Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
1
Shares
Common
Stock
46.5%
Value
Communications
Services
3.1%
80,204
Alphabet,
Inc.,
Class
A
$
28,563,051
100,451
Alphabet,
Inc.,
Class
C
35,825,849
51,235
AT&T,
Inc.
1,191,214
330
Cable
One,
Inc.
a
13,197
1,152
CarGurus,
Inc.
a
41,749
406
Charter
Communications,
Inc.
a
58,862
123,164
Comcast
Corporation
2,951,010
4,781
Gogo,
Inc.
a
19,985
1,097
Liberty
Capital
Corporation
a
25,418
12,099
Liberty
Global,
Ltd.,
Class
A
a
128,370
893
Liberty
Media
Corporation-Liberty
Formula
One
a
87,630
15,714
Lumen
Technologies,
Inc.
a
100,255
137
Madison
Square
Garden
Sports
Corporation
a
53,934
971
Match
Group,
Inc.
38,267
41,889
Meta
Platforms,
Inc.
23,320,025
59,593
Netflix,
Inc.
a
4,273,414
5,300
New
York
Times
Company
396,917
683
Omnicom
Group,
Inc.
53,752
13,463
Reddit,
Inc.
a
1,893,840
3,009
ROBLOX
Corporation
a
107,120
483
Space
Exploration
Technologies
Corporation
a,b
52,343
2,282
Spotify
Technology
SA
a
1,140,863
8,853
Taboola.com,
Ltd.
a
44,354
15,079
Trade
Desk,
Inc.
a
272,025
126,118
Universal
Music
Group
NV
2,080,891
2,968
Versant
Media
Group,
Inc.
106,818
15,670
Walt
Disney
Company
1,507,297
151,051
Warner
Brothers
Discovery,
Inc.
a
3,972,641
167,118
Warner
Music
Group
Corporation
4,338,383
19,443
ZoomInfo
Technologies,
Inc.
a
64,162
Total
112,723,636
Consumer
Discretionary
4.7%
843
Abercrombie
&
Fitch
Company
a
83,912
2,907
Adient
plc
a
61,163
70,713
ADT,
Inc.
540,247
24,406
Advance
Auto
Parts,
Inc.
1,355,509
18,163
Airbnb,
Inc.
a
2,752,058
199,832
Amazon.com,
Inc.
a
54,270,375
4,607
American
Eagle
Outfitters,
Inc.
79,148
47,543
Aptiv
plc
a
2,684,753
2,720
Aramark
154,958
82
AutoNation,
Inc.
a
17,417
340
AutoZone,
Inc.
a
1,025,525
5,169
Bath
&
Body
Works,
Inc.
104,000
961
Best
Buy
Company,
Inc.
82,896
16,623
Boot
Barn
Holdings,
Inc.
a
2,476,661
28,315
BorgWarner,
Inc.
1,804,798
113
Bright
Horizons
Family
Solutions,
Inc.
a
8,423
493
Brunswick
Corporation
38,947
1,411
Buckle,
Inc.
61,759
249
Burlington
Stores,
Inc.
a
91,752
5,577
CarMax,
Inc.
a
319,339
5,272
Carnival
Corporation,
Ltd.
146,614
49
Cavco
Industries,
Inc.
a
26,804
1,130
Champion
Homes,
Inc.
a
89,959
4,014
Chewy,
Inc.
a
90,716
2,047
Chipotle
Mexican
Grill,
Inc.
a
76,189
26,758
D.R.
Horton,
Inc.
3,827,999
2,828
Dana,
Inc.
76,158
1,658
Deckers
Outdoor
Corporation
a
160,627
Shares
Common
Stock  46.5%
Value
Consumer
Discretionary
4.7%
-
continued
5,327
DoorDash,
Inc.
a
$
1,044,944
1,551
eBay,
Inc.
176,830
15,654
Etsy,
Inc.
a
1,278,619
7,752
Five
Below,
Inc.
a
1,683,192
1,426
Flutter
Entertainment
plc
a
148,974
25,200
Ford
Motor
Company
369,936
4,483
Frontdoor,
Inc.
a
325,600
534
Gap,
Inc.
10,728
11,652
Garmin,
Ltd.
3,423,125
20,252
Garrett
Motion,
Inc.
630,850
36,337
General
Motors
Company
3,228,906
4,958
Gentex
Corporation
115,819
100
Genuine
Parts
Company
12,437
259
GigaCloud
Technology,
Inc.
a
11,329
7,774
Goodyear
Tire
&
Rubber
Company
a
54,029
563
Grand
Canyon
Education,
Inc.
a
81,826
5,292
Hasbro,
Inc.
497,130
20,150
Hilton
Worldwide
Holdings,
Inc.
6,457,873
10,958
Home
Depot,
Inc.
3,637,618
10,778
Installed
Building
Products,
Inc.
2,402,847
3,247
Kohl's
Corporation
62,148
9,821
Laureate
Education,
Inc.
a
376,243
2,766
Lear
Corporation
361,350
1,577
Lennar
Corporation
129,866
49,735
Levi
Strauss
&
Company
1,219,502
86,733
Life
Time
Group
Holdings,
Inc.
a
3,911,658
102
Lithia
Motors,
Inc.
39,313
2,225
LKQ
Corporation
49,951
30,501
Lowe's
Companies,
Inc.
6,338,413
1,514
Lululemon
Athletica,
Inc.
a
179,969
203
M/I
Homes,
Inc.
a
29,664
9,094
Macy's,
Inc.
225,713
7,943
Mattel,
Inc.
a
119,860
8,776
Mobileye
Global,
Inc.
a
69,681
4,117
Mohawk
Industries,
Inc.
a
506,803
2,810
Monarch
Casino
&
Resort,
Inc.
344,928
3,327
Murphy
USA,
Inc.
2,022,018
11
NVR,
Inc.
a
67,618
15,495
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
1,138,418
19,619
O'Reilly
Automotive,
Inc.
a
1,752,958
19,666
Pattern
Group,
Inc.
a
452,711
2,970
PENN
Entertainment,
Inc.
a
60,974
2,768
Perdoceo
Education
Corporation
88,050
356
Pool
Corporation
66,113
9,499
PulteGroup,
Inc.
1,201,339
435
Ralph
Lauren
Corporation
165,448
7,302
RH
a
1,208,627
27,539
Ross
Stores,
Inc.
6,914,217
30,952
SharkNinja,
Inc.
a
5,007,105
7,657
Sonos,
Inc.
a
112,252
157,415
Sony
Group
Corporation
ADR
b
3,661,473
673
Strategic
Education,
Inc.
55,186
4,795
Tapestry,
Inc.
730,614
29,396
Tesla,
Inc.
a
9,148,329
20,819
Texas
Roadhouse,
Inc.
4,277,055
16,053
TJX
Companies,
Inc.
2,525,779
3,319
Toll
Brothers,
Inc.
484,209
1,845
Tractor
Supply
Company
56,771
403
Ulta
Beauty,
Inc.
a
206,670
43,276
Universal
Technical
Institute,
Inc.
a
1,701,180
3,825
Urban
Outfitters,
Inc.
a
283,739
2,613
Versigent
plc
a
108,048
1,217
Victoria's
Secret
&
Company
a
107,924
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
2
Shares
Common
Stock  46.5%
Value
Consumer
Discretionary
4.7%
-
continued
33,296
Viking
Holdings,
Ltd.
a
$
3,474,438
464
Visteon
Corporation
48,507
5,941
Williams-Sonoma,
Inc.
1,358,469
56,277
Wyndham
Hotels
&
Resorts,
Inc.
4,212,896
40,427
Wynn
Resorts,
Ltd.
4,014,805
1,769
YETI
Holdings,
Inc.
a
86,575
73
Yum!
Brands,
Inc.
11,189
Total
168,878,084
Consumer
Staples
1.5%
31,528
BellRing
Brands,
Inc.
a
390,632
783
BJ's
Wholesale
Club
Holdings,
Inc.
a
76,562
36,726
British
American
Tobacco
plc
ADR
2,227,432
1,684
Campbell's
Company
b
37,014
3,765
Casey's
General
Stores,
Inc.
3,279,315
473
Celsius
Holdings,
Inc.
a
13,816
5,950
Central
Garden
&
Pet
Company,
Class
A
a
225,564
23,237
Chefs'
Warehouse,
Inc.
a
2,680,388
855
Church
&
Dwight
Company,
Inc.
84,482
25,930
Coca-Cola
Company
2,271,209
4,740
Colgate-Palmolive
Company
432,762
15,901
Conagra
Brands,
Inc.
230,723
407
Constellation
Brands,
Inc.
53,004
470
Costco
Wholesale
Corporation
447,388
30,207
Darling
Ingredients,
Inc.
a
1,831,752
1,129
Dollar
General
Corporation
143,439
946
Dollar
Tree,
Inc.
a
120,341
161
Hershey
Company
28,183
3,415
Hormel
Foods
Corporation
85,409
296
Ingles
Markets,
Inc.
26,643
1,858
J.M.
Smucker
Company
221,585
17,988
John
B.
Sanfilippo
&
Son,
Inc.
1,488,687
190,269
Keurig
Dr
Pepper,
Inc.
5,921,171
4,176
Kraft
Heinz
Company
107,950
1,268
Maplebear,
Inc.
a
56,553
241
Marzetti
Company
25,756
24,043
PepsiCo,
Inc.
3,355,441
1,284
Performance
Food
Group
Company
a
146,877
1,144
Procter
&
Gamble
Company
165,297
14
Seaboard
Corporation
61,786
4,905
Smithfield
Foods,
Inc.
127,726
79
Sprouts
Farmers
Markets,
Inc.
a
6,886
96,729
Sysco
Corporation
8,245,180
335
Target
Corporation
48,404
47,001
Turning
Point
Brands,
Inc.
3,506,745
3,898
Tyson
Foods,
Inc.
225,928
116,038
Unilever
plc
ADR
7,357,970
1,526
US
Foods
Holding
Corporation
a
153,500
348
Vita
Coco
Company,
Inc.
a
22,947
60,914
Walmart,
Inc.
6,773,637
4,245
WD-40
Company
964,209
Total
53,670,293
Energy
2.1%
53,821
Antero
Midstream
Corporation
1,182,447
6,194
Antero
Resources
Corporation
a
223,851
1,073
APA
Corporation
40,044
629
Archrock,
Inc.
22,493
430
Baker
Hughes
Company
26,011
205
California
Resources
Corporation
10,787
4,199
Cheniere
Energy,
Inc.
1,106,730
15,303
Chevron
Corporation
3,012,089
Shares
Common
Stock  46.5%
Value
Energy
2.1%
-
continued
2,265
Chord
Energy
Corporation
$
317,961
1,527
CNX
Resources
Corporation
a
54,667
83,728
ConocoPhillips
10,087,549
177,623
Devon
Energy
Corporation
8,016,126
17,406
DHT
Holdings,
Inc.
323,229
769
Diamondback
Energy,
Inc.
156,069
6,187
Dorian
LPG,
Ltd.
293,388
1,957
DT
Midstream,
Inc.
270,066
228,684
Enterprise
Products
Partners,
LP
8,701,426
4,170
EOG
Resources,
Inc.
620,037
2,132
EQT
Corporation
113,614
19,023
Expand
Energy
Corporation
1,788,733
112,828
ExxonMobil
Holdings
Corporation
17,537,984
3,104
Gulfport
Energy
Corporation
a
500,892
176,179
Halliburton
Company
5,681,773
672
Hess
Midstream,
LP
27,438
6,487
HF
Sinclair
Corporation
593,366
13,115
Kinder
Morgan,
Inc.
422,041
1,709
Kodiak
Gas
Services,
Inc.
100,335
19,672
Marathon
Petroleum
Corporation
6,225,598
32,536
Matador
Resources
Company
1,623,221
5,457
Occidental
Petroleum
Corporation
311,431
360
Oceaneering
International,
Inc.
a
17,561
402
ONEOK,
Inc.
36,506
5,786
Ovintiv,
Inc.
361,394
348
Par
Pacific
Holdings,
Inc.
a
29,938
152,536
Patterson-UTI
Energy,
Inc.
1,598,577
1,406
PBF
Energy,
Inc.
101,626
96,923
Permian
Resources
Corporation
2,065,429
2,115
Phillips
66
447,703
2,266
Range
Resources
Corporation
90,957
832
Scorpio
Tankers,
Inc.
64,780
4,759
SM
Energy
Company
154,763
7,778
Talos
Energy,
Inc.
a
118,070
39,145
TechnipFMC
plc
2,805,131
577
Teekay
Tankers,
Ltd.
45,796
26,136
Transocean,
Ltd.
a
139,044
128
Valero
Energy
Corporation
40,051
1,270
Viper
Energy,
Inc.
56,655
Total
77,565,377
Financials
6.5%
385
Acadian
Asset
Management,
Inc.
33,299
3,164
Affiliated
Managers
Group,
Inc.
1,160,334
1,408
Affirm
Holdings,
Inc.
a
100,686
7,196
AGNC
Investment
Corporation
76,709
13,567
Allstate
Corporation
3,582,773
65,590
Ally
Financial,
Inc.
2,842,015
11,221
American
Express
Company
3,773,061
4,930
American
Financial
Group,
Inc.
698,680
68,285
American
International
Group,
Inc.
5,365,835
4,795
Ameriprise
Financial,
Inc.
2,617,303
431
Ameris
Bancorp
37,587
42,166
Arch
Capital
Group,
Ltd.
a
4,238,948
17,769
Associated
Banc-Corp
548,707
567
Assurant,
Inc.
158,301
1,513
Assured
Guaranty,
Ltd.
125,155
28,059
Atlantic
Union
Bankshares
Corporation
1,190,543
790
Avidia
Bancorp,
Inc.
17,617
1,461
Axis
Capital
Holdings,
Ltd.
153,873
6,734
Banc
of
California,
Inc.
128,956
260,381
Bank
of
America
Corporation
16,130,603
1,770
Bank
of
Marin
Bancorp
51,613
120
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
7,355
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
3
Shares
Common
Stock  46.5%
Value
Financials
6.5%
-
continued
54,236
Bank
of
New
York
Mellon
Corporation
$
8,478,714
692
Bank
OZK
35,500
2,175
BankUnited,
Inc.
101,464
1,370
Banner
Corporation
96,462
1,368
Bar
Harbor
Bankshares
54,323
982
BayCom
Corporation
29,637
15,636
Beacon
Financial
Corporation
492,690
17,180
Berkshire
Hathaway,
Inc.
a
8,788,257
63,765
BGC
Group,
Inc.
734,573
2,083
BlackRock,
Inc.
2,271,282
1,339
Bladex,
Inc.
78,398
568
Block,
Inc.
a
46,144
5,422
Blue
Owl
Capital,
Inc.
55,847
351
Bread
Financial
Holdings,
Inc.
37,933
50,016
Bridgewater
Bancshares,
Inc.
a
1,024,328
14,080
Byline
Bancorp,
Inc.
552,922
426
C&F
Financial
Corporation
b
35,183
47,302
Capital
One
Financial
Corporation
9,886,591
139
Cathay
General
Bancorp
8,783
82
Central
Pacific
Financial
Corporation
3,231
88,948
Charles
Schwab
Corporation
9,360,888
293
Chemung
Financial
Corporation
23,877
1,531
ChoiceOne
Financial
Services,
Inc.
52,100
15,482
Chubb,
Ltd.
5,429,228
51
Cincinnati
Financial
Corporation
9,062
11,669
Citigroup,
Inc.
1,545,559
3,217
Citizens
Financial
Group,
Inc.
230,498
342
Citizens
Financial
Services,
Inc.
26,512
2,150
Civista
Bancshares,
Inc.
62,479
4,354
CNB
Financial
Corporation
152,825
5,589
CNO
Financial
Group,
Inc.
307,898
1,517
Colony
Bankcorp,
Inc.
33,253
9,787
Columbia
Banking
System,
Inc.
306,039
1,099
Commerce
Bancshares,
Inc.
65,138
118
Community
Financial
System,
Inc.
7,648
3,949
Community
Trust
Bancorp,
Inc.
309,799
6,702
ConnectOne
Bancorp,
Inc.
220,764
71
Corpay,
Inc.
a
27,130
614
Cullen/Frost
Bankers,
Inc.
102,133
6,675
Customers
Bancorp,
Inc.
a
525,189
3,855
Dynex
Capital,
Inc.
48,997
1,203
Eagle
Bancorp
Montana,
Inc.
28,186
8,964
East
West
Bancorp,
Inc.
1,174,284
1,168
Eastern
Bankshares,
Inc.
26,817
447
Encore
Capital
Group,
Inc.
a
42,054
5,695
Enova
International,
Inc.
a
1,447,327
667
Equity
Bancshares,
Inc.
33,804
9,869
Essent
Group,
Ltd.
650,959
564
Euronet
Worldwide,
Inc.
a
40,230
649
Evercore,
Inc.
208,043
6,413
F.N.B.
Corporation
121,206
1,810
Farmers
&
Merchants
Bancorp,
Inc./Archbold,
OH
60,382
2,026
Farmers
National
Banc
Corporation
32,132
8,251
Federal
Agricultural
Mortgage
Corporation
1,877,928
2,948
Federated
Hermes,
Inc.
176,762
978
Fidelity
National
Financial,
Inc.
50,455
3,696
Fidelity
National
Information
Services,
Inc.
165,470
3,658
Fifth
Third
Bancorp
206,677
3,363
Financial
Institutions,
Inc.
139,430
Shares
Common
Stock  46.5%
Value
Financials
6.5%
-
continued
7,817
First
American
Financial
Corporation
$
586,197
689
First
Bancorp/Puerto
Rico
19,933
3,123
First
Bank/Hamilton,
NJ
57,869
3,126
First
Busey
Corporation
96,468
22
First
Citizens
BancShares,
Inc./NC
48,106
516
First
Financial
Bankshares,
Inc.
18,132
209
First
Hawaiian,
Inc.
5,808
8,342
First
Horizon
Corporation
213,889
2,335
First
Merchants
Corporation
100,732
1,124
First
Mid-Illinois
Bancshares,
Inc.
58,549
202
FirstCash
Holdings,
Inc.
41,210
4,923
Fiserv,
Inc.
a
265,547
1,051
Flagstar
Bank
NA
14,945
977
Flywire
Corporation
a
15,642
307
Franklin
Resources,
Inc.
10,395
1,449
Fulton
Financial
Corporation
35,254
93,997
Genworth
Financial,
Inc.
a
923,991
788
Glacier
Bancorp,
Inc.
38,841
552
Global
Life,
Inc.
100,602
679
Global
Payments,
Inc.
57,090
4,858
Goosehead
Insurance,
Inc.
a
301,196
943
Hamilton
Insurance
Group,
Ltd.
33,910
591
Hamilton
Lane,
Inc.
52,546
551
Hancock
Whitney
Corporation
42,427
10,462
Hanmi
Financial
Corporation
333,529
653
Hanover
Bancorp,
Inc.
17,138
326
Hanover
Insurance
Group,
Inc.
75,837
2,205
Happen,
Inc.
a
42,204
1,323
Hartford
Insurance
Group,
Inc.
187,747
2,048
Hilltop
Holdings,
Inc.
80,773
1,182
Home
BancShares,
Inc.
36,725
3,815
Hometrust
Bancshares,
Inc.
195,290
3,630
Horizon
Bancorp,
Inc.
74,233
10,835
Houlihan
Lokey,
Inc.
1,359,684
168,850
Huntington
Bancshares,
Inc./OH
2,877,204
608
Independent
Bank
Corporation/MA
50,969
4,218
Independent
Bank
Corporation/MI
161,128
564
Interactive
Brokers
Group,
Inc.
49,626
50,856
Intercontinental
Exchange,
Inc.
7,754,523
1,523
International
Bancshares
Corporation
116,570
4,707
Invesco,
Ltd.
139,327
1,590
Investar
Holding
Corporation
47,891
2,164
Jackson
Financial,
Inc.
264,614
1,963
Jefferies
Financial
Group,
Inc.
107,180
61,472
JPMorgan
Chase
&
Company
21,625,235
7,495
Kearny
Financial
Corporation/MD
71,877
5,774
Kemper
Corporation
163,866
7,831
KeyCorp
176,902
1,480
Lazard,
Inc.
62,722
2,026
Lincoln
National
Corporation
92,406
1,412
Loews
Corporation
163,806
9,972
M&T
Bank
Corporation
2,456,004
6,177
Marex
Group,
Ltd.
401,011
142
Markel
Group,
Inc.
a
267,292
565
MarketAxess
Holdings,
Inc.
91,699
2,060
Marsh
&
McLennan
Companies,
Inc.
390,761
4,160
Mastercard,
Inc.
2,384,096
2,018
Mercury
General
Corporation
216,168
55,953
MetLife,
Inc.
5,378,762
26,763
MGIC
Investment
Corporation
803,961
868
Miami
International
Holdings,
Inc.
a
40,831
68,589
Morgan
Stanley
14,432,497
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
4
Shares
Common
Stock  46.5%
Value
Financials
6.5%
-
continued
1,220
Morningstar,
Inc.
$
234,935
29,226
Nasdaq,
Inc.
2,752,797
879
National
Bankshares,
Inc.
35,687
1,912
NBT
Bancorp,
Inc.
100,667
3,156
Neptune
Insurance
Holdings,
Inc.
a
100,077
1,893
NerdWallet,
Inc.
a
17,037
14,607
NMI
Holdings,
Inc.
a
647,090
2,035
Northeast
Community
Bancorp,
Inc.
54,334
12,334
Northern
Trust
Corporation
2,247,131
2,720
Northpointe
Bancshares,
Inc.
47,600
5,865
Northwest
Bancshares,
Inc.
92,315
1,851
OFG
Bancorp
97,844
89,700
Old
National
Bancorp
2,389,608
69,841
Old
Republic
International
Corporation
3,017,830
19,117
Old
Second
Bancorp,
Inc.
483,469
2,566
OneMain
Holdings,
Inc.
160,580
6,914
Oportun
Financial
Corporation
a
38,304
319
Orange
County
Bancorp,
Inc.
12,202
5,995
Orrstown
Financial
Services,
Inc.
256,166
11,792
Oscar
Health,
Inc.
a
368,146
836
Palomar
Holdings,
Inc.
a
111,848
1,702
Parke
Bancorp,
Inc.
58,123
1,042
Paymentus
Holdings,
Inc.
a
35,532
2,277
PayPal
Holdings,
Inc.
130,267
1,308
PCB
Bancorp
36,454
253
Peoples
Bancorp
of
North
Carolina,
Inc.
10,879
14,613
Pinnacle
Financial
Partners,
Inc.
1,537,726
944
Piper
Sandler
Companies
71,555
411
PNC
Financial
Services
Group,
Inc.
102,697
1,909
Popular,
Inc.
334,476
2,491
Prosperity
Bancshares,
Inc.
186,501
3,274
Provident
Financial
Services,
Inc.
80,802
2,202
Prudential
Financial,
Inc.
268,820
6,228
Radian
Group,
Inc.
242,830
1,034
RBB
Bancorp
27,267
2,842
Regions
Financial
Corporation
87,960
5,899
Reinsurance
Group
of
America,
Inc.
1,397,178
1,157
RenaissanceRe
Holdings,
Ltd.
370,217
309
Renasant
Corporation
13,463
376
RLI
Corporation
23,026
46,772
Robinhood
Markets,
Inc.
a
4,048,584
8,014
Rocket
Companies,
Inc.
a
103,381
47
S&P
Global,
Inc.
19,361
27,663
SEI
Investments
Company
2,848,736
431
Selective
Insurance
Group,
Inc.
40,854
206
ServisFirst
Bancshares,
Inc.
18,437
12,069
Simmons
First
National
Corporation
284,708
12,573
SouthState
Bank
Corporation
1,321,297
1,103
Starwood
Property
Trust,
Inc.
17,626
2,275
State
Street
Corporation
418,964
5,758
Stifel
Financial
Corporation
477,396
12,358
Stock
Yards
Bancorp,
Inc.
1,051,666
4,943
StoneX
Group,
Inc.
a
378,486
208
Texas
Capital
Bancshares,
Inc.
20,561
1,212
Third
Coast
Bancshares,
Inc.
a
53,134
851
Timberland
Bancorp,
Inc./WA
38,150
4,025
Toast,
Inc.
a
129,887
804
Tompkins
Financial
Corporation
80,271
2,415
Towne
Bank/Portsmouth,
VA
91,553
1,182
TPG
RE
Finance
Trust,
Inc.
9,421
Shares
Common
Stock  46.5%
Value
Financials
6.5%
-
continued
1,081
TPG,
Inc.
$
47,196
1,879
Tradeweb
Markets,
Inc.
188,839
42,765
Triumph
Financial,
Inc.
a
3,247,146
13,791
Truist
Financial
Corporation
714,925
5,142
U.S.
Bancorp
323,997
1,146
UMB
Financial
Corporation
167,007
1,054
United
Bankshares,
Inc.
51,066
10,422
United
Community
Banks,
Inc.
369,356
526
Unity
Bancorp,
Inc.
30,976
3,724
Universal
Insurance
Holdings,
Inc.
162,776
771
Univest
Financial
Corporation
34,109
4,597
Unum
Group
395,848
74,705
Valley
National
Bancorp
1,067,534
2,181
Virtu
Financial,
Inc.
128,090
27,390
Visa,
Inc.
10,028,301
709
Voya
Financial,
Inc.
70,496
173,222
Wells
Fargo
&
Company
14,975,042
2,974
WesBanco,
Inc.
123,064
1,634
West
Bancorporation,
Inc.
45,834
3,581
Western
Alliance
Bancorp
288,235
8,540
Western
Union
Company
54,314
142
WEX,
Inc.
a
26,548
10,126
Wintrust
Financial
Corporation
1,615,502
1,288
WisdomTree,
Inc.
24,949
442
WSFS
Financial
Corporation
35,448
11,651
Zions
Bancorp
NA
812,075
Total
232,275,330
Health
Care
5.4%
16,759
AbbVie,
Inc.
4,205,503
3,292
Acadia
Healthcare
Company,
Inc.
a
97,509
2,941
Adaptive
Biotechnologies
Corporation
a
66,378
14,459
Agilent
Technologies,
Inc.
2,000,692
738
Agios
Pharmaceuticals,
Inc.
a
22,155
524
Align
Technology,
Inc.
a
88,640
38,011
Alignment
Healthcare,
Inc.
a
564,463
14,966
Amgen,
Inc.
5,764,305
1,522
Anika
Therapeutics,
Inc.
a
29,344
2,310
Arcus
Biosciences,
Inc.
a
65,119
1,565
Argenx
SE
ADR
a
1,336,228
41,032
Avantor,
Inc.
a
565,421
477
Azenta,
Inc.
a
13,418
155
Becton,
Dickinson
and
Company
25,671
25,061
BioLife
Solutions,
Inc.
a
783,908
14,333
BioMarin
Pharmaceutical,
Inc.
a
860,267
177
Bio-Rad
Laboratories,
Inc.
a
57,610
34,800
Boston
Scientific
Corporation
a
1,626,204
9,712
BridgeBio
Pharma,
Inc.
a
777,834
51,509
BrightSpring
Health
Services,
Inc.
a
3,075,602
43,226
Bristol-Myers
Squibb
Company
2,823,090
303
Bruker
Corporation
19,041
716
Cardinal
Health,
Inc.
164,701
16,842
Cencora,
Inc.
5,243,588
2,557
Centene
Corporation
a
159,097
917
Charles
River
Laboratories
International,
Inc.
a
213,212
2,056
Chemed
Corporation
1,094,306
27,390
Cigna
Group
7,643,179
43,053
Concentra
Group
Holdings
Parent,
Inc.
1,362,627
5,460
Cooper
Companies,
Inc.
a
394,867
6,620
CVS
Health
Corporation
691,327
27,188
Danaher
Corporation
5,301,116
2,172
Denali
Therapeutics,
Inc.
a
49,999
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
5
Shares
Common
Stock  46.5%
Value
Health
Care
5.4%
-
continued
5,367
Dentsply
Sirona,
Inc.
$
71,757
21,672
Dexcom,
Inc.
a
1,808,528
3,106
Doximity,
Inc.
a
64,946
2,824
Edwards
Lifesciences
Corporation
a
243,062
27,526
Elanco
Animal
Health,
Inc.
a
725,861
766
Elevance
Health,
Inc.
287,893
9,267
Eli
Lilly
&
Company
10,646,300
26,059
Encompass
Health
Corporation
2,894,373
3,916
Enovis
Corporation
a
114,151
860
Envista
Holdings
Corporation
a
23,487
26,523
Exelixis,
Inc.
a
1,406,515
6,214
Fortrea
Holdings,
Inc.
a
119,122
1,450
Fulcrum
Therapeutics,
Inc.
a
5,191
567
GE
HealthCare
Technologies,
Inc.
38,567
7,917
GeneDx
Holdings
Corporation
a
515,476
35,544
Gilead
Sciences,
Inc.
4,628,184
1,511
Globus
Medical,
Inc.
a
119,052
10,146
Guardant
Health,
Inc.
a
1,643,551
6,937
Harmony
Biosciences
Holdings,
Inc.
a
244,460
502
Henry
Schein,
Inc.
a
43,047
170
Humana,
Inc.
61,856
31,294
ICON
plc
a
5,118,603
8,205
ICU
Medical,
Inc.
a
1,382,625
3,498
IDEXX
Laboratories,
Inc.
a
1,955,627
13,392
Illumina,
Inc.
a
2,746,699
1,302
Innoviva,
Inc.
a
27,303
1,659
Insmed,
Inc.
a
163,577
2,815
Insulet
Corporation
a
465,460
2,164
Integra
LifeSciences
Holdings
Corporation
a
36,031
12,990
Intuitive
Surgical,
Inc.
a
4,589,757
9,963
Ionis
Pharmaceuticals,
Inc.
a
515,785
1,163
IQVIA
Holding,
Inc.
a
273,328
5,331
Janux
Therapeutics,
Inc.
a
80,871
5,983
Jazz
Pharmaceuticals,
Inc.
a
1,512,861
62,680
Johnson
&
Johnson
16,068,018
355
Kiniksa
Pharmaceuticals
International
plc
a
26,391
28,492
Labcorp
Holdings,
Inc.
8,809,726
11,376
LivaNova
plc
a
911,673
849
Medline,
Inc.
a
33,349
6,985
Medpace
Holdings,
Inc.
a
4,031,113
29,315
Medtronic
plc
2,503,208
111,611
Merck
&
Company,
Inc.
14,531,752
352
Merit
Medical
Systems,
Inc.
a
29,924
402
Mesa
Laboratories,
Inc.
40,526
1,496
Mettler-Toledo
International,
Inc.
a
2,118,785
6,223
Mirum
Pharmaceuticals,
Inc.
a
659,327
646
Moderna,
Inc.
a
35,414
5,571
Natera,
Inc.
a
1,491,691
7,497
Neogen
Corporation
a
90,264
32,830
Neurocrine
Biosciences,
Inc.
a
5,476,044
424
Option
Care
Health,
Inc.
a
9,765
18,510
Pfizer,
Inc.
462,935
705
Prestige
Consumer
Healthcare,
Inc.
a
35,405
11,539
Progyny,
Inc.
a
359,209
3,942
QIAGEN
NV
163,199
185
Quest
Diagnostics,
Inc.
43,107
17,489
RadNet,
Inc.
a
1,115,448
5,903
Regeneron
Pharmaceuticals,
Inc.
4,501,805
20,625
Repligen
Corporation
a
2,908,331
551
Revolution
Medicines,
Inc.
a
103,329
951
Roivant
Sciences,
Ltd.
a
32,248
Shares
Common
Stock  46.5%
Value
Health
Care
5.4%
-
continued
72,723
Royalty
Pharma
plc
$
4,249,205
5,746
Sarepta
Therapeutics,
Inc.
a
85,386
12,865
Sotera
Health
Company
a
229,769
668
STERIS
plc
152,571
5,291
Stryker
Corporation
1,723,279
7,934
Tenet
Healthcare
Corporation
a
2,021,425
912
Thermo
Fisher
Scientific,
Inc.
523,762
27,479
Twist
Bioscience
Corporation
a
2,515,702
9,917
UFP
Technologies,
Inc.
a
2,526,653
3,665
United
Therapeutics
Corporation
a
1,897,407
22,397
UnitedHealth
Group,
Inc.
9,281,317
1,250
Vaxcyte,
Inc.
a
67,600
7,248
Veeva
Systems,
Inc.
a
1,476,997
16,014
Vericel
Corporation
a
736,003
16,468
Viatris,
Inc.
289,178
503
Viemed
Healthcare,
Inc.
a
5,870
5,585
Vir
Biotechnology,
Inc.
a
48,366
274
Waters
Corporation
a
103,383
69,856
Waystar
Holding
Corporation
a
1,474,660
5,709
West
Pharmaceutical
Services,
Inc.
1,946,541
970
Xenon
Pharmaceuticals,
Inc.
a
60,790
57,233
Zimmer
Biomet
Holdings,
Inc.
5,375,896
Total
195,144,073
Industrials
6.8%
9,258
3M
Company
1,632,000
11,449
AAON,
Inc.
1,019,648
5,583
Acuity,
Inc.
1,833,401
23,525
Advanced
Drainage
Systems,
Inc.
3,257,742
1,372
AECOM
99,319
244
AGCO
Corporation
24,927
26,437
Allegheny
Technologies,
Inc.
a
4,955,351
7,497
Allegion
plc
1,180,028
361
Allison
Transmission
Holdings,
Inc.
41,349
91,801
Amentum
Holdings,
Inc.
a
2,037,982
442
American
Superconductor
Corporation
a
12,982
15,249
AMETEK,
Inc.
3,685,836
2,874
APi
Group
Corporation
a
114,040
9,757
Applied
Industrial
Technologies,
Inc.
3,368,214
2,164
Armstrong
World
Industries,
Inc.
377,964
7,623
Atmus
Filtration
Technologies,
Inc.
393,575
2,831
Axon
Enterprise,
Inc.
a
1,494,089
272
AZZ,
Inc.
39,364
22,118
Badger
Infrastructure
Solutions,
Ltd.
1,402,008
38,332
Barrett
Business
Services,
Inc.
1,496,481
2,156
Bloom
Energy
Corporation
a
443,726
1,282
Brady
Corporation
120,854
1,354
BrightView
Holdings,
Inc.
a
17,656
92
Brink's
Company
10,897
900
Broadridge
Financial
Solutions,
Inc.
138,555
2,666
Builders
FirstSource,
Inc.
a
177,129
4,396
BWX
Technologies,
Inc.
741,605
7,548
C.H.
Robinson
Worldwide,
Inc.
1,115,066
117
CACI
International,
Inc.
a
58,237
7,456
Caterpillar,
Inc.
6,075,223
18,221
CECO
Environmental
Corporation
a
1,200,582
14,403
Clean
Harbors,
Inc.
a
4,506,411
632,705
CNH
Industrial
NV
6,485,226
1,303
Concentrix
Corporation
b
32,054
6,475
Construction
Partners,
Inc.
a
669,191
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
6
Shares
Common
Stock  46.5%
Value
Industrials
6.8%
-
continued
36,298
Copart,
Inc.
a
$
1,056,998
3,959
CRA
International,
Inc.
708,780
11,497
Crane
Company
2,454,150
5,855
CSW
Industrials,
Inc.
1,867,335
210,029
CSX
Corporation
10,585,462
1,677
Cummins,
Inc.
1,063,553
4,629
Curtiss-Wright
Corporation
3,351,396
73,915
Delta
Air
Lines,
Inc.
6,463,128
2,454
Donaldson
Company,
Inc.
