Inc   191    59,321 
DR Horton Inc   1,518    223,283 
Fastenal Co   6,344    280,405 
Ford Motor Co   10,769    187,811 
General Motors Co   4,941    411,289 
Genuine Parts Co   769    75,900 
Hasbro Inc   771    66,437 
Hilton Worldwide Holdings Inc   1,231    403,349 
The Home Depot Inc   5,273    1,672,279 
Las Vegas Sands Corp   1,611    81,468 
Lennar Corp   1,142    102,529 
Live Nation Entertainment Inc*   839    141,296 
Lowe’s Cos Inc   2,970    636,649 
Lululemon Athletica Inc*   632    82,906 
Marriott International Inc   1,179    442,832 
McDonald’s Corp   3,772    1,053,142 
MGM Resorts International*   1,279    55,854 
NIKE Inc   6,384    295,132 
Norwegian Cruise Line Holdings Ltd*   2,490    45,667 
NVR Inc*   16    97,677 
O’Reilly Automotive Inc*   4,471    388,440 
PACCAR Inc   2,782    307,049 
Pool Corp   212    38,457 
PulteGroup Inc   1,032    121,962 
Ralph Lauren Corp   230    83,697 
Ross Stores Inc   1,722    399,039 
Royal Caribbean Cruises Ltd   1,341    381,689 
Southwest Airlines Co   2,739    117,640 
Starbucks Corp   6,022    597,142 
Tapestry Inc   1,150    167,279 
Target Corp   2,407    305,857 
Tesla Inc*   14,885    6,486,734 
The TJX Cos Inc   5,895    912,251 
Tractor Supply Co   2,873    90,586 
Ulta Beauty Inc*   247    125,686 
United Airlines Holdings Inc*   1,732    198,834 
Versigent PLC*   398    17,560 
Walmart Inc   23,229    2,688,757 
Williams-Sonoma Inc   645    131,303 
WW Grainger Inc   236    291,281 
Wynn Resorts Ltd   526    53,242 
Yum! Brands Inc   1,544    228,435 
Total Consumer, Cyclical        25,276,128 
           
Consumer, Non-Cyclical (12.34%)          
Abbott Laboratories   9,211    788,462 
AbbVie Inc   9,362    2,038,295 
Agilent Technologies Inc   1,578    213,866 
Align Technology Inc*   388    67,881 
Altria Group Inc   8,892    618,705 
Amgen Inc   2,852    960,525 
Archer-Daniels-Midland Co   2,702    215,566 
Automatic Data Processing Inc   2,199    487,826 

 

 

 

Avery Dennison Corp   463    73,649 
Baxter International Inc   2,886    54,199 
Becton Dickinson & Co   1,518    223,328 
Biogen Inc*   815    159,740 
Bio-Techne Corp   889    45,944 
Block Inc*   1,505    113,959 
Boston Scientific Corp*   7,853    379,378 
Bristol-Myers Squibb Co   10,784    616,629 
Brown-Forman Corp   1,007    25,900 
Bunge Global SA   781    96,297 
The Campbell’s Company   1,162    24,530 
Cardinal Health Inc   1,258    247,574 
Cencora Inc   952    256,431 
Centene Corp*   2,743    163,483 
Charles River Laboratories International Inc*   286    51,683 
Church & Dwight Co Inc   1,371    131,109 
The Cigna Group   1,415    392,521 
Cintas Corp   1,860    318,544 
The Clorox Co   681    61,304 
Thr Coca-Cola Co   20,508    1,620,337 
Colgate-Palmolive Co   4,392    395,851 
Conagra Brands Inc   2,697    35,816 
Constellation Brands Inc   746    103,560 
The Cooper Cos Inc*   1,104    67,576 
Corpay Inc*   392    141,826 
Corteva Inc   3,579    280,164 
CVS Health Corp   6,724    611,750 
Danaher Corp   3,330    608,291 
DaVita Inc*   254    49,367 
Dexcom Inc*   2,186    161,196 
Edwards Lifesciences Corp*   3,179    274,888 
Elevance Health Inc   1,177    462,785 
Eli Lilly & Co   4,206    4,647,627 
Equifax Inc   693    114,892 
Thr Estee Lauder Cos Inc   1,319    117,325 
GE HealthCare Technologies Inc   2,413    150,426 
General Mills Inc   2,825    95,513 
Gilead Sciences Inc   6,572    883,474 
Global Payments Inc   1,321    99,749 
HCA Healthcare Inc   846    320,245 
Henry Schein Inc*   530    40,587 
The Hershey Co   826    160,269 
Hormel Foods Corp   1,626    37,772 
Humana Inc   667    203,715 
IDEXX Laboratories Inc*   435    245,136 
Incyte Corp*   937    90,645 
Insulet Corp*   396    57,396 
Intuitive Surgical Inc*   1,877    797,049 
IQVIA Holdings Inc*   925    168,544 
The J M Smucker Co   588    60,682 
Johnson & Johnson   12,763    2,875,887 
Kenvue Inc   10,198    176,221 
Keurig Dr Pepper Inc   6,378    191,531 
Kimberly-Clark Corp   1,843    179,877 
The Kraft Heinz Co   4,826    115,872 
The Kroger Co   3,363    209,010 
Labcorp Holdings Inc   468    121,708 
McCormick & Co Inc   1,450    68,687 
McKesson Corp   653    484,813 
Medtronic PLC   6,794    501,465 
Merck & Co Inc   13,148    1,560,931 
Moderna Inc*   1,873    88,387 
Molson Coors Beverage Co   992    39,214 
Mondelez International Inc   7,017    429,230 
Monster Beverage Corp*   3,919    345,186 
Moody’s Corp   838    379,824 
PayPal Holdings Inc   4,956    221,781 
PepsiCo Inc   7,243    1,044,368 
Pfizer Inc   30,491    798,254 

 

 

 

 

Philip Morris International Inc   8,246    1,462,675 
The Procter & Gamble Co   12,378    1,776,986 
Quanta Services Inc   789    561,555 
Quest Diagnostics Inc   624    121,618 
Regeneron Pharmaceuticals Inc   533    327,678 
ResMed Inc   794    151,313 
Revvity Inc   687    71,826 
Rollins Inc   1,591    75,732 
S&P Global Inc   1,642    696,208 
Solventum Corp*   817    61,234 
STERIS PLC   557    118,491 
Stryker Corp   1,823    556,179 
Sysco Corp   2,627    199,153 
Thermo Fisher Scientific Inc   1,990    980,095 
Tyson Foods Inc   1,599    97,571 
United Rentals Inc   337    335,541 
UnitedHealth Group Inc   4,798    1,824,727 
Universal Health Services Inc   324    47,340 
Verisk Analytics Inc   781    136,667 
Vertex Pharmaceuticals Inc*   1,344    601,494 
Viatris Inc   6,761    109,934 
Waters Corp*   546    209,429 
West Pharmaceutical Services Inc   409    132,029 
Zimmer Biomet Holdings Inc   1,125    92,621 
Zoetis Inc   2,412    187,388 
Total Consumer, Non-Cyclical        42,699,511 
           
Energy (3.17%)          
APA Corp   1,815    66,120 
Baker Hughes Co   5,227    333,901 
Chevron Corp   9,925    1,810,916 
ConocoPhillips   6,546    746,113 
Devon Energy Corp   6,208    276,194 
Diamondback Energy Inc   1,031    197,416 
EOG Resources Inc   2,874    383,334 
EQT Corp   3,365    184,839 
Expand Energy Corp   1,168    108,601 
ExxonMobil Holdings Corp   22,128    3,214,313 
First Solar Inc*   610    187,142 
Halliburton Co   4,458    173,193 
Kinder Morgan Inc   10,696    332,432 
Marathon Petroleum Corp   1,592    396,042 
Occidental Petroleum Corp   3,819    216,270 
ONEOK Inc   3,308    277,674 
Phillips 66   2,208    388,343 
SLB Ltd   7,468    407,379 
Targa Resources Corp   1,137    290,015 
Texas Pacific Land Corp   318    124,974 
Valero Energy Corp   1,615    395,384 
The Williams Cos Inc   6,469    461,822 
Total Energy        10,972,417 
           
Financial (12.25%)          
Aflac Inc   2,498    280,825 
Alexandria Real Estate Equities Inc   870    43,222 
The Allstate Corp   1,386    285,641 
American Express Co   2,846    900,674 
American International Group Inc   2,858    212,149 
American Tower Corp   2,479    463,474 
Ameriprise Financial Inc   516    229,986 
Aon PLC   1,170    369,790 
Apollo Global Management Inc   2,488    320,230 
Arch Capital Group Ltd*   1,912    170,818 
Ares Management Corp   1,091    140,194 
Arthur J Gallagher & Co   1,256    252,594 
Assurant Inc   289    71,923 
AvalonBay Communities Inc   786    143,453 
Bank of America Corp   35,512    1,832,419 
The Bank of New York Mellon Corp   3,694    515,054 

 

 

 

 

Berkshire Hathaway Inc*   9,714    4,609,099 
Blackrock Inc   764    799,816 
Blackstone Inc   3,952    462,265 
Brown & Brown Inc   1,313    73,856 
BXP Inc   814    48,848 
Camden Property Trust   597    63,616 
Capital One Financial Corp   3,367    632,760 
Cboe Global Markets Inc   585    195,133 
CBRE Group Inc*   1,552    194,062 
The Charles Schwab Corp   8,439    737,147 
Chubb Ltd   1,938    604,133 
Cincinnati Financial Corp   874    137,585 
Citigroup Inc   9,253    1,164,953 
Citizens Financial Group Inc   2,275    141,642 
CME Group Inc   1,910    522,461 
Coinbase Global Inc*   1,160    219,275 
CoStar Group Inc*   2,358    75,928 
Crown Castle Inc   2,404    219,966 
Digital Realty Trust Inc   1,745    331,550 
Equinix Inc   520    555,381 
Equity Residential   1,910    125,010 
Erie Indemnity Co   143    30,469 
Essex Property Trust Inc   359    97,878 
Everest Group Ltd   249    80,683 
Extra Space Storage Inc   1,200    173,172 
Federal Realty Investment Trust   449    53,714 
Fifth Third Bancorp   3,790    189,235 
Franklin Resources Inc   1,715    53,199 
Globe Life Inc   464    71,103 
The Goldman Sachs Group Inc   1,588    1,628,589 
The Hartford Insurance Group Inc   1,559    198,196 
Healthpeak Properties Inc   3,987    76,351 
Host Hotels & Resorts Inc   3,951    90,794 
Huntington Bancshares Inc   8,228    134,610 
Interactive Brokers Group Inc   2,359    205,162 
Intercontinental Exchange Inc   3,020    446,507 
Invesco Ltd   2,486    70,752 
Invitation Homes Inc   3,188    93,249 
Iron Mountain Inc   1,661    213,023 
JPMorgan Chase & Co   14,276    4,272,950 
KeyCorp   5,341    113,924 
Kimco Realty Corp   3,818    91,937 
KKR & Co Inc   3,668    351,908 
Loews Corp   1,011    104,689 
M&T Bank Corp   814    175,914 
Marsh & McLennan Cos Inc   2,595    415,122 
Mastercard Inc   4,343    2,145,355 
MetLife Inc   2,931    242,364 
Mid-America Apartment Communities Inc   660    85,186 
Morgan Stanley   6,398    1,330,784 
Nasdaq Inc   2,240    207,245 
Northern Trust Corp   1,054    174,384 
The PNC Financial Services Group Inc   2,077    459,266 
Principal Financial Group Inc   1,189    123,204 
The Progressive Corp   3,106    591,382 
Prologis Inc   4,920    705,872 
Prudential Financial Inc   1,958    197,053 
Public Storage   836    253,885 
Raymond James Financial Inc   984    141,115 
Realty Income Corp   4,873    298,617 
Regency Centers Corp   940    72,709 
Regions Financial Corp   4,645    130,060 
SBA Communications Corp   594    120,677 
Simon Property Group Inc   1,662    340,560 
State Street Corp   1,479    230,192 
Synchrony Financial   1,907    136,236 
T Rowe Price Group Inc   1,243    129,931 
The Travelers Cos Inc   1,181    344,722 
Truist Financial Corp   6,776    326,671 

 

 

 

 

UDR Inc   1,665    61,439 
US Bancorp   8,443    463,099 
Ventas Inc   2,377    200,666 
VICI Properties Inc   2,950    83,249 
Visa Inc   8,940    2,917,658 
W R Berkley Corp   1,684    107,001 
Wells Fargo & Co   16,629    1,289,413 
Welltower Inc   3,278    673,072 
Weyerhaeuser Co   4,066    99,658 
Willis Towers Watson PLC   507    126,583 
Total Financial        42,389,370 
           