231,265
102
Dycom
Industries,
Inc.
a
40,909
9,300
Eaton
Corporation
plc
3,861,360
8,169
EMCOR
Group,
Inc.
6,514,206
981
Enerpac
Tool
Group
Corporation
35,061
554
EnerSys
103,072
4,392
EnPro,
Inc.
1,378,737
802
Equifax,
Inc.
138,441
1,976
ESCO
Technologies,
Inc.
623,013
2,574
ExlService
Holdings,
Inc.
a
87,336
161,399
Fastenal
Company
7,700,346
5,812
Federal
Signal
Corporation
726,209
2,490
Ferguson
Enterprises,
Inc.
583,482
81,865
Flowserve
Corporation
6,220,921
13,030
Fluor
Corporation
a
653,715
887
Fortive
Corporation
52,519
2,493
Fortune
Brands
Innovations,
Inc.
122,805
7,445
FTAI
Aviation,
Ltd.
1,533,670
3,362
Gates
Industrial
Corporation,
Ltd.
a
94,069
198
GATX
Corporation
35,416
4,190
GE
Vernova,
Inc.
4,149,315
129
Generac
Holdings,
Inc.
a
25,427
21,081
General
Dynamics
Corporation
8,082,877
24,827
General
Electric
Company
8,939,458
2,440
Genpact,
Ltd.
85,815
5,313
Graco,
Inc.
421,746
586
HEICO
Corporation
150,766
20,150
Helios
Technologies,
Inc.
1,569,886
6,083
Herc
Holdings,
Inc.
913,302
50,792
Hexcel
Corporation
5,229,036
21,804
Honeywell
Aerospace,
Inc.
a
4,507,759
16,750
Honeywell
International,
Inc.
4,071,087
15,644
Howmet
Aerospace,
Inc.
4,415,675
82
Hubbell,
Inc.
38,749
196
Huntington
Ingalls
Industries,
Inc.
63,984
9,273
IDEX
Corporation
2,136,963
2,730
IES
Holdings,
Inc.
a
2,032,594
648
Ingersoll
Rand,
Inc.
54,030
1,814
Innodata,
Inc.
a
113,974
1,136
ITT
Corporation
222,633
26,701
Jacobs
Solutions,
Inc.
3,602,766
20,298
JB
Hunt
Transport
Services,
Inc.
5,515,981
7,713
Johnson
Controls
International
plc
1,131,189
6,322
Kirby
Corporation
a
829,067
1,253
Knight-Swift
Transportation
Holdings,
Inc.
87,121
17,258
Korn
Ferry
1,419,816
20,026
L3Harris
Technologies,
Inc.
5,548,404
409
Landstar
System,
Inc.
71,481
425
Leidos
Holdings,
Inc.
49,130
20,003
Limbach
Holdings,
Inc.
a
1,434,215
13,952
Lincoln
Electric
Holdings,
Inc.
3,645,797
375
Liquidity
Services,
Inc.
a
14,617
16,363
Louisiana-Pacific
Corporation
1,185,172
1,877
Lyft,
Inc.
a
29,769
463
Masco
Corporation
33,095
26
MasTec,
Inc.
a
6,841
Shares
Common
Stock  46.5%
Value
Industrials
6.8%
-
continued
498
Maximus,
Inc.
$
30,004
1,518
McGrath
RentCorp
174,798
22,445
Mercury
Systems,
Inc.
a
2,179,410
1,573
Middleby
Corporation
a
210,121
1,429
Midera
Food
Processing,
Inc.
a
68,521
3,483
MillerKnoll,
Inc.
78,437
8,040
Modine
Manufacturing
Company
a
1,616,522
7,517
Moog,
Inc.
2,930,502
10,669
Mueller
Industries,
Inc.
708,528
26,870
Mueller
Water
Products,
Inc.
678,199
80
MYR
Group,
Inc.
a
26,658
1,471
Nextpower,
Inc.
a
132,199
101
Nordson
Corporation
30,076
46,791
NPK
International,
Inc.
a
584,420
7,737
nVent
Electric
plc
1,190,183
1,622
NWPX
Infrastructure,
Inc.
a
199,636
11,960
Old
Dominion
Freight
Line,
Inc.
2,537,194
1,600
OPENLANE,
Inc.
a
63,616
3,165
Otis
Worldwide
Corporation
227,722
717
Owens
Corning,
Inc.
99,591
6,251
Parker-Hannifin
Corporation
6,104,289
457
Paychex,
Inc.
53,396
536
Paylocity
Holding
Corporation
a
73,912
1,118
Pentair
plc
73,162
2,874
Powell
Industries,
Inc.
599,746
1,046
Proto
Labs,
Inc.
a
78,502
5,110
Quanta
Services,
Inc.
3,410,210
5,462
RBC
Bearings,
Inc.
a
3,011,255
733
Regal
Rexnord
Corporation
150,434
3,777
Republic
Services,
Inc.
795,247
7,833
Rockwell
Automation,
Inc.
3,760,467
18,730
RTX
Corporation
4,031,071
723
Ryder
System,
Inc.
185,392
952
Saia,
Inc.
a
330,944
751
Science
Applications
International
Corporation
87,965
3,062
Sensata
Technologies
Holding
plc
141,740
332
SkyWest,
Inc.
a
35,514
396
SPX
Technologies,
Inc.
a
86,970
4,789
SS&C
Technologies
Holdings,
Inc.
368,992
3,452
Standex
International
Corporation
1,023,518
1,062
Stanley
Black
&
Decker,
Inc.
100,444
431
Sterling
Construction
Company,
Inc.
a
257,208
728
Sunbelt
Rentals
Holdings,
Inc.
52,358
11,057
Terex
Corporation
694,822
2,516
Tetra
Tech,
Inc.
83,431
524
Textron,
Inc.
44,676
16,070
Timken
Company
2,210,429
24,253
Toro
Company
2,228,123
153
Trane
Technologies
plc
69,607
10,101
Transcat,
Inc.
a
862,322
1,236
Trex
Company,
Inc.
a
53,593
44,405
Uber
Technologies,
Inc.
a
3,124,336
527
U-Haul
Holding
Company
a
37,370
18,160
UL
Solutions,
Inc.
1,664,182
1,588
United
Airlines
Holdings,
Inc.
a
192,672
1,869
United
Rentals,
Inc.
2,017,137
697
Upwork,
Inc.
a
6,385
2,178
V2X,
Inc.
a
196,543
4,596
Valmont
Industries,
Inc.
2,213,893
2,639
Veralto
Corporation
248,515
13,097
Verisk
Analytics,
Inc.
2,551,950
1,258
Verra
Mobility
Corporation
a
6,655
7,541
Vertiv
Holdings
Company
1,821,679
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
7
Shares
Common
Stock  46.5%
Value
Industrials
6.8%
-
continued
2,184
Vestis
Corporation
a
$
31,581
24
Vicor
Corporation
a
4,977
1,013
Wabtec
Corporation
294,641
98
Watts
Water
Technologies,
Inc.
33,887
3,749
WESCO
International,
Inc.
1,287,744
6,596
Willdan
Group,
Inc.
a
452,024
3,853
Woodward,
Inc.
1,389,970
234
XPO,
Inc.
a
47,027
2,091
Xylem,
Inc.
244,584
2,601
Zurn
Elkay
Water
Solutions
Corporation
131,377
Total
243,200,808
Information
Technology
11.8%
4,711
Adobe,
Inc.
a
1,179,682
22,371
Advanced
Micro
Devices,
Inc.
a
10,651,952
1,309
Akamai
Technologies,
Inc.
a
150,771
1,126
Ambarella,
Inc.
a
96,836
4,087
Amkor
Technology,
Inc.
203,819
62,745
Amphenol
Corporation
10,083,122
10,321
Analog
Devices,
Inc.
3,792,039
146,924
Apple,
Inc.
45,386,293
21,893
Applied
Materials,
Inc.
11,114,419
49,423
Arista
Networks,
Inc.
a
8,913,438
1,601
Arrow
Electronics,
Inc.
a
346,729
146
Astera
Labs,
Inc.
a
45,440
734
Atlassian
Corporation
a
74,145
8,066
Autodesk,
Inc.
a
1,889,057
3,494
Avnet,
Inc.
310,407
805
Blackbaud,
Inc.
a
34,454
56,410
Broadcom,
Inc.
21,959,285
12,484
Cadence
Design
Systems,
Inc.
a
4,244,810
13,776
CCC
Intelligent
Solutions
Holdings,
Inc.
a
83,896
2,367
Celestica,
Inc.
a
784,518
823
Circle
Internet
Group,
Inc.
a
51,528
1,438
Cirrus
Logic,
Inc.
a
186,005
131,164
Cisco
Systems,
Inc.
15,213,712
6,362
Clear
Secure,
Inc.
351,437
7,534
Cloudflare,
Inc.
a
2,101,835
26,304
Cognex
Corporation
1,716,073
1,409
Cognizant
Technology
Solutions
Corporation
77,988
3,803
Coherent
Corporation
a
999,771
16,022
Cohu,
Inc.
a
768,896
245
CommVault
Systems,
Inc.
a
28,861
19,456
Crane
NXT
Company
1,010,739
7,166
Credo
Technology
Group
Holding,
Ltd.
a
1,483,290
1,120
CrowdStrike
Holdings,
Inc.
a
213,763
106
CTS
Corporation
6,797
14,123
Datadog,
Inc.
a
3,784,540
10,503
DigitalOcean
Holdings,
Inc.
a
1,234,103
779
Diodes,
Inc.
a
64,127
11,256
DocuSign,
Inc.
a
617,166
1,726
Enphase
Energy,
Inc.
a
64,794
327
Entegris,
Inc.
38,929
1,206
EPAM
Systems,
Inc.
a
127,305
2,679
Everforth,
Inc.
a
76,191
454
F5,
Inc.
a
182,767
6,468
Fabrinet
a
2,816,232
3,242
Figma,
Inc.
a
78,845
2,820
Flex,
Ltd.
a
320,775
27,635
Fortinet,
Inc.
a
4,475,488
3,761
Globant
SA
a
137,653
Shares
Common
Stock  46.5%
Value
Information
Technology
11.8%
-
continued
551
GoDaddy,
Inc.
a
$
45,590
36,392
GPGI,
Inc.
480,374
24,707
Guidewire
Software,
Inc.
a
3,753,982
7,594
Hewlett
Packard
Enterprise
Company
363,753
381
HubSpot,
Inc.
a
90,434
676
Ichor
Holdings,
Ltd.
a
50,883
3,722
Ingram
Micro
Holding
Corporation
104,998
855
Insight
Enterprises,
Inc.
a
110,235
14,282
Intel
Corporation
a
1,288,236
2,553
InterDigital,
Inc.
778,218
11,612
International
Business
Machines
Corporation
2,597,024
1,969
Intuit,
Inc.
622,342
13,438
IPG
Photonics
Corporation
a
1,143,036
76,890
JFrog,
Ltd.
a
6,135,053
7,843
Keysight
Technologies,
Inc.
a
2,502,544
45,301
Knowles
Corporation
a
1,657,564
1,377
Kulicke
and
Soffa
Industries,
Inc.
122,828
32,069
Lam
Research
Corporation
9,396,858
17,060
Lattice
Semiconductor
Corporation
a
2,120,046
10,222
Littelfuse,
Inc.
4,519,453
697
Lumentum
Holdings,
Inc.
a
497,616
5,903
MACOM
Technology
Solutions
Holdings,
Inc.
a
1,484,250
7,981
Manhattan
Associates,
Inc.
a
1,527,244
290
MaxLinear,
Inc.
a
19,378
2,701
Microchip
Technology,
Inc.
200,657
13,935
Micron
Technology,
Inc.
11,468,923
119,095
Microsoft
Corporation
55,345,828
5,187
MKS,
Inc.
1,542,873
247
MongoDB,
Inc.
a
83,358
3,666
Monolithic
Power
Systems,
Inc.
5,227,826
2,929
Motorola
Solutions,
Inc.
1,276,312
957
Napco
Security
Technologies,
Inc.
35,486
391
NetApp,
Inc.
69,794
1,879
NetScout
Systems,
Inc.
a
76,419
248,774
Nokia
Oyj
ADR
2,273,794
4,338
Novanta,
Inc.
a
618,382
30,614
Nutanix,
Inc.
a
1,806,532
304,452
NVIDIA
Corporation
61,118,739
1,317
NXP
Semiconductors
NV
301,804
1,303
Okta,
Inc.
a
184,935
1,360
ON
Semiconductor
Corporation
a
110,990
15,167
Onto
Innovation,
Inc.
a
3,921,883
16,461
Oracle
Corporation
2,137,790
33,723
Palantir
Technologies,
Inc.
a
4,149,952
1,292
PC
Connection,
Inc.
108,166
33,077
Pegasystems,
Inc.
1,010,502
5,876
Plexus
Corporation
a
1,476,874
798
PTC,
Inc.
a
109,486
279
Q2
Holdings,
Inc.
a
16,983
1,180
Qnity
Electronics,
Inc.
154,792
48,025
Qualcomm,
Inc.
7,088,970
14,355
Rambus,
Inc.
a
1,306,736
217
Rigetti
Computing,
Inc.
a
3,244
7,524
Rogers
Corporation
a
928,988
570
Roper
Industries,
Inc.
223,423
158,872
SailPoint,
Inc.
a
2,664,283
2,277
Salesforce,
Inc.
419,014
85,290
Samsung
Electronics
Company,
Ltd.
14,845,136
1,092
SanDisk
Corporation
a
1,326,594
413
Sanmina
Corporation
a
76,636
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
8
Shares
Common
Stock  46.5%
Value
Information
Technology
11.8%
-
continued
32,038
ServiceNow,
Inc.
a
$
3,563,587
3,470
SiTime
Corporation
a
1,857,144
1,910
Skyworks
Solutions,
Inc.
b
118,955
11,232
Snowflake,
Inc.
a
3,294,121
5,077
Synopsys,
Inc.
a
1,973,735
13,049
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
ADR
5,275,058
42,122
TD
SYNNEX
Corporation
10,770,595
263
TE
Connectivity
plc
54,096
160
Teledyne
Technologies,
Inc.
a
104,891
1,210
Tenable
Holdings,
Inc.
a
39,494
803
Teradyne,
Inc.
295,255
13,976
Texas
Instruments,
Inc.
3,853,742
2,843
Trimble,
Inc.
a
160,857
11,869
TTM
Technologies,
Inc.
a
1,370,157
328
Twilio,
Inc.
a
64,731
321
Tyler
Technologies,
Inc.
a
99,382
1,569
Unity
Software,
Inc.
a
49,753
921
Varonis
Systems,
Inc.
a
36,794
598
VeriSign,
Inc.
173,432
1,118
ViaSat,
Inc.
a
86,008
3,100
Vistance
Networks,
Inc.
a
36,394
4,417
Vontier
Corporation
141,918
1,626
Western
Digital
Corporation
885,910
1,427
Workday,
Inc.
a
228,805
7,780
Zebra
Technologies
Corporation
a
2,285,920
1,916
Zoom
Communications,
Inc.
a
184,070
835
Zscaler,
Inc.
a
126,252
Total
421,829,821
Materials
1.6%
2,019
Air
Products
and
Chemicals,
Inc.
595,383
536
Albemarle
Corporation
63,055
21,607
Alcoa
Corporation
977,933
1,840
Amcor
plc
82,579
6,433
American
Vanguard
Corporation
a
15,375
22,912
Amrize,
Ltd.
1,120,626
1,134
AngloGold
Ashanti
plc
89,949
7,800
AptarGroup,
Inc.
1,044,888
21,351
Ashland,
Inc.
1,550,296
227
Avery
Dennison
Corporation
38,529
3,291
Avient
Corporation
119,529
12,099
Balchem
Corporation
2,027,248
3,392
Ball
Corporation
220,141
21,481
Celanese
Corporation
960,630
2,210
Century
Aluminum
Company
a
98,942
49,076
CF
Industries
Holdings,
Inc.
6,143,824
8,793
Cleveland-Cliffs,
Inc.
a
101,295
12,112
Coeur
Mining,
Inc.
180,590
1,512
Commercial
Metals
Company
103,905
49
Compass
Minerals
International,
Inc.
a
1,438
76,515
Constellium
SE
a
2,125,587
2,819
Corteva,
Inc.
221,883
45,047
Crown
Holdings,
Inc.
5,308,789
7,155
Dow,
Inc.
216,725
148
DuPont
de
Nemours,
Inc.
20,276
25,147
Eastman
Chemical
Company
1,759,033
6,882
Ecolab,
Inc.
1,910,650
30,719
Ecovyst,
Inc.
a
370,471
52,120
Element
Solutions,
Inc.
1,914,368
17,977
Freeport-McMoRan,
Inc.
1,125,899
5,772
Graphic
Packaging
Holding
Company
61,934
Shares
Common
Stock  46.5%
Value
Materials
1.6%
-
continued
18,477
Greif,
Inc.
$
1,599,184
5,512
Hecla
Mining
Company
77,829
1,150
Ingevity
Corporation
a
84,076
55,570
International
Paper
Company
2,268,923
140,171
Ivanhoe
Mines,
Ltd.
a
1,006,899
1,263
Kaiser
Aluminum
Corporation
201,676
7,401
Linde
plc
3,540,490
2,261
LyondellBasell
Industries
NV
140,363
7,561
Magnera
Corporation
a
100,183
2,486
Martin
Marietta
Materials,
Inc.
1,305,498
1,060
Minerals
Technologies,
Inc.
80,814
5,606
Mosaic
Company
124,005
10,837
Newmont
Corporation
1,015,535
32,665
Nucor
Corporation
8,404,378
1,747
O-I
Glass,
Inc.
a
12,491
2,688
Orion
SA
18,144
259
Packaging
Corporation
of
America
63,673
1,418
Perimeter
Solutions,
Inc.
a
43,405
1,376
PPG
Industries,
Inc.
152,076
413
Reliance,
Inc.
167,719
996
Royal
Gold,
Inc.
197,557
990
RPM
International,
Inc.
105,999
376
Scotts
Miracle-Gro
Company
24,696
1,155
Sensient
Technologies
Corporation
142,839
1,303
Smurfit
WestRock
plc
59,899
30,197
Solstice
Advanced
Materials,
Inc.
1,816,953
1,600
Sonoco
Products
Company
90,176
5,304
SSR
Mining,
Inc.
a
135,888
11,637
Steel
Dynamics,
Inc.
2,923,913
629
Stepan
Company
40,344
1,434
TriMas
Corporation
57,260
119
Vulcan
Materials
Company
31,960
Total
56,606,615
Real
Estate
1.4%
14,356
Agree
Realty
Corporation
1,116,897
3,271
Alexandria
Real
Estate
Equities,
Inc.
168,293
2,419
Alpine
Income
Property
Trust,
Inc.
48,815
9,011
Americold
Realty
Trust,
Inc.
126,965
19,404
AvalonBay
Communities,
Inc.
3,601,576
11,165
Brixmor
Property
Group,
Inc.
351,809
925
Broadstone
Net
Lease,
Inc.
19,804
10,971
CareTrust
REIT,
Inc.
460,124
41,907
CBRE
Group,
Inc.
a
6,152,367
6,934
CoStar
Group,
Inc.
a
199,422
12,414
Cousins
Properties,
Inc.
391,662
76,568
Crown
Castle,
Inc.
5,842,138
3,617
Curbline
Properties
Corporation
110,825
1,326
Cushman
&
Wakefield,
Ltd.
a
17,795
2,410
Digital
Realty
Trust,
Inc.
454,333
7,752
Easterly
Government
Properties,
Inc.
188,839
16,081
EPR
Properties
998,148
1,050
Equinix,
Inc.
1,070,244
17,341
Equity
Lifestyle
Properties,
Inc.
1,128,379
72,553
Essential
Properties
Realty
Trust,
Inc.
2,270,183
242
Essex
Property
Trust,
Inc.
68,762
8,588
Extra
Space
Storage,
Inc.
1,271,368
622
Federal
Realty
Investment
Trust
77,184
76,926
Fermi,
Inc.
a
437,709
38,598
First
Industrial
Realty
Trust,
Inc.
2,541,292
543
Forestar
Group,
Inc.
a
15,285
2,302
FrontView
REIT,
Inc.
46,823
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
9
Shares
Common
Stock  46.5%
Value
Real
Estate
1.4%
-
continued
5,004
Gaming
and
Leisure
Properties,
Inc.
$
224,129
9,163
Getty
Realty
Corporation
312,825
173,390
Healthcare
Realty
Trust,
Inc.
3,642,924
4,260
Host
Hotels
&
Resorts,
Inc.
107,054
5,770
Hudson
Pacific
Properties,
Inc.
79,453
32,028
Independence
Realty
Trust,
Inc.
532,626
31,548
Industrial
Logistics
Properties
Trust
271,628
10,441
Innovative
Industrial
Properties,
Inc.
614,035
8,720
InvenTrust
Properties
Corporation
308,775
8,794
Iron
Mountain,
Inc.
1,075,682
8,701
Jones
Lang
LaSalle,
Inc.
a
3,089,116
2,466
Kimco
Realty
Corporation
62,834
127
Lamar
Advertising
Company
20,315
1,145
Macerich
Company
29,587
49,070
Medical
Properties
Trust,
Inc.
227,194
38,545
Millrose
Properties,
Inc.
1,078,489
215
National
Health
Investors,
Inc.
16,480
25,256
NetSTREIT
Corporation
541,741
889
NNN
REIT,
Inc.
42,245
384
Omega
Healthcare
Investors,
Inc.
19,442
7,360
Outfront
Media,
Inc.
234,563
11,605
Park
Hotels
&
Resorts,
Inc.
174,771
3,602
Piedmont
Realty
Trust,
Inc.
a
34,903
1,704
Postal
Realty
Trust,
Inc.
39,260
5,920
Rayonier,
Inc.
REIT
128,938
1,714
Realty
Income
Corporation
109,473
850
Regency
Centers
Corporation
68,247
11,841
RLJ
Lodging
Trust
145,052
525
Ryman
Hospitality
Properties
70,166
31,828
Sabra
Health
Care
REIT,
Inc.
673,799
9,176
Safehold,
Inc.
148,468
988
SBA
Communications
Corporation
178,808
4,627
Service
Properties
Trust
37,155
4,856
Simon
Property
Group,
Inc.
1,113,821
5,544
STAG
Industrial,
Inc.
212,113
6,264
Sunstone
Hotel
Investors,
Inc.
73,727
59,832
Tanger,
Inc.
2,432,769
27,563
Terreno
Realty
Corporation
1,974,889
2,419
Ventas,
Inc.
226,201
16,890
VICI
Properties,
Inc.
445,052
1,147
WP
Carey,
Inc.
84,419
4,909
Xenia
Hotels
&
Resorts,
Inc.
101,027
4,589
Zillow
Group,
Inc.,
Class
C
a
156,301
Total
50,337,537
Utilities
1.6%
17,697
Alliant
Energy
Corporation
1,252,594
4,085
American
States
Water
Company
349,839
385
American
Water
Works
Company,
Inc.
51,655
1,346
Artesian
Resources
Corporation
46,235
7,978
Avista
Corporation
322,710
2,688
Black
Hills
Corporation
191,412
2,187
California
Water
Service
Group
109,591
30,385
CenterPoint
Energy,
Inc.
1,277,385
9,714
Clearway
Energy,
Inc.,
Class
C
308,225
1,296
Consolidated
Edison,
Inc.
141,070
30,023
Constellation
Energy
Corporation
7,888,543
300
DTE
Energy
Company
42,561
59,080
Duke
Energy
Corporation
7,410,404
49,468
Edison
International
3,629,467
80,116
Entergy
Corporation
8,622,084
44,912
Evergy,
Inc.
3,728,145
Shares
Common
Stock  46.5%
Value
Utilities
1.6%
-
continued
9,060
Eversource
Energy
$
648,605
8,557
Exelon
Corporation
392,082
5,399
FirstEnergy
Corporation
260,826
1,136
H2O
America
b
69,671
4,159
National
Fuel
Gas
Company
342,327
4,840
New
Jersey
Resources
Corporation
280,188
27,649
NiSource,
Inc.
1,228,445
711
OGE
Energy
Corporation
33,666
1,782
Otter
Tail
Corporation
157,564
71,360
PG&E
Corporation
1,240,237
20,510
Pinnacle
West
Capital
Corporation
2,071,305
61,034
Portland
General
Electric
Company
3,010,807
1,657
PPL
Corporation
58,343
2,704
Public
Service
Enterprise
Group,
Inc.
207,343
10,945
Spire,
Inc.
874,068
83,489
UGI
Corporation
3,015,623
3,907
Unitil
Corporation
210,744
45,972
Vistra
Energy
Corporation
6,812,591
419
Xcel
Energy,
Inc.
32,766
Total
56,319,121
Total
Common
Stock
(cost
$1,221,114,211)
1,668,550,695
Shares
Registered
Investment
Companies  
36.3%
Value
U.S.
Affiliated  
35.7%  
5,693,000
Thrivent
Core
Emerging
Markets
Equity
Fund
83,231,664
2,632,453
Thrivent
Global
Stock
Fund,
Class
S
85,502,088
16,514,567
Thrivent
International
Equity
Fund,
Class
S
236,488,602
5,562,050
Thrivent
International
Large
Cap
ETF
142,109,821
204,091
Thrivent
International
Small
Cap
ETF
4,738,952
11,367,034
Thrivent
Large
Cap
Growth
Fund,
Class
S
285,994,566
4,667,549
Thrivent
Large
Cap
Value
Fund,
Class
S
175,966,601
2,680,961
Thrivent
Mid
Cap
Stock
Fund,
Class
S
106,916,706
3,654,322
Thrivent
Mid
Cap
Value
ETF
65,110,151
1,939,860
Thrivent
Small
Cap
Stock
Fund,
Class
S
72,492,557
702,830
Thrivent
Small
Cap
Value
ETF
22,570,542
Total
1,281,122,250
U.S.
Unaffiliated  
0.6%  
7,242
Invesco
QQQ
Trust
Series
1
b
4,982,424
2,151
iShares
Biotechnology
ETF
400,968
1,078
iShares
Russell
2000
Growth
ETF
399,582
2,110
iShares
Semiconductor
ETF
1,065,318
12,894
State
Street
SPDR
S&P
500
ETF
Trust
9,632,205
3,558
State
Street
SPDR
S&P
600
Small
Cap
Growth
ETF
409,953
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
10
Shares
Registered
Investment
Companies  36.3%
Value
U.S.
Unaffiliated  
0.6%  -
continued
17,750
State
Street
SPDR
S&P
Biotech
ETF
$
2,609,427
Total
19,499,877
Total
Registered
Investment
Companies
(cost
$780,747,484)
1,300,622,127
Principal
Amount
Long-Term
Fixed
Income
2.6%
Value
Commercial
Mortgage-Backed
Securities
<0.1%
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
$
1,240,000
5.000%, 
5/25/2034,
Ser.
K-164,
Class
A2
c
1,246,730
Total
1,246,730
Mortgage-Backed
Securities
1.3%
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
480,917
2.000%, 
5/1/2051
380,784
746,594
2.500%, 
5/1/2051
618,103
512,738
4.000%, 
5/1/2052
472,250
160,829
5.000%, 
7/1/2053
156,878
1,112,637
5.500%, 
7/1/2053
1,110,921
722,104
5.000%, 
8/1/2053
707,346
1,651,588
5.500%, 
9/1/2053
1,658,326
47,799
5.500%, 
9/1/2055
47,654
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
103,275
2.500%, 
7/1/2030
99,710
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
397,944
3.000%, 
8/1/2038
373,331
522,197
3.500%, 
5/1/2040
488,806
369,098
2.500%, 
4/1/2042
324,914
1,488,149
5.000%, 
10/1/2045
1,451,148
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
680,213
3.000%, 
1/1/2052
586,723
174,208
2.000%, 
2/1/2051
137,934
102,789
2.000%, 
2/1/2051
81,386
579,006
2.500%, 
2/1/2051
482,507
1,166,856
5.500%, 
2/1/2055
1,167,681
1,188,466
2.000%, 
3/1/2051
935,218
1,452,538
4.000%, 
3/1/2051
1,346,822
236,354
2.000%, 
3/1/2052
187,952
739,062
3.000%, 
3/1/2052
637,592
764,343
5.500%, 
3/1/2055
d
760,391
271,522
3.000%, 
4/1/2051
232,356
590,717
5.500%, 
4/1/2054
593,127
481,771
3.000%, 
5/1/2050
412,324
207,097
2.000%, 
5/1/2051
163,100
351,734
3.000%, 
5/1/2051
307,764
998,945
2.000%, 
6/1/2050
788,736
292,443
3.000%, 
6/1/2050
256,994
351,115
4.000%, 
6/1/2052
322,037
121,006
5.000%, 
6/1/2053
118,220
595,255
2.500%, 
7/1/2051
498,051
Principal
Amount
Long-Term
Fixed
Income  2.6%
Value
Mortgage-Backed
Securities
1.3%
-
continued
$
450,718
3.500%, 
7/1/2051
$
404,696
238,485
4.000%, 
7/1/2052
218,736
498,097
3.500%, 
8/1/2050
449,368
4,300,969
2.500%, 
8/1/2051
3,529,864
700,349
3.500%, 
8/1/2052
621,957
576,970
4.500%, 
8/1/2052
545,235
2,948,541
4.500%, 
8/1/2052
2,787,916
1,010,458
5.000%, 
8/1/2053
986,882
981,293
6.000%, 
8/1/2054
1,014,517
3,525,000
2.500%, 
8/1/2056
d
2,873,387
173,399
3.500%, 
9/1/2052
155,231
342,333
3.500%, 
9/1/2052
307,496
748,969
5.000%, 
9/1/2052
728,851
2,553,476
4.500%, 
9/1/2053
2,419,143
878,101
4.500%, 
9/1/2053
833,314
882,449
4.000%, 
10/1/2052
813,545
209,496
2.000%, 
11/1/2051
165,869
253,860
3.500%, 
11/1/2052
228,406
851,094
2.000%, 
12/1/2050
674,508
708,239
2.500%, 
12/1/2051
590,041
991,276
4.500%, 
12/1/2052
941,499
1,625,000
6.000%, 
8/1/2041
d
1,642,894
400,000
4.000%, 
8/1/2048
d
365,119
225,000
4.500%, 
8/1/2048
d
211,259
4,175,000
5.000%, 
8/1/2048
d
4,028,733
550,000
3.500%, 
8/1/2049
d
487,846
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
254,650
3.500%, 
7/1/2061
223,109
452,469
4.000%, 
12/1/2061
407,838
Total
46,564,345
U.S.
Government
&
Agencies
1.3%
U.S.
Treasury
Bonds
2,000,000
1.625%, 
11/15/2050
989,453
2,850,000
4.000%, 
11/15/2052
2,321,414
3,240,000
1.375%, 
11/15/2040
2,016,647
1,800,000
4.625%, 
2/15/2046
1,658,250
2,291,000
2.500%, 
5/15/2046
1,503,021
U.S.
Treasury
Notes
2,000,000
3.875%, 
5/31/2027
1,996,075
4,000,000
3.500%, 
9/30/2027
3,968,906
1,490,000
2.250%, 
11/15/2027
1,453,565
200,000
0.750%, 
1/31/2028
189,969
4,500,000
2.875%, 
5/15/2028
4,392,949
3,000,000
4.125%, 
7/31/2028
2,991,328
3,700,000
4.375%, 
8/31/2028
3,706,504
2,400,000
4.125%, 
3/31/2029
2,388,000
5,300,000
3.625%, 
9/30/2030
5,144,727
125,000
0.875%, 
11/15/2030
107,935
1,500,000
3.750%, 
1/31/2031
1,459,453
1,500,000
3.875%, 
4/30/2031
1,465,195
4,800,000
2.875%, 
5/15/2032
4,407,938
4,000,000
3.375%, 
5/15/2033
3,726,406
400,000
4.250%, 
8/15/2035
387,297
Total
46,275,032
Total
Long-Term
Fixed
Income
(cost
$99,463,929)
94,086,107
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
11
Shares
e
Private
Equity
Funds
2.6%
Value
Secondary  2.6%
__
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP
*,a,f
$
14,610,142
__
ASF
IX,
LP
*,a,f
11,781,569
__
ASF
VIII
Sidecar
(Cayman),
LP
*,a,f
3,912,428
__
Crown
Global
Secondaries
VI
Feeder
SA,
SICAV-RAIF
*,a,f
14,218,637
__
LCP
X
(Offshore),
LP
*,a,f
22,005,656
__
StepStone
Secondary
Opportunities
Fund
V
Offshore,
LP
*,a,f
23,227,359
__
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP
*,a,f
2,071,477
Total
91,827,268
Total
Private
Equity
Funds
(cost
$64,456,138)
91,827,268
Shares
Collateral
Held
for
Securities
Loaned
0.2%
Value
6,028,125
Thrivent
Cash
Management
Trust
6,028,125
Total
Collateral
Held
for
Securities
Loaned
(cost
$6,028,125)
6,028,125
Shares
or
Principal
Amount
Short-Term
Investments
11.8%
Value
Federal
Home
Loan
Bank
Discount
Notes
8,900,000
3.615%,
8/21/2026
g,h
8,881,336
4,900,000
3.620%,
8/26/2026
g,h
4,887,278
500,000
3.634%,
8/28/2026
g,h
498,602
4,500,000
3.630%,
9/4/2026
g,h
4,484,031
300,000
3.660%,
9/9/2026
g,h
298,783
900,000
3.650%,
9/11/2026
g,h
896,167
1,300,000
3.677%,
9/18/2026
g,h
1,293,542
200,000
3.713%,
9/23/2026
g,h
198,905
1,900,000
3.700%,
10/1/2026
g,h
1,887,942
2,100,000
3.690%,
10/14/2026
g,h
2,083,878
1,000,000
3.710%,
10/16/2026
g,h
992,118
10,800,000
3.800%,
10/21/2026
g,h
10,709,349
800,000
3.700%,
10/26/2026
g,h
792,876
Federal
Home
Loan
Mortgage
Corporation
Discount
Notes
800,000
3.695%,
10/14/2026
g,h
793,858
State
Street
Institutional
U.S.
Government
Money
Market
Fund
155,524,619
3.619%
g
155,524,619
Thrivent
Core
Short-Term
Reserve
Fund
23,111,014
3.970%
231,110,139
Total
Short-Term
Investments
(cost
$425,260,984)
425,333,423
Total
Investments
(cost
$2,597,070,871)
100.0%
$3,586,447,745
Other
Assets
and
Liabilities,
Net
(<0.1%)
(792,200)
Total
Net
Assets
100.0%
$3,585,655,545
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
Private
equity
fund
partnerships
do
not
issue
shares.
f
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
g
The
interest
rate
shown
reflects
the
yield.
h
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Aggressive
Allocation
Fund
as
of
July
31,
2026
was
$91,827,268
or
2.56%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP 
6/28/2024
$
10,962,896
ASF
IX,
LP 
3/18/2024
9,295,173
ASF
VIII
Sidecar
(Cayman),
LP 
6/28/2024
3,011,911
Crown
Global
Secondaries
VI
Feeder
SA,
SICAV-RAIF 
2/15/2024
10,528,000
LCP
X
(Offshore),
LP 
10/25/2023
13,538,526
StepStone
Secondary
Opportunities
Fund
V
Offshore,
LP 
6/28/2024
17,119,632
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP 
7/9/2026
–
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Aggressive
Allocation
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
5,952,014
Total
lending
$5,952,014
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$6,028,125
Net
amounts
due
to
counterparty
$76,111
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
12
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
ETF
-
Exchange-Traded
Fund
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
S&P
-
Standard
&
Poor's
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Aggressive
Allocation
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
112,723,636
110,642,745
2,080,891
–
Consumer
Discretionary
168,878,084
168,878,084
–
–
Consumer
Staples
53,670,293
53,670,293
–
–
Energy
77,565,377
77,565,377
–
–
Financials
232,275,330
232,275,330
–
–
Health
Care
195,144,073
195,144,073
–
–
Industrials
243,200,808
243,200,808
–
–
Information
Technology
421,829,821
406,984,685
14,845,136
–
Materials
56,606,615
56,606,615
–
–
Real
Estate
50,337,537
50,337,537
–
–
Utilities
56,319,121
56,319,121
–
–
Registered
Investment
Companies
U.S.