Industrial (7.94%)          
3M Co   2,814    430,908 
A O Smith Corp   653    37,038 
Allegion plc   501    65,165 
Amcor PLC   1,663    64,558 
AMETEK Inc   1,219    275,311 
Amphenol Corp   6,555    975,122 
Axon Enterprise Inc*   405    181,732 
Ball Corp   1,523    83,262 
The Boeing Co*   4,086    944,479 
Builders FirstSource Inc*   606    46,214 
Carrier Global Corp   4,377    279,559 
Caterpillar Inc   2,479    2,171,283 
CH Robinson Worldwide Inc   690    123,269 
Coherent Corp*   992    358,578 
Comfort Systems USA Inc   193    352,845 
CRH PLC   3,499    380,656 
CSX Corp   9,864    446,445 
Deere & Co   1,331    721,642 
Dover Corp   775    163,804 
Eaton Corp PLC   2,057    824,034 
EMCOR Group Inc   237    195,956 
Emerson Electric Co   3,048    438,363 
Expeditors International of Washington Inc   783    123,706 
FedEx Corp   1,149    473,101 
Fortive Corp   1,682    98,094 
Garmin Ltd   859    200,937 
GE Vernova Inc   1,437    1,391,476 
Generac Holdings Inc*   285    79,204 
General Dynamics Corp   1,343    465,779 
General Electric Co   5,587    1,808,847 
Honeywell International Inc   3,363    799,923 
Howmet Aerospace Inc   2,129    549,814 
Hubbell Inc   300    142,083 
Huntington Ingalls Industries Inc   235    72,420 
IDEX Corp   418    88,127 
Illinois Tool Works Inc   1,398    345,697 
Ingersoll Rand Inc   1,904    136,403 
Jabil Inc   606    220,923 
Jacobs Solutions Inc   695    83,303 
JB Hunt Transport Services Inc   398    110,019 
Johnson Controls International plc   3,237    433,952 
Keysight Technologies Inc*   910    307,880 
L3Harris Technologies Inc   990    312,028 
Lennox International Inc   182    91,393 
Lockheed Martin Corp   1,078    571,825 
Martin Marietta Materials Inc   331    192,523 
Masco Corp   1,219    85,635 
Mettler-Toledo International Inc*   115    135,767 
Nordson Corp   304    87,348 
Norfolk Southern Corp   1,221    372,356 
Northrop Grumman Corp   710    400,213 
Old Dominion Freight Line Inc   974    219,296 
Otis Worldwide Corp   2,138    151,456 
Packaging Corp of America   499    109,236 
Parker-Hannifin Corp   668    564,213 
Pentair PLC   914    64,748 

 

 

 

 

Republic Services Inc   1,065    213,469 
Rockwell Automation Inc   610    275,147 
RTX Corp   7,102    1,275,945 
Smurfit Westrock PLC   2,795    115,014 
Snap-on Inc   293    108,765 
Stanley Black & Decker Inc   862    68,460 
TE Connectivity PLC   1,607    342,950 
Teledyne Technologies Inc*   260    161,156 
Textron Inc   1,038    95,247 
Trane Technologies PLC   1,174    529,826 
TransDigm Group Inc   304    382,529 
Trimble Inc*   1,310    73,897 
Union Pacific Corp   3,142    825,215 
United Parcel Service Inc   3,914    417,585 
Veralto Corp   1,344    110,517 
Vertiv Holdings Co   2,025    639,313 
Vulcan Materials Co   715    202,288 
Waste Management Inc   1,984    419,537 
Westinghouse Air Brake Technologies Corp   949    247,841 
Xylem Inc   1,318    144,374 
Total Industrial        27,499,023 
           
Technology (35.70%)          
Accenture PLC   3,285    614,525 
Adobe Inc*   2,217    574,669 
Advanced Micro Devices Inc*   8,624    4,450,846 
Akamai Technologies Inc*   831    124,268 
Analog Devices Inc   2,606    1,078,493 
Apple Inc   77,738    24,258,920 
Applied Materials Inc   4,220    1,899,253 
Autodesk Inc*   1,159    268,088 
Broadcom Inc   25,016    11,176,398 
Broadridge Financial Solutions Inc   660    101,455 
Cadence Design Systems Inc*   1,479    554,521 
Cognizant Technology Solutions Corp   2,736    152,546 
Crowdstrike Holdings Inc*   1,336    976,616 
Datadog Inc*   865    213,958 
Dell Technologies Inc   1,655    696,606 
Electronic Arts Inc   1,189    239,845 
EPAM Systems Inc*   320    32,787 
Fair Isaac Corp*   125    156,324 
Fidelity National Information Services Inc   2,930    125,961 
Fiserv Inc*   3,044    172,169 
Fortinet Inc*   3,348    461,924 
Gartner Inc*   421    68,286 
Hewlett Packard Enterprise Co   7,267    312,772 
HP Inc   5,146    139,148 
Intel Corp*   23,779    2,726,976 
International Business Machines Corp   4,951    1,474,408 
Intuit Inc   1,476    489,338 
Jack Henry & Associates Inc   412    56,164 
KLA Corp   696    1,337,510 
Lam Research Corp   6,653    2,116,852 
Leidos Holdings Inc   697    89,077 
Lumentum Holdings Inc*   378    323,175 
Microchip Technology Inc   2,975    281,584 
Micron Technology Inc   5,946    5,773,566 
Microsoft Corp   39,372    17,726,849 
Monolithic Power Systems Inc   253    396,251 
MSCI Inc   398    251,289 
NetApp Inc   1,157    201,654 
NVIDIA Corp   128,728    27,179,627 
NXP Semiconductors NV   1,333    428,360 
ON Semiconductor Corp*   2,131    257,041 
Oracle Corp   8,814    1,990,025 
Palantir Technologies Inc*   12,101    1,894,291 
Paychex Inc   1,773    171,946 
PTC Inc*   681    94,475 
QUALCOMM Inc   5,673    1,424,036 

 

 

 

 

Roper Technologies Inc   593    193,039 
Salesforce Inc   5,043    963,717 
Sandisk Corp*   749    1,269,540 
Seagate Technology Holdings PLC   1,151    1,012,650 
ServiceNow Inc*   5,605    697,094 
Skyworks Solutions Inc   824    64,148 
Super Micro Computer Inc*   2,880    132,739 
Synopsys Inc*   1,002    476,571 
Take-Two Interactive Software Inc*   923    206,900 
Teradyne Inc   829    310,303 
Texas Instruments Inc   4,813    1,471,238 
Tyler Technologies Inc*   236    73,903 
Western Digital Corp   1,811    962,021 
Workday Inc*   1,184    173,089 
Zebra Technologies Corp*   284    69,191 
Total Technology        123,611,015 
           
Utilities (2.14%)          
The AES Corp   4,344    63,726 
Alliant Energy Corp   1,436    102,832 
Ameren Corp   1,535    165,734 
American Electric Power Co Inc   2,835    359,109 
American Water Works Co Inc   1,101    135,720 
Atmos Energy Corp   820    138,687 
CenterPoint Energy Inc   3,692    156,024 
CMS Energy Corp   1,687    122,426 
Consolidated Edison Inc   1,938    204,711 
Constellation Energy Corp   1,654    475,939 
Dominion Energy Inc   4,701    314,685 
DTE Energy Co   1,170    167,158 
Duke Energy Corp   4,119    505,525 
Edison International   2,166    151,490 
Entergy Corp   2,414    263,247 
Evergy Inc   1,272    104,355 
Eversource Energy   2,050    139,954 
Exelon Corp   5,561    253,804 
FirstEnergy Corp   2,870    133,139 
NextEra Energy Inc   11,156    970,684 
NiSource Inc   2,445    113,008 
NRG Energy Inc   1,059    141,991 
PG&E Corp   12,108    197,845 
Pinnacle West Capital Corp   669    66,726 
PPL Corp   4,085    144,568 
Public Service Enterprise Group Inc   2,756    216,759 
Sempra   3,504    312,312 
The Southern Co   5,956    548,250 
Vistra Corp   1,687    270,308 
WEC Energy Group Inc   1,770    196,559 
Xcel Energy Inc   3,208    255,036 
Total Utilities        7,392,311 
           
Total Common Stock (Cost $93,571,213)        343,823,840 
           
United States Treasury Bills (0.63%)          
United States Treasury Bill, 0.000%, 06/18/26(a) (Cost $2,196,268)   2,200,000    2,196,226 
           
Right (0.00%)          
Hologic CVR 2027   1,313     
Sycamore Partners LLC*,(b)   4,016    2,128 
Right (Cost $2,128)         
         2,128 
           
Total Investments (Cost $95,769,610) (99.96%)       $346,022,194 
Other Net Assets (0.04%)        138,222 
Net Assets (100.00%)       $346,160,416 

 

* Non-income producing security.

 

(a) A portion of these securities, a total of $299,486, have been pledged or segregated in connection with obligations for futures contracts.

 

(b) Level 3 security fair valued under procedures established by the Board of Trustees, represents 0% of net assets. The total value of the fair value securities is $2,128.

 

Futures contracts at May 31, 2026: 

Contracts - $50 times premium / delivery month / commitment / exchange

 

S&P 500 E-MINI  Notional Amount   Value   Unrealized
Appreciation
 
6 /JUN 2026 / Long / CME  $2,090,788   $2,278,725   $187,938 

 

 

 

 

S&P MIDCAP INDEX FUND        
Portfolio of Investments        
May 31, 2026        
         
Security Description  Shares   Value 
Common Stock (99.03%)          
           
Basic Materials (4.79%)          
Alcoa Corp   8,386   $651,089 
Ashland Inc   845    48,926 
Axalta Coating Systems Ltd*   7,042    216,682 
Cabot Corp   1,723    150,780 
Carpenter Technology Corp   1,613    756,463 
Cleveland-Cliffs Inc*   17,908    243,549 
Commercial Metals Co   3,734    283,971 
Hecla Mining Co   22,118    393,037 
MP Materials Corp*   4,554    294,644 
NewMarket Corp   254    196,489 
Olin Corp   3,695    95,590 
Reliance Inc   1,693    644,644 
Royal Gold Inc   2,647    594,199 
RPM International Inc   4,152    439,987 
Solstice Advanced Materials Inc   5,186    436,817 
Westlake Corp   1,130    98,118 
Total Basic Materials        5,544,985 
           
Communications (1.53%)          
Chewy Inc*   8,020    180,771 
Hims & Hers Health Inc*   6,782    177,349 
InterDigital Inc   839    211,504 
Maplebear Inc*   5,858    233,148 
The New York Times Co   5,406    406,585 
Nexstar Media Group Inc   939    167,546 
Pinterest Inc*   19,667    394,323 
Total Communications        1,771,226 
           
Consumer, Cyclical (12.22%)          
Abercrombie & Fitch Co*   1,589    122,703 
Alaska Air Group Inc*   3,847    177,039 
American Airlines Group Inc*   22,014    322,285 
Aramark   8,769    468,089 
Autoliv Inc   2,263    287,673 
AutoNation Inc*   882    165,569 
Bath & Body Works Inc   6,798    136,096 
BJ’s Wholesale Club Holdings Inc*   4,275    364,572 
BorgWarner Inc   6,765    485,862 
Boyd Gaming Corp   1,908    157,753 
Brunswick Corp   2,146    179,749 
Burlington Stores Inc*   2,044    661,909 
Capri Holdings Ltd*   3,971    73,503 
Cava Group Inc*   2,885    224,049 
Choice Hotels International Inc   417    45,403 
Churchill Downs Inc   2,254    196,571 
Columbia Sportswear Co   286    18,927 
Core & Main Inc*   6,325    312,771 
Crocs Inc*   1,713    203,282 
Dick’s Sporting Goods Inc   2,003    455,823 
Dolby Laboratories Inc   1,989    111,006 
Dutch Bros Inc*   4,114    238,612 

 

 

 

 