Affiliated
1,197,890,586
1,197,890,586
–
–
U.S.
Unaffiliated
19,499,877
19,499,877
–
–
Long-Term
Fixed
Income
Commercial
Mortgage-Backed
Securities
1,246,730
–
1,246,730
–
Mortgage-Backed
Securities
46,564,345
–
46,564,345
–
U.S.
Government
&
Agencies
46,275,032
–
46,275,032
–
Private
Equity
Funds
Secondary
91,827,268
–
–
91,827,268
Short-Term
Investments
194,223,284
155,524,619
38,698,665
–
Subtotal
Investments
in
Securities
$3,266,077,817
$3,024,539,750
$149,710,799
$91,827,268
Other
Investments  *
Total
Affiliated
Short-Term
Investments
231,110,139
U.S.
Affiliated
Registered
Investment
Cos.
83,231,664
Collateral
Held
for
Securities
Loaned
6,028,125
Subtotal
Other
Investments
$320,369,928
Total
Investments
at
Value
$3,586,447,745
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Aggressive
Allocation
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
5,968,144
5,968,144
–
–
Total
Asset
Derivatives
$5,968,144
$5,968,144
$–
$–
Liability
Derivatives
Futures
Contracts
3,228,409
3,228,409
–
–
Total
Liability
Derivatives
$3,228,409
$3,228,409
$–
$–
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
13
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
reconciliation
of
assets
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
fair
value
for
Aggressive
Allocation
Fund as
discussed
in
the
Notes
to
Schedule
of
Investments.
*
Located
on
the
Statement
of
Operations,
Change
in
net
unrealized
appreciation/(depreciation)
on
investments.
   %
Located
on
the
Statement
of
Operations,
Net
realized
gains/(losses)
on
investments.
   #
Transferred
from
Level
2
to
Level
3
because
of
a
lack
of
observable
market
data,
resulting
from
a
decrease
in
market
activity
for
the
securities.
   @
Transferred
from
Level
3
to
Level
2
because
observable
market
data
became
available
for
the
securities.
**
The
reporting
entity's Private
Equity
Funds
-
Secondary Level
3
securities
are fair
valued using
the
adjusted
reported
Net
Asset
Value
(NAV)
of
the
investment,
adjusted
for
subsequent
investment
activity
and
market
movement
using
inputs
determined
by
the policies
and
procedures
of
the
reporting
entity. 
Inputs
used
in
valuation
include index
returns
that
are
adjusted based
on
a
regression
analysis
of
similar
types
of
assets
over
time. 
Significant
changes
in
the
inputs
in
isolation
could result
in
a
significantly
lower
or
higher
fair
value
measurement.
Investments
in
Securities 
Beginning
Value
10/31/2025
Realized
Gain/
(Loss)% 
Change
in
Unrealized
Appreciation/
(Depreciation)
* 
Purchases 
Sales 
Transfers
Into
Level
3 #
Transfers
Out
of
Level
3 @
Ending
Value
07/31/2026
Private
Equity
Funds
 Secondary
$71,928,500
$- 
$11,627,845
$12,147,385
($3,876,462) 
$-
$- 
$91,827,268
Total 
$71,928,500
$-  
$11,627,845
$12,147,385
($3,876,462) 
$-
$-
$91,827,268
Investments
in
Securities
Ending
Value
07/31/2026
Valuation
Technique(s)
Unobservable 
Input(s)
Range
of Inputs
Private
Equity
Funds
   Secondary
$91,827,268
Adjusted
reported
investment
of
net
asset
value  
Fair
Value
adjustment
**
N/A
Total 
$91,827,268
The
following
table
presents
Aggressive
Allocation
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$39,044,665
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
22
September
2026
$
2,398,233
(
$
22,233)
CBOT
5-Yr.
U.S.
Treasury
Note
47
September
2026
5,013,885
(
32,986)
CME
E-mini
Russell
2000
Index
18
September
2026
2,677,489
(
33,289)
CME
E-mini
S&P
500
Index
1,258
September
2026
469,226,580
3,734,245
CME
E-mini
S&P
Mid-Cap
400
Index
6
September
2026
2,292,635
(
28,895)
ICE
mini
MSCI
EAFE
Index
861
September
2026
135,166,328
1,831,687
ICE
US
mini
MSCI
Emerging
Markets
Index
410
September
2026
35,687,433
(
2,020,283)
Total
Futures
Long
Contracts
$
652,462,583
$
3,428,246
CME
E-mini
Russell
2000
Index
(1,361)
September
2026
(
$
200,205,393)
$
274,493
CME
E-mini
S&P
Mid-Cap
400
Index
(48)
September
2026
(
18,237,639)
127,719
Eurex
Euro
STOXX
50
Index
(441)
September
2026
(
31,389,668)
(
1,090,723)
Total
Futures
Short
Contracts
(
$
249,832,700)
($688,511)
Total
Futures
Contracts
$
402,629,883
$2,739,735
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
14
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Aggressive
Allocation
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$67,232
$2,179
$–
$83,232
5,693
2.3%
Global
Stock,
Class
S
75,914
7,832
–
85,502
2,632
2.4
International
Equity,
Class
S
200,759
13,694
–
236,489
16,515
6.6
International
Large
Cap
ETF
1
114,751
24,588
–
142,110
5,562
4.0
International
Small
Cap
ETF
–
4,762
–
4,739
204
0.1
Large
Cap
Growth,
Class
S
285,064
8,432
–
285,995
11,367
8.0
Large
Cap
Value,
Class
S
147,789
8,020
–
175,967
4,668
4.9
Mid
Cap
Stock,
Class
S
88,420
10,059
–
106,917
2,681
3.0
Mid
Cap
Value
ETF
2
–
55,632
–
65,110
3,654
1.8
Small
Cap
Stock,
Class
S
60,633
1,448
–
72,492
1,940
2.0
Small
Cap
Value
ETF
3
18,047
2,135
0
22,570
703
0.6
Total
Affiliated
Registered
Investment
Companies
1,058,609
1,281,123
35.7
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
293,378
166,020
228,340
231,110
23,111
6.4
Total
Affiliated
Short-Term
Investments
293,378
231,110
6.4
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
614
217,929
212,515
6,028
6,028
0.2
Total
Collateral
Held
for
Securities
Loaned
614
6,028
0.2
Total
Value
$1,352,601
$1,518,261
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$–
$13,821
$–
$2,179
Global
Stock,
Class
S
–
1,756
6,578
1,254
International
Equity,
Class
S
–
22,036
8,040
5,653
International
Large
Cap
ETF
1
–
2,771
12,370
6,919
International
Small
Cap
ETF
–
(23)
–
–
Large
Cap
Growth,
Class
S
–
(7,501)
8,431
–
Large
Cap
Value,
Class
S
–
20,158
6,138
1,882
Mid
Cap
Stock,
Class
S
–
8,438
9,631
427
Mid
Cap
Value
ETF
2
–
9,478
–
66
Small
Cap
Stock,
Class
S
–
10,411
1,200
248
Small
Cap
Value
ETF
3
–
2,388
1,729
459
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
52
–
–
7,746
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$26,833
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
7
Total
Affiliated
Income
from
Securities
Loaned,
Net
$7
Total
$52
$83,733
$54,117
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
2
Effective
November
14,
2025,
Mid
Cap
Value
Fund
converted
to
Mid
Cap
Value
ETF.
3
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
15
Principal
Amount
Long-Term
Fixed
Income
34.1%
Value
Asset-Backed
Securities
5.0%
522
Funding
CLO,
Ltd.
$
400,000
5.503%, 
(TSFR3M
+
1.750%),
4/15/2035,
Ser.
2019-5A,
Class
CR2
a,b
$
400,062
Acacia,
LLC
400,000
5.440%, 
7/15/2041,
Ser.
2026-1,
Class
A
a
399,823
Anchorage
Capital
CLO
20,
Ltd.
250,000
6.929%, 
(TSFR3M
+
3.200%),
1/20/2035,
Ser.
2021-20A,
Class
DR
a,b
246,590
Anchorage
Capital
CLO
21,
Ltd.
250,000
5.629%, 
(TSFR3M
+
1.900%),
10/20/2034,
Ser.
2021-21A,
Class
CR
a,b
250,053
Avis
Budget
Rental
Car
Funding
AESOP,
LLC
275,000
5.240%, 
8/20/2029,
Ser.
2025-1A,
Class
B
a
275,251
500,000
4.770%, 
2/20/2032,
Ser.
2025-4A,
Class
B
a
484,689
Balboa
Bay
Loan
Funding,
Ltd.
300,000
5.979%, 
(TSFR3M
+
2.250%),
1/20/2035,
Ser.
2021-2A,
Class
CR
a,b
300,063
Barings
CLO,
Ltd.
400,000
5.629%, 
(TSFR3M
+
1.900%),
1/18/2035,
Ser.
2021-3A,
Class
CR
a,b
400,048
Battalion
CLO
XI,
Ltd.
500,000
5.725%, 
(TSFR3M
+
1.950%),
4/24/2034,
Ser.
2017-11A,
Class
CR2
a,b
492,927
Battalion
CLO
XIV,
Ltd.
575,000
5.729%, 
(TSFR3M
+
2.000%),
1/20/2035,
Ser.
2019-14A,
Class
CR2
a,b
575,014
Battalion
CLO
XXI,
Ltd.
900,000
5.753%, 
(TSFR3M
+
2.000%),
7/15/2034,
Ser.
2021-21A,
Class
CR
a,b
900,055
Business
Jet
Securities,
LLC
241,502
5.364%, 
9/15/2039,
Ser.
2024-2A,
Class
A
a
240,319
Capital
Four
US
CLO
V,
Ltd.
600,000
5.624%, 
(TSFR3M
+
1.900%),
7/15/2037,
Ser.
2026-5A,
Class
C
a,b
599,867
College
Avenue
Student
Loans,
LLC
36,705
5.489%, 
(TSFR1M
+
1.764%),
11/26/2046,
Ser.
2017-A,
Class
A1
*,b
37,074
Columbia
Cent
CLO
33,
Ltd.
450,000
5.679%, 
(TSFR3M
+
1.950%),
4/20/2037,
Ser.
2024-33A,
Class
CR
a,b
450,674
Dryden
72
CLO,
Ltd.
325,000
5.301%, 
(TSFR3M
+
1.650%),
5/15/2032,
Ser.
2019-72A,
Class
BRR
a,b
325,153
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Asset-Backed
Securities
5.0%
-
continued
Federal
National
Mortgage
Association
-
REMIC
$
375,000
7.776%, 
(SOFR30A
+
4.160%),
8/25/2026,
Ser.
2026-69,
Class
MF
b
$
362,511
FirstLight
Issuer,
LLC
500,000
5.873%, 
6/20/2056,
Ser.
2026-1A,
Class
A2
a
496,729
Hertz
Vehicle
Financing
III,
LLC
475,000
6.120%, 
1/25/2029,
Ser.
2024-1A,
Class
B
a
479,393
425,000
5.450%, 
9/25/2029,
Ser.
2025-1A,
Class
B
a
424,216
500,000
5.140%, 
5/25/2032,
Ser.
2025-6A,
Class
B
a
483,953
HOMES
Trust
675,300
5.077%, 
8/25/2060,
Ser.
2026-INV1,
Class
A1D
a,c
667,024
Hotwire
Funding,
LLC
425,000
5.893%, 
6/20/2054,
Ser.
2024-1A,
Class
A2
a
428,479
HPS
Loan
Management,
Ltd.
400,000
5.553%, 
(TSFR3M
+
1.800%),
4/15/2037,
Ser.
2024-19A,
Class
CR
a,b
400,289
Kennedy
Lewis
CLO
3,
Ltd.
350,000
5.129%, 
(TSFR3M
+
1.400%),
10/20/2036,
Ser.
3A,
Class
A2R3
a,b
348,802
LCM
41,
Ltd.
950,000
7.353%, 
(TSFR3M
+
3.600%),
4/15/2036,
Ser.
41A,
Class
D1R
a,b
925,459
LEDN
Issuer
Trust
250,000
6.748%, 
2/25/2041,
Ser.
2026-1A,
Class
A
a
249,878
Lightpath
Fiber
Issuer,
LLC
550,000
5.597%, 
3/25/2056,
Ser.
2026-1A,
Class
A2
a
544,758
MetroNet
Infrastructure
Issuer,
LLC
550,000
5.400%, 
8/20/2055,
Ser.
2025-2A,
Class
A2
a
549,154
175,000
5.163%, 
12/20/2055,
Ser.
2025-4A,
Class
A2
a
172,127
Octagon
Investment
Partners
50,
Ltd.
700,000
5.753%, 
(TSFR3M
+
2.000%),
1/15/2035,
Ser.
2020-4A,
Class
CR2
a,b
700,106
Pagaya
AI
Debt
Grantor
Trust
58,496
5.331%, 
1/15/2032,
Ser.
2024-8,
Class
A
a
58,508
94,185
5.092%, 
7/15/2032,
Ser.
2024-11,
Class
A
a
94,329
300,000
5.241%, 
12/15/2033,
Ser.
2026-3,
Class
A2
a
299,656
Pagaya
AI
Debt
Grantor
Trust
and
Pagaya
AI
Debt
Trust
47,984
6.093%, 
11/15/2031,
Ser.
2024-6,
Class
A
a
48,005
Palmer
Square
Loan
Funding,
Ltd.
500,000
5.603%, 
(TSFR3M
+
1.850%),
10/15/2032,
Ser.
2024-1A,
Class
CR
a,b
497,500
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
16
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Asset-Backed
Securities
5.0%
-
continued
$
250,000
5.253%, 
(TSFR3M
+
1.500%),
1/15/2033,
Ser.
2024-2A,
Class
BR
a,b
$
250,025
250,000
5.251%, 
(TSFR3M
+
1.600%),
2/15/2033,
Ser.
2025-1A,
Class
B
a,b
250,231
525,000
5.394%, 
(TSFR3M
+
1.700%),
7/15/2034,
Ser.
2026-1A,
Class
B
a,b
525,624
Park
Blue
CLO,
Ltd.
500,000
5.909%, 
(TSFR3M
+
2.180%),
4/20/2038,
Ser.
2023-3A,
Class
CR
a,b
500,890
Point
Broadband
Funding,
LLC
750,000
5.996%, 
8/20/2056,
Ser.
2026-1A,
Class
A2
a,d
753,281
PPM
CLO
3,
Ltd.
300,000
5.800%, 
(TSFR3M
+
2.050%),
7/17/2034,
Ser.
2019-3A,
Class
CR2
a,b
300,089
RFS
Asset
Securitization
V,
LLC
400,000
6.049%, 
5/15/2032,
Ser.
2025-1,
Class
A
a
400,273
Rockford
Tower
CLO,
Ltd.
575,000
5.679%, 
(TSFR3M
+
1.950%),
7/20/2034,
Ser.
2021-2A,
Class
CR
a,b
576,753
500,000
5.653%, 
(TSFR3M
+
1.900%),
1/15/2038,
Ser.
2021-3A,
Class
C1AR
a,b
500,139
Sculptor
CLO
XXVIII,
Ltd.
500,000
5.679%, 
(TSFR3M
+
1.950%),
1/20/2035,
Ser.
28A,
Class
CR
a,b
500,013
Signal
Peak
CLO
1,
Ltd.
300,000
5.700%, 
(TSFR3M
+
1.950%),
4/17/2034,
Ser.
2014-1A,
Class
CR4
a,b
299,399
Sixth
Street
CLO
XI,
Ltd.
400,000
5.660%, 
(TSFR3M
+
1.850%),
4/25/2037,
Ser.
2018-11A,
Class
CR2
a,b
401,927
Sunnova
Hestia
II
Issuer,
LLC
307,823
5.630%, 
7/20/2051,
Ser.
2024-GRID1,
Class
1A
a,e
294,507
Symphony
CLO
XX,
Ltd.
500,000
6.793%, 
(TSFR3M
+
3.000%),
1/16/2032,
Ser.
2018-20A,
Class
DR2
a,b
502,076
TCW
CLO,
Ltd.
450,000
5.610%, 
(TSFR3M
+
1.800%),
10/25/2035,
Ser.
2018-1A,
Class
BR3
a,b
450,848
VERDE
CLO,
Ltd.
500,000
6.953%, 
(TSFR3M
+
3.200%),
4/15/2032,
Ser.
2019-1A,
Class
DRR
a,b
502,059
Veros
Auto
Receivables
Trust
92,865
5.310%, 
9/15/2028,
Ser.
2025-1,
Class
A
a
93,068
Zayo
Issuer,
LLC
425,000
5.546%, 
4/20/2056,
Ser.
2026-1A,
Class
A2
a
420,469
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Asset-Backed
Securities
5.0%
-
continued
$
525,000
5.570%, 
10/20/2055,
Ser.
2025-3A,
Class
A2
a
$
514,876
Total
22,645,085
Basic
Materials
<0.1%
FMC
Corporation
32,000
8.450%, 
11/1/2055
b
24,069
Peabody
Energy
Corporation,
Convertible
57,000
0.500%, 
6/1/2031
a
50,531
Total
74,600
Capital
Goods
0.3%
Array
Technologies,
Inc.,
Convertible
60,000
1.000%, 
12/1/2028
53,972
81,000
2.875%, 
7/1/2031
f
81,283
BWX
Technologies,
Inc.,
Convertible
298,000
Zero
Coupon, 
11/1/2030
a
287,173
Fluor
Corporation,
Convertible
156,000
1.125%, 
8/15/2029
201,864
Granite
Construction,
Inc.,
Convertible
103,000
3.250%, 
6/15/2030
169,435
Greenbrier
Companies,
Inc.,
Convertible
105,000
2.875%, 
4/15/2028
118,828
JBT
Marel
Corporation,
Convertible
156,000
0.375%, 
9/15/2030
a
156,624
Mirion
Technologies,
Inc.,
Convertible
85,000
0.250%, 
6/1/2030
a
82,663
78,000
Zero
Coupon, 
10/1/2031
a
67,088
Patrick
Industries,
Inc.,
Convertible
71,000
1.750%, 
12/1/2028
97,838
Total
1,316,768
Collateralized
Mortgage
Obligations
6.4%
A&D
Mortgage
Trust
125,946
6.498%, 
4/25/2069,
Ser.
2024-NQM2,
Class
A1
a,c
126,448
280,027
6.701%, 
4/25/2069,
Ser.
2024-NQM2,
Class
A2
a,c
281,168
ACRA
Trust
399,099
5.573%, 
6/25/2066,
Ser.
2026-NQM1,
Class
A1
a,b
397,764
263,879
5.912%, 
10/25/2064,
Ser.
2024-NQM1,
Class
A2
a,c
263,633
Archwest
Mortgage
Trust
300,000
5.435%, 
4/25/2041,
Ser.
2026-RTL1,
Class
A1
a,c
297,709
Banc
of
America
Alternative
Loan
Trust
192,465
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
170,936
Banc
of
America
Mortgage
Securities
Trust
17,595
5.038%, 
9/25/2035,
Ser.
2005-H,
Class
2A1
b
15,680
44,337
5.592%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
42,494
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
17
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Collateralized
Mortgage
Obligations
6.4%
-
continued
Bellemeade
Re,
Ltd.
$
170,000
6.116%, 
(SOFR30A
+
2.500%),
10/25/2035,
Ser.
2025-1,
Class
M1B
a,b
$
170,624
BRAVO
Residential
Funding
Trust
326,876
5.138%, 
11/25/2065,
Ser.
2026-NQM3,
Class
A2
a,c
322,741
Builder
Circle
Mortgage
Trust
400,000
6.014%, 
5/25/2031,
Ser.
2026-RTL1,
Class
A1
a
401,965
CFST
Mortgage
Trust
350,000
5.882%, 
10/25/2030,
Ser.
2025-RTL1,
Class
A1
a,c
350,620
Chase
Home
Lending
Mortgage
Trust
425,000
5.500%, 
4/25/2057,
Ser.
2026-6,
Class
A5
a,b
405,897
CHNGE
Mortgage
Trust
156,241
4.757%, 
3/25/2067,
Ser.
2022-2,
Class
A1
a,b
151,495
89,835
6.525%, 
6/25/2058,
Ser.
2023-2,
Class
A1
a,c
89,532
281,708
5.820%, 
6/25/2067,
Ser.
2022-NQM1,
Class
A3
a,c
280,821
79,466
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
a,c
79,198
CIM
Trust
275,626
7.100%, 
4/25/2058,
Ser.
2023-I1,
Class
A3
a,c
274,702
Citigroup
Mortgage
Loan
Trust,
Inc.
74,033
5.500%, 
8/25/2034,
Ser.
2004-NCM2,
Class
1CB1
72,808
119,257
4.896%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
107,955
COLT
Mortgage
Loan
Trust
218,318
6.328%, 
12/25/2068,
Ser.
2024-INV1,
Class
A2
a,c
218,535
CSMC
Trust
169,695
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
a,b
145,085
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
99,114
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
87,130
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
463,515
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
454,165
500,000
5.250%, 
2/25/2055,
Ser.
5508,
Class
AY
489,470
877,237
1.500%, 
3/25/2051,
Ser.
5092,
Class
IC
g
70,004
450,000
5.250%, 
3/25/2055,
Ser.
5519,
Class
CL
435,448
325,000
5.000%, 
5/25/2055,
Ser.
5537,
Class
KM
310,174
395,246
7.616%, 
(SOFR30A
+
4.000%),
8/25/2026,
Ser.
5567,
Class
MB
b
400,038
226,500
Zero
Coupon, 
9/25/2053,
Ser.
5334,
Class
BO
183,803
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Collateralized
Mortgage
Obligations
6.4%
-
continued
$
371,763
5.000%, 
9/25/2054,
Ser.
5473,
Class
HL
$
365,723
830,834
2.000%, 
12/25/2050,
Ser.
5051,
Class
WI
g
106,864
7,013
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
g
31
143,538
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
g
9,388
94,728
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
g
2,986
282,005
5.500%, 
1/25/2046,
Ser.
5617,
Class
AZ
278,055
Federal
Home
Loan
Mortgage
Corporation
STRIPS
242,676
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
g
20,512
Federal
National
Mortgage
Association
-
REMIC
450,000
5.000%, 
1/25/2055,
Ser.
2024-103,
Class
YD
439,571
619,722
5.000%, 
4/25/2055,
Ser.
2025-15,
Class
BD
592,454
550,000
5.500%, 
8/25/2054,
Ser.
2024-50,
Class
DB
544,762
325,000
5.000%, 
8/25/2055,
Ser.
2025-69,
Class
DL
308,959
373,162
5.000%, 
8/25/2055,
Ser.
2025-66,
Class
KZ
347,441
584,135
2.000%, 
12/25/2050,
Ser.
2020-89,
Class
IM
g
77,215
27,295
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
g
207
13,273
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
g
75
72,923
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
g
699
45,744
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
g
365
20,375
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
g
189
38,570
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
g
281
40,244
3.000%, 
3/25/2028,
Ser.
2013-18,
Class
IL
g
422
46,768
2.500%, 
6/25/2028,
Ser.
2013-87,
Class
IW
g
740
139,435
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
g
9,368
Flagstar
Mortgage
Trust
108,700
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
a,b
96,942
GCAT
Trust
337,133
6.500%, 
1/25/2054,
Ser.
2024-INV1,
Class
2A2
a,b
344,192
236,737
4.250%, 
5/25/2067,
Ser.
2023-NQM4,
Class
A2
a,b
219,154
360,036
6.000%, 
9/25/2054,
Ser.
2024-INV3,
Class
A1
a,b
361,499
GMAC
Mortgage
Corporation
Loan
Trust
71,353
3.851%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
62,782
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
18
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Collateralized
Mortgage
Obligations
6.4%
-
continued
$
8,591
4.339%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,e
$
3,820
GMACM
Mortgage
Loan
Trust
32,801
3.326%, 
11/19/2035,
Ser.
2005-AR6,
Class
1A1
b
16,237
GS
Mortgage-Backed
Securities
Trust
431,685
4.978%, 
5/25/2066,
Ser.
2026-DSC1,
Class
A2
a,c
423,649
355,190
5.500%, 
10/27/2053,
Ser.
2023-PJ3,
Class
A16
a,b
353,579
Home
Re,
Ltd.
173,908
8.216%, 
(SOFR30A
+
4.600%),
10/25/2033,
Ser.
2023-1,
Class
M1B
a,b
176,925
HTAP
Issuer
Trust
248,159
6.500%, 
4/25/2042,
Ser.
2024-2,
Class
A
a
245,800
434,756
6.500%, 
11/25/2042,
Ser.
2025-1,
Class
A
a
433,466
IndyMac
INDA
Mortgage
Loan
Trust
418,147
3.443%, 
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
320,766
J.P.
Morgan
Alternative
Loan
Trust
51,936
4.776%, 
3/25/2036,
Ser.
2006-A1,
Class
2A1
b
38,306
J.P.
Morgan
Mortgage
Trust
164,004
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
a,b
138,896
182,227
5.055%, 
6/25/2056,
Ser.
2025-12MPR,
Class
A1D
a,c
179,925
283,697
5.000%, 
10/25/2053,
Ser.
2023-3,
Class
A4A
a,b
279,582
55,622
4.943%, 
2/25/2036,
Ser.
2006-A1,
Class
2A2
b
36,493
LHOME
Mortgage
Trust
500,000
5.921%, 
7/25/2039,
Ser.
2024-RTL4,
Class
A1
a,c
500,630
Merrill
Lynch
Alternative
Note
Asset
Trust
244,884
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
70,098
MFA
Trust
312,682
6.330%, 
9/25/2054,
Ser.
2024-NPL1,
Class
A1
a,c
313,088
Morgan
Stanley
Residential
Mortgage
Loan
Trust
395,110
4.988%, 
1/26/2071,
Ser.
2026-NQM2,
Class
A2
a,c
387,592
473,387
5.432%, 
3/25/2071,
Ser.
2026-NQM3,
Class
A2
a,c
469,778
325,466
5.456%, 
7/25/2070,
Ser.
2025-NQM6,
Class
A2
a,c
323,076
MortgageIT
Securities
Corporation
Mortgage
Loan
Trust
461,791
4.299%, 
(TSFR1M
+
0.574%),
6/25/2047,
Ser.
2007-1,
Class
1A1
b
408,196
NYMT
Loan
Trust
432,660
5.456%, 
10/25/2060,
Ser.
2025-INV2,
Class
A3
a,c
428,575
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Collateralized
Mortgage
Obligations
6.4%
-
continued
PMT
Loan
Trust
$
232,011
6.000%, 
1/25/2060,
Ser.
2025-INV1,
Class
A1
a,b
$
232,954
Point
Securitization
Trust
575,000
5.250%, 
7/25/2056,
Ser.
2026-2,
Class
A1
a
557,348
PRET,
LLC
461,702
5.074%, 
2/25/2056,
Ser.
2026-NPL2,
Class
A1
a,c
457,856
610,033
5.710%, 
4/25/2056,
Ser.
2026-NPL5,
Class
A1
a,c
608,842
391,872
5.693%, 
5/25/2056,
Ser.
2026-NPL6,
Class
A1
a,c
390,822
325,000
7.507%, 
8/25/2055,
Ser.
2025-NPL9,
Class
A2
a,c
325,230
PRKCM
Trust
169,793
7.087%, 
6/25/2058,
Ser.
2023-AFC2,
Class
A3
a
169,215
152,790
7.627%, 
11/25/2058,
Ser.
2023-AFC4,
Class
A2
a,c
152,881
PRPM,
LLC
223,060
4.000%, 
1/25/2054,
Ser.
2024-RCF1,
Class
A1
a,c
219,572
275,000
3.250%, 
4/25/2055,
Ser.
2025-RPL3,
Class
A3
a,c
263,436
300,000
3.500%, 
5/25/2054,
Ser.
2024-RPL2,
Class
A2
a,c
289,566
325,000
5.207%, 
12/25/2055,
Ser.
2025-RCF6,
Class
A2
a,c
319,214
401,522
5.699%, 
11/25/2029,
Ser.
2024-6,
Class
A1
a,c
401,659
300,000
8.835%, 
12/25/2029,
Ser.
2024-7,
Class
A2
a,c
300,265
416,916
6.299%, 
6/25/2031,
Ser.
2026-4,
Class
A1
a,c
416,994
Radnor
Re,
Ltd.
110,419
6.516%, 
(SOFR30A
+
2.900%),
9/25/2034,
Ser.
2024-1,
Class
M1B
a,b
110,620
RCO
IX
Mortgage,
LLC
162,283
5.310%, 
10/25/2030,
Ser.
2025-4,
Class
A1
a,c
162,172
212,046
5.765%, 
5/25/2031,
Ser.
2026-2,
Class
A1
a,c
211,182
Residential
Accredit
Loans,
Inc.
Trust
59,824
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
52,780
51,792
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
42,454
Residential
Asset
Securitization
Trust
76,119
4.255%, 
1/25/2034,
Ser.
2004-IP1,
Class
A1
b
72,929
Residential
Funding
Mortgage
Security
I
Trust
128,560
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
102,769
Roc
Mortgage
Trust
400,000
5.589%, 
10/25/2039,
Ser.
2024-RTL1,
Class
A1
a,c
400,122
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
19
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Collateralized
Mortgage
Obligations
6.4%
-
continued
Saluda
Grade
Alternative
Mortgage
Trust
$
147,276
7.762%, 
4/25/2030,
Ser.
2024-RTL5,
Class
A1
a,c
$
146,762
576,786
7.439%, 
7/25/2030,
Ser.
2024-RTL6,
Class
A1
a,c
575,909
Sequoia
Mortgage
Trust
350,000
5.901%, 
3/25/2054,
Ser.
2024-2,
Class
A13
a,b
347,448
500,000
5.000%, 
5/25/2056,
Ser.
2026-5,
Class
A8
a,b
457,126
300,000
5.000%, 
12/25/2055,
Ser.
2025-12,
Class
A8
a,b
279,333
SG
Residential
Mortgage
Trust
400,000
5.505%, 
8/25/2066,
Ser.
2026-5,
Class
A1
a,b
399,133
Splitero
Trust
400,000
5.750%, 
6/25/2056,
Ser.
2026-1,
Class
A1
a,c
394,322
Structured
Adjustable
Rate
Mortgage
Loan
Trust
35,460
4.431%, 
7/25/2035,
Ser.
2005-15,
Class
4A1
b
31,283
Triangle
Re,
Ltd.
49,467
7.016%, 
(SOFR30A
+
3.400%),
11/25/2033,
Ser.
2023-1,
Class
M1A
a,b
49,616
TVC
Mortgage
Trust
550,000
5.545%, 
7/25/2039,
Ser.
2024-RRTL1,
Class
A1
a,c
550,256
Unlock
HEA
Trust
282,823
7.000%, 
10/25/2038,
Ser.
2023-1,
Class
A
a
282,141
233,107
7.000%, 
4/25/2039,
Ser.
2024-1,
Class
A
a
232,139
343,917
6.500%, 
10/25/2039,
Ser.
2024-2,
Class
A
a
341,750
Velocity
Commercial
Capital
Loan
Trust
165,591
6.550%, 
1/25/2054,
Ser.
2024-1,
Class
A
a,b
166,594
173,774
6.650%, 
6/25/2054,
Ser.
2024-3,
Class
A
a,b
174,758
172,961
7.670%, 
11/25/2053,
Ser.
2023-4,
Class
A
a,b
175,137
Verus
Securitization
Trust
395,367
5.776%, 
5/25/2070,
Ser.
2025-3,
Class
A2
a,c
395,582
196,038
2.491%, 
11/25/2066,
Ser.
2021-8,
Class
A3
a,b
172,356
VOLT
C,
LLC
352,795
8.826%, 
5/25/2051,
Ser.
2021-NPL9,
Class
A2
a
352,904
VOLT
CVI,
LLC
280,082
9.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
a
280,375
Vontive
Mortgage
Trust
400,000
6.507%, 
3/25/2030,
Ser.
2025-RTL1,
Class
A1
a,c
402,132
Total
29,305,333
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Commercial
Mortgage-Backed
Securities
0.5%
AMSR
Trust
$
250,000
3.655%, 
6/17/2042,
Ser.
2025-SFR1,
Class
B
a
$
234,154
BANK
2,189,105
0.623%, 
3/15/2058,
Ser.
2025-BNK49,
Class
XA
b,g
95,804
600,000
4.319%, 
5/15/2061,
Ser.
2018-BN12,
Class
AS
b
579,031
BBCMS
Mortgage
Trust
2,227,179
1.149%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,g
124,716
500,000
5.382%, 
9/15/2058,
Ser.
2025-5C37,
Class
AS
b
498,527
PFP,
Ltd.
550,000
4.990%, 
(TSFR1M
+
1.320%),
12/18/2043,
Ser.
2026-14,
Class
A
a,b
550,630
Tricon
Residential
Trust
250,000
5.700%, 
6/20/2040,
Ser.
2024-SFR2,
Class
B
a
250,663
Total
2,333,525
Communications
Services
0.1%
Bell
Telephone
Company
of
Canada
31,500
7.000%, 
9/15/2055
b
31,751
Cable
One,
Inc.,
Convertible
52,000
1.125%, 
3/15/2028
22,880
Rogers
Communications,
Inc.
45,000
5.250%, 
3/15/2082
a,b
44,822
31,500
7.125%, 
4/15/2055
b
31,791
Snap,
Inc.,
Convertible
55,000
0.125%, 
3/1/2028
50,534
201,000
0.500%, 
5/1/2030
165,524
TELUS
Corporation
28,000
6.625%, 
10/15/2055
b,f
27,909
Verizon
Communications,
Inc.
60,000
6.200%, 
5/14/2056
b
58,719
Vodafone
Group
plc
69,000
7.000%, 
4/4/2079
b
70,863
Total
504,793
Consumer
Cyclical
0.3%
Burlington
Stores,
Inc.,
Convertible
54,000
1.250%, 
12/15/2027
97,956
Compass,
Inc.,
Convertible
213,000
0.250%, 
4/15/2031
a
221,989
Cracker
Barrel
Old
Country
Store,
Inc.,
Convertible
14,000
1.750%, 
9/15/2030
14,865
DraftKings
Holdings,
Inc.,
Convertible
292,000
Zero
Coupon, 
3/15/2028
270,481
EZCORP,
Inc.,
Convertible
65,000
3.750%, 
12/15/2029
a
177,170
General
Motors
Financial
Company,
Inc.