FirstCash Holdings Inc   1,281    281,705 
Five Below Inc*   1,820    413,795 
Floor & Decor Holdings Inc*   3,553    182,624 
GameStop Corp*   13,927    294,974 
The Gap Inc   7,538    159,429 
Gentex Corp   7,218    174,387 
The Goodyear Tire & Rubber Co*   5,105    31,141 
Harley-Davidson Inc   4,115    99,501 
Hilton Grand Vacations Inc*   1,024    53,268 
Hyatt Hotels Corp   1,412    256,080 
KB Home   2,135    104,316 
Lear Corp   1,712    245,021 
Lithia Motors Inc   800    232,712 
Macy’s Inc   9,189    199,953 
Mattel Inc*   10,259    153,269 
MSC Industrial Direct Co Inc   1,495    163,658 
Murphy USA Inc   552    279,329 
Ollie’s Bargain Outlet Holdings Inc*   2,046    167,015 
Penske Automotive Group Inc   602    100,757 
Planet Fitness Inc*   2,799    149,774 
Polaris Inc   1,745    123,145 
PVH Corp   1,496    139,547 
RB Global Inc   6,096    648,311 
RH*   534    79,294 
The Scotts Miracle-Gro Co   772    45,548 
Somnigroup International Inc   6,858    485,615 
Taylor Morrison Home Corp*   3,297    192,875 
Texas Roadhouse Inc   2,217    400,435 
Thor Industries Inc   1,627    128,663 
Toll Brothers Inc   3,095    428,781 
Travel + Leisure Co   2,123    144,364 
Vail Resorts Inc   1,186    158,450 
VF Corp   10,943    188,001 
Visteon Corp   891    105,396 
Warner Music Group Corp   4,802    151,455 
Watsco Inc   1,164    427,304 
WESCO International Inc   1,607    580,400 
Whirlpool Corp   1,984    86,145 
Wingstop Inc   916    143,775 
Wyndham Hotels & Resorts Inc   2,493    200,088 
YETI Holdings Inc*   2,709    129,951 
Total Consumer, Cyclical        14,139,497 
           
Consumer, Non-Cyclical (14.11%)          
Albertsons Cos Inc   12,090    188,725 
API Group Corp*   11,987    491,467 
Arrowhead Pharmaceuticals Inc*   4,460    347,479 
Avantor Inc*   22,738    207,371 
Avis Budget Group Inc*   559    98,295 
BellRing Brands Inc*   4,550    38,038 
BioMarin Pharmaceutical Inc*   6,406    367,000 
Bio-Rad Laboratories Inc*   609    190,300 
Booz Allen Hamilton Holding Corp   4,018    318,145 
The Boston Beer Co Inc*   156    27,656 
The Brink’s Co   1,371    142,611 
Bruker Corp   3,748    220,720 
Celsius Holdings Inc*   5,176    172,206 
Chemed Corp   486    207,235 
Coca-Cola Consolidated Inc   1,830    317,066 
Cytokinetics Inc*   4,049    310,801 
Darling Ingredients Inc*   5,193    306,906 
DENTSPLY SIRONA Inc   6,462    67,657 
Elanco Animal Health Inc*   16,383    390,735 
elf Beauty Inc*   2,000    112,000 

 

 

 

 

Encompass Health Corp   3,360    355,656 
The Ensign Group Inc   1,911    320,379 
Envista Holdings Corp*   5,544    130,561 
Euronet Worldwide Inc*   1,266    91,760 
Exelixis Inc*   8,485    428,323 
Flowers Foods Inc   3,622    27,672 
FTI Consulting Inc*   1,059    162,218 
Globus Medical Inc*   3,677    301,073 
Graham Holdings Co   121    132,772 
Grand Canyon Education Inc*   925    138,611 
H&R Block Inc   4,173    160,619 
Haemonetics Corp*   1,554    105,377 
Halozyme Therapeutics Inc*   3,958    263,365 
HealthEquity Inc*   2,885    253,851 
Illumina Inc*   5,043    821,807 
Ingredion Inc   2,097    212,720 
Jazz Pharmaceuticals PLC*   2,023    478,419 
Lantheus Holdings Inc*   2,186    217,070 
LivaNova PLC*   1,836    135,497 
The Marzetti Company   691    77,351 
Masimo Corp*   1,478    263,749 
Medpace Holdings Inc*   751    335,780 
Morningstar Inc   750    136,515 
Neurocrine Biosciences Inc*   3,229    511,151 
Option Care Health Inc*   5,414    112,990 
Paylocity Holding Corp*   1,425    163,775 
Penumbra Inc*   1,301    414,108 
Performance Food Group Co*   5,222    512,748 
Pilgrim’s Pride Corp   731    20,695 
Post Holdings Inc*   1,378    126,556 
Repligen Corp*   1,744    216,169 
Roivant Sciences Ltd*   15,090    452,549 
Service Corp International   4,539    341,287 
Shift4 Payments Inc*   2,456    109,439 
Sotera Health Co*   7,770    121,523 
Sprouts Farmers Market Inc*   3,210    265,210 
Tenet Healthcare Corp*   2,885    505,798 
TransUnion   6,289    450,041 
UL Solutions Inc   2,437    242,482 
United Therapeutics Corp*   1,421    791,238 
US Foods Holding Corp*   7,206    589,811 
Valvoline Inc*   4,116    138,915 
WEX Inc*   1,130    163,805 
Total Consumer, Non-Cyclical        16,323,848 
           
Energy (5.36%)          
Antero Midstream Corp   10,945    229,407 
Antero Resources Corp*   9,621    343,951 
Chord Energy Corp   1,910    251,872 
CNX Resources Corp*   4,450    149,921 
DT Midstream Inc   3,389    474,392 
HF Sinclair Corp   5,063    353,853 
Matador Resources Co   3,983    213,489 
Murphy Oil Corp   4,384    158,657 
Nextpower Inc*   4,845    757,758 
NOV Inc   12,039    240,298 
Ovintiv Inc   9,072    508,395 
PBF Energy Inc   2,663    108,384 
Permian Resources Corp   24,662    474,250 
Range Resources Corp   7,947    309,536 
TechnipFMC PLC   13,100    896,302 
Valaris Ltd*   2,124    196,746 
Viper Energy Inc   6,126    278,733 
Weatherford International PLC   2,430    251,845 
Total Energy        6,197,789 

 

 

 

 

Financial (20.23%)          
Banks (5.74%)          
Associated Banc-Corp   5,294    147,226 
Bank OZK   3,390    164,042 
Columbia Banking System Inc   9,865    292,399 
Commerce Bancshares Inc   4,187    218,645 
Cullen/Frost Bankers Inc   2,110    285,947 
East West Bancorp Inc   4,455    545,916 
First Financial Bankshares Inc   4,562    149,086 
First Horizon Corp   16,165    391,678 
Flagstar Bank NA   9,983    140,361 
FNB Corp/PA   11,757    205,512 
Glacier Bancorp Inc   4,062    193,148 
Hancock Whitney Corp   2,757    187,807 
Home BancShares Inc   5,919    158,392 
International Bancshares Corp   1,751    126,352 
Old National Bancorp   11,315    271,673 
Pinnacle Financial Partners Inc   4,933    482,151 
Prosperity Bancshares Inc   3,118    215,017 
SOUTHSTATE BANK CORP   3,255    308,411 
Texas Capital Bancshares Inc   1,443    143,564 
UMB Financial Corp   2,414    316,862 
United Bankshares Inc   4,559    197,906 
Valley National Bancorp   15,531    213,862 
Webster Financial Corp   5,223    379,817 
Western Alliance Bancorp   3,355    267,226 
Wintrust Financial Corp   2,208    331,708 
Zions Bancorp NA   4,925    307,566 
         6,642,274 
Diversified Financial Service (2.73%)          
Affiliated Managers Group Inc   928    281,045 
Ally Financial Inc   9,345    400,059 
Evercore Inc   1,268    432,210 
Federated Hermes Inc   2,393    134,152 
Hamilton Lane Inc   1,349    117,538 
Houlihan Lokey Inc   1,813    256,830 
Janus Henderson Group LTD   4,079    210,925 
Jefferies Financial Group Inc   5,447    287,166 
SEI Investments Co   3,134    275,416 
SLM Corp   6,955    153,845 
Stifel Financial Corp   4,946    346,962 
Voya Financial Inc   3,141    255,112 
         3,151,260 
Insurance (4.19%)          
American Financial Group Inc   2,342    303,992 
Brighthouse Financial Inc*   1,851    115,780 
CNO Financial Group Inc   3,144    144,530 
Corebridge Financial Inc   8,341    225,207 
Equitable Holdings Inc   9,457    391,047 
Essent Group Ltd   3,287    190,284 
Fidelity National Financial Inc   8,253    390,780 
First American Financial Corp   3,345    221,539 
The Hanover Insurance Group Inc   1,174    218,599 
Kinsale Capital Group Inc   738    224,920 
MGIC Investment Corp   7,167    180,752 
Old Republic International Corp   7,626    283,916 
Primerica Inc   1,033    278,879 
Reinsurance Group of America Inc   2,128    427,175 
RenaissanceRe Holdings Ltd   1,420    398,097 
RLI Corp   2,958    148,018 
Ryan Specialty Holdings Inc   3,774    120,202 
Selective Insurance Group Inc   1,956    169,272 

 

 

 

 

Unum Group   4,985    414,902 
         4,847,891 
Private Equity (0.35%)          
The Carlyle Group Inc   8,676    394,151 
Sycamore Partners LLC*   6,060    12,908 
         407,059 
           
Real Estate (7.22%)          
Agree Realty Corp   3,709    275,022 
American Healthcare REIT Inc   5,885    287,718 
American Homes 4 Rent   10,750    344,860 
Annaly Capital Management Inc   23,472    512,863 
Brixmor Property Group Inc   10,212    312,079 
CareTrust REIT Inc   7,299    297,945 
COPT Defense Properties   3,658    117,275 
Cousins Properties Inc   5,488    147,133 
CubeSmart   7,519    300,760 
EastGroup Properties Inc   1,774    358,188 
EPR Properties   2,597    148,159 
Equity LifeStyle Properties Inc   6,465    399,343 
First Industrial Realty Trust Inc   4,417    273,280 
Gaming and Leisure Properties Inc   9,341    438,747 
Healthcare Realty Trust Inc   11,398    227,048 
Independence Realty Trust Inc   8,314    134,936 
Jones Lang LaSalle Inc*   1,528    431,370 
Kilroy Realty Corp   3,417    117,101 
Kite Realty Group Trust   7,108    194,901 
Lamar Advertising Co   2,813    428,870 
National Storage Affiliates Trust   1,276    54,421 
NNN REIT Inc   6,262    278,722 
Omega Healthcare Investors Inc   9,699    453,525 
Park Hotels & Resorts Inc   6,703    81,307 
Rayonier Inc   7,414    154,878 
Rexford Industrial Realty Inc   7,687    272,658 
Sabra Health Care REIT Inc   8,392    166,917 
STAG Industrial Inc   6,229    235,892 
Starwood Property Trust Inc   11,362    194,063 
Vornado Realty Trust   5,380    181,575 
WP Carey Inc   7,097    528,159 
         8,349,715 
           
Total Financial        23,398,199 
           
Industrial (26.36%)          
AAON Inc   2,191    307,178 
Acuity Inc   1,026    313,043 
Advanced Drainage Systems Inc   2,386    332,036 
Advanced Energy Industries Inc   1,247    376,818 
AECOM   4,289    297,528 
AeroVironment Inc*   1,061    219,882 
AGCO Corp   2,042    229,276 
Applied Industrial Technologies Inc   1,218    370,041 
AptarGroup Inc   2,103    243,633 
Arrow Electronics Inc*   1,717    368,520 
ATI Inc*   4,484    785,417 
Avient Corp   2,965    105,020 
Avnet Inc   2,670    232,103 
Belden Inc   1,290    135,553 
BWX Technologies Inc   2,960    579,805 
Carlisle Cos Inc   1,332    459,287 
Chart Industries Inc*   1,491    309,860 
Clean Harbors Inc*   1,626    456,955 
CNH Industrial NV   29,177    297,897 
Cognex Corp   5,525    363,821 

 

 

 

 

Crane Co   1,614    295,362 
Crown Holdings Inc   3,692    351,035 
Curtiss-Wright Corp   1,194    892,646 
Donaldson Co Inc   3,751    307,094 
Dycom Industries Inc*   955    487,050 
Eagle Materials Inc   1,082    239,317 
EnerSys   1,250    284,963 
Esab Corp   1,873    173,121 
Exponent Inc   1,800    104,976 
Fabrinet*   1,160    758,826 
Flex Ltd*   12,013    1,811,320 
Flowserve Corp   4,116    310,799 
Fluor Corp*   5,393    246,784 
Fortune Brands Innovations Inc   3,890    151,477 
GATX Corp   1,172    198,162 
Graco Inc   5,369    405,091 
Graphic Packaging Holding Co   9,643    108,580 
Greif Inc   832    52,691 
GXO Logistics Inc*   3,758    188,313 
Hexcel Corp   2,479    222,589 
ITT Inc   2,639    514,605 
Kirby Corp*   1,770    248,844 
Knife River Corp*   1,835    144,066 
Knight-Swift Transportation Holdings Inc   5,413    409,385 
Kratos Defense & Security Solutions Inc*   6,225    399,209 
Landstar System Inc   1,133    234,418 
Lincoln Electric Holdings Inc   1,782    460,629 
Littelfuse Inc   817    381,433 
Louisiana-Pacific Corp   2,052    156,732 
MasTec Inc*   1,986    751,443 
The Middleby Corp*   1,577    244,451 
Moog Inc   928    334,052 
MSA Safety Inc   1,245    206,421 
Mueller Industries Inc   3,693    474,920 
Novanta Inc*   1,158    184,504 
nVent Electric PLC   5,225    872,523 
Oshkosh Corp   2,135    277,550 
Owens Corning   2,661    334,807 
RBC Bearings Inc*   1,019    582,827 
Regal Rexnord Corp   2,214    446,697 
Ryder System Inc   1,288    323,095 
Saia Inc*   878    414,741 
Sensata Technologies Holding PLC   4,717    232,973 
Silgan Holdings Inc   2,879    108,135 
Simpson Manufacturing Co Inc   1,368    259,564 
Sonoco Products Co   3,238    157,626 
SPX Technologies Inc*   1,643    355,972 
StandardAero Inc*   6,338    181,520 
Sterling Infrastructure Inc*   1,000    860,840 
TD SYNNEX Corp   2,449    639,875 
Terex Corp   3,803    221,259 
Tetra Tech Inc   8,767    241,005 
Timken Co/The   2,081    266,326 
TopBuild Corp*   903    376,984 
The Toro Co   3,292    295,885 
Trex Co Inc*   3,473    143,782 
TTM Technologies Inc*   3,392    589,258 
UFP Industries Inc   1,954    158,274 
Universal Display Corp   1,431    131,824 
Valmont Industries Inc   658    342,035 
Vicor Corp*   742    248,451 
Vontier Corp   4,784    135,770 
Watts Water Technologies Inc   903    279,009 
Woodward Inc   1,942    679,758 

 

 

 

 

XPO Inc*   3,801    814,364 
Total Industrial        30,491,710 
           
Technology (11.30%)          
Allegro MicroSystems Inc*   4,135    197,942 
Amkor Technology Inc   3,682    256,120 
Appfolio Inc*   824    132,804 
Bentley Systems Inc   5,041    164,538 
BILL Holdings Inc*   3,103    114,873 
Blackbaud Inc*   681    20,900 
CACI International Inc*   715    367,160 
Cirrus Logic Inc*   1,712    290,954 
Commvault Systems Inc*   1,436    170,525 
Concentrix Corp   841    23,792 
Crane NXT Co   1,744    67,737 
DigitalOcean Holdings Inc*   2,631    410,304 
Docusign Inc*   6,741    354,037 
Doximity Inc*   4,662    99,767 
Dropbox Inc*   5,699    153,189 
Duolingo Inc*   1,340    149,222 
Dynatrace Inc*   9,745    415,040 
Entegris Inc   4,977    690,758 
Everpure Inc*   10,111    803,926 
ExlService Holdings Inc*   5,238    152,059 
Genpact Ltd   5,407    178,161 
Guidewire Software Inc*   2,849    434,957 
IPG Photonics Corp*   478    54,741 
KBR Inc   4,297    150,180 
Kyndryl Holdings Inc*   7,544    94,074 
Lattice Semiconductor Corp*   4,469    657,301 
MACOM Technology Solutions Holdings Inc*   2,107    768,296 
Manhattan Associates Inc*   1,955    293,348 
Maximus Inc   1,824    112,960 
MKS Inc   2,175    705,266 
Nutanix Inc*   8,769    456,602 
Okta Inc*   5,577    687,477 
Onto Innovation Inc*   1,617    417,574 
Parsons Corp*   1,674    98,933 
Pegasystems Inc   3,176    113,478 
Qualys Inc*   1,171    127,979 
Rambus Inc*   3,553    516,819 
Science Applications International Corp   1,490    155,258 
Silicon Laboratories Inc*   1,063    231,309 
SiTime Corp*   721    512,054 
Synaptics Inc*   1,265    173,659 
Twilio Inc*   4,910    936,042 
UiPath Inc*   13,907    162,990 
Total Technology        13,075,105 
           
Utilities (3.13%)          
Black Hills Corp   2,592    188,749 
Essential Utilities Inc   9,051    333,891 
IDACORP Inc   1,750    245,473 
National Fuel Gas Co   3,014    232,832 
New Jersey Resources Corp   3,297    182,159 
Northwestern Energy Group Inc   2,007    141,714 
OGE Energy Corp   6,719    317,338 
ONE Gas Inc   2,009    156,180 
Ormat Technologies Inc   2,058    282,419 
Portland General Electric Co   3,675    184,191 
Southwest Gas Holdings Inc   2,137    184,231 
Spire Inc   1,911    157,199 
Talen Energy Corp*   1,479    572,077 
TXNM Energy Inc   3,231    191,308 

 

 

 

 

UGI Corp   7,208    251,703 
Total Utilities        3,621,464 
           
Total Common Stock (Cost $68,993,252)        114,563,823 
           
United States Treasury Bills (0.95%)          
United States Treasury Bill, 0.000%, 03/19/26(a) (Cost $1.098.144)   1,100,000    1,098,113 
           
           
Total Investments (Cost $70,091,396) (99.98%)       $115,661,936 
Other Net Assets (0.02%)        25,137 
Net Assets (100.00%)       $115,687,073 

 

* Non-income producing security.

 

(a) A portion of these securities, a total of $199,657, have been pledged or segregated in connection with obligations for futures contracts.

 

Futures contracts at May 31, 2026: 

Contracts - $100 times premium / delivery month / commitment / exchange

 

S&P MidCap E-MINI  Notional Amount   Value   Unrealized
Appreciation
 
2 / JUN 2026 / Long / CME  $732,900   $746,400   $13,500 

 

 

 

 

S&P SMALLCAP INDEX FUND        
Portfolio of Investments        
May 31, 2026        
         
Security Description  Shares   Value 
Common Stock (98.33%)          
           
Basic Materials (4.23%)          
Arcosa Inc   1,364   $172,887 
Balchem Corp   900    141,057 
Celanese Corp   3,046    161,834 
Century Aluminum Co*   1,480    97,636 
The Chemours Co   4,170    92,407 
Eastman Chemical Co   3,174    240,811 
Element Solutions Inc   6,328    268,497 
FMC Corp   3,475    47,469 
Hawkins Inc   581    89,921 
HB Fuller Co   1,510    96,761 
Ingevity Corp*   1,000    67,820 
Innospec Inc   777    64,444 
Kaiser Aluminum Corp   446    81,190 
Koppers Holdings Inc   307    12,526 
Minerals Technologies Inc   866    66,699 
Quaker Chemical Corp   430    61,718 
Rogers Corp*   465    65,807 
Sensient Technologies Corp   1,181    134,457 
Stepan Co   674    35,621 
Sylvamo Corp   1,039    40,802 
Total Basic Materials        2,040,364 
           
           
Communications (6.13%)          
A10 Networks Inc   2,244    67,634 
Cable One Inc*   95    4,992 
Calix Inc*   1,677    66,661 
Cargurus Inc*   2,260    67,484 
Cogent Communications Holdings Inc   1,530    27,173 
ePlus Inc   727    59,679 
Etsy Inc*   2,746    186,508 
Extreme Networks Inc*   3,735    99,015 
Gogo Inc*   1,087    4,968 
Harmonic Inc*   3,523    53,233 
HealthStream Inc   469    11,711 
Iridium Communications Inc   2,919    151,146 
Liquidity Services Inc*   405    14,665 
Lumen Technologies Inc*   26,251    288,498 
Lyft Inc*   11,075    156,268 
Match Group Inc   6,567    237,266 
People Inc*   1,813    81,386 
Q2 Holdings Inc*   1,736    82,200 
QuinStreet Inc*   1,079    13,509 
Scholastic Corp   718    29,079 
Shenandoah Telecommunications Co   715    11,404 
Sphere Entertainment Co*   740    102,475 
Sprinklr Inc*   2,026    11,305 
Telephone and Data Systems Inc   2,734    106,927 
TripAdvisor Inc*   3,593    40,170 
Uniti Group Inc*   4,987    55,954 
Upwork Inc*   4,524    39,902 
Versant Media Group Inc   4,044    174,458 
Viasat Inc*   3,778    304,582 
Viavi Solutions Inc*   6,437    312,581 
Yelp Inc*   1,625    37,050 
Ziff Davis Inc*   1,240    55,887 
Total Communications        2,955,770 
           
Consumer, Cyclical (13.44%)          
Academy Sports & Outdoors Inc   1,855    97,944 

 

 

 

 

Acushnet Holdings Corp   767    68,094 
Adient PLC*   2,405    54,978 
Advance Auto Parts Inc   1,669    100,541 
Allegiant Travel Co*   609    55,774 
American Eagle Outfitters Inc   4,385    69,283 
Asbury Automotive Group Inc*   540    101,363 
BJ’s Restaurants Inc*   331    15,574 
Boot Barn Holdings Inc*   846    143,710 
Brinker International Inc*   1,211    172,422 
The Buckle Inc   945    43,347 
Caesars Entertainment Inc*   5,678    164,946 
Callaway Golf Co*   3,887    59,860 
CarMax Inc*   3,944    175,981 
Carter’s Inc   1,144    44,147 
Cavco Industries Inc*   215    115,352 
Central Garden & Pet Co*   1,601    54,642 
Century Communities Inc   842    44,474 
Champion Homes Inc*   1,538    113,243 
The Cheesecake Factory Inc   1,275    84,201 
Cinemark Holdings Inc   2,870    80,360 
Cracker Barrel Old Country Store Inc   414    14,001 
Dana Inc   3,124    110,621 
Dauch Corp*   2,295    15,239 
Dorman Products Inc*   773    95,790 
Dream Finders Homes Inc*   540    8,348 
Ethan Allen Interiors Inc   418    8,619 
Fox Factory Holding Corp*   787    14,197 
Freshpet Inc*   1,357    70,021 
Gentherm Inc*   848    29,417 
G-III Apparel Group Ltd   1,257    40,639 
Green Brick Partners Inc*   957    64,368 
Group 1 Automotive Inc   328    103,760 
HNI Corp   1,672    52,150 
Installed Building Products Inc   630    132,287 
Interface Inc   1,624    48,070 
JetBlue Airways Corp*   8,237    45,056 
Kohl’s Corp   3,522    50,576 
Kontoor Brands Inc   1,422    102,057 
La-Z-Boy Inc   1,294    48,629 
LCI Industries   673    73,370 
Leggett & Platt Inc   4,251    43,658 
LGI Homes Inc*   565    27,013 
Life Time Group Holdings Inc*   4,232    139,995 
LKQ Corp   7,121    193,122 
M/I Homes Inc*   727    95,688 
Madison Square Garden Sports Corp*   500    187,145 
MarineMax Inc*   339    11,675 
Marriott Vacations Worldwide Corp   850    72,148 
Meritage Homes Corp   1,858    121,216 
MillerKnoll Inc   2,095    33,897 
Monarch Casino & Resort Inc   380    45,699 
National Vision Holdings Inc*   2,489    41,691 
Newell Brands Inc   13,160    44,744 
OneSpaWorld Holdings Ltd   2,836    67,355 
OPENLANE Inc*   2,956    112,624 
Oxford Industries Inc   279    12,449 
Papa John’s International Inc   1,029    35,202 
Patrick Industries Inc   925    83,731 
PC Connection Inc   214    14,892 
Peloton Interactive Inc*   11,396    72,934 
Penn Entertainment Inc*   3,543    66,715 
Phinia Inc   1,054    81,432 
PriceSmart Inc   702    119,333 
Pursuit Attractions and Hospitality Inc*   598    26,772 
Red Rock Resorts Inc   1,350    78,813 
Resideo Technologies Inc*   3,831    119,795 
Rush Enterprises Inc   1,687    116,960 
Sabre Corp*   6,697    11,787 
Sally Beauty Holdings Inc*   2,698    35,829 

 

 

 

 

ScanSource Inc*   606    28,040 
Shake Shack Inc*   1,235    79,423 
Signet Jewelers Ltd   1,131    98,838 
Six Flags Entertainment Corp*   3,115    65,446 
SkyWest Inc*   1,115    95,500 
Sonic Automotive Inc   465    38,418 
Sonos Inc*   3,362    53,052 
Standard Motor Products Inc   766    30,020 
Steven Madden Ltd   2,021    87,792 
Under Armour Inc - Class A*   6,107    35,848 
Under Armour Inc - Class C*   1,929    11,053 
UniFirst Corp   403    106,964 
United Parks & Resorts Inc*   933    37,441 
Urban Outfitters Inc*   1,496    108,684 
Versigent PLC*   1,972    87,005 
Victoria’s Secret & Co*   2,233    122,815 
VSE Corp   801    148,305 
The Wendy’s Co   5,370    41,349 
Winnebago Industries Inc   442    13,123 
Wolverine World Wide Inc   2,573    45,156 
XPEL Inc*   828    37,856 
Total Consumer, Cyclical        6,473,893 
           