20,000
5.750%, 
9/30/2027
b,h
19,842
13,500
5.700%, 
9/30/2030
b,h
13,287
Live
Nation
Entertainment,
Inc.,
Convertible
80,000
3.125%, 
1/15/2029
136,120
50,000
2.875%, 
1/15/2030
57,825
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
20
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Consumer
Cyclical
0.3%
-
continued
$
95,000
2.875%, 
10/15/2031
a
$
102,479
Marriott
Vacations
Worldwide
Corporation,
Convertible
115,000
3.250%, 
12/15/2027
112,872
Meritage
Homes
Corporation,
Convertible
32,000
1.750%, 
5/15/2028
31,632
Uber
Technologies,
Inc.,
Convertible
74,000
Zero
Coupon, 
5/15/2028
82,732
101,000
0.875%, 
12/1/2028
119,028
Wayfair,
Inc.,
Convertible
49,000
3.250%, 
9/15/2027
68,527
Total
1,526,805
Consumer
Non-Cyclical
0.3%
Chefs'
Warehouse,
Inc.,
Convertible
64,000
2.375%, 
12/15/2028
170,195
CVS
Health
Corporation
31,000
6.750%, 
12/10/2054
b
31,940
Envista
Holdings
Corporation,
Convertible
28,000
1.750%, 
8/15/2028
27,830
Integer
Holdings
Corporation,
Convertible
43,000
2.125%, 
2/15/2028
61,021
265,000
1.875%, 
3/15/2030
278,833
Jazz
Investments
I,
Ltd.,
Convertible
172,000
3.125%, 
9/15/2030
302,806
LCI
Industries,
Convertible
129,000
3.000%, 
3/1/2030
f
141,707
Post
Holdings,
Inc.,
Convertible
125,000
2.500%, 
8/15/2027
130,500
Spectrum
Brands,
Inc.,
Convertible
79,000
3.375%, 
6/1/2029
82,263
Winnebago
Industries,
Inc.,
Convertible
76,000
3.250%, 
1/15/2030
70,224
Zoetis,
Inc.,
Convertible
124,000
0.250%, 
6/15/2029
a
113,646
Total
1,410,965
Energy
0.2%
BP
Capital
Markets
plc
50,000
4.875%, 
3/22/2030
b,h
48,844
55,000
6.450%, 
12/1/2033
b,h
56,463
Civeo
Corporation,
Convertible
26,000
4.500%, 
8/1/2031
a
26,546
Crescent
Energy
Company,
Convertible
198,000
2.750%, 
3/15/2031
a
209,385
Enbridge,
Inc.
55,000
7.375%, 
1/15/2083
b
56,116
52,000
7.625%, 
1/15/2083
b
55,998
Energy
Transfer,
LP
34,000
8.000%, 
5/15/2054
b
35,682
17,000
7.125%, 
5/15/2030
b,h
17,448
Northern
Oil
and
Gas,
Inc.,
Convertible
189,000
3.625%, 
4/15/2029
187,446
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Energy
0.2%
-
continued
Phillips
66
Company
$
38,000
6.200%, 
3/15/2056
b
$
37,811
TransCanada
PipeLines,
Ltd.
53,000
6.375%, 
10/17/2056
b
53,160
TransCanada
Trust
75,000
5.875%, 
8/15/2076
b
74,973
UGI
Corporation,
Convertible
40,000
5.000%, 
6/1/2028
54,964
Venture
Global
LNG,
Inc.
80,000
9.000%, 
9/30/2029
a,b,h
79,678
Total
994,514
Financials
0.9%
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
40,000
6.950%, 
3/10/2055
b
40,922
American
Express
Company
50,000
3.550%, 
9/15/2026
b,h
49,875
Arbor
Realty
Trust,
Inc.,
Convertible
9,000
6.250%, 
7/1/2029
a
8,491
Bank
of
America
Corporation
70,000
6.125%, 
4/27/2027
b,h
70,386
Bank
of
New
York
Mellon
Corporation
75,000
5.950%, 
12/20/2030
b,h
75,221
Bank
of
Nova
Scotia
49,000
6.875%, 
10/27/2085
b
48,653
Boston
Properties,
LP,
Convertible
70,000
2.000%, 
10/1/2030
a
68,425
Capital
One
Financial
Corporation
45,000
3.950%, 
9/1/2026
b,h
44,900
Charles
Schwab
Corporation
120,000
6.100%, 
6/1/2031
b,h
118,369
CHL
Mortgage
Pass-Through
Trust
3,927
6.056%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
4,148
150,821
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
59,161
Citigroup,
Inc.
54,000
7.625%, 
11/15/2028
b,h
56,041
34,000
7.125%, 
8/15/2029
b,h
34,579
32,000
6.950%, 
2/15/2030
b,h
32,282
76,000
6.625%, 
2/15/2031
b,h
76,345
45,000
7.000%, 
8/15/2034
b,f,h
46,001
49,000
6.875%, 
12/29/2049
b,h
49,473
Citizens
Financial
Group,
Inc.
55,000
4.000%, 
10/6/2026
b,f,h
54,825
43,000
6.750%, 
10/6/2031
b,h
42,639
Coinbase
Global,
Inc.,
Convertible
106,000
Zero
Coupon, 
10/1/2029
a
91,372
99,000
0.250%, 
4/1/2030
87,884
145,000
Zero
Coupon, 
10/1/2032
a
111,250
COPT
Defense
Properties,
LP,
Convertible
21,000
5.250%, 
9/15/2028
a
27,596
Core
Scientific,
Inc.,
Convertible
41,000
3.000%, 
9/1/2029
a
84,042
44,000
Zero
Coupon, 
6/15/2031
a
55,097
Corebridge
Financial,
Inc.
31,000
6.375%, 
9/15/2054
b
30,420
39,000
6.875%, 
12/15/2052
b
39,448
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
21
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Financials
0.9%
-
continued
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
$
156,584
4.619%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
$
130,751
Credit
Suisse
Group
AG
26,000
7.250%, 
N/A
*,i
6,240
36,000
7.500%, 
N/A
*,i
8,640
Dai-ichi
Life
Insurance
Company,
Ltd.
60,000
6.200%, 
1/16/2035
a,b,h
60,449
Digital
Realty
Trust,
LP,
Convertible
71,000
1.875%, 
11/15/2029
a
77,141
Encore
Capital
Group,
Inc.,
Convertible
64,000
4.000%, 
3/15/2029
97,280
Federal
Realty
OP,
LP,
Convertible
31,000
3.250%, 
1/15/2029
a
34,115
Goldman
Sachs
Group,
Inc.
48,000
3.650%, 
8/10/2026
b,h
47,945
60,000
6.500%, 
8/10/2031
b,h
59,549
31,000
6.125%, 
11/10/2034
b,f,h
30,569
Hartford
Insurance
Group,
Inc.
23,000
6.038%, 
(TSFR3M
+
2.387%),
2/12/2047
a,b
22,770
HAT
Holdings
I,
LLC/HAT
Holdings
II,
LLC,
Convertible
25,000
3.750%, 
8/15/2028
a,f
36,312
Healthcare
Realty
Holdings,
LP,
Convertible
44,000
3.000%, 
1/15/2032
a
45,936
Hercules
Capital,
Inc.,
Convertible
7,000
4.750%, 
9/1/2028
a
6,878
Huntington
Bancshares,
Inc./OH
31,000
4.450%, 
10/15/2027
b,h
30,514
Huntington
Bank
Auto
Credit-
Linked
Notes
138,002
5.442%, 
10/20/2032,
Ser.
2024-2,
Class
B1
a
138,471
JPMorgan
Chase
&
Company
31,000
6.500%, 
4/1/2030
b,h
31,476
Kimco
Realty
OP,
LLC,
Convertible
37,000
3.500%, 
6/15/2031
a
37,722
Kite
Realty
Group,
LP,
Convertible
10,000
0.750%, 
4/1/2027
a
12,200
22,000
3.250%, 
4/15/2032
a
21,868
Lincoln
National
Corporation
13,000
6.268%, 
(TSFR3M
+
2.619%),
8/17/2026
b
11,274
M&T
Bank
Corporation
82,000
3.500%, 
9/1/2026
b,h
81,516
MetLife,
Inc.
32,000
6.350%, 
3/15/2055
b
32,461
40,000
5.875%, 
3/15/2028
b,f,h
40,234
51,000
6.400%, 
12/15/2036
51,450
Nippon
Life
Insurance
Company
105,000
5.950%, 
4/16/2054
a,b
105,119
Pebblebrook
Hotel
Trust,
Convertible
100,000
1.625%, 
1/15/2030
a
131,900
PNC
Financial
Services
Group,
Inc.
42,000
6.200%, 
9/15/2027
b,h
42,294
45,000
6.250%, 
3/15/2030
b,h
45,470
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Financials
0.9%
-
continued
Provident
Financing
Trust
I
$
36,000
7.405%, 
3/15/2038
$
37,100
Prudential
Financial,
Inc.
39,000
6.750%, 
3/1/2053
b
40,381
40,000
6.250%, 
6/15/2056
b
39,624
36,000
3.700%, 
10/1/2050
b
33,234
Realty
Income
Corporation,
Convertible
54,000
3.500%, 
1/15/2029
a
55,944
Rexford
Industrial
Realty,
LP,
Convertible
36,000
4.375%, 
3/15/2027
a
35,867
25,000
4.125%, 
3/15/2029
a
24,713
Royal
Bank
of
Canada
50,000
6.750%, 
8/24/2085
b
50,678
Shift4
Payments,
Inc.,
Convertible
160,000
0.500%, 
8/1/2027
152,602
Starwood
Property
Trust,
Inc.,
Convertible
86,000
6.750%, 
7/15/2027
86,817
State
Street
Corporation
27,000
6.700%, 
3/15/2029
b,h
27,602
Sumisho
Air
Lease
Corporation
52,000
8.256%, 
9/15/2026
b,h
52,128
Sumitomo
Life
Insurance
Company
90,000
3.375%, 
4/15/2081
a,b
81,565
Tanger
Properties,
LP,
Convertible
16,000
2.375%, 
1/15/2031
a,f
17,376
Terawulf,
Inc.,
Convertible
28,000
2.750%, 
2/1/2030
a
63,596
27,000
1.000%, 
9/1/2031
a
44,615
27,000
Zero
Coupon, 
5/1/2032
a
32,185
Truist
Financial
Corporation
39,000
5.100%, 
3/1/2030
b,h
38,661
41,000
6.250%, 
6/15/2031
b,h
40,610
Wells
Fargo
&
Company
56,000
7.625%, 
9/15/2028
b,h
58,588
Welltower
OP,
LLC,
Convertible
69,000
2.750%, 
5/15/2028
a
168,636
33,000
3.125%, 
7/15/2029
a
60,836
Total
4,229,747
Mortgage-Backed
Securities
13.3%
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
200,977
2.000%, 
1/1/2052
159,129
1,722,547
6.000%, 
1/1/2055
1,781,105
1,555,404
2.500%, 
5/1/2051
1,287,714
1,070,619
3.500%, 
5/1/2052
956,396
866,350
4.000%, 
5/1/2052
797,940
1,057,451
5.000%, 
7/1/2053
1,031,470
600,471
5.500%, 
7/1/2053
599,544
171,025
5.000%, 
8/1/2053
167,529
330,318
5.500%, 
9/1/2053
331,665
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
570,728
2.500%, 
7/1/2030
551,030
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
4,600,000
5.000%, 
8/1/2041
d
4,577,337
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
22
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Mortgage-Backed
Securities
13.3%
-
continued
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
$
816,308
3.500%, 
5/1/2040
$
764,110
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,107,001
3.000%, 
1/1/2052
1,817,411
316,741
2.000%, 
2/1/2051
250,790
205,577
2.000%, 
2/1/2051
162,772
1,232,935
2.500%, 
2/1/2051
1,009,974
1,071,161
2.500%, 
2/1/2051
892,639
1,766,192
2.000%, 
3/1/2051
1,389,838
1,016,777
4.000%, 
3/1/2051
942,775
2,217,187
3.000%, 
3/1/2052
1,912,777
1,812,584
5.500%, 
3/1/2055
d
1,803,213
1,509,433
2.000%, 
4/1/2051
1,188,717
1,442,462
3.000%, 
4/1/2051
1,234,393
977,738
5.500%, 
4/1/2054
981,728
379,679
2.000%, 
5/1/2051
299,018
686,718
3.000%, 
5/1/2051
600,873
718,923
3.000%, 
6/1/2050
631,778
295,676
4.000%, 
6/1/2052
271,189
322,683
5.000%, 
6/1/2053
315,254
1,707,441
2.500%, 
7/1/2051
1,428,621
684,423
3.500%, 
7/1/2051
614,538
822,419
2.500%, 
8/1/2050
687,024
1,378,069
3.500%, 
8/1/2050
1,243,253
1,647,879
3.500%, 
8/1/2052
1,463,427
970,861
4.500%, 
8/1/2052
917,972
1,531,955
4.500%, 
8/1/2052
1,447,694
222,301
5.000%, 
8/1/2053
217,114
725,000
2.500%, 
8/1/2056
d
590,980
462,397
3.500%, 
9/1/2052
413,948
1,117,086
3.500%, 
9/1/2052
1,003,407
170,220
5.000%, 
9/1/2052
165,648
782,517
4.500%, 
9/1/2053
741,350
229,070
4.500%, 
9/1/2053
217,386
1,458,743
4.000%, 
10/1/2052
1,344,841
384,076
2.000%, 
11/1/2051
304,094
605,357
3.500%, 
11/1/2052
544,660
1,513,057
2.000%, 
12/1/2050
1,199,125
2,826,973
4.500%, 
12/1/2052
2,685,015
1,500,000
6.000%, 
8/1/2041
d
1,516,518
2,775,000
5.500%, 
8/1/2042
d
2,746,155
1,000,000
4.000%, 
8/1/2048
d
912,797
1,000,000
4.500%, 
8/1/2048
d
938,928
6,750,000
5.000%, 
8/1/2048
d
6,513,520
650,000
3.500%, 
8/1/2049
d
576,545
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
700,287
3.500%, 
7/1/2061
613,550
765,717
4.000%, 
12/1/2061
690,187
Total
60,448,405
Technology
0.9%
Akamai
Technologies,
Inc.,
Convertible
37,000
0.375%, 
9/1/2027
43,993
40,000
1.125%, 
2/15/2029
47,140
69,000
Zero
Coupon, 
5/15/2030
a
64,411
36,000
Zero
Coupon, 
5/15/2032
a
32,706
75,000
0.250%, 
5/15/2033
107,325
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Technology
0.9%
-
continued
Amkor
Technology,
Inc.,
Convertible
$
287,000
Zero
Coupon, 
7/15/2031
a
$
265,905
Applied
Digital
Corporation,
Convertible
50,000
2.750%, 
6/1/2030
149,000
Avnet,
Inc.,
Convertible
43,000
1.750%, 
9/1/2030
a
60,114
Block,
Inc.,
Convertible
25,000
0.250%, 
11/1/2027
23,718
Ciena
Corporation,
Convertible
312,000
Zero
Coupon, 
9/15/2031
a
294,216
CoreWeave,
Inc.,
Convertible
48,000
1.750%, 
12/1/2031
a
45,091
115,000
1.750%, 
10/1/2032
a
100,682
Euronet
Worldwide,
Inc.,
Convertible
65,000
0.625%, 
10/1/2030
a
58,663
Global
Payments,
Inc.,
Convertible
115,000
1.500%, 
3/1/2031
106,030
InterDigital,
Inc.,
Convertible
20,000
3.500%, 
6/1/2027
78,900
Lumentum
Holdings,
Inc.,
Convertible
24,000
0.500%, 
6/15/2028
130,176
38,000
0.375%, 
3/15/2032
a
147,691
Microchip
Technology,
Inc.,
Convertible
52,000
Zero
Coupon, 
2/15/2030
a
55,406
68,000
0.750%, 
6/1/2030
f
70,316
MKS,
Inc.,
Convertible
134,000
1.250%, 
6/1/2030
274,365
ON
Semiconductor
Corporation,
Convertible
68,000
Zero
Coupon, 
5/1/2027
107,998
76,000
0.500%, 
3/1/2029
85,842
91,000
Zero
Coupon, 
5/1/2031
a
84,630
Progress
Software
Corporation,
Convertible
136,000
3.500%, 
3/1/2030
135,007
Semtech
Corporation,
Convertible
33,000
1.625%, 
11/1/2027
103,901
97,000
Zero
Coupon, 
10/15/2030
a
143,075
Synaptics,
Inc.,
Convertible
127,000
0.750%, 
12/1/2031
f
169,418
Viavi
Solutions,
Inc.,
Convertible
69,000
0.625%, 
3/1/2031
a
193,157
Vishay
Intertechnology,
Inc.,
Convertible
194,000
2.250%, 
9/15/2030
f
273,928
Western
Digital
Corporation,
Convertible
22,000
3.000%, 
11/15/2028
f
316,166
Ziff
Davis,
Inc.,
Convertible
3,000
1.750%, 
11/1/2026
f
2,963
65,000
3.625%, 
3/1/2028
a
65,468
Total
3,837,401
U.S.
Government
&
Agencies
5.3%
U.S.
Treasury
Bonds
200,000
4.250%, 
2/15/2054
169,812
2,900,000
4.750%, 
11/15/2053
2,672,305
1,200,000
4.625%, 
2/15/2035
1,197,000
1,490,000
3.250%, 
5/15/2042
1,180,243
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
23
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
U.S.
Government
&
Agencies
5.3%
-
continued
$
4,470,000
3.375%, 
8/15/2042
$
3,586,302
1,200,000
4.750%, 
2/15/2045
1,127,812
800,000
4.625%, 
2/15/2046
737,000
U.S.
Treasury
Notes
590,000
0.500%, 
4/30/2027
574,784
1,580,000
1.125%, 
2/29/2028
1,505,382
2,500,000
3.500%, 
9/30/2029
2,437,988
2,200,000
3.625%, 
9/30/2030
2,135,547
750,000
3.875%, 
4/30/2031
732,598
870,000
1.375%, 
11/15/2031
744,496
1,000,000
4.125%, 
11/15/2032
978,438
200,000
3.375%, 
5/15/2033
186,320
800,000
4.000%, 
2/15/2034
769,500
3,700,000
4.375%, 
5/15/2036
3,602,875
Total
24,338,402
Utilities
0.6%
AES
Corporation
55,000
7.600%, 
1/15/2055
b
55,916
Algonquin
Power
&
Utilities
Corporation
45,000
4.750%, 
1/18/2082
b
44,582
Alliant
Energy
Corporation,
Convertible
37,000
3.250%, 
5/30/2028
39,098
American
Electric
Power
Company,
Inc.
38,000
6.050%, 
3/15/2056
b
37,344
50,000
6.950%, 
12/15/2054
b
52,574
CenterPoint
Energy,
Inc.
29,000
7.000%, 
2/15/2055
b
29,891
17,000
6.700%, 
5/15/2055
b
17,285
22,000
6.400%, 
8/15/2058
b
21,985
CenterPoint
Energy,
Inc.,
Convertible
55,000
3.000%, 
8/1/2028
a
57,310
41,000
2.875%, 
5/15/2029
a
40,664
CMS
Energy
Corporation,
Convertible
51,000
3.375%, 
5/1/2028
55,182
46,000
3.125%, 
5/1/2031
a
45,770
Dominion
Energy,
Inc.
53,000
6.875%, 
2/1/2055
b
54,198
33,000
7.000%, 
6/1/2054
b
34,430
62,000
6.250%, 
12/15/2056
b
61,263
Duke
Energy
Corporation
49,000
3.250%, 
1/15/2082
b
48,410
57,000
6.450%, 
9/1/2054
b,f
58,377
Duke
Energy
Corporation,
Convertible
96,000
3.000%, 
3/15/2029
a
94,752
Edison
International
27,000
7.875%, 
6/15/2054
b
27,863
44,000
5.000%, 
12/15/2026
b,h
43,382
Entergy
Corporation
21,000
5.875%, 
6/15/2056
b
20,766
40,000
6.100%, 
6/15/2056
b
39,309
Evergy,
Inc.,
Convertible
70,000
4.500%, 
12/15/2027
95,186
Exelon
Corporation,
Convertible
62,000
3.250%, 
3/15/2029
a
62,453
FirstEnergy
Corporation,
Convertible
82,000
3.625%, 
1/15/2029
90,159
Principal
Amount
Long-Term
Fixed
Income  34.1%
Value
Utilities
0.6%
-
continued
$
67,000
3.875%, 
1/15/2031
$
74,939
NextEra
Energy
Capital
Holdings,
Inc.
39,000
3.800%, 
3/15/2082
b
38,475
67,000
6.750%, 
6/15/2054
b
68,781
44,000
6.625%, 
10/1/2066
b
42,855
NextEra
Energy
Capital
Holdings,
Inc.,
Convertible
50,000
3.000%, 
3/1/2027
64,850
NiSource,
Inc.
17,000
6.375%, 
3/31/2055
b
17,258
40,000
5.750%, 
7/15/2056
b,f
39,397
32,000
6.950%, 
11/30/2054
b
32,885
PacifiCorp
40,000
7.125%, 
8/15/2056
b
39,382
PG&E
Corporation,
Convertible
297,000
4.250%, 
12/1/2027
304,573
Pinnacle
West
Capital
Corporation,
Convertible
33,000
4.750%, 
6/15/2027
37,488
PPL
Capital
Funding,
Inc.,
Convertible
67,000
2.875%, 
3/15/2028
74,270
58,000
3.000%, 
12/1/2030
a
58,067
Puget
Energy,
Inc.
39,000
7.000%, 
9/15/2056
b
39,106
Sempra
31,000
6.550%, 
4/1/2055
b
31,005
31,000
6.625%, 
4/1/2055
b
31,127
31,000
6.400%, 
10/1/2054
b
30,846
66,000
6.875%, 
10/1/2054
b,f
67,004
Southern
Company
52,000
3.750%, 
9/15/2051
b
51,900
Southern
Company,
Convertible
55,000
4.500%, 
6/15/2027
59,840
103,000
3.250%, 
6/15/2028
103,824
WEC
Energy
Group,
Inc.
40,000
5.625%, 
5/15/2056
b
39,402
WEC
Energy
Group,
Inc.,
Convertible
54,000
4.375%, 
6/1/2027
61,911
60,000
3.375%, 
6/1/2028
60,960
45,000
4.375%, 
6/1/2029
53,190
Xcel
Energy,
Inc.
37,000
5.750%, 
12/3/2056
b,f
36,286
Total
2,787,770
Total
Long-Term
Fixed
Income
(cost
$159,688,194)
155,754,113
Shares
Common
Stock
33.5%
Value
Communications
Services
2.8%
9,516
Alphabet,
Inc.,
Class
A
3,388,933
11,525
Alphabet,
Inc.,
Class
C
4,110,391
6,502
AT&T,
Inc.
151,171
13,488
Comcast
Corporation
323,172
4,872
Meta
Platforms,
Inc.
2,712,291
6,667
Netflix,
Inc.
j
478,091
730
Reddit,
Inc.
j
102,689
293
ROBLOX
Corporation
j
10,431
54
Space
Exploration
Technologies
Corporation
j
5,852
13,812
Universal
Music
Group
NV
227,892
1,988
Walt
Disney
Company
191,226
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
24
Shares
Common
Stock  33.5%
Value
Communications
Services
2.8%
-
continued
16,539
Warner
Brothers
Discovery,
Inc.
j
$
434,976
18,301
Warner
Music
Group
Corporation
475,094
Total
12,612,209
Consumer
Discretionary
3.3%
6,603
ADT,
Inc.
50,447
1,862
Advance
Auto
Parts,
Inc.
103,416
2,305
Airbnb,
Inc.
j
349,254
23,139
Amazon.com,
Inc.
j
6,284,090
5,103
Aptiv
plc
j
288,166
29
AutoZone,
Inc.
j
87,471
683
Boot
Barn
Holdings,
Inc.
j
101,760
1,770
BorgWarner,
Inc.
112,820
2,822
D.R.
Horton,
Inc.
403,715
1,347
Etsy,
Inc.
j
110,023
776
Five
Below,
Inc.
j
168,493
432
Frontdoor,
Inc.
j
31,376
575
Garmin,
Ltd.
168,924
1,816
Garrett
Motion,
Inc.
56,568
4,130
General
Motors
Company
366,992
1,490
Hilton
Worldwide
Holdings,
Inc.
477,530
1,219
Home
Depot,
Inc.
404,659
861
Laureate
Education,
Inc.
j
32,985
2,561
Life
Time
Group
Holdings,
Inc.
j
115,501
3,340
Lowe's
Companies,
Inc.
694,085
246
Monarch
Casino
&
Resort,
Inc.
30,197
157
Murphy
USA,
Inc.
95,418
2,490
O'Reilly
Automotive,
Inc.
j
222,482
1,694
Pattern
Group,
Inc.
j
38,996
852
PulteGroup,
Inc.
107,752
655
RH
j
108,416
2,275
Ross
Stores,
Inc.
571,184
1,554
SharkNinja,
Inc.
j
251,391
17,235
Sony
Group
Corporation
ADR
f
400,886
609
Tapestry,
Inc.
92,793
3,428
Tesla,
Inc.
j
1,066,828
503
Texas
Roadhouse,
Inc.
103,336
2,039
TJX
Companies,
Inc.
320,816
1,918
Universal
Technical
Institute,
Inc.
j
75,397
2,379
Viking
Holdings,
Ltd.
j
248,249
533
Williams-Sonoma,
Inc.
121,876
6,162
Wyndham
Hotels
&
Resorts,
Inc.
461,287
1,908
Wynn
Resorts,
Ltd.
189,483
Total
14,915,062
Consumer
Staples
1.0%
2,908
BellRing
Brands,
Inc.
j
36,030
4,121
British
American
Tobacco
plc
ADR
249,939
152
Casey's
General
Stores,
Inc.
132,392
658
Chefs'
Warehouse,
Inc.
j
75,900
3,291
Coca-Cola
Company
288,259
601
Colgate-Palmolive
Company
54,871
60
Costco
Wholesale
Corporation
57,114
2,599
Darling
Ingredients,
Inc.
j
157,603
1,374
John
B.
Sanfilippo
&
Son,
Inc.
113,712
20,835
Keurig
Dr
Pepper,
Inc.
648,385
2,633
PepsiCo,
Inc.
367,462
145
Procter
&
Gamble
Company
20,951
10,292
Sysco
Corporation
877,290
1,275
Turning
Point
Brands,
Inc.
95,128
12,705
Unilever
plc
ADR
805,624
6,928
Walmart,
Inc.
770,394
381
WD-40
Company
86,540
Total
4,837,594
Shares
Common
Stock  33.5%
Value
Energy
1.6%
4,762
Antero
Midstream
Corporation
$
104,621
1,943
Chevron
Corporation
382,441
9,449
ConocoPhillips
1,138,416
18,366
Devon
Energy
Corporation
828,858
1,404
DHT
Holdings,
Inc.
26,072
24,491
Enterprise
Products
Partners,
LP
931,883
529
EOG
Resources,
Inc.
78,657
1,581
Expand
Energy
Corporation
148,661
12,535
ExxonMobil
Holdings
Corporation
1,948,440
18,084
Halliburton
Company
583,209
2,068
Marathon
Petroleum
Corporation
654,460
1,627
Matador
Resources
Company
81,171
6,448
Patterson-UTI
Energy,
Inc.
67,575
7,659
Permian
Resources
Corporation
163,213
407
Talos
Energy,
Inc.
j
6,178
1,684
TechnipFMC
plc
120,676
Total
7,264,531
Financials
4.6%
213
Affiliated
Managers
Group,
Inc.
78,113
1,406
Allstate
Corporation
371,296
4,510
Ally
Financial,
Inc.
195,418
1,284
American
Express
Company
431,745
374
American
Financial
Group,
Inc.
53,003
7,201
American
International
Group,
Inc.
565,855
169
Ameriprise
Financial,
Inc.
92,247
2,268
Arch
Capital
Group,
Ltd.
j
228,002
1,565
Associated
Banc-Corp
48,327
2,077
Atlantic
Union
Bankshares
Corporation
88,127
257
Banc
of
California,
Inc.
4,922
29,002
Bank
of
America
Corporation
1,796,674
5,803
Bank
of
New
York
Mellon
Corporation
907,183
1,575
Beacon
Financial
Corporation
49,628
1,988
Berkshire
Hathaway,
Inc.
j
1,016,941
6,463
BGC
Group,
Inc.
74,454
264
BlackRock,
Inc.
287,863
3,703
Bridgewater
Bancshares,
Inc.
j
75,837
1,316
Byline
Bancorp,
Inc.
51,679
5,184
Capital
One
Financial
Corporation
1,083,508
10,134
Charles
Schwab
Corporation
1,066,502
1,725
Chubb,
Ltd.
604,923
1,481
Citigroup,
Inc.
196,158
140
CNB
Financial
Corporation
4,914
404
Community
Trust
Bancorp,
Inc.
31,694
273
ConnectOne
Bancorp,
Inc.
8,993
620
Customers
Bancorp,
Inc.
j
48,782
209
Enova
International,
Inc.
j
53,115
520
Essent
Group,
Ltd.
34,299
630
Federal
Agricultural
Mortgage
Corporation
143,388
204
Financial
Institutions,
Inc.
8,458
313
First
American
Financial
Corporation
23,472
6,129
Genworth
Financial,
Inc.
j
60,248
509
Goosehead
Insurance,
Inc.
j
31,558
770
Hanmi
Financial
Corporation
24,548
439
Hometrust
Bancshares,
Inc.
22,472
497
Houlihan
Lokey,
Inc.
62,368
17,580
Huntington
Bancshares,
Inc./OH
299,563
226
Independent
Bank
Corporation/MI
8,633
4,695
Intercontinental
Exchange,
Inc.
715,894
6,978
JPMorgan
Chase
&
Company
2,454,791
839
M&T
Bank
Corporation
206,637
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
25
Shares
Common
Stock  33.5%
Value
Financials
4.6%
-
continued
261
Marsh
&
McLennan
Companies,
Inc.
$
49,509
528
Mastercard,
Inc.
302,597
202
Mercury
General
Corporation
21,638
5,953
MetLife,
Inc.
572,262
1,471
MGIC
Investment
Corporation
44,189
7,716
Morgan
Stanley
1,623,601
1,150
Nasdaq,
Inc.
108,318
400
Neptune
Insurance
Holdings,
Inc.
j
12,684
719
NMI
Holdings,
Inc.
j
31,852
931
Northern
Trust
Corporation
169,619
23
OFG
Bancorp
1,216
3,486
Old
National
Bancorp
92,867
4,523
Old
Republic
International
Corporation
195,439
2,004
Old
Second
Bancorp,
Inc.
50,681
447
Orrstown
Financial
Services,
Inc.
19,100
1,115
Oscar
Health,
Inc.
j
34,810
1,150
Pinnacle
Financial
Partners,
Inc.
121,014
53
PNC
Financial
Services
Group,
Inc.
13,243
360
Reinsurance
Group
of
America,
Inc.
85,266
3,385
Robinhood
Markets,
Inc.
j
293,006
6
S&P
Global,
Inc.
2,472
2,491
SEI
Investments
Company
256,523
937
Simmons
First
National
Corporation
22,104
717
SouthState
Bank
Corporation
75,350
258
StoneX
Group,
Inc.
j
19,755
1,521
Triumph
Financial,
Inc.
j
115,490
1,751
Truist
Financial
Corporation
90,772
653
U.S.
Bancorp
41,146
885
United
Community
Banks,
Inc.
31,364
343
Universal
Insurance
Holdings,
Inc.
14,993
5,409
Valley
National
Bancorp
77,295
3,117
Visa,
Inc.
1,141,227
19,183
Wells
Fargo
&
Company
1,658,370
716
Wintrust
Financial
Corporation
114,231
851
Zions
Bancorp
NA
59,315
Total
21,175,550
Health
Care
3.8%
2,127
AbbVie,
Inc.
533,749
1,331
Agilent
Technologies,
Inc.
184,170
1,762
Amgen,
Inc.
678,652
978
BioMarin
Pharmaceutical,
Inc.
j
58,700
4,441
Boston
Scientific
Corporation
j
207,528
2,248
BrightSpring
Health
Services,
Inc.
j
134,228
4,734
Bristol-Myers
Squibb
Company
309,178
1,078
Cencora,
Inc.
335,625
187
Chemed
Corporation
99,531
2,999
Cigna
Group
836,871
3,284
Concentra
Group
Holdings
Parent,
Inc.
103,939
841
CVS
Health
Corporation
87,826
3,204
Danaher
Corporation
624,716
1,759
Dexcom,
Inc.
j
146,789
74
Edwards
Lifesciences
Corporation
j
6,369
97
Elevance
Health,
Inc.
36,456
1,081
Eli
Lilly
&
Company
1,241,896
940
Encompass
Health
Corporation
104,406
2,279
Exelixis,
Inc.
j
120,855
3,893
Gilead
Sciences,
Inc.
506,908
Shares
Common
Stock  33.5%
Value
Health
Care
3.8%
-
continued
495
Harmony
Biosciences
Holdings,
Inc.
j
$
17,444
3,427
ICON
plc
j
560,537
626
ICU
Medical,
Inc.
j
105,487
997
Illumina,
Inc.
j
204,485
244
Insulet
Corporation
j
40,345
1,525
Intuitive
Surgical,
Inc.
j
538,828
601
Janux
Therapeutics,
Inc.
j
9,117
561
Jazz
Pharmaceuticals,
Inc.
j
141,854
7,209
Johnson
&
Johnson
1,848,027
3,101
Labcorp
Holdings,
Inc.
958,829
1,082
LivaNova
plc
j
86,711
498
Medpace
Holdings,
Inc.
j
287,401
3,718
Medtronic
plc
317,480
12,491
Merck
&
Company,
Inc.
1,626,328
51
Mesa
Laboratories,
Inc.
5,141
120
Mettler-Toledo
International,
Inc.
j
169,956
2,911
Neurocrine
Biosciences,
Inc.
j
485,555
2,349
Pfizer,
Inc.
58,749
961
Progyny,
Inc.
j
29,916
653
Regeneron
Pharmaceuticals,
Inc.
497,997
542
Repligen
Corporation
j
76,427
5,359
Royalty
Pharma
plc
313,126
889
Sotera
Health
Company
j
15,878
671
Stryker
Corporation
218,545
575
Tenet
Healthcare
Corporation
j
146,499
116
Thermo
Fisher
Scientific,
Inc.
66,619
1,082
Twist
Bioscience
Corporation
j
99,057
316
UFP
Technologies,
Inc.
j
80,510
2,595
UnitedHealth
Group,
Inc.
1,075,368
544
Veeva
Systems,
Inc.
j
110,856
1,898
Waystar
Holding
Corporation
j
40,067
6,268
Zimmer
Biomet
Holdings,
Inc.
588,753
Total
17,180,284
Industrials
4.1%
1,175
3M
Company
207,129
204
Acuity,
Inc.
66,992
356
Advanced
Drainage
Systems,
Inc.
49,299
2,938
Allegheny
Technologies,
Inc.
j
550,699
672
Allegion
plc
105,773
10,053
Amentum
Holdings,
Inc.
j
223,177
1,410
AMETEK,
Inc.
340,811
314
Applied
Industrial
Technologies,
Inc.
108,396
1,688
Badger
Infrastructure
Solutions,
Ltd.
106,998
2,927
Barrett
Business
Services,
Inc.
114,270
677
C.H.
Robinson
Worldwide,
Inc.
100,013
868
Caterpillar,
Inc.
707,255
314
CECO
Environmental
Corporation
j
20,689
968
Clean
Harbors,
Inc.
j
302,868
69,296
CNH
Industrial
NV
710,284
2,535
Copart,
Inc.
j
73,819
254
CSW
Industrials,
Inc.
81,008
23,626
CSX
Corporation
1,190,750
148
Cummins,
Inc.
93,862
291
Curtiss-Wright
Corporation
210,684
8,096
Delta
Air
Lines,
Inc.
707,914
1,044
Eaton
Corporation
plc
433,469
553
EMCOR
Group,
Inc.