Consumer, Non-Cyclical (17.57%)          
ABM Industries Inc   1,630    63,668 
Acadia Healthcare Co Inc*   2,832    65,702 
ACADIA Pharmaceuticals Inc*   3,482    75,420 
AdaptHealth Corp*   3,607    36,539 
Addus HomeCare Corp*   572    52,441 
ADMA Biologics Inc*   7,471    59,619 
ADT Inc   15,950    107,025 
Alarm.com Holdings Inc*   1,387    62,568 
Alignment Healthcare Inc*   4,453    68,220 
Alkermes PLC*   4,593    193,779 
AMN Healthcare Services Inc*   1,068    30,940 
Amneal Pharmaceuticals Inc*   5,211    68,629 
Amphastar Pharmaceuticals Inc*   555    10,462 
The Andersons Inc   934    65,931 
ANI Pharmaceuticals Inc*   551    43,259 
Arcus Biosciences Inc*   2,383    60,385 
Arlo Technologies Inc*   3,253    43,395 
Artivion Inc*   1,321    29,313 
Astrana Health Inc*   1,354    50,937 
Avanos Medical Inc*   1,457    36,134 
Azenta Inc*   1,385    31,689 
BioLife Solutions Inc*   1,084    27,013 
Bright Horizons Family Solutions Inc*   1,573    98,501 
BrightSpring Health Services Inc*   3,682    227,104 
Cal-Maine Foods Inc   1,246    93,101 
Catalyst Pharmaceuticals Inc*   3,214    100,373 
Certara Inc*   2,099    12,216 
The Chefs’ Warehouse Inc*   1,007    77,076 
Collegium Pharmaceutical Inc*   1,069    35,929 
Concentra Group Holdings Parent Inc   3,319    82,544 
CONMED Corp   972    34,700 
Corcept Therapeutics Inc*   2,604    180,952 
CoreCivic Inc*   3,140    66,191 
CorVel Corp*   868    53,599 
Covista Inc*   960    113,088 
Cytek Biosciences Inc*   2,079    8,711 
Del Monte Corp*   1,034    33,233 
Deluxe Corp   1,412    34,297 
Edgewell Personal Care Co   1,466    25,684 
Embecta Corp   1,062    3,590 
Enovis Corp*   1,795    40,711 
EVERTEC Inc   2,008    49,136 
Fortrea Holdings Inc*   3,082    47,432 
The GEO Group Inc*   3,803    86,214 
Glaukos Corp*   1,597    165,050 

 

 

 

 

Grocery Outlet Holding Corp*   3,620    30,806 
Harmony Biosciences Holdings Inc*   1,220    38,540 
Healthcare Services Group Inc*   2,211    45,547 
Hertz Global Holdings Inc*   2,252    12,161 
ICU Medical Inc*   686    92,878 
Indivior Pharmaceuticals Inc*   3,473    125,097 
Innoviva Inc*   2,079    44,532 
Insperity Inc   1,199    41,330 
Inspire Medical Systems Inc*   878    36,314 
Integer Holdings Corp*   974    87,056 
Integra LifeSciences Holdings Corp*   1,302    20,884 
Interparfums Inc   573    54,074 
J & J Snack Foods Corp   477    36,309 
John B Sanfilippo & Son Inc   142    10,637 
John Wiley & Sons Inc   1,264    53,189 
Korn Ferry   1,452    101,611 
Krystal Biotech Inc*   717    221,575 
Lamb Weston Holdings Inc   3,863    166,804 
Laureate Education Inc*   3,730    119,323 
Legalzoom.com Inc*   1,821    11,454 
LeMaitre Vascular Inc   655    61,996 
Ligand Pharmaceuticals Inc*   547    126,882 
ManpowerGroup Inc   1,287    40,708 
MarketAxess Holdings Inc   1,034    134,461 
Matthews International Corp   488    12,952 
Merit Medical Systems Inc*   1,649    103,986 
Molina Healthcare Inc*   1,432    248,595 
Monro Inc   471    7,748 
National Beverage Corp*   651    24,080 
National HealthCare Corp   381    70,264 
Neogen Corp*   6,677    59,893 
NeoGenomics Inc*   4,062    42,732 
Simmons First National Corp   4,027    86,379 
The Simply Good Foods Co*   2,673    30,793 
Omnicell Inc*   1,408    62,149 
Organon & Co   7,232    96,475 
Pacira BioSciences Inc*   1,290    29,954 
Payoneer Global Inc*   8,032    41,766 
Pediatrix Medical Group Inc*   2,642    56,909 
Perdoceo Education Corp   1,992    64,501 
Perrigo Co PLC   3,828    42,299 
Phibro Animal Health Corp   691    21,276 
Prestige Consumer Healthcare Inc*   1,316    62,549 
Privia Health Group Inc*   3,216    69,176 
PROG Holdings Inc   1,241    45,632 
Progyny Inc*   2,230    56,999 
Protagonist Therapeutics Inc*   1,634    162,681 
PTC Therapeutics Inc*   2,233    164,907 
Quanex Building Products Corp   1,564    29,106 
QuidelOrtho Corp*   1,043    13,580 
RadNet Inc*   1,937    107,562 
Remitly Global Inc*   4,768    95,455 
Reynolds Consumer Products Inc   1,856    40,220 
Robert Half Inc   2,764    81,372 
Sarepta Therapeutics Inc*   3,313    59,203 
Select Medical Holdings Corp   3,459    57,074 
Sezzle Inc*   475    56,121 
STAAR Surgical Co*   1,561    46,658 
Strategic Education Inc   729    55,951 
Stride Inc*   1,169    107,992 
Supernus Pharmaceuticals Inc*   1,595    73,657 
Tandem Diabetes Care Inc*   2,081    35,793 
Teleflex Inc   1,229    158,099 
TG Therapeutics Inc*   3,782    143,489 
Tootsie Roll Industries Inc   687    25,907 
TransMedics Group Inc*   1,049    70,493 
UFP Technologies Inc*   242    53,264 
United Natural Foods Inc*   1,695    87,038 
Universal Corp   782    40,562 

 

 

 

 

Universal Technical Institute Inc*   1,408    52,673 
Upbound Group Inc   1,636    31,428 
US Physical Therapy Inc   477    30,652 
Veracyte Inc*   2,199    101,902 
Vericel Corp*   1,552    51,728 
Verra Mobility Corp*   5,009    22,591 
Vestis Corp*   3,120    40,310 
Vir Biotechnology Inc*   3,582    34,172 
The Vita Coco Co Inc*   1,219    91,583 
Vital Farms Inc*   634    6,346 
WD-40 Co   375    74,989 
WillScot Holdings Corp   5,061    130,220 
Xencor Inc*   2,241    26,623 
Total Consumer, Non-Cyclical        8,465,176 
           
Energy (6.33%)          
Alpha Metallurgical Resources Inc*   300    59,691 
Archrock Inc   4,878    163,364 
Atlas Energy Solutions Inc   2,364    39,455 
Bristow Group Inc   772    32,146 
California Resources Corp   2,185    129,549 
Comstock Resources Inc*   2,582    34,418 
Core Laboratories Inc   793    10,840 
Core Natural Resources Inc   1,425    126,027 
Crescent Energy Co   6,761    78,157 
CVR Energy Inc   1,024    34,017 
DNOW Inc*   5,165    66,060 
Enphase Energy Inc*   3,640    248,830 
Helix Energy Solutions Group Inc*   4,294    40,149 
Helmerich & Payne Inc   2,777    105,943 
Innovex International Inc*   1,307    34,910 
Kinetik Holdings Inc   1,264    58,081 
Kodiak Gas Services Inc   2,191    146,468 
Liberty Energy Inc   4,508    131,904 
Magnolia Oil & Gas Corp   5,032    137,676 
Noble Corp PLC   3,498    162,587 
Northern Oil & Gas Inc   2,902    63,177 
Oceaneering International Inc*   2,775    106,088 
Par Pacific Holdings Inc*   1,399    78,568 
Patterson-UTI Energy Inc   9,609    107,717 
Peabody Energy Corp   3,382    91,483 
REX American Resources Corp*   889    41,570 
SM Energy Co   6,297    193,381 
SolarEdge Technologies Inc*   1,663    126,970 
Sunrun Inc*   6,455    107,928 
Talos Energy Inc*   3,949    57,932 
Tidewater Inc*   1,282    94,214 
Warrior Met Coal Inc   1,462    138,217 
Total Energy        3,047,517 
           
Financial (22.84%)          
Banks (6.95%)          
Ameris Bancorp   1,786    150,578 
Atlantic Union Bankshares Corp   3,944    148,373 
BancFirst Corp   578    63,748 
The Bancorp Inc*   1,178    64,978 
Bank of Hawaii Corp   1,106    84,720 
BankUnited Inc   2,062    95,656 
Banner Corp   948    61,620 
Cathay General Bancorp   1,869    107,767 
Central Pacific Financial Corp   809    27,797 
City Holding Co   452    56,188 
Community Financial System Inc   1,465    93,233 
Customers Bancorp Inc*   976    73,337 
CVB Financial Corp   4,000    81,440 
Dime Commercial Bancshares Inc   1,423    53,249 
Eagle Bancorp Inc   433    11,817 
FB Financial Corp   1,239    65,283 
First BanCorp   4,328    103,785 

 

 

 

 

First Bancorp/Southern Pines NC   1,153    67,831 
First Commonwealth Financial Corp   3,217    60,930 
First Financial Bancorp   2,878    88,527 
First Hawaiian Inc   3,413    92,083 
First Interstate BancSystem Inc   2,447    87,113 
Fulton Financial Corp   5,326    115,521 
Hanmi Financial Corp   930    28,012 
Heritage Financial Corp   1,300    35,425 
Hilltop Holdings Inc   1,308    49,338 
Hope Bancorp Inc   4,024    50,461 
Independent Bank Corp   1,379    109,051 
Lakeland Financial Corp   791    47,958 
National Bank Holdings Corp   1,406    58,813 
NBT Bancorp Inc   1,455    67,279 
OFG Bancorp   1,358    61,870 
Park National Corp   466    79,947 
Pathward Financial Inc   683    56,170 
Preferred Bank/Los Angeles CA   355    34,016 
Renasant Corp   2,632    107,175 
S&T Bancorp Inc   1,174    52,936 
Seacoast Banking Corp of Florida   2,946    89,293 
ServisFirst Bancshares Inc   1,398    109,030 
Southside Bancshares Inc   877    28,731 
Stellar Bancorp Inc   1,434    53,546 
Tompkins Financial Corp   396    34,115 
Triumph Financial Inc*   709    50,516 
TrustCo Bank Corp NY   283    14,662 
Trustmark Corp   1,641    72,467 
United Community Banks Inc   3,355    110,547 
Walker & Dunlop Inc   1,045    52,449 
Westamerica BanCorp   755    41,895 
         3,351,276 
Diversified Financial Service (4.00%)          
Acadian Asset Management Inc   811    58,643 
Artisan Partners Asset Management Inc   1,960    73,382 
BGC Group Inc   10,103    105,576 
Bread Financial Holdings Inc   1,226    109,200 
Cohen & Steers Inc   864    60,307 
Enact Holdings Inc   886    37,026 
Encore Capital Group Inc*   700    55,951 
Enova International Inc*   687    110,957 
EZCORP Inc*   1,633    51,015 
Moelis & Co   2,058    138,483 
Navient Corp   1,307    11,188 
Piper Sandler Cos   1,880    147,411 
PJT Partners Inc   676    103,360 
PRA Group Inc*   1,085    16,557 
Radian Group Inc   3,769    128,711 
StepStone Group Inc   2,167    106,855 
StoneX Group Inc*   1,948    220,806 
Victory Capital Holdings Inc   1,320    111,606 
Virtu Financial Inc   2,220    111,333 
Virtus Investment Partners Inc   199    28,463 
Western Union Co   8,842    71,885 
WisdomTree Inc   3,606    68,694 
         1,927,409 
Insurance (2.51%)          
AMERISAFE Inc   353    10,819 
Assured Guaranty Ltd   1,205    89,423 
Employers Holdings Inc   765    33,278 
Genworth Financial Inc*   11,110    95,102 
Goosehead Insurance Inc*   764    26,274 
HCI Group Inc   329    50,689 
Horace Mann Educators Corp   1,249    57,117 
Jackson Financial Inc   1,970    203,127 
Lincoln National Corp   4,702    165,934 
Mercury General Corp   739    72,444 
NMI Holdings Inc*   2,115    75,929 
Palomar Holdings Inc*   737    78,888 