440,979
204
ESCO
Technologies,
Inc.
64,319
14,103
Fastenal
Company
672,854
102
Ferguson
Enterprises,
Inc.
23,902
8,695
Flowserve
Corporation
660,733
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
26
Shares
Common
Stock  33.5%
Value
Industrials
4.1%
-
continued
818
Fluor
Corporation
j
$
41,039
469
GE
Vernova,
Inc.
464,446
2,390
General
Dynamics
Corporation
916,374
2,942
General
Electric
Company
1,059,326
64
HEICO
Corporation
16,466
1,539
Helios
Technologies,
Inc.
119,903
5,484
Hexcel
Corporation
564,578
2,388
Honeywell
Aerospace,
Inc.
j
493,695
1,834
Honeywell
International,
Inc.
445,754
670
Howmet
Aerospace,
Inc.
189,114
673
IDEX
Corporation
155,093
207
IES
Holdings,
Inc.
j
154,120
180
Innodata,
Inc.
j
11,309
2,915
Jacobs
Solutions,
Inc.
393,321
2,140
JB
Hunt
Transport
Services,
Inc.
581,545
980
Johnson
Controls
International
plc
143,727
425
Kirby
Corporation
j
55,735
1,298
Korn
Ferry
106,786
2,115
L3Harris
Technologies,
Inc.
585,982
869
Limbach
Holdings,
Inc.
j
62,307
615
Lincoln
Electric
Holdings,
Inc.
160,706
785
Louisiana-Pacific
Corporation
56,858
323
Modine
Manufacturing
Company
j
64,942
330
Moog,
Inc.
128,651
134
Mueller
Industries,
Inc.
8,899
715
NPK
International,
Inc.
j
8,930
170
NWPX
Infrastructure,
Inc.
j
20,924
477
Old
Dominion
Freight
Line,
Inc.
101,191
706
Parker-Hannifin
Corporation
689,430
218
Quanta
Services,
Inc.
145,484
250
RBC
Bearings,
Inc.
j
137,828
383
Republic
Services,
Inc.
80,641
367
Rockwell
Automation,
Inc.
176,189
2,378
RTX
Corporation
511,793
52
Saia,
Inc.
j
18,077
791
Terex
Corporation
49,706
1,282
Timken
Company
176,339
2,053
Toro
Company
188,609
5,147
Uber
Technologies,
Inc.
j
362,143
1,616
UL
Solutions,
Inc.
148,090
136
United
Rentals,
Inc.
146,779
115
V2X,
Inc.
j
10,378
184
Valmont
Industries,
Inc.
88,633
484
Verisk
Analytics,
Inc.
94,307
258
WESCO
International,
Inc.
88,620
434
Woodward,
Inc.
156,566
Total
18,750,279
Information
Technology
9.2%
598
Adobe,
Inc.
j
149,745
2,611
Advanced
Micro
Devices,
Inc.
j
1,243,228
6,388
Amphenol
Corporation
1,026,552
1,310
Analog
Devices,
Inc.
481,307
17,661
Apple,
Inc.
5,455,659
2,535
Applied
Materials,
Inc.
1,286,943
4,828
Arista
Networks,
Inc.
j
870,730
890
Autodesk,
Inc.
j
208,438
6,654
Broadcom,
Inc.
2,590,269
1,426
Cadence
Design
Systems,
Inc.
j
484,868
14,492
Cisco
Systems,
Inc.
1,680,927
807
Clear
Secure,
Inc.
44,579
1,224
Cohu,
Inc.
j
58,740
1,484
Crane
NXT
Company
77,094
144
CrowdStrike
Holdings,
Inc.
j
27,484
750
Datadog,
Inc.
j
200,977
Shares
Common
Stock  33.5%
Value
Information
Technology
9.2%
-
continued
1,196
DocuSign,
Inc.
j
$
65,577
315
Fabrinet
j
137,154
3,507
Fortinet,
Inc.
j
567,959
2,775
GPGI,
Inc.
36,630
423
Guidewire
Software,
Inc.
j
64,271
1,813
Intel
Corporation
j
163,533
30
InterDigital,
Inc.
9,145
1,272
International
Business
Machines
Corporation
284,483
250
Intuit,
Inc.
79,017
533
IPG
Photonics
Corporation
j
45,337
3,183
JFrog,
Ltd.
j
253,972
819
Keysight
Technologies,
Inc.
j
261,327
1,717
Knowles
Corporation
j
62,825
3,720
Lam
Research
Corporation
1,090,034
362
Littelfuse,
Inc.
160,051
1,683
Micron
Technology,
Inc.
1,385,159
13,806
Microsoft
Corporation
6,415,924
121
Monolithic
Power
Systems,
Inc.
172,550
346
Motorola
Solutions,
Inc.
150,769
22,313
Nokia
Oyj
ADR
203,941
2,746
Nutanix,
Inc.
j
162,041
36,073
NVIDIA
Corporation
7,241,655
94
NXP
Semiconductors
NV
21,541
919
Onto
Innovation,
Inc.
j
237,635
2,090
Oracle
Corporation
271,428
3,782
Palantir
Technologies,
Inc.
j
465,413
2,527
Pegasystems,
Inc.
77,200
449
Plexus
Corporation
j
112,852
5,260
Qualcomm,
Inc.
776,429
551
Rogers
Corporation
j
68,032
5,746
SailPoint,
Inc.
f,j
96,360
289
Salesforce,
Inc.
53,182
9,338
Samsung
Electronics
Company,
Ltd.
1,625,324
139
SanDisk
Corporation
j
168,861
3,778
ServiceNow,
Inc.
j
420,227
425
Snowflake,
Inc.
j
124,644
237
Synopsys,
Inc.
j
92,136
1,464
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
ADR
591,822
4,393
TD
SYNNEX
Corporation
1,123,290
100
Teradyne,
Inc.
36,769
1,774
Texas
Instruments,
Inc.
489,163
906
TTM
Technologies,
Inc.
j
104,589
632
Zebra
Technologies
Corporation
j
185,694
Total
42,043,485
Materials
1.1%
235
Air
Products
and
Chemicals,
Inc.
69,299
1,330
Alcoa
Corporation
60,196
2,055
Amrize,
Ltd.
100,510
387
AptarGroup,
Inc.
51,843
1,626
Ashland,
Inc.
118,064
604
Balchem
Corporation
101,203
1,660
Celanese
Corporation
74,235
211
Century
Aluminum
Company
j
9,447
5,227
CF
Industries
Holdings,
Inc.
654,368
6,801
Constellium
SE
j
188,932
4,431
Crown
Holdings,
Inc.
522,193
2,634
Eastman
Chemical
Company
184,248
873
Ecolab,
Inc.
242,371
1,666
Ecovyst,
Inc.
j
20,092
2,867
Element
Solutions,
Inc.
105,305
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
27
Shares
Common
Stock  33.5%
Value
Materials
1.1%
-
continued
1,724
Freeport-McMoRan,
Inc.
$
107,974
1,407
Greif,
Inc.
121,776
6,085
International
Paper
Company
248,451
7,571
Ivanhoe
Mines,
Ltd.
j
54,385
47
Kaiser
Aluminum
Corporation
7,505
939
Linde
plc
449,199
1,375
Newmont
Corporation
128,851
3,463
Nucor
Corporation
890,995
3,307
Solstice
Advanced
Materials,
Inc.
198,982
292
SSR
Mining,
Inc.
j
7,481
1,044
Steel
Dynamics,
Inc.
262,315
Total
4,980,220
Real
Estate
0.9%
1,004
Agree
Realty
Corporation
78,111
2,125
AvalonBay
Communities,
Inc.
394,421
3,356
CBRE
Group,
Inc.
j
492,694
8,318
Crown
Castle,
Inc.
634,663
978
EPR
Properties
60,704
133
Equinix,
Inc.
135,564
1,324
Equity
Lifestyle
Properties,
Inc.
86,153
7,735
Essential
Properties
Realty
Trust,
Inc.
242,028
764
Extra
Space
Storage,
Inc.
113,103
4,987
Fermi,
Inc.
j
28,376
3,338
First
Industrial
Realty
Trust,
Inc.
219,774
265
Getty
Realty
Corporation
9,047
18,985
Healthcare
Realty
Trust,
Inc.
398,875
2,444
Independence
Realty
Trust,
Inc.
40,644
539
Innovative
Industrial
Properties,
Inc.
31,699
635
Iron
Mountain,
Inc.
77,673
834
Jones
Lang
LaSalle,
Inc.
j
296,095
211
Kite
Realty
Group
Trust
6,039
887
Medical
Properties
Trust,
Inc.
4,107
2,808
Millrose
Properties,
Inc.
78,568
1,297
NetSTREIT
Corporation
27,821
3,196
Sabra
Health
Care
REIT,
Inc.
67,659
421
Simon
Property
Group,
Inc.
96,565
6,123
Tanger,
Inc.
248,961
1,139
Terreno
Realty
Corporation
81,609
Total
3,950,953
Utilities
1.1%
1,587
Alliant
Energy
Corporation
f
112,328
196
American
States
Water
Company
16,785
2,724
CenterPoint
Energy,
Inc.
114,517
3,288
Constellation
Energy
Corporation
863,922
6,470
Duke
Energy
Corporation
811,532
5,178
Edison
International
379,910
8,774
Entergy
Corporation
944,258
4,919
Evergy,
Inc.
408,326
327
Eversource
Energy
23,410
2,479
NiSource,
Inc.
110,142
5,584
PG&E
Corporation
97,050
994
Pinnacle
West
Capital
Corporation
100,384
5,150
Portland
General
Electric
Company
254,050
772
Spire,
Inc.
61,652
8,539
UGI
Corporation
308,429
92
Unitil
Corporation
4,962
Shares
Common
Stock  33.5%
Value
Utilities
1.1%
-
continued
3,813
Vistra
Energy
Corporation
$
565,048
Total
5,176,705
Total
Common
Stock
(cost
$97,329,044)
152,886,872
Shares
Registered
Investment
Companies  
26.9%
Value
U.S.
Affiliated  
26.3%  
2,685,873
Thrivent
Core
Emerging
Markets
Debt
Fund
23,501,390
1,270,901
Thrivent
Core
High
Yield
Bond
Fund
25,024,044
1,692,773
Thrivent
Core
Investment
Grade
Corporate
Bond
Fund
32,585,875
1,513,136
Thrivent
International
Large
Cap
ETF
38,660,474
Total
119,771,783
U.S.
Unaffiliated  
0.6%  
4,765
abrdn
Asia-Pacific
Income
Fund,
Inc.
69,093
15,907
abrdn
Income
Credit
Strategies
Fund
80,489
3,817
abrdn
Total
Dynamic
Dividend
Fund
40,231
9,891
AllianceBernstein
Global
High
Income
Fund,
Inc.
99,800
12,911
Allspring
Income
Opportunities
Fund
81,339
3,151
BlackRock
Capital
Allocation
Term
Trust
49,660
2,691
BlackRock
Core
Bond
Trust
23,950
11,247
BlackRock
Corporate
High
Yield
Fund,
Inc.
93,912
9,330
BlackRock
Credit
Allocation
Income
Trust
93,020
1,902
BlackRock
Debt
Strategies
Fund,
Inc.
17,917
2,051
BlackRock
Enhanced
Equity
Dividend
Trust
20,059
7,041
BlackRock
Enhanced
Global
Dividend
Trust
85,266
5,442
BlackRock
Enhanced
International
Dividend
Trust
31,455
4,524
BlackRock
Income
Trust,
Inc.
46,054
7,676
BlackRock
Multi-Sector
Income
Trust
93,878
5,606
Blackstone
Strategic
Credit
2027
Term
Fund
62,619
7,221
Cornerstone
Strategic
Investment
Fund,
Inc.
53,724
9,540
Eaton
Vance
Limited
Duration
Income
Fund
86,814
4,315
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
42,201
17,150
iShares
Preferred
and
Income
Securities
ETF
f
522,561
161
iShares
Semiconductor
ETF
81,287
15,723
Nuveen
Credit
Strategies
Income
Fund
74,841
5,392
Nuveen
Preferred
Income
Opportunities
Fund
41,464
6,998
PGIM
Global
High
Yield
Fund,
Inc.
81,597
5,548
PGIM
High
Yield
Bond
Fund,
Inc.
69,017
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
28
Shares
Registered
Investment
Companies  26.9%
Value
U.S.
Unaffiliated  
0.6%  -
continued
4,342
PIMCO
Dynamic
Income
Fund
$
69,472
6,377
PIMCO
High
Income
Fund
29,653
6,559
PIMCO
Income
Strategy
Fund
II
46,438
469
State
Street
SPDR
S&P
Biotech
ETF
68,948
1,099
Tri-Continental
Corporation
38,333
3,295
Vanguard
Short-Term
Corporate
Bond
ETF
259,053
1,396
Virtus
Convertible
&
Income
Fund
23,383
5,085
Virtus
Dividend,
Interest
&
Premium
Strategy
Fund
77,394
1,573
Virtus
Equity
&
Convertible
Income
Fund
40,819
11,762
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
77,041
3,690
Western
Asset
Diversified
Income
Fund
48,339
22,073
Western
Asset
High
Income
Opportunity
Fund,
Inc.
77,918
Total
2,899,039
Total
Registered
Investment
Companies
(cost
$115,355,404)
122,670,822
Shares
Preferred
Stock
0.9%
Value
Basic
Materials
<0.1%
2,676
Albemarle
Corporation,
Convertible,
7.250%
133,211
Total
133,211
Capital
Goods
0.1%
5,412
Boeing
Company,
Convertible,
6.000%
361,576
Total
361,576
Communications
Services
<0.1%
3,975
AT&T,
Inc.,
4.750%
h
68,171
2,000
Telephone
and
Data
Systems,
Inc.,
6.000%
h
38,200
Total
106,371
Financials
0.5%
2,475
AEGON
Funding
Company,
LLC,
5.100%
44,921
2,600
Allstate
Corporation,
5.100%
h
50,388
1,880
Ares
Management
Corporation,
Convertible,
6.750%
77,306
1,550
Athene
Holding,
Ltd.,
5.625%
h
28,954
4,100
Bank
of
America
Corporation,
4.250%
h
67,281
3,175
Bank
of
America
Corporation,
4.375%
h
54,165
1,575
Bank
of
America
Corporation,
4.750%
f,h
29,074
3,175
Bank
of
America
Corporation,
5.000%
h
62,166
186
Bank
of
America
Corporation,
Convertible,
7.250%
h
239,921
1,500
Brookfield
Finance,
Inc.,
4.625%
22,635
775
Capital
One
Financial
Corporation,
4.800%
h
13,438
3,050
Capital
One
Financial
Corporation,
5.000%
f,h
55,113
Shares
Preferred
Stock  0.9%
Value
Financials
0.5%
-
continued
775
Charles
Schwab
Corporation,
4.450%
h
$
13,431
1,500
Citigroup,
Inc.,
6.250%
h
36,855
550
Citizens
Financial
Group,
Inc.,
7.375%
h
14,201
1,250
Corebridge
Financial,
Inc.,
6.375%
27,625
1,550
Fifth
Third
Bancorp,
4.950%
h
27,916
1,550
Huntington
Bancshares,
Inc./OH,
4.500%
h
25,110
3,100
JPMorgan
Chase
&
Company,
4.200%
h
53,351
3,175
JPMorgan
Chase
&
Company,
4.625%
f,h
59,341
3,350
JPMorgan
Chase
&
Company,
4.750%
h
64,789
775
KeyCorp,
5.650%
h
16,732
3,150
KeyCorp,
6.200%
b,h
79,916
3,110
KKR
&
Company,
Inc.,
Convertible,
6.250%
134,943
2,075
MetLife,
Inc.,
4.750%
h
37,765
2,600
Morgan
Stanley,
4.250%
f,h
43,264
1,590
Morgan
Stanley,
5.850%
h
36,856
1,000
Morgan
Stanley,
6.625%
h
25,430
2,800
Morgan
Stanley,
7.125%
h
71,204
2,875
Public
Storage,
4.125%
h
45,856
1,125
Public
Storage,
4.625%
h
20,003
300
Public
Storage,
4.700%
h
5,454
1,550
Regions
Financial
Corporation,
4.450%
h
25,033
775
Regions
Financial
Corporation,
5.700%
b,h
18,972
1,550
Truist
Financial
Corporation,
4.750%
h
28,427
2,000
U.S.
Bancorp,
4.000%
h
30,440
3,175
Wells
Fargo
&
Company,
4.375%
h
53,658
1,550
Wells
Fargo
&
Company,
4.700%
h
28,117
2,350
Wells
Fargo
&
Company,
4.750%
h
43,076
229
Wells
Fargo
&
Company,
Convertible,
7.500%
h
271,512
Total
2,084,639
Technology
0.2%
3,213
Alphabet,
Inc.,
Convertible
6.25%
161,164
3,225
Alphabet,
Inc.,
Convertible
6.25%
161,895
1,789
Hewlett
Packard
Enterprise
Company,
Convertible,
7.625%
222,784
2,321
Microchip
Technology,
Inc.,
Convertible,
7.500%
149,194
3,928
Oracle
Corporation,
Convertible,
6.500%
164,505
Total
859,542
Utilities
0.1%
4,150
CMS
Energy
Corporation,
4.200%
h
68,641
1,875
DTE
Energy
Company
6.25%
44,400
1,500
NextEra
Energy
Capital
Holdings,
Inc.
6.5%
35,925
1,623
NextEra
Energy,
Inc.,
Convertible,
7.234%
79,413
1,256
NextEra
Energy,
Inc.,
Convertible,
7.299%
66,819
1,773
NextEra
Energy,
Inc.,
Convertible,
7.375%
84,572
1,210
PPL
Corporation,
Convertible,
7.000%
56,846
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
29
Shares
Preferred
Stock  0.9%
Value
Utilities
0.1%
-
continued
2,750
Southern
Company,
4.950%
$
51,700
2,132
Southern
Company,
Convertible,
7.125%
105,854
Total
594,170
Total
Preferred
Stock
(cost
$4,369,703)
4,139,509
Shares
Collateral
Held
for
Securities
Loaned
0.6%
Value
2,535,003
Thrivent
Cash
Management
Trust
2,535,003
Total
Collateral
Held
for
Securities
Loaned
(cost
$2,535,003)
2,535,003
Shares
or
Principal
Amount
Short-Term
Investments
8.9%
Value
Federal
Home
Loan
Bank
Discount
Notes
1,100,000
3.615%,
8/21/2026
k,l
1,097,693
300,000
3.629%,
9/4/2026
k,l
298,936
200,000
3.668%,
9/18/2026
k,l
199,006
600,000
3.710%,
10/16/2026
k,l
595,271
200,000
3.800%,
10/21/2026
k,l
198,321
State
Street
Institutional
U.S.
Government
Money
Market
Fund
11,753,738
3.619%
k
11,753,738
Thrivent
Core
Short-Term
Reserve
Fund
2,655,534
3.970%
26,555,337
U.S.
Treasury
Bills
100,000
3.614%,
8/27/2026
k,m
99,760
Total
Short-Term
Investments
(cost
$40,794,775)
40,798,062
Total
Investments
(cost
$420,072,123)
104.9%
$478,784,381
Other
Assets
and
Liabilities,
Net
(4.9%)
(22,391,301)
Total
Net
Assets
100.0%
$456,393,080
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$50,733,467
or
11.1%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
f
All
or
a
portion
of
the
security
is
on
loan.
g
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
h
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
i
Defaulted
security.  Interest
is
not
being
accrued.
j
Non-income
producing
security.
k
The
interest
rate
shown
reflects
the
yield.
l
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
m
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Dynamic
Allocation
Fund
as
of
July
31,
2026
was
$51,954
or
0.01%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
College
Avenue
Student
Loans,
LLC,
8/25/2026
7/11/2017
$
36,705
Credit
Suisse
Group
AG 
11/30/2018
38,508
Credit
Suisse
Group
AG 
5/17/2021
28,823
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Dynamic
Allocation
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
1,263,362
Long-Term
Fixed
Income
1,217,714
Total
lending
$2,481,076
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$2,535,003
Net
amounts
due
to
counterparty
$53,927
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
30
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
DAC
-
Designated
Activity
Company
ETF
-
Exchange-Traded
Fund
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
S&P
-
Standard
&
Poor's
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
STRIPS
-
Separate
Trading
of
Registered
Interest
and
Principal
of
Securities
Reference
Rate
Index:
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
31
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Dynamic
Allocation
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Asset-Backed
Securities
22,645,085
–
22,645,085
–
Basic
Materials
74,600
–
74,600
–
Capital
Goods
1,316,768
–
1,316,768
–
Collateralized
Mortgage
Obligations
29,305,333
–
29,305,333
–
Commercial
Mortgage-Backed
Securities
2,333,525
–
2,333,525
–
Communications
Services
504,793
–
504,793
–
Consumer
Cyclical
1,526,805
–
1,526,805
–
Consumer
Non-Cyclical
1,410,965
–
1,410,965
–
Energy
994,514
–
994,514
–
Financials
4,229,747
–
4,229,747
–
Mortgage-Backed
Securities
60,448,405
–
60,448,405
–
Technology
3,837,401
–
3,837,401
–
U.S.
Government
&
Agencies
24,338,402
–
24,338,402
–
Utilities
2,787,770
–
2,787,770
–
Common
Stock
Communications
Services
12,612,209
12,384,317
227,892
–
Consumer
Discretionary
14,915,062
14,915,062
–
–
Consumer
Staples
4,837,594
4,837,594
–
–
Energy
7,264,531
7,264,531
–
–
Financials
21,175,550
21,175,550
–
–
Health
Care
17,180,284
17,180,284
–
–
Industrials
18,750,279
18,750,279
–
–
Information
Technology
42,043,485
40,418,161
1,625,324
–
Materials
4,980,220
4,980,220
–
–
Real
Estate
3,950,953
3,950,953
–
–
Utilities
5,176,705
5,176,705
–
–
Registered
Investment
Companies
U.S.
Affiliated
96,270,393
96,270,393
–
–
U.S.
Unaffiliated
2,899,039
2,899,039
–
–
Preferred
Stock
Basic
Materials
133,211
133,211
–
–
Capital
Goods
361,576
361,576
–
–
Communications
Services
106,371
106,371
–
–
Financials
2,084,639
2,084,639
–
–
Technology
859,542
859,542
–
–
Utilities
594,170
594,170
–
–
Short-Term
Investments
14,242,725
11,753,738
2,488,987
–
Subtotal
Investments
in
Securities
$426,192,651
$266,096,335
$160,096,316
$–
Other
Investments  *
Total
Affiliated
Short-Term
Investments
26,555,337
U.S.
Affiliated
Registered
Investment
Cos.
23,501,390
Collateral
Held
for
Securities
Loaned
2,535,003
Subtotal
Other
Investments
$52,591,730
Total
Investments
at
Value
$478,784,381
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
32
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Dynamic
Allocation
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
249,637
249,637
–
–
Total
Asset
Derivatives
$249,637
$249,637
$–
$–
Liability
Derivatives
Futures
Contracts
1,125,463
1,125,463
–
–
Total
Liability
Derivatives
$1,125,463
$1,125,463
$–
$–
The
following
table
presents
Dynamic
Allocation
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$2,499,727
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
7
September
2026
$
763,074
(
$
7,074)
CBOT
2-Yr.
U.S.
Treasury
Note
45
September
2026
9,276,446
(
24,024)
CBOT
5-Yr.
U.S.
Treasury
Note
155
September
2026
16,535,152
(
108,785)
CBOT
U.S.
Long
Bond
5
September
2026
553,491
(
11,928)
CME
E-mini
S&P
500
Index
36
September
2026
13,434,307
100,343
CME
Ultra
Long
Term
U.S.
Treasury
Bond
45
September
2026
5,075,252
(
139,314)
ICE
mini
MSCI
EAFE
Index
43
September
2026
6,750,467
91,478
ICE
US
mini
MSCI
Emerging
Markets
Index
125
September
2026
10,880,315
(
615,940)
Ultra
10-Yr.
U.S.
Treasury
Note
8
September
2026
888,265
(
10,641)
Total
Futures
Long
Contracts
$
64,156,769
(
$
725,885)
CME
E-mini
Russell
2000
Index
(36)
September
2026
(
$
5,295,661)
$
7,261
CME
E-mini
S&P
Mid-Cap
400
Index
(19)
September
2026
(
7,219,065)
50,555
Eurex
Euro
STOXX
50
Index
(84)
September
2026
(
5,978,984)
(
207,757)
Total
Futures
Short
Contracts
(
$
18,493,710)
($149,941)
Total
Futures
Contracts
$
45,663,059
($875,826)
Dynamic
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
33
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Dynamic
Allocation
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$22,797
$1,008
$140
$23,501
2,686
5.2%
Core
High
Yield
Bond
–
25,659
640
25,024
1,271
5.5
Core
Investment
Grade
Corporate
Bond
–
33,391
160
32,586
1,693
7.1
International
Large
Cap
ETF
1
32,500
5,358
–
38,660
1,513
8.5
Total
Affiliated
Registered
Investment
Companies
55,297
119,771
26.3
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
37,531
15,050
26,025
26,555
2,656
5.8
Total
Affiliated
Short-Term
Investments
37,531
26,555
5.8
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
4,333
36,738
38,536
2,535
2,535
0.6
Total
Collateral
Held
for
Securities
Loaned
4,333
2,535
0.6
Total
Value
$97,161
$148,861
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$(17)
$(147)
$–
$1,009
Core
High
Yield
Bond
1
4
–
588
Core
Investment
Grade
Corporate
Bond
(1)
(644)
–
575
International
Large
Cap
ETF
1
–
802
3,432
1,926
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
4
(5)
–
1,020
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$5,118
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
15
Total
Affiliated
Income
from
Securities
Loaned,
Net
$15
Total
$(13)
$10
$3,432
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
34
Shares
Common
Stock
77.7%
Value
Communications
Services
5.6%
74,422
Alphabet,
Inc.,
Class
A
$
26,503,907
105,589
Alphabet,
Inc.,
Class
C
37,658,317
565,856
Bezeq
Israel
Telecommunication
Corporation,
Ltd.
1,355,809
190
Cable
One,
Inc.
a
7,598
673
CarGurus
,
Inc.
a
24,389
337
Charter
Communications,
Inc.
a
48,858
139,023
Comcast
Corporation
3,330,991
129,267
Deutsche
Telekom
AG
3,989,309
2,776
Gogo
,
Inc.
a
11,604
219,000
HKT
Trust
and
HKT,
Ltd.
370,733
8,808
Imax
Corporation
a
421,375
10,235
Ipsos
SA
422,856
196,800
KDDI
Corporation
3,625,788
138,691
Koninklijke
(Royal)
KPN
NV
654,877
633
Liberty
Capital
Corporation
a
14,667
7,032
Liberty
Global,
Ltd.,
Class
A
a
74,610
740
Liberty
Media
Corporation-Liberty
Formula
One
a
72,616
10,878
Lumen
Technologies,
Inc.
a
69,402
79
Madison
Square
Garden
Sports
Corporation
a
31,101
560
Match
Group,
Inc.
22,070
41,356
Meta
Platforms,
Inc.
23,023,299
28,619
MONY
Group
plc
76,120
98,783
Netflix,
Inc.
a
7,083,729
4,017
New
York
Times
Company
300,833
26,600
Nintendo
Company,
Ltd.
1,268,878
4,321,100
NTT,
Inc.
4,141,834
566
Omnicom
Group,
Inc.
44,544
192,000
PCCW,
Ltd.
143,911
1,838
Reddit
,
Inc.
a
258,551
143,666
Rightmove
plc
900,715
579
ROBLOX
Corporation
a
20,612
1,577,100
SoftBank
Corporation
2,213,583
98,500
SoftBank
Group
Corporation
3,068,030
801
Space
Exploration
Technologies
Corporation
a,b
86,804
788
Spotify
Technology
SA
a
393,953
751
Swisscom
AG
577,103
5,141
Taboola.com,
Ltd.
a
25,756
2,100
TBS
Holdings,
Inc.
79,040
34,100
Tele2
AB
590,751
997,402
Telstra
Corporation,
Ltd.
3,521,205
11,658
Trade
Desk,
Inc.
a
210,310
51,100
TV
Asahi
Holdings
Corporation
1,001,727
142,375
Universal
Music
Group
NV
2,349,125
1,711
Versant
Media
Group,
Inc.
61,579
175,028
Warner
Brothers
Discovery,
Inc.
a
4,603,236
201,101
Warner
Music
Group
Corporation
5,220,582
14,074
ZoomInfo
Technologies,
Inc.
a
46,444
Total
140,023,131
Consumer
Discretionary
6.3%
490
Abercrombie
&
Fitch
Company
a
48,775
1,689
Adient
plc
a
35,537
10,898
ADT,
Inc.
83,261
7,626
Amadeus
IT
Holding
SA
470,654
209,975
Amazon.com,
Inc.
a
57,025,010
2,670
American
Eagle
Outfitters,
Inc.
45,871
53,392
Aptiv
plc
a
3,015,046
1,575
Aramark
89,728
6,400
Asics
Corporation
188,700
1,606
Aumovio
SE
a
74,154
48
AutoNation,
Inc.
a
10,195
Shares
Common
Stock  77.7%
Value
Consumer
Discretionary
6.3%
-
continued
10
AutoZone,
Inc.
a
$
30,162
15,103
Avolta
AG
906,698
15,600
Bandai
Namco
Holdings,
Inc.
451,920
3,002
Bath
&
Body
Works,
Inc.
60,400
2,850
Berkeley
Group
Holdings
plc
a
134,613
4,291
Best
Buy
Company,
Inc.
370,142
1,850
Boot
Barn
Holdings,
Inc.
a
275,631
6,057
BorgWarner,
Inc.
386,073
66
Bright
Horizons
Family
Solutions,
Inc.
a
4,920
288
Brunswick
Corporation
22,752
824
Buckle,
Inc.
36,066
206
Burlington
Stores,
Inc.
a
75,907
3,760
CarMax,
Inc.
a
215,298
4,374
Carnival
Corporation,
Ltd.
121,641
28
Cavco
Industries,
Inc.
a
15,317
657
Champion
Homes,
Inc.
a
52,304
2,633
Chewy,
Inc.
a
59,506
1,696
Chipotle
Mexican
Grill,
Inc.
a
63,125
31,591
D.R.
Horton,
Inc.
4,519,408
1,643
Dana,
Inc.
44,246
1,066
Deckers
Outdoor
Corporation
a
103,274
1,523
Dick's
Sporting
Goods,
Inc.
298,371
1,840
DoorDash
,
Inc.
a
360,934
1,284
eBay,
Inc.
146,389
3,557
Etsy,
Inc.
a
290,536
4,800
Fast
Retailing
Company,
Ltd.
2,350,412
1,199
Five
Below,
Inc.
a
260,339
1,183
Flutter
Entertainment
plc
a
123,588
20,940
Ford
Motor
Company
307,399
624
Frontdoor
,
Inc.
a
45,321
4,937
Games
Workshop
Group
plc
1,272,665
310
Gap,
Inc.
6,228
2,412
Garmin,
Ltd.
708,597
3,722
Garrett
Motion,
Inc.
115,940
3,169
General
Motors
Company
281,597
2,879
Gentex
Corporation
67,253
83
Genuine
Parts
Company
10,323
150
GigaCloud
Technology,
Inc.
a
6,561
4,120
Gildan
Activewear
,
Inc.
228,166
4,502
Goodyear
Tire
&
Rubber
Company
a
31,289
328
Grand
Canyon
Education,
Inc.
a
47,672
3,722
Hasbro,
Inc.
349,645
21,800
Haseko
Corporation
379,314
12,400
Heiwa
Corporation
166,082
18,561
Hilton
Worldwide
Holdings,
Inc.
5,948,615
18,140
Home
Depot,
Inc.
6,021,754
214,300
Honda
Motor
Company,
Ltd.
2,160,063
3,068
Installed
Building
Products,
Inc.
683,980
26,200
JTEKT
Corporation
358,762
240,472
Kingfisher
plc
1,003,231
1,887
Kohl's
Corporation
36,117
1,480
Laureate
Education,
Inc.
a
56,699
1,894
Lear
Corporation
247,432
1,308
Lennar
Corporation
107,714
38,505
Levi
Strauss
&
Company
944,143
16,488
Life
Time
Group
Holdings,
Inc.
a
743,609
60
Lithia
Motors,
Inc.
23,125
1,845
LKQ
Corporation
41,420
37,741
Lottomatica
Group
SPA
1,020,297
34,429
Lowe's
Companies,
Inc.
7,154,690
1,256
Lululemon
Athletica
,
Inc.
a
149,301
4,355
LVMH
Moet
Hennessy
Louis
Vuitton
SE
2,391,484
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
35
Shares
Common
Stock  77.7%
Value
Consumer
Discretionary
6.3%
-
continued
3,571
LVMH
Moet
Hennessy
Louis
Vuitton
SE
ADR
b
$
391,167
119
M/I
Homes,
Inc.
a
17,389
6,066
Macy's,
Inc.
150,558
4,675
Mattel,
Inc.
a
70,546
2,895
Mercedes-Benz
Group
AG
156,530
6,143
Mobileye
Global,
Inc.
a
48,775
2,815
Mohawk
Industries,
Inc.
a
346,527
519
Monarch
Casino
&
Resort,
Inc.
63,707
336
Murphy
USA,
Inc.
204,207
23,673
Next
plc
4,740,693
14,900
Niterra
Company,
Ltd.
870,140
9
NVR,
Inc.
a
55,323
3,741
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
274,851
18,000
Panasonic
Holdings
Corporation
475,964
3,981
Pattern
Group,
Inc.
a
91,643
1,713
PENN
Entertainment,
Inc.
a
35,168
1,608
Perdoceo
Education
Corporation
51,150
21,134
Pirelli
&
C.
SPA
c
160,991
295
Pool
Corporation
54,784
78,430
Prosus
NV
3,644,862
361
Ralph
Lauren
Corporation
137,303
3,951
Ross
Stores,
Inc.
991,978
24,300
Ryohin
Keikaku
Company,
Ltd.
637,396
23,000
Sekisui
House,
Ltd.
503,523
4,184
SharkNinja
,
Inc.
a
676,846
11,382
Six
Flags
Entertainment
Corporation
a
197,250
4,455
Sonos
,
Inc.
a
65,310
184,700
Sony
Group
Corporation
4,316,231
177,684
Sony
Group
Corporation
ADR
4,132,930
422
Strategic
Education,
Inc.
34,604
247,600
Sumitomo
Electric
Industries,
Ltd.
3,277,010
1,232
Tapestry,
Inc.
187,720
34,015
Tesla,
Inc.
a
10,585,808
4,860
Texas
Roadhouse,
Inc.
998,438
2,381
Toll
Brothers,
Inc.
347,364
8,700
Toyoda
Gosei
Company,
Ltd.
300,354
181,200
Toyota
Motor
Corporation
3,429,152
1,532
Tractor
Supply
Company
47,140
330
Ulta
Beauty,
Inc.
a
169,234
4,373
Universal
Technical
Institute,
Inc.
a
171,903
2,765
Urban
Outfitters,
Inc.
a
205,108
1,517
Versigent
plc
a
62,728
707
Victoria's
Secret
&
Company
a
62,697
5,782
Viking
Holdings,
Ltd.
a
603,352
269
Visteon
Corporation
28,121
26,004
Wesfarmers,
Ltd.
1,628,771
63,525
Wyndham
Hotels
&
Resorts,
Inc.
4,755,482
5,509
Wynn
Resorts,
Ltd.
547,099
33,200
Yamada
Holdings
Company,
Ltd.