 

 

 

 

ProAssurance Corp*   1,614    38,720 
Safety Insurance Group Inc   467    32,769 
SiriusPoint Ltd*   2,892    61,744 
Stewart Information Services Corp   950    61,731 
Trupanion Inc*   1,062    23,173 
United Fire Group Inc   744    32,982 
         1,210,143 
Investment Companies (0.89%)          
Cleanspark Inc*   7,115    130,133 
HA Sustainable Infrastructure Capital Inc   3,551    145,591 
MARA Holdings Inc*   10,521    151,292 
         427,016 
Real Estate (7.18%)          
Acadia Realty Trust   3,645    80,263 
Adamas Trust Inc   1,432    13,174 
AGNT Inc   1,651    8,123 
American Assets Trust Inc   1,486    34,624 
Apollo Commercial Real Estate Finance Inc   4,119    45,144 
Apple Hospitality REIT Inc   6,120    89,903 
Arbor Realty Trust Inc   6,144    35,328 
ARMOUR Residential REIT Inc   2,976    51,038 
Blackstone Mortgage Trust Inc   4,412    80,651 
Broadstone Net Lease Inc   5,264    106,491 
Centerspace   524    35,360 
Curbline Properties Corp   2,696    78,534 
Cushman & Wakefield Ltd*   6,443    80,151 
DiamondRock Hospitality Co   5,667    62,280 
Douglas Emmett Inc   5,257    61,191 
Easterly Government Properties Inc   1,500    35,970 
Ellington Financial Inc   3,507    47,590 
Essential Properties Realty Trust Inc   5,838    178,526 
Four Corners Property Trust Inc   3,053    76,020 
Franklin BSP Realty Trust Inc   1,558    13,508 
Getty Realty Corp   1,531    49,803 
Global Net Lease Inc   5,985    56,079 
Highwoods Properties Inc   3,058    79,814 
Innovative Industrial Properties Inc   879    50,973 
JBG SMITH Properties   2,014    29,545 
Kennedy-Wilson Holdings Inc   3,766    41,464 
LTC Properties Inc   1,494    55,891 
LXP Industrial Trust   1,643    84,845 
The Macerich Co   7,659    172,481 
Marcus & Millichap Inc   439    12,397 
Medical Properties Trust Inc   13,721    70,114 
Millrose Properties Inc   4,289    121,036 
NexPoint Residential Trust Inc   342    9,939 
Outfront Media Inc   4,047    130,475 
Pebblebrook Hotel Trust   3,160    48,190 
PennyMac Mortgage Investment Trust   2,731    28,566 
Phillips Edison & Co Inc   3,499    140,485 
Redwood Trust Inc   1,953    10,585 
Rithm Capital Corp   15,464    144,124 
Ryman Hospitality Properties Inc   1,752    201,708 
Safehold Inc   640    9,581 
SL Green Realty Corp   1,979    89,847 
The St Joe Co   1,108    70,502 
Sunstone Hotel Investors Inc   5,961    64,498 
Tanger Inc   3,202    115,496 
Terreno Realty Corp   2,898    190,370 
Two Harbors Investment Corp   3,290    40,566 
Urban Edge Properties   3,504    78,630 
Xenia Hotels & Resorts Inc   2,637    45,805 
         3,457,678 
Savings&Loans (1.31%)          
Axos Financial Inc*   1,576    136,970 
Banc of California Inc   3,734    71,767 
Beacon Financial Corp   2,331    67,809 
Capitol Federal Financial Inc   3,750    29,138 
Northwest Bancshares Inc   4,485    63,463 

 

 

 

 

Provident Financial Services Inc   3,633    80,616 
WaFd Inc   2,110    75,032 
WSFS Financial Corp   1,485    106,103 
         630,898 
           
Total Financial        11,004,420 
           
Industrial (16.50%)          
AAR Corp*   1,086    122,305 
Alamo Group Inc   338    50,940 
Albany International Corp   798    51,623 
Apogee Enterprises Inc   337    12,944 
ArcBest Corp   621    84,884 
Argan Inc   385    256,803 
Armstrong World Industries Inc   1,199    189,322 
Astec Industries Inc   718    36,158 
Atmus Filtration Technologies Inc   2,267    106,050 
AZZ Inc   830    112,473 
Badger Meter Inc   819    101,474 
Benchmark Electronics Inc   992    83,784 
Boise Cascade Co   1,030    71,812 
Brady Corp   1,214    104,501 
Cactus Inc   1,915    111,147 
Casella Waste Systems Inc*   1,738    142,811 
CSW Industrials Inc   458    126,852 
CTS Corp   808    51,882 
Dorian LPG Ltd   1,154    46,414 
DXP Enterprises Inc*   389    56,428 
Energizer Holdings Inc   1,982    36,112 
Enerpac Tool Group Corp   1,656    55,459 
Enpro Inc   586    179,896 
ESCO Technologies Inc   720    210,168 
Everus Construction Group Inc*   1,419    211,105 
Federal Signal Corp   1,691    180,430 
Forward Air Corp*   373    3,946 
Franklin Electric Co Inc   1,064    104,676 
Frontdoor Inc*   2,006    124,512 
Gates Industrial Corp PLC*   7,062    183,047 
Gibraltar Industries Inc*   1,002    38,727 
Granite Construction Inc   1,210    165,576 
The Greenbrier Cos Inc   859    40,467 
Griffon Corp   1,088    95,722 
Hayward Holdings Inc*   5,550    78,311 
Hub Group Inc   1,685    69,995 
Ichor Holdings Ltd*   957    68,445 
Insteel Industries Inc   329    9,044 
International Seaways Inc   1,126    86,916 
Itron Inc*   1,274    105,080 
JBT Marel Corp   1,445    194,194 
Kadant Inc   327    104,372 
Kennametal Inc   2,119    69,503 
Knowles Corp*   2,362    88,362 
Lindsay Corp   328    35,847 
Marten Transport Ltd   1,610    27,756 
Masterbrand Inc*   5,154    44,738 
Materion Corp   576    126,743 
Matson Inc   867    157,187 
Mercury Systems Inc*   1,469    164,087 
Metallus Inc*   610    11,987 
Mirion Technologies Inc*   6,806    124,414 
Mohawk Industries Inc*   1,444    155,114 
Mueller Water Products Inc   4,350    109,664 
MYR Group Inc*   431    200,441 
O-I Glass Inc*   4,783    41,851 
OSI Systems Inc*   430    93,203 
Plexus Corp*   745    199,928 
Powell Industries Inc   790    224,692 
Primoris Services Corp   1,503    189,047 
Proto Labs Inc*   658    49,850 

 

 

 

 

Ralliant Corp   3,138    194,148 
RXO Inc*   4,567    116,824 
Sanmina Corp*   1,519    394,530 
Schneider National Inc   1,564    55,272 
Standex International Corp   337    93,352 
Tennant Co   556    47,877 
Trinity Industries Inc   2,230    72,341 
Vishay Intertechnology Inc   3,435    178,792 
Werner Enterprises Inc   1,837    76,254 
World Kinect Corp   1,744    50,245 
Worthington Enterprises Inc   979    55,578 
Worthington Steel Inc   904    38,140 
Zurn Elkay Water Solutions Corp   4,129    194,063 
         7,948,637 
           
Technology (9.16%)          
ACI Worldwide Inc*   2,867    125,202 
ACM Research Inc*   1,482    128,282 
Adeia Inc   3,046    81,389 
Agilysys Inc*   709    61,371 
Alpha & Omega Semiconductor Ltd*   758    34,375 
Amentum Holdings Inc*   4,275    99,308 
Axcelis Technologies Inc*   854    128,450 
BlackLine Inc*   1,390    40,866 
Box Inc*   3,984    107,409 
Clear Secure Inc   2,466    136,740 
Cohu Inc*   1,433    75,591 
Diebold Nixdorf Inc*   978    79,355 
Digi International Inc*   1,046    69,873 
Diodes Inc*   1,276    134,388 
Donnelley Financial Solutions Inc*   833    33,062 
DoubleVerify Holdings Inc*   4,197    40,711 
DXC Technology Co*   5,329    52,810 
FormFactor Inc*   2,156    268,616 
Grid Dynamics Holdings Inc*   1,211    8,719 
Impinj Inc*   748    112,948 
Insight Enterprises Inc*   862    91,700 
Kulicke & Soffa Industries Inc   1,455    148,250 
Life360 Inc*   2,181    92,671 
LiveRamp Holdings Inc*   1,756    65,955 
MaxLinear Inc*   2,260    210,022 
N-able Inc*   1,374    5,084 
NCR Atleos Corp*   2,056    91,698 
NCR Voyix Corp*   4,348    31,262 
NetScout Systems Inc*   1,908    79,411 
Paycom Software Inc   1,359    189,812 
PDF Solutions Inc*   1,090    53,225 
Penguin Solutions Inc*   1,330    74,254 
Photronics Inc*   1,643    53,151 
Pitney Bowes Inc   4,544    73,158 
Power Integrations Inc   1,544    129,696 
Progress Software Corp*   1,322    43,401 
Qorvo Inc*   2,346    242,952 
RingCentral Inc   2,109    91,341 
Schrodinger Inc*   1,052    15,990 
Semtech Corp*   2,574    392,638 
SPS Commerce Inc*   1,049    59,531 
Teradata Corp*   2,592    88,258 
Ultra Clean Holdings Inc*   1,262    107,989 
Veeco Instruments Inc*   1,677    96,662 
Waystar Holding Corp*   3,193    63,573 
Total Technology        4,411,149 
           
Utilities (2.13%)          
American States Water Co   1,077    83,220 
Avista Corp   2,263    93,847 
California Water Service Group   1,657    74,731 
Chesapeake Utilities Corp   657    81,021 
Clearway Energy Inc   3,323    136,775 

 

 

 

 

H2O America   1,162    67,198 
Hawaiian Electric Industries Inc*   5,299    70,477 
MDU Resources Group Inc   5,686    119,861 
MGE Energy Inc   1,016    76,708 
Middlesex Water Co   562    29,522 
Northwest Natural Holding Co   1,303    63,182 
Otter Tail Corp   1,165    100,959 
Unitil Corp   603    30,168 
Total Utilities        1,027,669 
           
Total Common Stock (Cost $32,398,578)        47,374,595 
           
United States Treasury Bills (1.66%)          
United States Treasury Bill, 0.000%, 03/19/26(a) (Cost $798,642)   800,000    798,628 
           
Right (0.00%)          
OmniAb Inc - 15*,(b)   401     
OmniAb Inc - 12.5*,(b)   401     
Total Right (Cost $0)         
           
Total Investments (Cost $33,197,219) (99.99%)       $48,173,223 
Other Net Assets (0.01%)        6,074 
Net Assets (100.00%)       $48,179,297 

 

* Non-income producing security.

 

(a) A portion of these securities, a total of $99,829, have been pledged or segregated in connection with obligations for futures contracts.

 

(b) Level 3 security fair valued under procedures established by the Board of Trustees, represents 0% of net assets. The total value of the fair value securities is $0.

 

Futures contracts at May 31, 2026: 

Contracts - $50 times premium / delivery month / commitment / exchange

 

Russell 2000 E-MINI  Notional Amount   Value   Unrealized
Appreciation
 
5 / JUN 2026 / Long / CME  $700,315   $731,075   $30,760 

 

 

 

 

SHELTON EQUITY INCOME FUND        
Portfolio of Investments        
May 31, 2026        
         
Security Description  Shares   Value 
Common Stock (89.72%)          
           
Basic Materials (1.78%)          
CF Industries Holdings Inc(a)   75,700   $8,504,895 
Linde PLC(a)   23,500    11,695,715 
Total Basic Materials        20,200,610 
           
Communications (16.31%)          
Alphabet Inc(a)   85,900    32,671,206 
Amazon.com Inc*,(a)   88,300    23,897,512 
Arista Networks Inc*,(a)   110,400    17,605,488 
AT&T Inc(a)   144,400    3,581,120 
Booking Holdings Inc(a)   40,000    6,697,200 
Cisco Systems Inc(a)   102,100    12,294,882 
Comcast Corp(a)   435,400    10,828,398 
eBay Inc(a)   55,300    6,042,631 
Meta Platforms Inc(a)   54,600    34,535,046 
Netflix Inc*,(a)   112,900    9,711,658 
T-Mobile US Inc(a)   7,700    1,443,981 
Verizon Communications Inc   165,900    7,931,679 
The Walt Disney Co(a)   179,800    18,309,034 
Total Communications        185,549,835 
           
Consumer, Cyclical (9.46%)          
Amerityre Corp*,#   20,000,000    768,800 
Chipotle Mexican Grill Inc*,(a)   154,000    4,906,440 
Cummins Inc(a)   20,000    12,932,600 
Deckers Outdoor Corp*   29,400    3,347,190 
DR Horton Inc(a)   33,000    4,853,970 
Fastenal Co(a)   61,400    2,713,880 
General Motors Co(a)   112,200    9,339,528 
Hilton Worldwide Holdings Inc(a)   24,700    8,093,202 
The Home Depot Inc(a)   29,500    9,355,630 
O’Reilly Automotive Inc*,(a)   61,000    5,299,680 
Target Corp(a)   59,200    7,522,544 
Tesla Inc*,(a)   19,400    8,454,326 
The TJX Cos Inc(a)   76,400    11,822,900 
Ulta Beauty Inc*,(a)   12,900    6,564,165 
Walmart Inc(a)   101,000    11,690,750 
Total Consumer, Cyclical        107,665,605 
           
Consumer, Non-Cyclical (11.36%)          
Bristol-Myers Squibb Co(a)   236,200    13,505,916 
Centene Corp*,(a)   130,600    7,783,760 
The Coca-Cola Co(a)   100,900    7,972,109 
CVS Health Corp(a)   74,100    6,741,618 
Eli Lilly & Co(a)   13,700    15,138,500 
The Hershey Co(a)   18,700    3,628,361 
Intuitive Surgical Inc*,(a)   27,200    11,550,208 
Johnson & Johnson(a)   71,900    16,201,227 
Merck & Co Inc(a)   131,300    15,587,936 
Monster Beverage Corp*,(a)   113,300    9,979,464 
PayPal Holdings Inc(a)   113,300    5,070,175 
The Procter & Gamble Co(a)   55,500    7,967,580 
Thermo Fisher Scientific Inc(a)   4,500    2,216,295 
UnitedHealth Group Inc(a)   15,600    5,932,836 
Total Consumer, Non-Cyclical        129,275,985 
           
Energy (3.03%)          
Chevron Corp(a)   55,900    10,199,514 
ConocoPhillips(a)   72,800    8,297,744 
ExxonMobil Holdings Corp(a)   77,200    11,214,072 
Halliburton Co(a)   124,000    4,817,400 
Total Energy        34,528,730 
           
Financial (11.78%)          
Banks (5.39%)          
Bank of America Corp(a)   202,400    10,443,840 

 

 

 

 

Citigroup Inc(a)   111,200    14,000,080 
The Goldman Sachs Group Inc(a)   25,000    25,639,000 
JPMorgan Chase & Co(a)   37,400    11,194,194 
         61,277,114 
Diversified Financial Service (2.37%)          
American Express Co(a)   36,300    11,487,861 
Mastercard Inc(a)   31,200    15,412,176 
         26,900,037 
Insurance (2.39%)          
Berkshire Hathaway Inc*,(a)   23,900    11,340,072 
The Travelers Cos Inc(a)   54,500    15,908,005 
         27,248,077 
           
Real Estate (1.63%)          
CBRE Group Inc*,(a)   95,900    11,991,336 
Iron Mountain Inc(a)   51,300    6,579,225 
         18,570,561 
           
Total Financial        133,995,789 
           
Industrial (6.60%)          
Amphenol Corp(a)   41,900    6,233,044 
Caterpillar Inc(a)   22,700    19,882,249 
General Dynamics Corp(a)   19,600    6,797,672 
Norfolk Southern Corp(a)   39,400    12,015,424 
RTX Corp(a)   60,400    10,851,464 
Trane Technologies PLC(a)   42,800    19,315,640 
Total Industrial        75,095,493 
           
Technology (27.28%)          
Accenture PLC(a)   35,300    6,603,571 
Adobe Inc*,(a)   15,100    3,914,071 
Advanced Micro Devices Inc*,(a)   48,400    24,979,240 
Apple Inc(a)   106,500    33,234,390 
Applied Materials Inc(a)   11,000    4,950,660 
Broadcom Inc(a)   62,200    27,789,094 
Cadence Design Systems Inc*,(a)   17,900    6,711,247 
Dell Technologies Inc(a)   20,000    8,418,200 
Fortinet Inc*,(a)   35,100    4,842,747 
Gartner Inc*,(a)   7,900    1,281,380 
International Business Machines Corp(a)   37,800    11,256,840 
Intuit Inc(a)   12,100    4,011,513 
Lam Research Corp(a)   64,400    20,490,792 
Leidos Holdings Inc(a)   26,400    3,373,920 
Micron Technology Inc(a)   34,600    33,596,600 
Microsoft Corp(a)   74,200    33,407,808 
MSCI Inc(a)   8,400    5,303,592 
NetApp Inc(a)   137,500    23,964,875 
NVIDIA Corp(a)   151,200    31,924,368 
Oracle Corp(a)   22,700    5,125,206 
Salesforce Inc(a)   58,200    11,122,020 
ServiceNow Inc*,(a)   33,000    4,104,210 
Total Technology        310,406,344 
           
Utilities (2.12%)          
Duke Energy Corp(a)   124,900    15,328,977 
Vistra Corp(a)   54,700    8,764,581 
Total Utilities        24,093,558 
           
Total Common Stock (Cost $984,933,552)        1,020,811,949 
           
Exchange-Traded Funds (4.88%)          
Shelton Equity Premium Income ETF (Cost $51,157,635)   1,972,250    55,558,283 
           
United States Treasury Bills (5.47%)          
United States Treasury Bill, 0.000%, 03/19/26 (Cost $62,195,047)   62,300,000    62,193,134 
           
Total Investments (Cost $1,098,286,233) (100.07%)       $1,138,563,366 
Liabilities in Excess of Other Assets (-0.07%)        (744,640)
Net Assets (100.00%)       $1,137,818,726 

 

* Non-income producing security. 

# Security is illiquid. Aggregate value of illiquid securities is $768,800. 

(a) A portion of these securities, a total of $1,020,043,149, have been pledged or segregated in connection with obligations for futures contracts.

 

 

 

 

Written Call Options  Expiration Date  Contracts   Strike Price   Notional Amount   Value 
Accenture PLC  06/18/2026   (60)  $190.00   $1,140,000   $(59,700)
Adobe Inc  06/18/2026   (30)   260.00    780,000    (46,500)
Advanced Micro Devices Inc  06/18/2026   (55)   570.00    3,135,000    (86,900)
Alphabet Inc  06/18/2026   (270)   405.00    10,935,000    (82,350)
Amazon.com Inc  06/18/2026   (400)   280.00    11,200,000    (160,800)
American Express Co  06/18/2026   (130)   325.00    4,225,000    (75,400)
Amphenol Corp  06/18/2026   (125)   155.00    1,937,500    (63,750)
Apple Inc  06/18/2026   (530)   320.00    16,960,000    (177,550)
Arista Networks Inc  06/18/2026   (270)   170.00    4,590,000    (118,800)
AT&T Inc  07/17/2026   (500)   26.00    1,300,000    (19,500)
Bank of America Corp  06/18/2026   (1,300)   53.00    6,890,000    (78,000)
Berkshire Hathaway Inc  06/18/2026   (200)   490.00    9,800,000    (42,600)
Booking Holdings Inc  06/18/2026   (110)   177.00    1,947,000    (26,675)
Bristol-Myers Squibb Co  06/18/2026   (1,200)   60.00    7,200,000    (55,200)
Broadcom Inc  06/18/2026   (50)   460.00    2,300,000    (110,900)
Cadence Design Systems Inc  06/18/2026   (45)   395.00    1,777,500    (38,250)
Caterpillar Inc  06/18/2026   (80)   950.00    7,600,000    (59,200)
CBRE Group Inc  06/18/2026   (400)   135.00    5,400,000    (35,600)
Centene Corp  06/18/2026   (600)   62.50    3,750,000    (57,600)
CF Industries Holdings Inc  06/18/2026   (170)   125.00    2,125,000    (22,270)
Chevron Corp  06/18/2026   (200)   190.00    3,800,000    (36,800)
Chipotle Mexican Grill Inc  06/18/2026   (560)   35.00    1,960,000    (14,000)
Cisco Systems Inc  06/18/2026   (450)   125.00    5,625,000    (107,550)
Citigroup Inc  06/18/2026   (500)   130.00    6,500,000    (95,500)
Th eCoca-Cola Co  06/18/2026   (135)   82.50    1,113,750    (3,240)
Comcast Corp  06/18/2026   (1,500)   29.00    4,350,000    (9,000)
ConocoPhillips  06/18/2026   (280)   122.00    3,416,000    (27,160)
Cummins Inc  06/18/2026   (45)   700.00    3,150,000    (29,115)
CVS Health Corp  06/18/2026   (275)   97.00    2,667,500    (15,400)
Deckers Outdoor Corp  06/18/2026   (70)   130.00    910,000    (3,150)
DR Horton Inc  06/18/2026   (85)   155.00    1,317,500    (27,030)
Duke Energy Corp  07/17/2026   (700)   130.00    9,100,000    (63,000)
eBay Inc  06/18/2026   (200)   115.00    2,300,000    (30,400)
Eli Lilly & Co  06/18/2026   (60)   1,180.00    7,080,000    (59,700)
Exxon Mobil Corp  06/18/2026   (300)   155.00    4,650,000    (35,100)
Fastenal Co  07/17/2026   (300)   47.50    1,425,000    (27,000)
Fortinet Inc  06/18/2026   (185)   135.00    2,497,500    (121,175)
Gartner Inc  06/18/2026   (25)   175.00    437,500    (10,750)
General Dynamics Corp  07/17/2026   (110)   350.00    3,850,000    (115,610)
General Motors Co  06/18/2026   (380)   90.00    3,420,000    (31,920)
The Goldman Sachs Group Inc  06/18/2026   (22)   960.00    2,112,000    (151,316)
Halliburton Co  06/18/2026   (380)   42.00    1,596,000    (12,920)
The Hershey Co  06/18/2026   (50)   210.00    1,050,000    (3,500)
Hilton Worldwide Holdings Inc  06/18/2026   (220)   350.00    7,700,000    (53,900)
The Home Depot Inc  06/18/2026   (115)   330.00    3,795,000    (43,700)
International Business Machines Corp  06/18/2026   (100)   270.00    2,700,000    (328,500)
Intuit Inc  06/18/2026   (25)   330.00    825,000    (42,250)
Intuitive Surgical Inc  06/18/2026   (100)   435.00    4,350,000    (85,000)
Iron Mountain Inc  06/18/2026   (480)   135.00    6,480,000    (60,960)
Johnson & Johnson  06/18/2026   (187)   240.00    4,488,000    (13,651)
JPMorgan Chase & Co  06/18/2026   (180)   305.00    5,490,000    (81,900)
Lam Research Corp  06/18/2026   (100)   345.00    3,450,000    (100,000)
Leidos Holdings Inc  06/18/2026   (150)   140.00    2,100,000    (14,550)
Linde PLC  06/18/2026   (170)   530.00    9,010,000    (22,440)
Mastercard Inc  06/18/2026   (150)   515.00    7,725,000    (75,750)
Merck & Co Inc  06/18/2026   (450)   125.00    5,625,000    (45,000)
Meta Platforms Inc  06/18/2026   (160)   715.00    11,440,000    (40,320)
Micron Technology Inc  06/18/2026   (40)   1,060.00    4,240,000    (230,720)
Microsoft Corp  06/18/2026   (250)   440.00    11,000,000    (471,750)
Monster Beverage Corp  06/18/2026   (550)   90.00    4,950,000    (70,950)
MSCI Inc  06/18/2026   (60)   630.00    3,780,000    (117,180)
NetApp Inc  06/18/2026   (400)   120.00    4,800,000    (2,374,000)

 

 

 

 