148,294
1,029
YETI
Holdings,
Inc.
a
50,359
10,229
Yum
China
Holding,
Inc.
492,833
60
Yum!
Brands,
Inc.
9,197
Total
157,689,901
Consumer
Staples
3.5%
73,679
Anheuser-Busch
InBev
SA/NV
6,399,314
13,600
Arcs
Company,
Ltd.
309,004
5,009
BellRing
Brands,
Inc.
a
62,062
550
BJ's
Wholesale
Club
Holdings,
Inc.
a
53,779
8,460
British
American
Tobacco
plc
513,190
60,889
British
American
Tobacco
plc
ADR
3,692,918
Shares
Common
Stock  77.7%
Value
Consumer
Staples
3.5%
-
continued
1,398
Campbell's
Company
b
$
30,728
712
Casey's
General
Stores,
Inc.
620,152
392
Celsius
Holdings,
Inc.
a
11,450
4,295
Central
Garden
&
Pet
Company,
Class
A
a
162,823
3,530
Chefs'
Warehouse,
Inc.
a
407,186
709
Church
&
Dwight
Company,
Inc.
70,056
10,398
Conagra
Brands,
Inc.
150,875
337
Constellation
Brands,
Inc.
43,888
8,113
Cranswick
plc
584,983
7,221
Darling
Ingredients,
Inc.
a
437,881
936
Dollar
General
Corporation
118,919
785
Dollar
Tree,
Inc.
a
99,860
3,912
Estee
Lauder
Companies,
Inc.
328,217
7,353
Heineken
Holding
NV
618,578
5,859
Heineken
NV
530,476
134
Hershey
Company
23,457
2,832
Hormel
Foods
Corporation
70,828
104,294
Imperial
Brands
plc
3,958,035
172
Ingles
Markets,
Inc.
15,482
1,234
J.M.
Smucker
Company
147,167
13,900
Japan
Tobacco,
Inc.
619,758
214,777
Keurig
Dr
Pepper,
Inc.
6,683,860
188,367
Koninklijke
Ahold
Delhaize
NV
7,463,520
3,464
Kraft
Heinz
Company
89,544
4,991
L'Oreal
SA
2,222,968
2,702
L'Oreal
SA,
ADR
240,640
1,049
Maplebear
,
Inc.
a
46,785
141
Marzetti
Company
15,069
4,923
Mondelez
International,
Inc.
306,752
35,874
Nestle
SA
3,585,645
27,141
PepsiCo,
Inc.
3,787,798
1,067
Performance
Food
Group
Company
a
122,054
7,824
Reckitt
Benckiser
Group
plc
552,195
8
Seaboard
Corporation
35,306
9,142
Shufersal
,
Ltd.
130,773
3,651
Smithfield
Foods,
Inc.
95,072
66
Sprouts
Farmers
Markets,
Inc.
a
5,753
114,458
Sysco
Corporation
9,756,400
278
Target
Corporation
40,168
872,353
Tesco
plc
5,741,946
8,992
Turning
Point
Brands,
Inc.
670,893
3,230
Tyson
Foods,
Inc.
187,211
71,980
Unilever
plc
4,579,897
138,521
Unilever
plc
ADR
8,783,617
1,112
US
Foods
Holding
Corporation
a
111,856
202
Vita
Coco
Company,
Inc.
a
13,320
90,081
Walmart,
Inc.
10,017,007
2,126,000
WH
Group,
Ltd.
c
2,287,508
Total
87,654,623
Energy
4.0%
10,497
Antero
Midstream
Corporation
230,619
4,285
Antero
Resources
Corporation
a
154,860
623
APA
Corporation
23,250
366
Archrock
,
Inc.
13,088
358
Baker
Hughes
Company
21,655
493,151
BP
plc
3,705,111
119
California
Resources
Corporation
6,262
2,029
Cheniere
Energy,
Inc.
534,784
1,464
Chord
Energy
Corporation
205,516
887
CNX
Resources
Corporation
a
31,755
86,309
ConocoPhillips
10,398,508
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
36
Shares
Common
Stock  77.7%
Value
Energy
4.0%
-
continued
28,900
Cosmo
Energy
Holdings
Company,
Ltd.
$
719,178
170,313
Devon
Energy
Corporation
7,686,226
4,236
DHT
Holdings,
Inc.
78,663
2,420
Diamondback
Energy,
Inc.
491,139
3,805
Dorian
LPG,
Ltd.
180,433
1,230
DT
Midstream,
Inc.
169,740
208,800
Eneos
Holdings,
Inc.
1,724,381
238,613
Enterprise
Products
Partners,
LP
9,079,225
1,766
EQT
Corporation
94,110
3,780
Expand
Energy
Corporation
355,433
115,744
ExxonMobil
Holdings
Corporation
17,991,247
63,220
Galp
Energia
SGPS
SA
1,435,765
771
Gulfport
Energy
Corporation
a
124,416
181,235
Halliburton
Company
5,844,829
390
Hess
Midstream,
LP
15,924
4,456
HF
Sinclair
Corporation
407,590
36,300
Inpex
Corporation
836,667
46,700
Japan
Petroleum
Exploration
Company,
Ltd.
519,628
10,880
Kinder
Morgan,
Inc.
350,118
987
Kodiak
Gas
Services,
Inc.
57,947
7,767
Koninklijke
Vopak
NV
439,688
21,969
Marathon
Petroleum
Corporation
6,952,529
2,692
Matador
Resources
Company
134,304
8,924
Noble
Corporation
plc
378,378
4,530
Occidental
Petroleum
Corporation
258,527
210
Oceaneering
International,
Inc.
a
10,244
333
ONEOK,
Inc.
30,240
3,585
Ovintiv
,
Inc.
223,919
202
Par
Pacific
Holdings,
Inc.
a
17,378
16,435
Patterson-UTI
Energy,
Inc.
172,239
817
PBF
Energy,
Inc.
59,053
25,582
Permian
Resources
Corporation
545,152
1,755
Phillips
66
371,498
1,315
Range
Resources
Corporation
52,784
23,609
Repsol
SA
720,571
57,637
SBM
Offshore
NV
2,152,506
486
Scorpio
Tankers,
Inc.
37,840
290,236
Shell
plc
13,284,550
2,764
SM
Energy
Company
89,885
2,661
Talos
Energy,
Inc.
a
40,394
8,983
TechnipFMC
plc
643,722
336
Teekay
Tankers,
Ltd.
26,668
96,686
TotalEnergies
SE
8,523,885
15,180
Transocean,
Ltd.
a
80,758
106
Valero
Energy
Corporation
33,167
113,794
Var
Energi
ASA
571,702
739
Viper
Energy,
Inc.
32,967
Total
99,372,615
Financials
15.6%
43,845
AB
Industrivarden
,
Class
A
2,528,238
223
Acadian
Asset
Management,
Inc.
19,287
960
Affiliated
Managers
Group,
Inc.
352,061
1,037
Affirm
Holdings,
Inc.
a
74,156
13,018
Ageas
SA
NV
1,077,333
31,285
AGNC
Investment
Corporation
333,498
14,337
Allianz
SE
7,141,293
15,094
Allstate
Corporation
3,986,024
7,145
Ally
Financial,
Inc.
309,593
17,261
American
Express
Company
5,804,011
1,321
American
Financial
Group,
Inc.
187,212
84,025
American
International
Group,
Inc.
6,602,684
1,217
Ameriprise
Financial,
Inc.
664,287
Shares
Common
Stock  77.7%
Value
Financials
15.6%
-
continued
252
Ameris
Bancorp
$
21,977
69,103
ANZ
Group
Holdings,
Ltd.
1,806,014
6,639
Arch
Capital
Group,
Ltd.
a
667,419
2,928
Associated
Banc-Corp
90,417
350
Assurant,
Inc.
97,716
880
Assured
Guaranty,
Ltd.
72,794
485
Atlantic
Union
Bankshares
Corporation
20,579
9,238
Avanza
Bank
Holding
AB
379,091
459
Avidia
Bancorp,
Inc.
10,236
147,481
AXA
SA
7,643,885
846
Axis
Capital
Holdings,
Ltd.
89,101
2,736
Banc
of
California,
Inc.
52,394
205,914
Banco
Bilbao
Vizcaya
Argentaria
SA
5,772,162
1,385,163
Banco
de
Sabadell
SA
5,317,955
709,019
Banco
Santander
SA
10,083,861
62,101
Bank
Hapoalim
BM
1,507,686
39,464
Bank
Leumi
Le-Israel
BM
932,468
262,000
Bank
of
America
Corporation
16,230,900
1,028
Bank
of
Marin
Bancorp
29,976
69
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
4,229
54,270
Bank
of
New
York
Mellon
Corporation
8,484,029
460
Bank
OZK
23,598
1,254
BankUnited
,
Inc.
58,499
795
Banner
Corporation
55,976
794
Bar
Harbor
Bankshares
31,530
1,171,408
Barclays
plc
8,051,686
571
BayCom
Corporation
17,233
1,871
Beacon
Financial
Corporation
58,955
12,651
Berkshire
Hathaway,
Inc.
a
6,471,493
7,461
BGC
Group,
Inc.
85,951
779
Bladex,
Inc.
45,610
471
Block,
Inc.
a
38,264
3,149
Blue
Owl
Capital,
Inc.
32,435
75,919
BNP
Paribas
SA
9,646,930
203
Bread
Financial
Holdings,
Inc.
21,938
733
Bridgewater
Bancshares,
Inc.
a
15,012
2,568
Byline
Bancorp,
Inc.
100,845
247
C&F
Financial
Corporation
b
20,400
54,588
Capital
One
Financial
Corporation
11,409,438
81
Cathay
General
Bancorp
5,118
47
Central
Pacific
Financial
Corporation
1,852
75,032
Charles
Schwab
Corporation
7,896,368
170
Chemung
Financial
Corporation
13,853
887
ChoiceOne
Financial
Services,
Inc.
30,185
15,547
Chubb,
Ltd.
5,452,022
42
Cincinnati
Financial
Corporation
7,463
2,669
Citizens
Financial
Group,
Inc.
191,234
199
Citizens
Financial
Services,
Inc.
15,426
1,248
Civista
Bancshares,
Inc.
36,267
2,171
CNB
Financial
Corporation
76,202
3,609
CNO
Financial
Group,
Inc.
198,820
881
Colony
Bankcorp
,
Inc.
19,312
6,561
Columbia
Banking
System,
Inc.
205,162
638
Commerce
Bancshares,
Inc.
37,814
44,921
Commonwealth
Bank
of
Australia
5,615,346
26
Community
Financial
System,
Inc.
1,685
444
Community
Trust
Bancorp,
Inc.
34,832
3,134
ConnectOne
Bancorp,
Inc.
103,234
59
Corpay
,
Inc.
a
22,544
182,260
Credit
Agricole
SA
4,072,683
359
Cullen/Frost
Bankers,
Inc.
59,716
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
37
Shares
Common
Stock  77.7%
Value
Financials
15.6%
-
continued
1,181
Customers
Bancorp,
Inc.
a
$
92,921
343,900
Daiichi
Life
Group,
Inc.
4,146,529
119,200
Daiwa
Securities
Group,
Inc.
1,333,448
28,368
Deutsche
Bank
AG
1,044,113
4,414
Deutsche
Boerse
AG
1,329,573
34,823
DNB
Bank
ASA
1,121,252
2,236
Dynex
Capital,
Inc.
28,420
694
Eagle
Bancorp
Montana,
Inc.
16,260
3,612
East
West
Bancorp,
Inc.
473,172
605
Eastern
Bankshares
,
Inc.
13,891
259
Encore
Capital
Group,
Inc.
a
24,367
1,228
Enova
International,
Inc.
a
312,084
387
Equity
Bancshares,
Inc.
19,613
15,519
Erste
Group
Bank
AG
2,028,693
3,518
Essent
Group,
Ltd.
232,047
330
Euronet
Worldwide,
Inc.
a
23,539
449
Evercore
,
Inc.
143,931
1,430
EXOR
NV
114,516
3,725
F.N.B.
Corporation
70,402
1,053
Farmers
&
Merchants
Bancorp,
Inc./
Archbold
,
OH
35,128
1,177
Farmers
National
Banc
Corporation
18,667
1,712
Federated
Hermes,
Inc.
102,652
811
Fidelity
National
Financial,
Inc.
41,839
3,065
Fidelity
National
Information
Services,
Inc.
137,220
3,036
Fifth
Third
Bancorp
171,534
449
Financial
Institutions,
Inc.
18,616
3,571
First
American
Financial
Corporation
267,789
400
First
Bancorp/Puerto
Rico
11,572
1,815
First
Bank/Hamilton,
NJ
33,632
1,815
First
Busey
Corporation
56,011
17
First
Citizens
BancShares
,
Inc./NC
37,173
299
First
Financial
Bankshares
,
Inc.
10,507
121
First
Hawaiian,
Inc.
3,363
4,930
First
Horizon
Corporation
126,405
7,199
First
International
Bank
of
Israel,
Ltd.
555,933
1,357
First
Merchants
Corporation
58,541
652
First
Mid-Illinois
Bancshares,
Inc.
33,963
168
FirstCash
Holdings,
Inc.
34,274
4,083
Fiserv,
Inc.
a
220,237
824
Flagstar
Bank
NA
11,717
503
Flywire
Corporation
a
8,053
178
Franklin
Resources,
Inc.
6,027
842
Fulton
Financial
Corporation
20,486
123,160
Generali
6,241,630
31,399
Genworth
Financial,
Inc.
a
308,652
455
Glacier
Bancorp,
Inc.
22,427
319
Global
Life,
Inc.
58,138
561
Global
Payments,
Inc.
47,169
493
Goosehead
Insurance,
Inc.
a
30,566
1,911
Groupe
Bruxelles
Lambert
SA
172,366
13,000
Hachijuni
Nagano
Bank,
Ltd.
201,994
548
Hamilton
Insurance
Group,
Ltd.
19,706
343
Hamilton
Lane,
Inc.
30,496
320
Hancock
Whitney
Corporation
24,640
3,060
Hanmi
Financial
Corporation
97,553
379
Hanover
Bancorp,
Inc.
9,947
189
Hanover
Insurance
Group,
Inc.
43,967
1,280
Happen,
Inc.
a
24,499
1,097
Hartford
Insurance
Group,
Inc.
155,675
1,189
Hilltop
Holdings,
Inc.
46,894
Shares
Common
Stock  77.7%
Value
Financials
15.6%
-
continued
686
Home
BancShares
,
Inc.
$
21,314
2,108
Horizon
Bancorp,
Inc.
43,109
1,095
Houlihan
Lokey
,
Inc.
137,412
237,983
HSBC
Holdings
plc
5,067,904
188,135
Huntington
Bancshares,
Inc./OH
3,205,820
60,356
IG
Group
Holdings
plc
1,187,630
350
Independent
Bank
Corporation/MA
29,340
1,024
Independent
Bank
Corporation/MI
39,117
468
Interactive
Brokers
Group,
Inc.
41,179
41,472
Intercontinental
Exchange,
Inc.
6,323,651
878
International
Bancshares
Corporation
67,202
2,939
Invesco,
Ltd.
86,994
924
Investar
Holding
Corporation
27,831
245,660
Investor
AB,
Class
B
10,611,989
1,378
Jackson
Financial,
Inc.
168,502
126,100
Japan
Exchange
Group,
Inc.
1,715,352
83,300
Japan
Post
Holdings
Company,
Ltd.
1,232,370
1,146
Jefferies
Financial
Group,
Inc.
62,572
63,215
JPMorgan
Chase
&
Company
22,238,405
4,515
Julius
Baer
Group,
Ltd.
396,962
4,328
Kearny
Financial
Corporation/MD
41,506
3,359
Kemper
Corporation
95,328
6,501
KeyCorp
146,858
859
Lazard,
Inc.
36,404
1,183
Lincoln
National
Corporation
53,957
2,526,847
Lloyds
TSB
Group
plc
3,905,524
1,174
Loews
Corporation
136,196
3,504
M&T
Bank
Corporation
863,000
2,079
Macquarie
Group,
Ltd.
369,062
140,222
Mapfre
SA
717,013
1,492
Marex
Group,
Ltd.
96,861
117
Markel
Group,
Inc.
a
220,234
327
MarketAxess
Holdings,
Inc.
53,072
14,300
Matsui
Securities
Company,
Ltd.
93,674
356
Mercury
General
Corporation
38,135
62,682
MetLife,
Inc.
6,025,621
10,011
MGIC
Investment
Corporation
300,730
504
Miami
International
Holdings,
Inc.
a
23,708
296,600
Mitsubishi
UFJ
Financial
Group,
Inc.
6,625,005
9,969
Mizrahi
Tefahot
Bank,
Ltd.
741,874
56,700
Mizuho
Financial
Group,
Inc.
2,939,566
73,050
Morgan
Stanley
15,371,181
852
Morningstar,
Inc.
164,070
57,500
MS
and
AD
Insurance
Group
Holdings,
Inc.
1,770,055
5,870
Muenchener
Rueckversicherungs-
Gesellschaft
AG
3,526,109
7,547
Nasdaq,
Inc.
710,852
69,894
National
Australia
Bank,
Ltd.
2,023,850
511
National
Bankshares
,
Inc.
20,747
1,063,854
NatWest
Group
plc
10,034,907
1,109
NBT
Bancorp,
Inc.
58,389
1,100
NerdWallet
,
Inc.
a
9,900
5,692
NMI
Holdings,
Inc.
a
252,156
442
NN
Group
NV
41,663
50,100
Nomura
Holdings,
Inc.
484,692
1,186
Northeast
Community
Bancorp,
Inc.
31,666
1,614
Northern
Trust
Corporation
294,055
1,579
Northpointe
Bancshares,
Inc.
27,632
3,390
Northwest
Bancshares,
Inc.
53,359
963
OFG
Bancorp
50,904
14,642
Old
National
Bancorp
390,063
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
38
Shares
Common
Stock  77.7%
Value
Financials
15.6%
-
continued
3,637
Old
Republic
International
Corporation
$
157,155
1,923
Old
Second
Bancorp,
Inc.
48,633
1,491
OneMain
Holdings,
Inc.
93,307
4,017
Oportun
Financial
Corporation
a
22,254
185
Orange
County
Bancorp,
Inc.
7,076
57,400
ORIX
Corporation
2,316,627
1,645
Orrstown
Financial
Services,
Inc.
70,291
2,356
Oscar
Health,
Inc.
a
73,554
570
Palomar
Holdings,
Inc.
a
76,260
987
Parke
Bancorp,
Inc.
33,706
606
Paymentus
Holdings,
Inc.
a
20,665
1,889
PayPal
Holdings,
Inc.
108,070
754
PCB
Bancorp
21,014
147
Peoples
Bancorp
of
North
Carolina,
Inc.
6,321
1,360
Pinnacle
Financial
Partners,
Inc.
143,113
548
Piper
Sandler
Companies
41,538
11,504
Plus500,
Ltd.
606,224
1,273
Popular,
Inc.
223,042
1,436
Prosperity
Bancshares,
Inc.
107,513
1,901
Provident
Financial
Services,
Inc.
46,917
1,827
Prudential
Financial,
Inc.
223,040
228,556
QBE
Insurance
Group,
Ltd.
3,964,253
3,615
Radian
Group,
Inc.
140,949
601
RBB
Bancorp
15,848
2,488
Regions
Financial
Corporation
77,004
2,070
Reinsurance
Group
of
America,
Inc.
490,279
813
RenaissanceRe
Holdings,
Ltd.
260,144
179
Renasant
Corporation
7,799
219
RLI
Corporation
13,412
39,938
Robinhood
Markets,
Inc.
a
3,457,033
6,647
Rocket
Companies,
Inc.
a
85,746
152,339
Sampo
Oyj
1,686,660
11,400
San-in
Godo
Bank,
Ltd.
165,222
153,400
SBI
Holdings,
Inc.
2,895,930
5,749
SEI
Investments
Company
592,032
4,688
Selective
Insurance
Group,
Inc.
444,376
119
ServisFirst
Bancshares,
Inc.
10,650
27,593
Simmons
First
National
Corporation
650,919
262,800
Singapore
Exchange,
Ltd.
5,010,074
43,735
Societe
Generale
SA
4,110,943
63,100
Sompo
Holdings,
Inc.
2,801,428
2,123
SouthState
Bank
Corporation
223,106
49,595
Standard
Chartered
plc
1,466,400
637
Starwood
Property
Trust,
Inc.
10,179
1,887
State
Street
Corporation
347,510
3,777
Stifel
Financial
Corporation
313,151
2,984
Stock
Yards
Bancorp,
Inc.
253,938
2,036
StoneX
Group,
Inc.
a
155,897
6,223
Storebrand
ASA
132,459
70,000
Sumitomo
Mitsui
Financial
Group,
Inc.
3,007,826
147,200
Sumitomo
Mitsui
Trust
Group,
Inc.
1,513,611
753
Swiss
Life
Holding
AG
888,538
2,344
TBC
Bank
Group
plc
152,213
2,422
Texas
Capital
Bancshares,
Inc.
239,415
704
Third
Coast
Bancshares,
Inc.
a
30,863
493
Timberland
Bancorp,
Inc./WA
22,101
3,172
Toast,
Inc.
a
102,360
111,800
Tokio
Marine
Holdings,
Inc.
5,698,044
464
Tompkins
Financial
Corporation
46,326
1,402
Towne
Bank/Portsmouth,
VA
53,150
Shares
Common
Stock  77.7%
Value
Financials
15.6%
-
continued
133,625
TP
ICAP
Group
plc
$
617,160
690
TPG
RE
Finance
Trust,
Inc.
5,499
631
TPG,
Inc.
27,549
1,557
Tradeweb
Markets,
Inc.
156,478
5,516
Triumph
Financial,
Inc.
a
418,830
10,810
U.S.
Bancorp
681,138
156,693
UBS
Group
AG
8,282,424
666
UMB
Financial
Corporation
97,056
90,354
UniCredit
SPA
8,521,453
148,438
Unipol
Assicurazioni
SPA
4,644,550
615
United
Bankshares
,
Inc.
29,797
2,006
United
Community
Banks,
Inc.
71,093
305
Unity
Bancorp,
Inc.
17,961
595
Universal
Insurance
Holdings,
Inc.
26,007
448
Univest
Financial
Corporation
19,820
2,885
Unum
Group
248,427
2,226
Valley
National
Bancorp
31,810
1,268
Virtu
Financial,
Inc.
74,470
39,993
Visa,
Inc.
14,642,637
4,132
Voya
Financial,
Inc.
410,845
181,622
Wells
Fargo
&
Company
15,701,222
1,733
WesBanco
,
Inc.
71,712
951
West
Bancorporation,
Inc.
26,676
2,375
Western
Alliance
Bancorp
191,164
5,104
Western
Union
Company
b
32,461
78,718
Westpac
Banking
Corporation
2,087,389
82
WEX,
Inc.
a
15,331
2,376
Wintrust
Financial
Corporation
379,067
749
WisdomTree
,
Inc.
14,508
255
WSFS
Financial
Corporation
20,451
16,400
Zenkoku
Hosho
Company,
Ltd.
322,630
3,272
Zions
Bancorp
NA
228,058
6,283
Zurich
Insurance
Group
AG
4,785,938
Total
391,233,878
Health
Care
7.8%
1,908
Acadia
Healthcare
Company,
Inc.
a
56,515
1,707
Adaptive
Biotechnologies
Corporation
a
38,527
3,303
Agilent
Technologies,
Inc.
457,036
427
Agios
Pharmaceuticals,
Inc.
a
12,819
331
Align
Technology,
Inc.
a
55,992
9,178
Alignment
Healthcare,
Inc.
a
136,293
15,294
ALK-
Abello
AS
523,092
15,709
Amgen,
Inc.
6,050,478
883
Anika
Therapeutics,
Inc.
a
17,024
1,341
Arcus
Biosciences,
Inc.
a
37,803
541
Argenx
SE
ADR
a
461,917
42,699
AstraZeneca
plc
7,263,515
28,173
Avantor
,
Inc.
a
388,224
275
Azenta
,
Inc.
a
7,736
12,976
Bayer
AG
720,113
129
Becton,
Dickinson
and
Company
21,365
6,050
BioLife
Solutions,
Inc.
a
189,244
4,898
BioMarin
Pharmaceutical,
Inc.
a
293,978
103
Bio-Rad
Laboratories,
Inc.
a
33,524
2,345
BridgeBio
Pharma,
Inc.
a
187,811
5,326
BrightSpring
Health
Services,
Inc.
a
318,015
48,797
Bristol-Myers
Squibb
Company
3,186,932
175
Bruker
Corporation
10,997
592
Cardinal
Health,
Inc.
136,178
13,536
Cencora
,
Inc.
4,214,298
2,123
Centene
Corporation
a
132,093
642
Charles
River
Laboratories
International,
Inc.
a
149,271
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
39
Shares
Common
Stock  77.7%
Value
Health
Care
7.8%
-
continued
434
Chemed
Corporation
$
230,997
30,920
Cigna
Group
8,628,226
3,976
Cooper
Companies,
Inc.
a
287,544
26,541
Danaher
Corporation
5,174,964
1,252
Denali
Therapeutics,
Inc.
a
28,821
3,110
Dentsply
Sirona,
Inc.
41,581
1,708
Dexcom
,
Inc.
a
142,533
1,807
Doximity
,
Inc.
a
37,784
1,862
Edwards
Lifesciences
Corporation
a
160,262
9,962
Elanco
Animal
Health,
Inc.
a
262,698
10,556
Eli
Lilly
&
Company
12,127,155
3,863
Encompass
Health
Corporation
429,063
2,276
Enovis
Corporation
a
66,345
502
Envista
Holdings
Corporation
a
13,710
928
Exelixis
,
Inc.
a
49,212
3,600
Fortrea
Holdings,
Inc.
a
69,012
31,015
Fresenius
SE
&
Company
KGaA
1,594,086
843
Fulcrum
Therapeutics,
Inc.
a
3,018
23,034
Galderma
Group
AG
5,012,463
11,777
Galenica
AG
c
1,251,091
471
GE
HealthCare
Technologies,
Inc.
32,037
1,912
GeneDx
Holdings
Corporation
a
124,490
40,121
Gilead
Sciences,
Inc.
5,224,155
875
Globus
Medical,
Inc.
a
68,941
388,088
GSK
plc
10,091,363
2,863
Guardant
Health,
Inc.
a
463,777
216,482
Haleon
plc
1,059,797
1,769
Harmony
Biosciences
Holdings,
Inc.
a
62,340
291
Henry
Schein,
Inc.
a
24,953
16,800
Hoya
Corporation
2,569,006
637
Humana,
Inc.
231,779
36,806
ICON
plc
a
6,020,173
1,350
IDEXX
Laboratories,
Inc.
a
754,745
1,644
Illumina,
Inc.
a
337,184
756
Innoviva
,
Inc.
a
15,853
1,286
Insmed
,
Inc.
a
126,800
741
Insulet
Corporation
a
122,524
1,257
Integra
LifeSciences
Holdings
Corporation
a
20,929
12,733
Intuitive
Surgical,
Inc.
a
4,498,951
2,768
Ionis
Pharmaceuticals,
Inc.
a
143,299
12,287
Ipsen
SA
2,374,163
953
IQVIA
Holding,
Inc.
a
223,974
343
Janux
Therapeutics,
Inc.
a
5,203
1,126
Jazz
Pharmaceuticals,
Inc.
a
284,720
49,963
Johnson
&
Johnson
12,808,015
206
Kiniksa
Pharmaceuticals
International
plc
a
15,314
34,034
Labcorp
Holdings,
Inc.
10,523,313
1,791
LivaNova
plc
a
143,531
704
Medline,
Inc.
a
27,653
476
Medpace
Holdings,
Inc.
a
274,704
108,567
Merck
&
Company,
Inc.
14,135,423
203
Merit
Medical
Systems,
Inc.
a
17,257
127
Mettler
-Toledo
International,
Inc.
a
179,870
1,502
Mirum
Pharmaceuticals,
Inc.
a
159,137
373
Moderna
,
Inc.
a
20,448
2,024
Natera
,
Inc.
a
541,946
4,376
Neogen
Corporation
a
52,687
3,441
Neurocrine
Biosciences,
Inc.
a
573,959
88,913
Novartis
AG
13,905,273
54,800
Ono
Pharmaceutical
Company,
Ltd.
818,986
245
Option
Care
Health,
Inc.
a
5,642
Shares
Common
Stock  77.7%
Value
Health
Care
7.8%
-
continued
407
Prestige
Consumer
Healthcare,
Inc.
a
$
20,440
2,318
Progyny
,
Inc.
a
72,159
2,900
QIAGEN
NV
120,060
153
Quest
Diagnostics,
Inc.
35,651
4,223
RadNet
,
Inc.
a
269,343
6,217
Regeneron
Pharmaceuticals,
Inc.
4,741,271
4,389
Repligen
Corporation
a
618,893
410
Revolution
Medicines,
Inc.
a
76,887
26,199
Roche
Holding
AG
11,451,387
2,265
Roche
Holding
AG,
Bearer
Shares
1,004,065
789
Roivant
Sciences,
Ltd.
a
26,755
16,759
Royalty
Pharma
plc
979,228
78,517
Sanofi
SA
6,761,230
3,337
Sarepta
Therapeutics,
Inc.
a
49,588
21,742
Smith
&
Nephew
plc
340,108
3,392
Sotera
Health
Company
a
60,581
2,381
STERIS
plc
543,820
13,300
Takeda
Pharmaceutical
Company,
Ltd.
456,664
1,252
Tenet
Healthcare
Corporation
a
318,985
911
Thermo
Fisher
Scientific,
Inc.
523,187
3,210
Twist
Bioscience
Corporation
a
293,876
4,158
UCB
SA
1,067,291
1,395
UFP
Technologies,
Inc.
a
355,418
1,342
United
Therapeutics
Corporation
a
694,767
16,434
UnitedHealth
Group,
Inc.
6,810,250
722
Vaxcyte
,
Inc.
a
39,046
981
Veeva
Systems,
Inc.
a
199,908
3,865
Vericel
Corporation
a
177,635
10,129
Viatris
,
Inc.
177,865
292
Viemed
Healthcare,
Inc.
a
3,408
3,242
Vir
Biotechnology,
Inc.
a
28,076
227
Waters
Corporation
a
85,649
10,862
Waystar
Holding
Corporation
a
229,297
2,357
West
Pharmaceutical
Services,
Inc.
803,643
562
Xenon
Pharmaceuticals,
Inc.
a
35,221
64,601
Zimmer
Biomet
Holdings,
Inc.
6,067,972
Total
195,335,293
Industrials
11.6%
3,957
AAON,
Inc.
352,410
128,748
ABB,
Ltd.
12,702,141
6,055
Ackermans
&
van
Haaren
NV
1,879,219
10,129
ACS
Actividades
de
Construccion
y
Servicios
SA
1,291,153
2,424
Acuity,
Inc.
796,017
6,301
Advanced
Drainage
Systems,
Inc.
872,562
1,077
AECOM
77,964
94,198
Aena
SME
SA
c
2,903,924
14,609
AerCap
Holdings
NV
2,204,498
3,522
AGCO
Corporation
359,808
2,345
Allegheny
Technologies,
Inc.
a
439,547
209
Allison
Transmission
Holdings,
Inc.
23,939
81,000
Amada
Company,
Ltd.
1,389,649
103,619
Amentum
Holdings,
Inc.
a
2,300,342
257
American
Superconductor
Corporation
a
7,548
1,982
AMETEK,
Inc.
479,069
1,835
APi
Group
Corporation
a
72,813
1,767
Applied
Industrial
Technologies,
Inc.
609,986
1,503
Armstrong
World
Industries,
Inc.
262,514
68,069
Assa
Abloy
AB
2,525,754
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
40
Shares
Common
Stock  77.7%
Value
Industrials
11.6%
-
continued
1,841
Atmus
Filtration
Technologies,
Inc.
$
95,051
586,016
Aurizon
Holdings,
Ltd.
1,723,335
979
Axon
Enterprise,
Inc.
a
516,677
160
AZZ,
Inc.
23,155
222,565
Balfour
Beatty
plc
2,594,596
521
Bloom
Energy
Corporation
a
107,227
29,307
Bouygues
SA
1,650,858
744
Brady
Corporation
70,137
14,062
Brambles,
Ltd.
193,039
786
BrightView
Holdings,
Inc.
a
10,249
53
Brink's
Company
6,278
747
Broadridge
Financial
Solutions,
Inc.
115,001
1,809
Builders
FirstSource
,
Inc.
a
120,190
1,864
BWX
Technologies,
Inc.
314,457
90
CACI
International,
Inc.
a
44,797
8,588
Caterpillar,
Inc.
6,997,588
3,406
CECO
Environmental
Corporation
a
224,421
804,000
CK
Hutchison
Holdings,
Ltd.
7,532,902
3,029
Clean
Harbors,
Inc.
a
947,714
714,308
CNH
Industrial
NV
7,321,657
758
Concentrix
Corporation
b
18,647
1,563
Construction
Partners,
Inc.
a
161,536
13,539
Copart
,
Inc.
a
394,256
956
CRA
International,
Inc.
171,153
3,816
Crane
Company
814,563
614
CSW
Industrials,
Inc.
195,823
206,177
CSX
Corporation
10,391,321
426
Cummins,
Inc.
270,169
1,111
Curtiss-Wright
Corporation
804,364
30,500
Dai
Nippon
Printing
Company,
Ltd.
553,033
87,347
Delta
Air
Lines,
Inc.
7,637,622
44,894
DHL
Group
2,998,999
42,770
Diploma
plc
4,235,621
1,424
Donaldson
Company,
Inc.
134,198
66
Dycom
Industries,
Inc.
a
26,471
15,417
Eaton
Corporation
plc
6,401,138
19,789
Elis
SA
567,626
6,944
EMCOR
Group,
Inc.
5,537,354
566
Enerpac
Tool
Group
Corporation
20,229
332
EnerSys
61,769
1,127
EnPro
,
Inc.
353,788
20,242
Epiroc
AB,
Class
A
518,937
666
Equifax,
Inc.
114,965
276
ESCO
Technologies,
Inc.
87,020
1,491
ExlService
Holdings,
Inc.
a
50,590
164,300
Fastenal
Company
7,838,753
1,403
Federal
Signal
Corporation
175,305
1,397
Ferguson
Enterprises,
Inc.
327,359
81,649
Ferrovial
NV
5,348,500
96,797
Flowserve
Corporation
7,355,604
14,233
Fluor
Corporation
a
714,070
3,250
Fortive
Corporation
192,432
1,447
Fortune
Brands
Innovations,
Inc.
71,279
2,329
FTAI
Aviation,
Ltd.
479,774
12,900
Fujikura,
Ltd.
327,355
1,953
Gates
Industrial
Corporation,
Ltd.
a
54,645
115
GATX
Corporation
20,570
6,945
GE
Vernova
,
Inc.
6,877,564
15,135
GEA
Group
AG
1,075,213
107
Generac
Holdings,
Inc.
a
21,091
20,239
General
Dynamics
Corporation
7,760,037
23,488
General
Electric
Company
8,457,324
1,809
Genpact
,
Ltd.
63,623
3,876
Graco
,
Inc.
307,677
Shares
Common
Stock  77.7%
Value
Industrials
11.6%
-
continued
5,312
Griffon
Corporation
$
457,735
66
HEICO
Corporation
16,980
1,469
Herc
Holdings,
Inc.
220,556
61,254
Hexcel
Corporation
6,306,099
129,700
Hitachi,
Ltd.
4,250,341
24,611
Honeywell
Aerospace,
Inc.
a
5,088,078
18,906
Honeywell
International,
Inc.
4,595,103
29,573
Howden
Joinery
Group
plc
315,117
2,841
Howmet
Aerospace,
Inc.
801,901
76
Hubbell,
Inc.
35,914
1,123
Huber+Suhner
AG
264,709
114
Huntington
Ingalls
Industries,
Inc.
37,215
1,347
IDEX
Corporation
310,416
23,509
IMI
plc
934,210
88,200
Inaba
Denki
Sangyo
Company,
Ltd.
1,572,948
538
Ingersoll
Rand,
Inc.
44,858
232
Innodata,
Inc.
a
14,577
40,025
ISS
AS
1,773,961
232,500
ITOCHU
Corporation
2,917,785
797
ITT
Corporation
156,196
30,114
Jacobs
Solutions,
Inc.
4,063,282
3,400
Jardine
Matheson
Holdings,
Ltd.
225,811
23,542
JB
Hunt
Transport
Services,
Inc.
6,397,538
32,600
Kajima
Corporation
1,089,305
11,900
Kandenko
Company,
Ltd.
395,819
61,400
Kawasaki
Kisen
Kaisha,
Ltd.
1,094,077
2,150
Kirby
Corporation
a
281,951
865
Knight-Swift
Transportation
Holdings,
Inc.
60,143
15,900
Komatsu,
Ltd.
689,905
499
Konecranes
Oyj
15,567
170
Korn
Ferry
13,986
22,391
L3Harris
Technologies,
Inc.
6,203,650
238
Landstar
System,
Inc.
41,595
2,748
Legence
Corporation
a
175,680
34,376
Legrand
SA
5,226,157
352
Leidos
Holdings,
Inc.
40,691
2,082
Limbach
Holdings,
Inc.
a
149,279
2,822
Lincoln
Electric
Holdings,
Inc.
737,417
312
Liquidity
Services,
Inc.
a
12,162
64,030
Logista
Integral
SA
2,731,624
6,168
Loomis
AB
340,378
1,471
Louisiana-Pacific
Corporation
106,545
1,087
Lyft,
Inc.
a
17,240
22,600
Marubeni
Corporation
730,447
385
Masco
Corporation
27,520
15
MasTec
,
Inc.
a
3,947
288
Maximus,
Inc.
17,352
877
McGrath
RentCorp
100,987
6,412
Mercury
Systems,
Inc.
a
622,605
951
Middleby
Corporation
a
127,035
832
Midera
Food
Processing,
Inc.
a
39,894
2,024
MillerKnoll
,
Inc.
45,580
63,200
Mitsubishi
Corporation
1,889,224
29,200
Mitsubishi
Electric
Corporation
1,051,875
151,900
Mitsubishi
Heavy
Industries,
Ltd.
3,548,739
45,600
Mitsui
&
Company,
Ltd.
1,399,203
916
Modine
Manufacturing
Company
a
184,171
896
Moog,
Inc.
349,306
15,746
Morgan
Sindall
Group
plc
940,117
3,733
MSC
Industrial
Direct
Company,
Inc.
460,652
6,906
Mueller
Industries,
Inc.
458,627
6,550
Mueller
Water
Products,
Inc.
165,322
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
41
Shares
Common
Stock  77.7%
Value
Industrials
11.6%
-
continued
46
MYR
Group,
Inc.
a
$
15,328
856
Nextpower
,
Inc.
a
76,929
16,500
NGK
Corporation
564,538
46,000
Nippon
Yusen
Kabushiki
Kaisha
1,766,285
1,400
Nishimatsu
Construction
Company,
Ltd.
46,394
20,100
Nitto
Kogyo
Corporation
542,159
4,470
NKT
AS
a
610,099
72
Nordson
Corporation
21,440
10,328
NPK
International,
Inc.
a
128,997
3,001
nVent
Electric
plc
461,644
162
NWPX
Infrastructure,
Inc.
a
19,939
7,300
Obayashi
Corporation
143,476
2,298
Old
Dominion
Freight
Line,
Inc.
487,498
929
OPENLANE,
Inc.
a
36,937
2,628
Otis
Worldwide
Corporation
189,085
416
Owens
Corning,
Inc.
57,782
6,927
Parker-Hannifin
Corporation
6,764,423
379
Paychex,
Inc.
44,282
371
Paylocity
Holding
Corporation
a
51,159
929
Pentair
plc
60,794
232,400
Persol
Holdings
Company,
Ltd.
385,325
694
Powell
Industries,
Inc.
144,824
607
Proto
Labs,
Inc.
a
45,555
928
Quanta
Services,
Inc.
619,310
1,273
RBC
Bearings,
Inc.
a
701,818
60,500
Recruit
Holdings
Company,
Ltd.
4,784,390
426
Regal
Rexnord
Corporation
87,428
626
Republic
Services,
Inc.
131,804
674
Rheinmetall
AG
890,994
1,447
Rockwell
Automation,
Inc.
694,676
489
Ryder
System,
Inc.
125,389
19,237
Safran
SA
7,559,781
423
Saia,
Inc.
a
147,047
126,594
Sandvik
AB
4,733,949
436
Science
Applications
International
Corporation
51,069
17,200
Secom
Company,
Ltd.
740,908
1,779
Sensata
Technologies
Holding
plc
82,350
20,283
Siemens
AG
6,645,655
17,718
Siemens
Energy
AG
3,026,997
139,000
Singapore
Airlines,
Ltd.
833,834
106,500
Singapore
Airport
Terminal
Services,
Ltd.
392,656
193
SkyWest,
Inc.
a
20,645
12,291
Smiths
Group
plc
438,905
51,700
Sojitz
Corporation
1,727,323
228
SPX
Technologies,
Inc.
a
50,073
3,663
SS&C
Technologies
Holdings,
Inc.
282,234
834
Standex
International
Corporation
247,281
616
Stanley
Black
&
Decker,
Inc.
58,261
104
Sterling
Construction
Company,
Inc.
a
62,064
139,600
Sumitomo
Corporation
1,449,043
604
Sunbelt
Rentals
Holdings,
Inc.
43,440
3,600
Taikisha,
Ltd.
94,337
6,300
Taisei
Corporation
510,316
400
Terex
Corporation
25,136
1,964
Tetra
Tech,
Inc.
65,126
435
Textron,
Inc.
37,088
1,180
Timken
Company
162,309
14,700
Toda
Corporation
136,467
26,100
TOPPAN
Holdings,
Inc.
731,866
5,836
Toro
Company
536,153
9,700
Toyota
Tsusho
Corporation
402,602
Shares
Common
Stock  77.7%
Value
Industrials
11.6%
-
continued
127
Trane
Technologies
plc
$
57,779
2,438
Transcat
,
Inc.
a
208,132
717
Trex
Company,
Inc.
a
31,089
51,000
Tsubakimoto
Chain
Company
818,292
73,845
Uber
Technologies,
Inc.
a
5,195,734
437
U-Haul
Holding
Company
a
30,988
83
UL
Solutions,
Inc.
7,606
1,315
United
Airlines
Holdings,
Inc.
a
159,549
296
United
Rentals,
Inc.
319,461
402
Upwork
,
Inc.
a
3,682
740
V2X,
Inc.
a
66,778
619
Valmont
Industries,
Inc.
298,172
72,848
Ventia
Services
Group,
Pty.
Ltd.
297,097
2,187
Veralto
Corporation
205,950
3,017
Verisk
Analytics,
Inc.
587,862
1,044
Verra
Mobility
Corporation
a
5,523
2,608
Vertiv
Holdings
Company
630,015
1,269
Vestis
Corporation
a
18,350
14
Vicor
Corporation
a
2,903
11,719
Vinci
SA
1,654,639
839
Wabtec
Corporation
244,032
57
Watts
Water
Technologies,
Inc.
19,710
7,383
Werner
Enterprises,
Inc.
276,272
217
WESCO
International,
Inc.
74,537
1,593
Willdan
Group,
Inc.
a
109,168
26,128
Wolters
Kluwer
NV
2,051,274
363
Woodward,
Inc.
130,952
195
XPO,
Inc.
a
39,189
1,743
Xylem,
Inc.
203,879
9,100
YUASA
Company,
Ltd.
330,083
27,830
Zigup
plc
173,473
1,504
Zurn
Elkay
Water
Solutions
Corporation
75,967
Total
290,860,410
Information
Technology
15.8%
25,757
Advanced
Micro
Devices,
Inc.
a
12,264,196
41,300
Advantest
Corporation
8,160,134
7,756
Aixtron
SE
327,157
760
Akamai
Technologies,
Inc.
a
87,537
650
Ambarella
,
Inc.
a
55,900
2,644
Amkor
Technology,
Inc.
131,856
52,696
Amphenol
Corporation
8,468,247
106,767
Apple,
Inc.
32,981,394
15,831
Applied
Materials,
Inc.
8,036,924
52,851
Arista
Networks,
Inc.
a
9,531,678
1,073
Arrow
Electronics,
Inc.
a
232,380
14,185
ASML
Holding
NV
23,376,103
83
Astera
Labs,
Inc.
a
25,832
609
Atlassian
Corporation
a
61,518
875
Autodesk,
Inc.
a
204,925
2,252
Avnet,
Inc.
200,068
466
Blackbaud
,
Inc.
a
19,945
56,549
Broadcom,
Inc.
22,013,395
35,200
Brother
Industries,
Ltd.
876,593
17,889
Cadence
Design
Systems,
Inc.
a
6,082,618
49,300
Canon,
Inc.
1,372,272
8,005
CCC
Intelligent
Solutions
Holdings,
Inc.
a
48,750
818
Celestica,
Inc.
a
271,118
4,989
Check
Point
Software
Technologies,
Ltd.
a
634,252
683
Circle
Internet
Group,
Inc.
a
42,763
835
Cirrus
Logic,
Inc.
a
108,007
139,586
Cisco
Systems,
Inc.
16,190,580
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
42
Shares
Common
Stock  77.7%
Value
Information
Technology
15.8%
-
continued
2,606
Cloudflare
,
Inc.
a
$
727,022
17,657
Codan
,
Ltd.
495,929
8,156
Cognex
Corporation
532,097
1,262
Cognizant
Technology
Solutions
Corporation
69,852
2,168
Coherent
Corporation
a
569,945
2,401
CommVault
Systems,
Inc.
a
282,838
1,730
Credo
Technology
Group
Holding,
Ltd.
a
358,093
62
CTS
Corporation
3,975
1,993
Datadog
,
Inc.
a
534,064
2,536
DigitalOcean
Holdings,
Inc.
a
297,980
453
Diodes,
Inc.
a
37,291
1,000
DISCO
Corporation
357,434
1,514
DocuSign,
Inc.
a
83,013
1,002
Enphase
Energy,
Inc.
a
37,615
271
Entegris
,
Inc.
32,263
695
EPAM
Systems,
Inc.
a
73,364
1,564
Everforth
,
Inc.
a
44,480
363
F5,
Inc.
a
146,133
659
Fabrinet
a
286,935
2,690
Figma
,
Inc.
a
65,421
2,204
Flex,
Ltd.
a
250,705
40,000
FUJIFILM
Holdings
NPV
941,586
12,200
Fujitsu,
Ltd.
281,201
2,184
Globant
SA
a
79,934
320
GoDaddy
,
Inc.
a
26,477
5,646
Guidewire
Software,
Inc.
a
857,853
14,390
Halma
plc
687,511
6,303
Hewlett
Packard
Enterprise
Company
301,914
316
HubSpot
,
Inc.
a
75,006
392
Ichor
Holdings,
Ltd.
a
29,506
1,190
INFICON
Holding
AG
240,079
54,928
Infineon
Technologies
AG
3,941,830
2,622
Ingram
Micro
Holding
Corporation
73,967
497
Insight
Enterprises,
Inc.
a
64,078
615
InterDigital
,
Inc.
187,467
13,107
International
Business
Machines
Corporation
2,931,381
1,557
IPG
Photonics
Corporation
a
132,438
1,183
Jabil,
Inc.
372,704
8,023
Jenoptik
AG
347,605
12,024
JFrog
,
Ltd.
a
959,395
4,200
Keyence
Corporation
2,106,665
1,154
Keysight
Technologies,
Inc.
a
368,218
8,800
Kioxia
Holdings
Corporation
a
2,452,881
13,646
Knowles
Corporation
a
499,307
878
Kulicke
and
Soffa
Industries,
Inc.
78,318
35,400
Kyocera
Corporation
807,361
39,471
Lam
Research
Corporation
11,565,792
2,200
Lasertec
Corporation
505,411
5,293
Lattice
Semiconductor
Corporation
a
657,761
1,739
Littelfuse
,
Inc.
768,864
168
Lumentum
Holdings,
Inc.
a
119,942
1,898
MACOM
Technology
Solutions
Holdings,
Inc.
a
477,233
2,817
Manhattan
Associates,
Inc.
a
539,061
168
MaxLinear
,
Inc.
a
11,226
2,244
Microchip
Technology,
Inc.
166,707
9,601
Micron
Technology,
Inc.
7,901,911
113,172
Microsoft
Corporation
52,593,292
3,466
MKS,
Inc.
1,030,962
205
MongoDB,
Inc.
a
69,183
801
Monolithic
Power
Systems,
Inc.
1,142,250
Shares
Common
Stock  77.7%
Value
Information
Technology
15.8%
-
continued
166
Motorola
Solutions,
Inc.
$
72,334
39,300
Murata
Manufacturing
Company,
Ltd.
1,790,679
555
Napco
Security
Technologies,
Inc.
20,579
51,900
NEC
Corporation
1,542,399
324
NetApp,
Inc.
57,834
1,083
NetScout
Systems,
Inc.
a
44,046
75,195
Nokia
Oyj
695,022
1,047
Novanta
,
Inc.
a
149,250
7,900
NSD
Company,
Ltd.
141,139
274,109
NVIDIA
Corporation
55,027,382
476
NXP
Semiconductors
NV
109,080
1,083
Okta
,
Inc.
a
153,710
1,127
ON
Semiconductor
Corporation
a
91,974
1,344
Onto
Innovation,
Inc.
a
347,532
55,905
Palantir
Technologies,
Inc.
a
6,879,669
745
PC
Connection,
Inc.
62,371
663
PTC,
Inc.
a
90,964
162
Q2
Holdings,
Inc.
a
9,861
976
Qnity
Electronics,
Inc.
128,032
56,512
Qualcomm,
Inc.
8,341,736
5,839
Ralliant
Corporation
381,695
4,308
Rambus,
Inc.
a
392,157
125
Rigetti
Computing,
Inc.
a
1,869
170
Rogers
Corporation
a
20,990
473
Roper
Industries,
Inc.
185,402
20,179
SailPoint
,
Inc.
a,b
338,402
96,260
Samsung
Electronics
Company,
Ltd.
16,754,517
240
Sanmina
Corporation
a
44,534
27,378
SAP
SE
5,018,255
10,500
SCREEN
Holdings
Company,
Ltd.
800,989
83,300
Seiko
Epson
Corporation
1,525,811
33,726
ServiceNow
,
Inc.
a
3,751,343
1,041
SiTime
Corporation
a
557,143
1,108
Skyworks
Solutions,
Inc.
69,006
2,972
Snowflake,
Inc.
a
871,628
6,509
STMicroelectronics
NV
347,700
2,022
Synopsys,
Inc.
a
786,073
21,631
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
ADR
8,744,332
48,189
TD
SYNNEX
Corporation
12,321,927
219
TE
Connectivity
plc
45,046
17,810
Technology
One,
Ltd.
388,448
133
Teledyne
Technologies,
Inc.
a
87,191
166,741
Telefonaktiebolaget
LM
Ericsson
1,640,179
699
Tenable
Holdings,
Inc.
a
22,815
12
Teradyne,
Inc.
4,412
13,400
TISI,
Inc.
321,257
21,400
Tokyo
Electron,
Ltd.
7,154,818
2,095
Trimble,
Inc.
a
118,535
272
Twilio
,
Inc.
a
53,679
266
Tyler
Technologies,
Inc.
a
82,354
1,048
Unity
Software,
Inc.
a
33,232
538
Varonis
Systems,
Inc.
a
21,493
49,000
Venture
Corporation,
Ltd.
610,530
496
VeriSign,
Inc.
143,850
648
ViaSat
,
Inc.
a
49,851
1,788
Vistance
Networks,
Inc.
a
20,991
2,563
Vontier
Corporation
82,349
1,044
Western
Digital
Corporation
568,813
1,184
Workday,
Inc.
a
189,843
531
Zebra
Technologies
Corporation
a
156,018
1,590
Zoom
Communications,
Inc.
a
152,751
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
43
Shares
Common
Stock  77.7%
Value
Information
Technology
15.8%
-
continued
693
Zscaler
,
Inc.
a
$
104,782
Total
394,209,471
Materials
3.0%
28,614
Air
Liquide
SA
5,637,201
143
Air
Products
and
Chemicals,
Inc.
42,169
360
Albemarle
Corporation
42,350
7,744
Alcoa
Corporation
350,493
1,526
Amcor
plc
68,487
3,729
American
Vanguard
Corporation
a
8,912
938
AngloGold
Ashanti
plc
74,402
2,044
AptarGroup,
Inc.
273,814
188
Avery
Dennison
Corporation
31,909
1,911
Avient
Corporation
69,408
1,738
Balchem
Corporation
291,211
2,488
Ball
Corporation
161,471
9,806
BASF
SE
569,274
279,371
BHP
Group,
Ltd.
11,775,653
6,979
Celanese
Corporation
312,101
456
Century
Aluminum
Company
a
20,415
56,407
CF
Industries
Holdings,
Inc.
7,061,592
5,099
Cleveland-Cliffs,
Inc.
a
58,741
9,217
Coeur
Mining,
Inc.
137,425
884
Commercial
Metals
Company
60,748
28
Compass
Minerals
International,
Inc.
a
822
9,318
Constellium
SE
a
258,854
2,342
Corteva
,
Inc.
184,339
54,308
Crown
Holdings,
Inc.
6,400,198
5,938
Dow,
Inc.
179,862
123
DuPont
de
Nemours,
Inc.
16,851
27,785
Eastman
Chemical
Company
1,943,561
11,090
Ecovyst
,
Inc.
a
133,745
3,508
Element
Solutions,
Inc.
128,849
4,543
Endeavour
Mining
plc
216,725
44,184
Evraz
plc
a,d
6
3,637
Freeport-McMoRan,
Inc.
227,785
3,352
Graphic
Packaging
Holding
Company
35,967
104,087
Greatland
Resources,
Ltd.
a
719,778
34
Greif,
Inc.
2,943
4,566
Hecla
Mining
Company
64,472
9,149
Heidelberg
Materials
AG
1,703,224
23,765
Hexpol
AB
221,204
670
Ingevity
Corporation
a
48,984
62,726
International
Paper
Company
2,561,103
9,924
Ivanhoe
Mines,
Ltd.
a
71,288
546
Kaiser
Aluminum
Corporation
87,185
42,100
Kyoei
Steel,
Ltd.
509,491
1,877
LyondellBasell
Industries
NV
116,524
4,399
Magnera
Corporation
a
58,287
872
Martin
Marietta
Materials,
Inc.
457,922
612
Minerals
Technologies,
Inc.
46,659
174,400
Mitsubishi
Chemical
Group
Corporation
1,283,384
3,578
Mosaic
Company
79,145
36,000
Nippon
Shokubai
Company,
Ltd.
484,276
79,100
Nitto
Denko
Corporation
1,670,308
37,843
Nucor
Corporation
9,736,625
1,012
O-I
Glass,
Inc.
a
7,236
190,285
Orica,
Ltd.
3,108,427
1,550
Orion
SA
10,463
215
Packaging
Corporation
of
America
52,856
818
Perimeter
Solutions,
Inc.
a
25,039
6,672
PPG
Industries,
Inc.
737,389
Shares
Common
Stock  77.7%
Value
Materials
3.0%
-
continued
85,993
Regis
Resources,
Ltd.
$
368,498
343
Reliance,
Inc.
139,292
19,091
Rio
Tinto
plc
1,855,059
46,858
Rio
Tinto,
Ltd.
5,584,623
742
Royal
Gold,
Inc.
147,176
822
RPM
International,
Inc.
88,012
218
Scotts
Miracle-
Gro
Company
14,318
670
Sensient
Technologies
Corporation
82,859
12,900
Shin-Etsu
Chemical
Company,
Ltd.
459,887
1,032
Smurfit
WestRock
plc
47,441
34,092
Solstice
Advanced
Materials,
Inc.
2,051,316
867
Sonoco
Products
Company
48,864
2,449
SSR
Mining,
Inc.
a
62,743
363
Stepan
Company
23,283
20,700
Sumitomo
Metal
Mining
Company,
Ltd.
1,040,494
36,500
Toagosei
Company,
Ltd.
b
408,020
18,400
Tosoh
Corporation
309,460
827
TriMas
Corporation
33,022
983
Vidrala
SA
99,421
98
Vulcan
Materials
Company
26,320
6,003
West
Fraser
Timber
Company,
Ltd.
389,295
Total
73,918,955
Real
Estate
1.7%
699
Agree
Realty
Corporation
54,382
1,900
Alexandria
Real
Estate
Equities,
Inc.
97,755
942
Allreal
Holding
AG
246,417
1,406
Alpine
Income
Property
Trust,
Inc.
28,373
5,233
Americold
Realty
Trust,
Inc.
73,733
24,589
AvalonBay
Communities,
Inc.
4,563,964
926
Big
Shopping
Centers,
Ltd.
208,117
24,230
British
Land
Company
plc
144,886
7,683
Brixmor
Property
Group,
Inc.
242,091
541
Broadstone
Net
Lease,
Inc.
11,583
483,200
CapitaLand
Integrated
Commercial
Trust
937,764
7,426
CareTrust
REIT,
Inc.
311,446
41,642
CBRE
Group,
Inc.
a
6,113,462
163,000
CK
Asset
Holdings,
Ltd.
992,836
5,756
CoStar
Group,
Inc.
a
165,543
8,177
Cousins
Properties,
Inc.
257,984
86,249
Crown
Castle,
Inc.
6,580,799
2,089
Curbline
Properties
Corporation
64,007
768
Cushman
&
Wakefield,
Ltd.
a
10,307
53,200
Daiwa
House
Industry
Company,
Ltd.
1,562,301
32,929
DEXUS
Property
Group
138,290
1,997
Digital
Realty
Trust,
Inc.
376,474
5,079
Easterly
Government
Properties,
Inc.
123,724
5,854
EPR
Properties
363,358
8,370
Essential
Properties
Realty
Trust,
Inc.
261,897
201
Essex
Property
Trust,
Inc.
57,112
54
Extra
Space
Storage,
Inc.
7,994
16,087
Fabege
AB
126,166
359
Federal
Realty
Investment
Trust
44,548
24,116
Fermi,
Inc.
a
137,220
801
First
Industrial
Realty
Trust,
Inc.
52,738
315
Forestar
Group,
Inc.
a
8,867
1,338
FrontView
REIT,
Inc.
27,215
3,833
Gaming
and
Leisure
Properties,
Inc.
171,680
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
44
Shares
Common
Stock  77.7%
Value
Real
Estate
1.7%
-
continued
4,526
Getty
Realty
Corporation
$
154,518
207,423
GPT
Group
747,114
214,661
Healthcare
Realty
Trust,
Inc.
4,510,028
18,901
Host
Hotels
&
Resorts,
Inc.
474,982
3,349
Hudson
Pacific
Properties,
Inc.
46,116
18,322
Industrial
Logistics
Properties
Trust
157,752
4,014
Innovative
Industrial
Properties,
Inc.
236,063
5,907
InvenTrust
Properties
Corporation
209,167
3,145
Iron
Mountain,
Inc.
384,696
1,482
Jones
Lang
LaSalle,
Inc.
a
526,154
1,794
Kimco
Realty
Corporation
45,711
12,246
Klepierre
SA
556,226
66
Lamar
Advertising
Company
10,557
664
Macerich
Company
17,158
152,100
Mapletree
Logistics
Trust
146,936
27,328
Medical
Properties
Trust,
Inc.
126,529
31,955
Merlin
Properties
Socimi
SA
555,382
11,039
Millrose
Properties,
Inc.
308,871
148,470
Mivne
Real
Estate
(KD),
Ltd.
655,168
283
Mobimo
Holding
AG
122,423
125
National
Health
Investors,
Inc.
9,581
9,519
NetSTREIT
Corporation
204,183
516
NNN
REIT,
Inc.
24,520
222
Omega
Healthcare
Investors,
Inc.
11,240
4,265
Outfront
Media,
Inc.
135,926
6,744
Park
Hotels
&
Resorts,
Inc.
101,565
2,094
Piedmont
Realty
Trust,
Inc.
a
20,291
993
Postal
Realty
Trust,
Inc.
22,879
1,325
PSP
Swiss
Property
AG
239,051
3,438
Rayonier,
Inc.
REIT
74,880
1,421
Realty
Income
Corporation
90,759
607
Regency
Centers
Corporation
48,736
6,882
RLJ
Lodging
Trust
84,304
435
Ryman
Hospitality
Properties
58,138
4,398
Sabra
Health
Care
REIT,
Inc.
93,106
5,977
Safehold
,
Inc.
96,708
821
SBA
Communications
Corporation
148,585
2,687
Service
Properties
Trust
21,577
1,891
Simon
Property
Group,
Inc.
433,739
3,712
STAG
Industrial,
Inc.
142,021
70,000
Sun
Hung
Kai
Properties,
Ltd.
1,098,640
3,612
Sunstone
Hotel
Investors,
Inc.
42,513
7,474
Tanger
,
Inc.
303,893
4,750
Terreno
Realty
Corporation
340,338
71,543
Tritax
Big
Box
REIT
plc
164,485
393,900
United
Overseas
Land,
Ltd.
3,039,462
2,010
Ventas,
Inc.
187,955
14,020
VICI
Properties,
Inc.
369,427
953
WP
Carey,
Inc.
70,141
2,853
Xenia
Hotels
&
Resorts,
Inc.
58,715
3,591
Zillow
Group,
Inc.,
Class
C
a
122,309
Total
42,416,251
Utilities
2.8%
11,618
ACEA
SPA
282,310
5,466
Alliant
Energy
Corporation
b
386,884
1,670
American
States
Water
Company
143,019
319
American
Water
Works
Company,
Inc.
42,800
776
Artesian
Resources
Corporation
26,656
5,458
Avista
Corporation
220,776
1,754
Black
Hills
Corporation
124,902
1,271
California
Water
Service
Group
63,690
6,562
Clearway
Energy,
Inc.,
Class
C
208,212
Shares
Common
Stock  77.7%
Value
Utilities
2.8%
-
continued
1,075
Consolidated
Edison,
Inc.
$
117,014
35,520
Constellation
Energy
Corporation
9,332,880
5,873
Doral
Group
Renewable
Energy
Resources,
Ltd.
a
132,348
3,139
DTE
Energy
Company
445,330
66,686
Duke
Energy
Corporation
8,364,425
20,413
E.ON
SE
439,763
7,192
Edison
International
527,677
1,237,685
EDP
SA
6,373,214
170,150
Enel
SPA
1,921,573
25,670
Energix
-Renewable
Energies,
Ltd.
186,017
93,376
Entergy
Corporation
10,049,125
55,839
Evergy
,
Inc.
4,635,195
5,385
Eversource
Energy
385,512
7,103
Exelon
Corporation
325,460
4,487
FirstEnergy
Corporation
216,767
655
H2O
America
b
40,171
81,903
Hera
SPA
357,523
719,000
Hong
Kong
and
China
Gas
Company,
Ltd.
643,675
102,456
Iberdrola
SA
2,433,699
357,083
Italgas
SPA
3,683,696
2,911
National
Fuel
Gas
Company
239,604
91,420
Naturgy
Energy
Group
SA
b
3,049,759
3,164
New
Jersey
Resources
Corporation
183,164
6,817
NiSource,
Inc.
302,879
415
OGE
Energy
Corporation
19,650
34,967
OPC
Energy,
Ltd.
a
1,097,101
1,192
Otter
Tail
Corporation
105,397
28,977
Pennon
Group
plc
180,499
22,733
PG&E
Corporation
395,100
1,998
Pinnacle
West
Capital
Corporation
b
201,778
9,131
Portland
General
Electric
Company
450,432
1,375
PPL
Corporation
48,414
2,244
Public
Service
Enterprise
Group,
Inc.
172,070
20,482
REN
-
Redes
Energeticas
Nacionais
SGPS
SA
81,536
34,655
RWE
AG
2,279,709
435,500
Sembcorp
Industries,
Ltd.
1,873,124
485
Spire,
Inc.
38,732
11,546
UGI
Corporation
417,042
1,978
Unitil
Corporation
106,693
44,892
Vistra
Energy
Corporation
6,652,546
347
Xcel
Energy,
Inc.
27,135
Total
70,032,677
Total
Common
Stock
(cost
$1,292,982,332)
1,942,747,205
Shares
Registered
Investment
Companies  
4.9%
Value
U.S.
Affiliated  
4.1%  
6,225,094
Thrivent
Core
Emerging
Markets
Equity
Fund
91,010,875
408,185
Thrivent
Small
Cap
Value
ETF
13,108,372
Total
104,119,247
U.S.
Unaffiliated  
0.8%  
7,972
Invesco
QQQ
Trust
Series
1
5,484,656
519
iShares
Biotechnology
ETF
96,747
260
iShares
Russell
2000
Growth
ETF
96,374
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
45
Shares
Registered
Investment
Companies  4.9%
Value
U.S.
Unaffiliated  
0.8%  -
continued
17,464
State
Street
SPDR
S&P
500
ETF
Trust
$
13,046,132
859
State
Street
SPDR
S&P
600
Small
Cap
Growth
ETF
98,974
3,423
State
Street
SPDR
S&P
Biotech
ETF
503,215
Total
19,326,098
Total
Registered
Investment
Companies
(cost
$81,669,998)
123,445,345
Shares
Collateral
Held
for
Securities
Loaned
0.2%
Value
4,301,653
Thrivent
Cash
Management
Trust
4,301,653
Total
Collateral
Held
for
Securities
Loaned
(cost
$4,301,653)
4,301,653
Shares
or
Principal
Amount
Short-Term
Investments
16.6%
Value
Federal
Home
Loan
Bank
Discount
Notes
23,800,000
3.614%,
8/21/2026
e,f
23,750,090
5,600,000
3.620%,
8/26/2026
e,f
5,585,460
1,300,000
3.632%,
9/4/2026
e,f
1,295,387
800,000
3.660%,
9/9/2026
e,f
796,756
1,100,000
3.649%,
9/11/2026
e,f
1,095,316
1,400,000
3.678%,
9/18/2026
e,f
1,393,044
2,400,000
3.713%,
9/23/2026
e,f
2,386,860
600,000
3.700%,
9/25/2026
e,f
596,593
3,200,000
3.710%,
10/16/2026
e,f
3,174,778
1,400,000
3.800%,
10/21/2026
e,f
1,388,249
600,000
3.700%,
10/26/2026
e,f
594,657
Federal
Home
Loan
Mortgage
Corporation
Discount
Notes
4,800,000
3.695%,
10/14/2026
e,f
4,763,150
State
Street
Institutional
U.S.
Government
Money
Market
Fund
367,464,431
3.619%
e
367,464,431
Total
Short-Term
Investments
(cost
$414,288,194)
414,284,771
Total
Investments
(cost
$1,793,242,177)
99.4%
$2,484,778,974
Other
Assets
and
Liabilities,
Net
0.6%
14,641,955
Total
Net
Assets
100.0%
$2,499,420,929
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$6,603,514
or
0.3%
of
total
net
assets.
d
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
e
The
interest
rate
shown
reflects
the
yield.
f
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Global
Stock
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
4,121,884
Total
lending
$4,121,884
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$4,301,653
Net
amounts
due
to
counterparty
$179,769
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
ETF
-
Exchange-Traded
Fund
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
S&P
-
Standard
&
Poor's
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
46
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Global
Stock
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
140,023,131
109,671,737
30,351,394
–
Consumer
Discretionary
157,689,901
120,070,941
37,618,960
–
Consumer
Staples
87,654,623
55,914,340
31,740,283
–
Energy
99,372,615
64,738,983
34,633,632
–
Financials
391,233,878
184,320,487
206,913,391
–
Health
Care
195,335,293
127,071,600
68,263,693
–
Industrials
290,860,410
162,466,995
128,393,415
–
Information
Technology
394,209,471
308,199,976
86,009,495
–
Materials
73,918,955
35,894,542
38,024,407
6
Real
Estate
42,416,251
30,734,587
11,681,664
–
Utilities
70,032,677
48,700,827
21,331,850
–
Registered
Investment
Companies
U.S.
Affiliated
13,108,372
13,108,372
–
–
U.S.
Unaffiliated
19,326,098
19,326,098
–
–
Short-Term
Investments
414,284,771
367,464,431
46,820,340
–
Subtotal
Investments
in
Securities
$2,389,466,446
$1,647,683,916
$741,782,524
$6
Other
Investments  *
Total
U.S.
Affiliated
Registered
Investment
Cos.
91,010,875
Collateral
Held
for
Securities
Loaned
4,301,653
Subtotal
Other
Investments
$95,312,528
Total
Investments
at
Value
$2,484,778,974
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Global
Stock
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
6,258,664
6,258,664
–
–
Total
Asset
Derivatives
$6,258,664
$6,258,664
$–
$–
Liability
Derivatives
Futures
Contracts
8,799,684
8,799,684
–
–
Total
Liability
Derivatives
$8,799,684
$8,799,684
$–
$–
Global
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
47
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
presents
Global
Stock
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$47,040,340
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CME
E-mini
Russell
2000
Index
10
September
2026
$
1,487,105
(
$
18,105)
CME
E-mini
S&P
500
Index
1,442
September
2026
537,905,164
4,232,761
CME
E-mini
S&P
Mid-Cap
400
Index
16
September
2026
6,092,644
(
56,004)
ICE
mini
MSCI
EAFE
Index
599
September
2026
93,747,636
1,562,249
ICE
US
mini
MSCI
Emerging
Markets
Index
925
September
2026
80,514,331
(
4,557,956)
Total
Futures
Long
Contracts
$
719,746,880
$
1,162,945
CME
E-mini
Russell
2000
Index
(664)
September
2026
(
$
97,675,519)
$
133,919
CME
Euro
Foreign
Exchange
Currency
(531)
September
2026
(
76,992,860)
329,735
Eurex
Euro
STOXX
50
Index
(1,036)
September
2026
(
73,740,807)
(
2,562,333)
ICE
mini
MSCI
EAFE
Index
(709)
September
2026
(
111,207,249)
(
1,605,286)
Total
Futures
Short
Contracts
(
$
359,616,435)
($3,703,965)
Total
Futures
Contracts
$
360,130,445
($2,541,020)
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Global
Stock
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$73,516
$2,383
$–
$91,011
6,225
3.6%
Small
Cap
Value
ETF
1
10,482
1,239
–
13,108
408
0.5
Total
Affiliated
Registered
Investment
Companies
83,998
104,119
4.1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
17,778
127,269
140,745
4,302
4,302
0.2
Total
Collateral
Held
for
Securities
Loaned
17,778
4,302
0.2
Total
Value
$101,776
$108,421
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity
$–
$15,112
$–
$2,382
Small
Cap
Value
ETF
1
(0)
1,387
1,004
267
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$2,649
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
53
Total
Affiliated
Income
from
Securities
Loaned,
Net
$53
Total
$(0)
$16,499
$1,004
1
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Government
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
48
Principal
Amount
Long-Term
Fixed
Income
99.6%
Value
Asset-Backed
Securities
3.9%
Access
Group,
Inc.