Netflix Inc  06/18/2026   (420)   92.00    3,864,000    (33,180)
Norfolk Southern Corp  06/18/2026   (44)   320.00    1,408,000    (13,200)
NVIDIA Corp  06/18/2026   (310)   230.00    7,130,000    (75,950)
Oracle Corp  06/18/2026   (35)   230.00    805,000    (59,500)
O’Reilly Automotive Inc  06/18/2026   (150)   90.00    1,350,000    (16,500)
PayPal Holdings Inc  06/18/2026   (270)   45.00    1,215,000    (32,400)
The Procter & Gamble Co  06/18/2026   (310)   150.00    4,650,000    (28,520)
RTX Corp  06/18/2026   (260)   185.00    4,810,000    (54,600)
Salesforce Inc  06/18/2026   (140)   200.00    2,800,000    (70,000)
ServiceNow Inc  06/18/2026   (70)   115.00    805,000    (92,470)
Target Corp  06/18/2026   (300)   135.00    4,050,000    (42,000)
Tesla Inc  06/18/2026   (50)   460.00    2,300,000    (44,250)
Thermo Fisher Scientific Inc  06/18/2026   (15)   470.00    705,000    (45,750)
The TJX Cos Inc  06/18/2026   (275)   160.00    4,400,000    (36,300)
T-Mobile US Inc  06/18/2026   (35)   200.00    700,000    (5,075)
Trane Technologies PLC  06/18/2026   (71)   490.00    3,479,000    (17,040)
The Travelers Cos Inc  06/18/2026   (420)   310.00    13,020,000    (38,640)
Ulta Beauty Inc  06/18/2026   (25)   550.00    1,375,000    (34,500)
UnitedHealth Group Inc  06/18/2026   (50)   395.00    1,975,000    (19,150)
Verizon Communications Inc  07/17/2026   (700)   50.00    3,500,000    (51,100)
Vistra Corp  06/18/2026   (230)   175.00    4,025,000    (64,400)
Walmart Inc  06/18/2026   (100)   140.00    1,400,000    (800)
The Walt Disney Co  06/18/2026   (400)   110.00    4,400,000    (15,600)
Total Written Call Options               $357,433,750   $(7,611,327)
(Premiums Received $6,264,121)                       

 

 

 

 

NASDAQ 100 INDEX FUND        
Portfolio of Investments        
May 31, 2026        
         
Security Description  Shares   Value 
Common Stock (99.21%)          
           
Basic Materials (1.00%)          
Linde PLC   47,754   $23,766,688 
           
Communications (23.92%)          
Internet (20.02%)          
Airbnb Inc*   43,650    5,818,982 
Alphabet Inc - Class C   202,993    76,412,655 
Alphabet Inc _ Class A   217,327    82,658,151 
Amazon.com Inc*   400,720    108,450,860 
AppLovin Corp*   31,644    19,400,620 
Booking Holdings Inc   82,153    13,754,877 
DoorDash Inc*   42,534    6,775,241 
MercadoLibre Inc*   5,259    8,917,423 
Meta Platforms Inc   110,095    69,636,188 
Netflix Inc*   435,105    37,427,732 
Palo Alto Networks Inc*   84,091    23,687,594 
PDD Holdings Inc*   69,774    5,891,717 
Shopify Inc*   127,201    15,100,031 
         473,932,071 
           
Media (0.93%)          
Charter Communications Inc*   13,334    1,920,763 
Comcast Corp   369,794    9,196,776 
Thomson Reuters Corp   46,152    3,992,610 
Warner Bros Discovery Inc*   259,064    6,997,319 
         22,107,468 
Telecommunications (2.97%)          
Cisco Systems Inc   407,047    49,016,600 
T-Mobile US Inc   113,550    21,294,032 
         70,310,632 
           
Total Communications        566,350,171 
           
Consumer, Cyclical (9.93%)          
Copart Inc*   101,936    3,340,443 
Costco Wholesale Corp   45,742    43,743,989 
Fastenal Co   118,338    5,230,540 
Marriott International Inc   27,307    10,256,509 
O’Reilly Automotive Inc*   86,993    7,557,952 
PACCAR Inc   54,937    6,063,397 
Ross Stores Inc   33,557    7,776,164 
Starbucks Corp   117,408    11,642,177 
Tesla Inc*   186,310    81,192,035 
Walmart Inc   503,643    58,296,677 
Total Consumer, Cyclical        235,099,883 
           
Consumer, Non-Cyclical (6.73%)          
Alnylam Pharmaceuticals Inc*   13,854    4,183,631 
Amgen Inc   55,552    18,709,358 
Automatic Data Processing Inc   41,774    9,267,144 
Cintas Corp   41,488    7,105,235 
Coca-Cola Europacific Partners PLC   47,538    4,311,221 
Dexcom Inc*   40,527    2,988,461 
GE HealthCare Technologies Inc   47,992    2,991,821 
Gilead Sciences Inc   127,932    17,197,899 
IDEXX Laboratories Inc*   8,384    4,724,636 
Insmed Inc*   22,517    2,407,292 
Intuitive Surgical Inc*   36,597    15,540,550 
Keurig Dr Pepper Inc   143,073    4,296,482 
The Kraft Heinz Co   125,637    3,016,544 

 

 

 

 

Mondelez International Inc   132,991    8,135,059 
Monster Beverage Corp*   100,813    8,879,609 
PayPal Holdings Inc   96,950    4,338,513 
PepsiCo Inc   140,837    20,307,287 
Regeneron Pharmaceuticals Inc   10,854    6,672,822 
Verisk Analytics Inc   14,793    2,588,627 
Vertex Pharmaceuticals Inc*   26,178    11,715,702 
Total Consumer, Non-Cyclical        159,377,893 
           
Energy (0.51%)          
Baker Hughes Co   101,840    6,505,539 
Diamondback Energy Inc   29,069    5,566,132 
Total Energy        12,071,671 
           
Industrial (1.60%)          
Axon Enterprise Inc*   8,375    3,758,030 
CSX Corp   191,632    8,673,264 
Ferrovial NV   74,142    5,042,397 
Honeywell International Inc   65,508    15,581,733 
Old Dominion Freight Line Inc   21,478    4,835,772 
Total Industrial        37,891,196 
           
Technology (54.35%)          
Computers (11.66%)          
Apple Inc   548,027    171,017,306 
Cognizant Technology Solutions Corp   50,361    2,807,878 
Crowdstrike Holdings Inc*   25,979    18,990,649 
Fortinet Inc*   76,251    10,520,350 
Lumentum Holdings Inc*   7,357    6,289,941 
Sandisk Corp*   15,210    25,780,646 
Seagate Technology Holdings PLC   22,473    19,771,745 
Western Digital Corp   34,938    18,559,415 
Zscaler Inc*   16,570    2,315,326 
         276,053,256 
Semiconductors (32.51%)          
Advanced Micro Devices Inc*   168,018    86,714,090 
Analog Devices Inc   50,310    20,820,794 
Applied Materials Inc   81,783    36,807,257 
ARM Holdings PLC*   14,391    5,084,196 
ASML Holding NV   9,058    14,608,380 
Broadcom Inc   176,985    79,071,588 
Intel Corp*   514,748    59,031,301 
KLA Corp   13,507    25,956,537 
Lam Research Corp   128,689    40,946,266 
Marvell Technology Inc   89,778    18,404,490 
Microchip Technology Inc   55,765    5,278,157 
Micron Technology Inc   115,986    112,622,406 
Monolithic Power Systems Inc   5,061    7,926,589 
NVIDIA Corp   907,086    191,522,138 
NXP Semiconductors NV   26,040    8,367,954 
QUALCOMM Inc   109,957    27,601,406 
Texas Instruments Inc   93,525    28,588,722 
         769,352,271 
           
Software (10.18%)          
Adobe Inc*   42,292    10,962,509 
Autodesk Inc*   21,847    5,053,430 
Cadence Design Systems Inc*   28,452    10,667,508 
Datadog Inc*   33,851    8,373,045 
Electronic Arts Inc   25,789    5,202,157 
Intuit Inc   28,499    9,448,273 
Microsoft Corp   277,188    124,801,125 
Palantir Technologies Inc*   236,142    36,965,669 
Paychex Inc   37,800    3,665,844 
Roper Technologies Inc   10,838    3,528,094 
Strategy Inc*   32,370    5,149,743 
Synopsys Inc*   19,874    9,452,472 
Take-Two Interactive Software Inc*   19,499    4,370,896 

 

 

 

 

Workday Inc*   22,250    3,252,728 
         240,893,493 
           
Total Technology        1,286,299,020 
           
Utilities (1.17%)          
American Electric Power Co Inc   56,500    7,156,855 
Constellation Energy Corp   37,304    10,734,226 
Exelon Corp   105,411    4,810,958 
Xcel Energy Inc   64,292    5,111,214 
Total Utilities        27,813,253 
           
Total Common Stock (Cost $754,677,095)        2,348,669,775 
           
Exchange-Traded Funds (0.38%)          
STF Tactical Growth ETF (Cost $7,504,315)   190,263    9,009,524 
           
United States Treasury Bills (0.35%)          
United States Treasury Bill, 0.000%, 03/19/26(a) (Cost $8,186,041)   8,200,000    8,185,934 
           
           
Total Investments (Cost $770,367,451) (99.94%)       $2,365,865,233 
Other Net Assets (0.06%)        1,452,524 
Net Assets (100.00%)       $2,367,317,757 

 

* Non-income producing security.

 

(a) A portion of these securities, a total of $1,996,574, have been pledged or segregated in connection with obligations for futures contracts.

 

Futures contracts at May 31, 2026: 

Contracts - $20 times premium / delivery month / commitment / exchange

 

Nasdaq 100 E-MINI  Notional Amount   Value   Unrealized
Appreciation
 
16 / JUN 2026 / Long / CME  $9,619,805   $9,729,680   $109,875 

 

 

 

 

SHELTON SUSTAINABLE EQUITY FUND        
Portfolio of Investments        
May 31, 2026        
         
Security Description  Shares   Value 
Common Stock (99.73%)          
           
Basic Materials (7.21%)          
Cabot Corp   11,272    986,413 
Centrus Energy Corp*   7,700    1,405,019 
CF Industries Holdings Inc   24,500    2,752,575 
Total Basic Materials        5,144,007 
           
Communications (0.84%)          
Pinterest Inc*   30,000    601,500 
           
Consumer, Cyclical (10.43%)          
Affinia Group Holdings Inc*   54,900    904,536 
Aramark   65,700    3,507,066 
Freshpet Inc*   8,000    412,800 
On Holding AG*   45,000    1,836,900 
Warby Parker Inc*   32,000    784,640 
Total Consumer, Cyclical        7,445,942 
           
Consumer, Non-Cyclical (15.62%)          
Bunge Global SA   28,500    3,514,050 
Corteva Inc   20,000    1,565,600 
Dexcom Inc*   11,000    811,140 
elf Beauty Inc*   4,400    246,400 
SHL Group Ltd*   35,000    1,425,805 
Sierra Health Services Inc*   10,000    3,147,457 
Th Simply Good Foods Co*   19,000    218,880 
Vital Farms Inc*   22,000    220,220 
Total Consumer, Non-Cyclical        11,149,552 
           
Energy (11.57%)          
First Solar Inc*   8,722    2,675,822 
Nextpower Inc*   10,000    1,564,000 
Shoals Technologies Group Inc*   70,000    871,500 
Suncor Energy Inc   10,000    3,149,207 
Total Energy        8,260,529 
           
Financial (4.97%)          
HA Sustainable Infrastructure Capital Inc   86,500    3,546,500 
           
Industrial (32.84%)          
AECOM   21,850    1,515,735 
Clean Harbors Inc*   6,000    1,686,180 
Deere & Co   5,500    2,981,990 
Energy Recovery Inc*   36,000    294,120 
EnerSys   10,000    2,279,700 
Gibraltar Industries Inc*   24,000    927,600 
Itron Inc*   7,000    577,360 
Johnson Controls International plc   17,500    2,346,050 

 

 

 

 

Mirion Technologies Inc*   10,000    182,800 
Teledyne Technologies Inc*   4,500    2,789,235 
Trane Technologies PLC   3,000    1,353,900 
Valmont Industries Inc   4,000    2,079,240 
Vertiv Holdings Co   9,500    2,999,245 
Xylem Inc   13,000    1,424,020 
Total Industrial        23,437,175 
           
Technology (8.10%)          
Box Inc*   35,000    943,600 
Getronics BV*   14,000    3,232,151 
KBR Inc   16,000    559,200 
Samsara Inc*   30,000    1,049,700 
         5,784,651 
Utilities (8.15%)          
Clearway Energy Inc   15,000    617,400 
Essential Utilities Inc   33,400    1,232,126 
Net Power Inc*   200,000    402,000 
Ormat Technologies Inc   26,000    3,567,980 
Total Utilities        5,819,506 
           
Total Common Stock (Cost $53,179,028)        71,189,362 
           
United States Treasury Bills (0.14%)          
United States Treasury Bill, 0.000%, 03/19/26 (Cost $99,830)   100,000    99,828 
           
           
Total Investments (Cost $53,278,858) (99.87%)       $71,289,190 
Other Net Assets (0.13%)        92,220 
Net Assets (100.00%)       $71,381,410 
           
* Non-income producing security.