$
161,429
4.231%, 
(SOFR30A
+
0.614%),
2/25/2036,
Ser.
2013-1,
Class
A
a,b
$
161,129
Granite
Edvance
Corporation
118,704
5.039%, 
(TSFR1M
+
1.314%),
9/25/2060,
Ser.
2020-1,
Class
A1B
b
119,598
Kentucky
Higher
Education
Student
Loan
Corporation
Student
Loan
Rev.
327,621
1.650%, 
3/25/2051,
Ser.
2021-1
314,512
Missouri
Higher
Education
Loan
Auth.
270,963
1.530%, 
1/25/2061,
Ser.
2021-1
252,681
Navient
Student
Loan
Trust
339,008
1.310%, 
12/26/2069,
Ser.
2021-1A,
Class
A1A
a
282,278
Sunnova
Hestia
I
Issuer,
LLC
590,937
5.750%, 
12/20/2050,
Ser.
2023-GRID1,
Class
1A
a,c
572,998
Sunnova
Hestia
II
Issuer,
LLC
263,848
5.630%, 
7/20/2051,
Ser.
2024-GRID1,
Class
1A
a,c
252,435
Total
1,955,631
Collateralized
Mortgage
Obligations
13.3%
Chase
Home
Lending
Mortgage
Trust
96,963
6.000%, 
6/25/2055,
Ser.
2024-7,
Class
A4
a,b
96,800
Federal
Agricultural
Mortgage
Corporation
Mortgage
Trust
708,812
2.180%, 
1/25/2051,
Ser.
2021-1,
Class
A
a,b,c
565,392
99,717
5.150%, 
8/1/2054,
Ser.
2024-2,
Class
A
a,b,c
95,749
88,943
5.290%, 
9/25/2054,
Ser.
2025-2,
Class
A
a,b,c
85,335
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
54,531
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
53,431
425,000
5.000%, 
1/25/2055,
Ser.
5490,
Class
LB
409,658
248,907
5.000%, 
2/25/2054,
Ser.
5383,
Class
AZ
226,571
250,000
5.000%, 
2/25/2054,
Ser.
5460,
Class
LN
246,372
506,815
1.500%, 
3/25/2050,
Ser.
4982,
Class
JA
398,547
1,067,457
1.500%, 
3/25/2051,
Ser.
5092,
Class
IC
d
85,184
275,000
5.000%, 
5/25/2055,
Ser.
5537,
Class
KM
262,455
234,000
5.000%, 
8/25/2050,
Ser.
5465,
Class
AC
230,539
800,000
4.000%, 
8/25/2052,
Ser.
5256,
Class
AY
752,443
450,000
5.000%, 
8/25/2054,
Ser.
5446,
Class
EC
424,596
Principal
Amount
Long-Term
Fixed
Income  99.6%
Value
Collateralized
Mortgage
Obligations
13.3%
-
continued
$
225,000
5.000%, 
8/25/2055,
Ser.
5569,
Class
BY
$
215,180
255,587
5.000%, 
9/25/2054,
Ser.
5473,
Class
HL
251,435
325,000
5.000%, 
9/25/2055,
Ser.
5579,
Class
NY
302,770
4,463
2.000%, 
1/15/2041,
Ser.
4074,
Class
JA
4,435
Federal
Home
Loan
Mortgage
Corporation
-
SCRT
305,695
2.000%, 
11/25/2059,
Ser.
2020-2,
Class
MT
c
242,082
Federal
Home
Loan
Mortgage
Corporation
-
SLST
400,000
3.000%, 
5/25/2035,
Ser.
2025-1,
Class
A2
c
339,352
300,000
3.000%, 
10/25/2035,
Ser.
2025-2,
Class
A2
c
250,698
Federal
Home
Loan
Mortgage
Corporation
Whole
Loan
Securities
Trust
187,331
3.000%, 
9/25/2045,
Ser.
2015-SC02,
Class
1A
c
163,053
66,822
3.500%, 
7/25/2046,
Ser.
2016-SC01,
Class
2A
c
58,504
Federal
National
Mortgage
Association
-
REMIC
450,000
5.000%, 
1/25/2055,
Ser.
2024-103,
Class
YD
439,571
62,249
4.000%, 
7/25/2053,
Ser.
2024-76,
Class
DA
61,258
Morgan
Stanley
Residential
Mortgage
Loan
Trust
353,284
6.000%, 
6/25/2053,
Ser.
2023-2,
Class
A4
a,b
352,794
Total
6,614,204
Commercial
Mortgage-Backed
Securities
3.5%
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
400,000
4.421%, 
5/25/2030,
Ser.
K547,
Class
A2
b,c
396,549
200,000
4.165%, 
11/25/2030,
Ser.
K551,
Class
A2
b,c
195,830
400,000
4.070%, 
12/25/2030,
Ser.
K553,
Class
A2
b,c
390,072
400,000
4.220%, 
12/25/2030,
Ser.
K554,
Class
A2
b,c
392,340
400,000
4.250%, 
6/25/2031,
Ser.
K564,
Class
A2
b,c
391,673
Total
1,766,464
Mortgage-Backed
Securities
18.7%
Federal
Home
Loan
Mortgage
Corporation
Conventional
15-Yr.
Pass
Through
285,890
5.500%, 
2/1/2040
290,204
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
258,382
6.000%, 
1/1/2055
267,166
273,416
4.500%, 
2/1/2056
258,890
Government
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
49
Principal
Amount
Long-Term
Fixed
Income  99.6%
Value
Mortgage-Backed
Securities
18.7%
-
continued
$
360,688
2.000%, 
5/1/2051
$
285,588
371,293
4.000%, 
5/1/2052
341,974
49,857
5.000%, 
7/1/2053
48,632
81,243
3.500%, 
9/1/2047
73,692
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
86,968
2.500%, 
7/1/2030
83,967
Federal
National
Mortgage
Association
Conventional
10-Yr.
Pass
Through
417,394
2.000%, 
3/1/2033
398,352
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
130,261
2.500%, 
8/1/2032
128,252
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
408,154
3.500%, 
5/1/2040
382,055
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
79,185
2.000%, 
2/1/2051
62,698
68,526
2.000%, 
2/1/2051
54,257
680,332
2.500%, 
2/1/2051
566,946
378,874
5.500%, 
4/1/2054
380,419
502,477
3.000%, 
5/1/2051
439,663
417,806
4.500%, 
8/1/2052
394,826
327,097
6.000%, 
8/1/2054
338,172
432,420
3.500%, 
9/1/2052
388,416
104,748
2.000%, 
11/1/2051
82,935
409,786
2.000%, 
12/1/2050
324,763
605,780
4.500%, 
12/1/2052
575,360
995,000
6.000%, 
8/1/2041
e
1,005,957
1,520,000
5.500%, 
8/1/2042
e
1,504,200
82,125
3.500%, 
12/1/2047
74,600
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
292,847
3.500%, 
7/1/2061
256,576
313,248
4.000%, 
12/1/2061
282,349
Total
9,290,909
U.S.
Government
&
Agencies
60.2%
U.S.
Treasury
Bonds
1,045,000
4.750%, 
2/15/2056
965,645
1,300,000
3.000%, 
8/15/2052
875,266
975,000
4.375%, 
5/15/2040
914,672
350,000
4.625%, 
2/15/2046
322,437
U.S.
Treasury
Notes
2,875,000
4.000%, 
5/31/2028
2,861,523
6,100,000
4.125%, 
6/15/2029
6,066,164
10,150,000
4.125%, 
5/31/2031
10,017,574
6,600,000
4.250%, 
5/31/2033
6,482,438
1,545,000
4.125%, 
2/15/2036
1,476,441
Total
29,982,160
Total
Long-Term
Fixed
Income
(cost
$50,651,025)
49,609,368
Shares
or
Principal
Amount
Short-Term
Investments
5.3%
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
3.628%,
9/4/2026
f,g
$
99,645
State
Street
Institutional
U.S.
Government
Money
Market
Fund
2,530,714
3.619%
f
2,530,714
Total
Short-Term
Investments
(cost
$2,630,371)
2,630,359
Total
Investments
(cost
$53,281,396)
104.9%
$52,239,727
Other
Assets
and
Liabilities,
Net
(4.9%)
(2,428,501)
Total
Net
Assets
100.0%
$49,811,226
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$2,464,910
or
4.9%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
d
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
f
The
interest
rate
shown
reflects
the
yield.
g
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
Definitions:
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
SCRT
-
Seasoned
Credit
Risk
Transfer
Ser.
-
Series
SLST
-
Seasoned
Loans
Structured
Transactions
Reference
Rate
Index:
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
Government
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
50
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Government
Bond
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Asset-Backed
Securities
1,955,631
–
1,955,631
–
Collateralized
Mortgage
Obligations
6,614,204
–
6,614,204
–
Commercial
Mortgage-Backed
Securities
1,766,464
–
1,766,464
–
Mortgage-Backed
Securities
9,290,909
–
9,290,909
–
U.S.
Government
&
Agencies
29,982,160
–
29,982,160
–
Short-Term
Investments
2,630,359
2,530,714
99,645
–
Subtotal
Investments
in
Securities
$52,239,727
$2,530,714
$49,709,013
$–
Total
Investments
at
Value
$52,239,727
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Government
Bond
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
21,407
21,407
–
–
Total
Liability
Derivatives
$21,407
$21,407
$–
$–
The
following
table
presents
Government
Bond
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$99,645
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
36
September
2026
$
7,423,344
(
$
21,407)
Total
Futures
Long
Contracts
$
7,423,344
(
$
21,407)
Total
Futures
Contracts
$
7,423,344
($21,407)
Government
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
51
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Government
Bond
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
$2,700
$1,000
$3,700
$–
–
–%
Total
Affiliated
Short-Term
Investments
2,700
–
–
Total
Value
$2,700
$–
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970
%
$–
$–
$–
$3
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$3
Total
$–
$–
$–
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
52
Principal
Amount
Bank
Loans
2.7%
a
Value
Basic
Materials
0.3%
Chemours
Company,
Term
Loan
$
865,650
7.231%, 
(TSFR1M
+
3.500%),
10/15/2032
b
$
862,136
Natgasoline,
LLC,
Term
Loan
1,564,309
9.231%, 
(TSFR1M
+
5.500%),
3/29/2030
b
1,576,041
Total
2,438,177
Capital
Goods
0.4%
Azorra
SOAR
TLB
Finance,
Ltd.,
Term
Loan
955,153
6.164%, 
(TSFR3M
+
2.500%),
10/18/2029
b
957,541
Columbus
McKinnon
Corporation/
NY,
Term
Loan
1,056,629
7.232%, 
(TSFR3M
+
3.500%),
2/3/2033
b
1,058,394
TransDigm,
Inc.,
Term
Loan
1,290,250
6.231%, 
(TSFR1M
+
2.500%),
8/19/2032
b
1,292,031
Total
3,307,966
Communications
Services
0.7%
Cable
One,
Inc.,
Term
Loan
967,454
5.845%, 
(TSFR1M
+
2.000%),
5/3/2028
b
806,373
Cengage
Learning,
Inc.,
Term
Loan
1,343,548
6.676%, 
(TSFR3M
+
3.000%),
3/24/2031
b,d
1,332,303
DIRECTV
Financing,
LLC,
Term
Loan
1,107,143
8.323%, 
(TSFR3M
+
4.500%),
8/2/2029
b
1,112,988
E.W.
Scripps
Company,
Term
Loan
901,881
7.132%, 
(TSFR1M
+
3.350%),
11/30/2029
b
862,911
Gray
Media,
Inc.,
Term
Loan
465,567
6.761%, 
(TSFR1M
+
3.000%),
12/1/2028
b
466,777
Playtika
Holding
Corporation,
Term
Loan
980,000
0.000%, 
(TSFR1M
+
2.750%),
3/13/2028
b,c,d
958,607
Total
5,539,959
Consumer
Cyclical
0.3%
Caesars
Entertainment,
Inc.,
Term
Loan
420,000
0.000%, 
(TSFR1M
+
2.250%),
2/6/2031
b,c,d
399,348
Evergreen
AcqCo
1,
LP,
Term
Loan
832,767
6.168%, 
(TSFR3M
+
2.500%),
9/17/2032
b
832,767
Marriott
Ownership
Resorts,
Inc.,
Term
Loan
906,500
5.981%, 
(TSFR1M
+
2.250%),
4/1/2031
b
906,781
Six
Flags
Entertainment
Corporation,
Term
Loan
449,820
5.731%, 
(TSFR1M
+
2.000%),
5/1/2031
b
445,673
Total
2,584,569
Principal
Amount
Bank
Loans  2.7%
a
Value
Consumer
Non-Cyclical
0.3%
B&G
Foods,
Inc.,
Term
Loan
$
1,291,988
7.231%, 
(TSFR1M
+
3.500%),
10/10/2029
b
$
1,272,065
Hopper
Merger
Sub,
Inc.,
Term
Loan
1,220,000
5.995%, 
(TSFR3M
+
2.250%),
4/7/2033
b
1,199,333
Modivcare
Buyer,
LLC,
Term
Loan
102,078
8.732%, 
(TSFR3M
+
5.000%),
12/29/2030
b
85,575
Total
2,556,973
Financials
0.3%
Acrisure,
LLC,
Term
Loan
225,001
6.731%, 
(TSFR1M
+
3.000%),
11/6/2030
b
205,538
Alliant
Holdings
Intermediate,
LLC,
Term
Loan
977,532
6.231%, 
(TSFR1M
+
2.500%),
9/19/2031
b
973,201
Jupiter
Borrower,
Inc.,
Term
Loan
610,000
6.482%, 
(TSFR3M
+
2.750%),
3/25/2033
b
613,050
Lockton,
Inc.,
Term
Loan
490,000
5.823%, 
(TSFR3M
+
2.000%),
5/9/2033
b,e
489,388
Total
2,281,177
Technology
0.1%
McAfee
Corporation,
Term
Loan
641,855
6.731%, 
(TSFR1M
+
3.000%),
3/1/2029
b
578,818
Total
578,818
Transportation
0.3%
American
Airlines,
Inc.,
Term
Loan
1,530,000
6.666%, 
(TSFR3M
+
3.000%),
5/31/2033
b
1,517,882
Genesee
&
Wyoming,
Inc.,
Term
Loan
1,291,005
5.482%, 
(TSFR3M
+
1.750%),
4/10/2031
b
1,287,300
Total
2,805,182
Total
Bank
Loans
(cost
$22,263,527)
22,092,821
Principal
Amount
Long-Term
Fixed
Income
90.5%
Value
Basic
Materials
4.9%
ACN
113
874
712,
Pty.
Ltd.
2,859,934
11.500%, 
2/15/2018
*,e,f,g
3
Alliance
Resource
Operating
Partners,
LP/Alliance
Resource
Finance
Corporation
543,000
8.625%, 
6/15/2029
h
566,523
Alumina,
Pty.
Ltd.
216,000
6.125%, 
3/15/2030
h
217,797
649,000
6.375%, 
9/15/2032
h
653,227
Avient
Corporation
1,690,000
6.250%, 
11/1/2031
h
1,702,433
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
53
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Basic
Materials
4.9%
-
continued
Axalta
Coating
Systems
Dutch
Holding
B
BV
$
927,000
7.250%, 
2/15/2031
h
$
958,751
Carpenter
Technology
Corporation
440,000
5.625%, 
3/1/2034
h
433,784
Cascades,
Inc./Cascades
USA,
Inc.
1,303,000
6.750%, 
7/15/2030
h
1,323,679
Celanese
US
Holdings,
LLC
1,114,000
6.500%, 
4/15/2030
i
1,127,691
Cerdia
Finanz
GmbH
938,000
9.375%, 
10/3/2031
h
833,432
Chemours
Company
1,370,000
4.625%, 
11/15/2029
h
1,292,845
970,000
7.875%, 
3/15/2034
h
943,905
Cleveland-Cliffs,
Inc.
988,000
6.875%, 
11/1/2029
h
998,537
1,090,000
4.875%, 
3/1/2031
h
1,005,013
2,265,000
7.000%, 
3/15/2032
h,i
2,269,745
CVR
Partners,
LP/CVR
Nitrogen
Finance
Corporation
433,000
6.125%, 
6/15/2028
h
432,506
First
Quantum
Minerals,
Ltd.
1,810,000
8.000%, 
3/1/2033
h
1,880,695
1,300,000
7.250%, 
2/15/2034
h
1,324,240
FMC
Corporation
1,190,000
8.450%, 
11/1/2055
b
895,071
Illuminate
Buyer,
LLC/Illuminate
Holdings
IV,
Inc.
385,000
9.000%, 
7/1/2028
h,i
383,321
Magnera
Corporation
2,073,000
7.250%, 
11/15/2031
h
2,028,949
Methanex
Corporation
195,000
5.650%, 
12/1/2044
170,451
Methanex
US
Operations,
Inc.
1,173,000
6.250%, 
3/15/2032
h
1,184,589
Mineral
Resources,
Ltd.
863,000
9.250%, 
10/1/2028
h
887,632
260,000
7.000%, 
4/1/2031
h
267,558
360,000
6.000%, 
5/1/2032
h
353,388
360,000
6.250%, 
5/1/2034
h
350,877
Novelis
Corporation
2,290,000
4.750%, 
1/30/2030
h
2,201,028
Olympus
Water
US
Holding
Corporation
1,700,000
7.250%, 
2/15/2033
h
1,665,268
Qnity
Electronics,
Inc.
1,730,000
5.750%, 
8/15/2032
h
1,717,694
SCIH
Salt
Holdings,
Inc.
733,000
6.625%, 
8/15/2031
d,h
732,868
733,000
8.000%, 
8/15/2032
d,h
727,460
Solstice
Advanced
Materials,
Inc.
870,000
5.625%, 
9/30/2033
h
850,716
SunCoke
Energy,
Inc.
1,469,000
4.875%, 
6/30/2029
h
1,401,145
Trekor
Metals,
Ltd.
1,724,000
8.250%, 
5/1/2030
h
1,791,469
United
States
Steel
Corporation
1,300,000
6.875%, 
3/1/2029
1,300,000
Veritiv
Operating
Company
651,000
10.500%, 
11/30/2030
h
667,880
WR
Grace
Holdings,
LLC
1,850,000
6.625%, 
8/15/2032
h
1,761,233
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Basic
Materials
4.9%
-
continued
$
960,000
7.000%, 
8/1/2033
h
$
919,530
WS
Escrow,
LLC
550,000
7.750%, 
6/1/2033
h
569,061
Total
40,791,994
Capital
Goods
10.0%
Abengoa
Abenewco
2
Bis
SA
3,449,988
0.000%,PIK
1.500%,
4/26/2024
*,f,g,j
17,250
AECOM
2,230,000
6.000%, 
8/1/2033
h
2,217,273
Albion
Financing
1
SARL/Aggreko
Holdings,
Inc.
2,235,000
7.000%, 
5/21/2030
h
2,276,734
AmeriTex
HoldCo
Intermediate,
LLC
220,000
7.625%, 
8/15/2033
h
226,505
Amsted
Industries,
Inc.
870,000
4.625%, 
5/15/2030
h
841,436
APi
Group
DE,
Inc.
700,000
5.750%, 
6/1/2034
h
685,172
Ardagh
Group
SA
490,000
5.500%,PIK
6.500%,
12/1/2030
h,i,j
453,832
490,000
9.500%, 
12/1/2030
h,i
519,257
Ardagh
Metal
Packaging
Finance
USA,
LLC/Ardagh
Metal
Packaging
Finance
plc
1,050,000
4.000%, 
9/1/2029
h,i
996,823
983,000
6.250%, 
1/30/2031
h,i
989,627
ATI,
Inc.
744,000
7.250%, 
8/15/2030
767,102
Axon
Enterprise,
Inc.
520,000
6.125%, 
3/15/2030
h
526,038
520,000
6.250%, 
3/15/2033
h
527,367
Bombardier,
Inc.
1,500,000
7.000%, 
6/1/2032
h
1,545,480
651,000
6.750%, 
6/15/2033
h
670,509
Brundage-Bone
Concrete
Pumping
Holdings,
Inc.
1,676,000
7.500%, 
2/1/2032
h
1,717,558
Builders
FirstSource,
Inc.
865,000
5.000%, 
3/1/2030
h
838,288
2,176,000
6.750%, 
5/15/2035
h
2,154,368
CANPACK
Group,
Inc./CANPACK
SA
850,000
6.000%, 
5/15/2031
h
845,349
CANPACK
SA/CANPACK
US,
LLC
1,353,000
3.875%, 
11/15/2029
h
1,280,177
Clean
Harbors,
Inc.
1,180,000
5.125%, 
7/15/2029
h
1,165,516
Clydesdale
Acquisition
Holdings,
Inc.
900,000
6.875%, 
1/15/2030
h
892,262
1,346,000
8.750%, 
4/15/2030
h
1,286,378
1,295,000
6.750%, 
4/15/2032
h
1,233,231
Columbus
McKinnon
Corporation/
NY
1,200,000
7.125%, 
2/1/2033
h
1,209,000
Core
&
Main,
LP
366,000
6.000%, 
7/1/2034
h
363,955
EMRLD
Borrower,
LP/Emerald
Co-
Issuer,
Inc.
1,619,000
6.625%, 
12/15/2030
h
1,645,547
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
54
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Capital
Goods
10.0%
-
continued
EquipmentShare.com,
Inc.
$
1,460,000
7.125%, 
7/1/2034
h
$
1,394,485
ESAB
Corporation
480,000
5.625%, 
4/1/2031
h
474,197
GFL
Environmental
Holdings
US,
Inc.
1,400,000
5.500%, 
2/1/2034
h
1,295,080
GFL
Environmental,
Inc.
1,925,000
4.000%, 
8/1/2028
h
1,877,179
Granite
Construction,
Inc.
738,000
6.375%, 
6/15/2034
h
735,889
Herc
Holdings,
Inc.
885,000
6.625%, 
6/15/2029
h
900,868
1,968,000
7.000%, 
6/15/2030
h
2,029,537
457,000
7.250%, 
6/15/2033
h,i
471,561
Madison
IAQ,
LLC
960,000
5.875%, 
6/30/2029
h
960,024
Mauser
Packaging
Solutions
Holding
Company
980,000
7.875%, 
4/15/2030
h
999,502
1,631,000
9.250%, 
4/15/2030
h
1,616,572
MIWD
Holdco
II,
LLC
1,488,000
5.500%, 
2/1/2030
h,i
1,377,060
Mueller
Water
Products,
Inc.
915,000
4.000%, 
6/15/2029
h
876,515
Nesco
Holdings
II,
Inc.
1,255,000
5.500%, 
4/15/2029
h
1,246,051
New
Enterprise
Stone
and
Lime
Company,
Inc.
1,423,000
5.250%, 
7/15/2028
h
1,414,169
OI
European
Group
BV
2,096,000
4.750%, 
2/15/2030
h
1,922,034
Owens-Brockway
Glass
Container,
Inc.
543,000
7.375%, 
6/1/2032
h,i
501,373
Quikrete
Holdings,
Inc.
2,785,000
6.750%, 
3/1/2033
h
2,821,822
QXO
Building
Products,
Inc.
400,000
6.500%, 
7/15/2031
h
401,622
2,350,000
6.875%, 
7/15/2034
h
2,353,511
Resideo
Funding
II,
LLC
1,650,000
6.500%, 
7/15/2032
h
1,650,556
Reworld
Holding
Corporation
781,000
4.875%, 
12/1/2029
h
741,202
Roller
Bearing
Company
of
America,
Inc.
1,243,000
4.375%, 
10/15/2029
h
1,204,548
Sensata
Technologies
BV
319,000
4.000%, 
4/15/2029
h
306,977
Sensata
Technologies,
Inc.
383,000
3.750%, 
2/15/2031
h
356,409
Smyrna
Ready
Mix
Concrete,
LLC
1,972,000
8.875%, 
11/15/2031
h
2,064,869
Spirit
AeroSystems,
Inc.
1,730,000
4.600%, 
6/15/2028
1,719,846
SRM
Escrow
Issuer,
LLC
597,000
6.000%, 
11/1/2028
h
596,153
Standard
Building
Solutions,
Inc.
1,185,000
6.500%, 
8/15/2032
h
1,187,267
1,740,000
6.250%, 
8/1/2033
h
1,720,986
440,000
5.875%, 
3/15/2034
h
422,469
Sword
Purchaser,
LLC
730,000
8.250%, 
4/15/2033
h
746,670
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Capital
Goods
10.0%
-
continued
$
490,000
10.500%, 
4/15/2034
h
$
506,557
Synergy
Infrastructure
Holdings,
LLC
550,000
7.875%, 
12/1/2030
h
573,724
1,130,000
7.000%, 
7/15/2034
h
1,139,952
TransDigm,
Inc.
713,000
6.750%, 
8/15/2028
h
717,464
2,155,000
7.125%, 
12/1/2031
h
2,222,753
1,049,000
6.625%, 
3/1/2032
h
1,066,550
3,180,000
6.750%, 
1/31/2034
h
3,231,748
1,090,000
6.125%, 
7/31/2034
h
1,077,757
Trivium
Packaging
Finance
BV
1,006,000
8.250%, 
7/15/2030
h
1,063,430
430,000
12.250%, 
1/15/2031
h
475,826
United
Rentals
North
America,
Inc.
1,710,000
3.875%, 
2/15/2031
1,598,423
Waste
Pro
USA,
Inc.
905,000
7.000%, 
2/1/2033
h
917,245
WESCO
Distribution,
Inc.
680,000
6.375%, 
3/15/2029
h
689,594
120,000
5.250%, 
4/15/2031
h
118,001
276,000
6.625%, 
3/15/2032
h
281,583
240,000
5.500%, 
4/15/2034
h
233,150
Total
82,192,794
Communications
Services
10.8%
Altice
Financing
SA
1,217,000
5.750%, 
8/15/2029
h
767,855
Altice
France
SA
786,631
6.500%, 
4/15/2032
h
761,409
2,550,230
6.875%, 
7/15/2032
h
2,475,760
AMC
Global
Media,
Inc.
895,000
10.500%, 
7/15/2032
h
921,921
Cable
One,
Inc.
870,000
4.000%, 
11/15/2030
h,i
323,462
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
1,223,000
5.000%, 
2/1/2028
h
1,207,394
2,650,000
5.375%, 
6/1/2029
h
2,573,586
4,145,000
4.750%, 
3/1/2030
h
3,872,780
1,414,000
4.250%, 
2/1/2031
h
1,251,573
2,070,000
4.750%, 
2/1/2032
h
1,808,751
901,000
7.000%, 
2/1/2033
h
863,456
1,202,000
7.375%, 
2/1/2036
h,i
1,142,729
Clear
Channel
Outdoor
Holdings,
Inc.
1,008,000
7.500%, 
6/1/2029
h
1,009,606
CSC
Holdings,
LLC
896,000
5.375%, 
2/1/2028
h
519,308
733,000
11.750%, 
1/31/2029
h
419,574
1,138,000
6.500%, 
2/1/2029
h,i
644,309
1,034,000
4.125%, 
12/1/2030
h
578,318
Deluxe
Corporation
2,077,000
8.125%, 
9/15/2029
h
2,150,804
DIRECTV
Financing,
LLC
2,645,000
8.875%, 
2/1/2030
h
2,692,951
DIRECTV
Financing,
LLC/DIRECTV
Financing
Co-Obligor,
Inc.
623,000
5.875%, 
8/15/2027
h
621,529
Discovery
Global
Holdings,
Inc.
430,000
4.054%, 
3/15/2029
422,350
2,060,000
4.279%, 
3/15/2032
i
1,830,454
1,080,000
5.050%, 
3/15/2042
750,600
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
55
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Communications
Services
10.8%
-
continued
DISH
DBS
Corporation
$
1,019,000
5.250%, 
12/1/2026
h,k
$
1,013,905
2,660,000
5.750%, 
12/1/2028
h,k
2,566,900
1,162,000
5.125%, 
6/1/2029
k
1,053,063
EchoStar
Corporation
2,063,000
10.750%, 
11/30/2029
2,231,552
FiberCop
SPA
1,585,000
6.000%, 
9/30/2034
h
1,527,412
Gray
Media,
Inc.
1,214,000
5.375%, 
11/15/2031
h
902,378
1,130,000
7.250%, 
8/15/2033
h,i
1,117,639
Iliad
Holding
SAS
1,463,000
8.500%, 
4/15/2031
h
1,538,931
1,169,000
7.000%, 
4/15/2032
h
1,179,105
Level
3
Financing,
Inc.
2,845,000
6.875%, 
6/30/2033
h
2,878,996
970,000
7.000%, 
3/31/2034
h
986,701
2,270,000
8.500%, 
1/15/2036
h
2,361,667
Lumen
Technologies,
Inc.
1,220,000
7.600%, 
9/15/2039
1,114,775
McGraw-Hill
Education,
Inc.
1,419,000
5.750%, 
8/1/2028
h
1,408,044
1,487,000
8.000%, 
8/1/2029
h
1,474,728
Nexstar
Media,
Inc.
657,000
4.750%, 
11/1/2028
h
644,227
2,422,000
6.500%, 
9/15/2033
h
2,409,587
1,454,000
7.250%, 
4/15/2034
h,i
1,457,258
Oak-Eagle
Acquireco,
Inc.
1,584,607
7.250%, 
7/1/2033
h
1,641,927
1,578,000
8.750%, 
7/1/2034
h
1,662,403
Outfront
Media
Capital,
LLC/
Outfront
Media
Capital
Corporation
1,440,000
4.625%, 
3/15/2030
h
1,390,748
Playtika
Holding
Corporation
1,150,000
4.250%, 
3/15/2029
h
1,044,913
Rogers
Communications,
Inc.
540,000
7.000%, 
4/15/2055
b
543,241
Sable
International
Finance,
Ltd.
1,128,000
7.125%, 
10/15/2032
h
1,114,111
Scripps
Escrow
II,
Inc.
1,120,000
3.875%, 
1/15/2029
h
1,023,491
Sinclair
Television
Group,
Inc.
985,000
8.125%, 
2/15/2033
h
1,010,092
Sirius
XM
Radio,
LLC
860,000
3.875%, 
9/1/2031
h
776,101
480,000
5.875%, 
4/15/2032
h
471,012
Snap,
Inc.
650,000
6.875%, 
3/15/2034
h
629,647
Telenet
Finance
Luxembourg
Notes
SARL
2,400,000
5.500%, 
3/1/2028
h
2,367,629
Uniti
Group,
LP/Uniti
Group
Finance
2019,
Inc./CSL
Capital,
LLC
1,179,000
4.750%, 
4/15/2028
h
1,174,529
1,293,000
6.500%, 
2/15/2029
h
1,275,238
650,000
8.625%, 
6/15/2032
h,i
663,820
360,000
8.625%, 
6/15/2032
h
367,654
Uniti
Services,
LLC
980,000
7.500%, 
10/15/2033
h
1,001,447
Univision
Communications,
Inc.
1,388,000
4.500%, 
5/1/2029
h
1,314,367
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Communications
Services
10.8%
-
continued
$
1,100,000
8.500%, 
7/31/2031
h
$
1,097,565
870,000
9.375%, 
8/1/2032
h
868,986
849,000
8.875%, 
4/15/2033
h
822,023
Viasat,
Inc.
1,387,000
6.500%, 
7/15/2028
h
1,376,118
Virgin
Media
Finance
plc
2,030,000
5.000%, 
7/15/2030
h
1,249,120
Virgin
Media
Secured
Finance
plc
1,821,000
5.500%, 
5/15/2029
h
1,634,824
VZ
Secured
Financing
BV
1,830,000
5.000%, 
1/15/2032
h
1,500,606
Windstream
Services,
LLC/
Windstream
Escrow
Finance
Corporation
2,621,000
8.250%, 
10/1/2031
h
2,728,537
Ziggo
Bond
Company
BV
807,000
5.125%, 
2/28/2030
h
655,686
Total
88,883,182
Consumer
Cyclical
15.8%
1011778
B.C.,
ULC/New
Red
Finance,
Inc.
2,344,000
5.625%, 
9/15/2029
h
2,338,107
1,385,000
4.000%, 
10/15/2030
h
1,301,348
Adient
Global
Holdings,
Ltd.
1,405,000
7.500%, 
2/15/2033
h,i
1,449,999
Advance
Auto
Parts,
Inc.
1,027,000
7.000%, 
8/1/2030
h
1,052,300
652,000
7.375%, 
8/1/2033
h,i
672,949
Allied
Universal
Holdco,
LLC/Allied
Universal
Finance
Corporation
1,245,000
6.000%, 
6/1/2029
h
1,234,042
Allison
Transmission,
Inc.
862,000
3.750%, 
1/30/2031
h
799,483
American
Axle
&
Manufacturing,
Inc.
1,183,000
5.000%, 
10/1/2029
1,143,023
1,990,000
7.750%, 
10/15/2033
h
1,959,597
Arches
Buyer,
Inc.
1,903,000
6.125%, 
12/1/2028
h,i
1,860,247
978,000
9.000%, 
8/15/2031
h
983,096
Asbury
Automotive
Group,
Inc.
460,000
5.000%, 
2/15/2032
h
438,283
Ashton
Woods
USA,
LLC/Ashton
Woods
Finance
Company
700,000
4.625%, 
8/1/2029
h
672,155
1,506,000
4.625%, 
4/1/2030
h
1,429,881
Bath
&
Body
Works,
Inc.
650,000
6.950%, 
3/1/2033
647,566
BCPE
Flavor
Debt
Merger
Sub,
LLC/BCPE
Flavor
Issuer,
Inc.
985,000
9.500%, 
7/1/2032
h
952,963
Beach
Acquisition
Bidco,
LLC
642,969
0.000%,PIK
10.750%,
7/15/2033
h,j
690,233
Bloomin'
Brands,
Inc./OSI
Restaurant
Partners,
LLC
1,270,000
5.125%, 
4/15/2029
h,i
1,206,877
Boyd
Gaming
Corporation
1,175,000
4.750%, 
6/15/2031
h
1,121,991
Brightstar
Lottery
plc/Brightstar
Global
Solutions
Corporation
880,000
5.750%, 
1/15/2033
h
849,166
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
56
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Consumer
Cyclical
15.8%
-
continued
Brookfield
Residential
Properties,
Inc./Brookfield
Residential
US,
LLC
$
1,093,000
5.000%, 
6/15/2029
h
$
1,036,949
885,000
4.875%, 
2/15/2030
h
824,634
Caesars
Entertainment,
Inc.
1,722,000
4.625%, 
10/15/2029
h
1,636,307
1,570,000
7.000%, 
2/15/2030
h
1,575,194
Carnival
Corporation,
Ltd.
2,650,000
5.750%, 
8/1/2032
h
2,625,577
Carriage
Services,
Inc.
960,000
4.250%, 
5/15/2029
h
910,105
Carvana
Company
1,671,582
9.000%,PIK
0.000%,
6/1/2030
h,j
1,722,945
1,335,100
9.000%,PIK
0.000%,
6/1/2031
h,j
1,468,502
Churchill
Downs,
Inc.
609,000
6.750%, 
5/1/2031
h
616,243
Cyprium
Corporation/Cyprium
Holdings
Luxembourg
SARL
960,000
6.125%, 
4/15/2031
h
951,485
Dream
Finders
Homes,
Inc.
1,380,000
6.875%, 
9/15/2030
h
1,346,947
Flutter
Treasury
DAC
271,000
5.875%, 
6/4/2031
h
266,969
Ford
Motor
Company
1,494,000
3.250%, 
2/12/2032
1,306,376
Forestar
Group,
Inc.
1,665,000
6.500%, 
3/15/2033
h
1,668,451
FORVIA
SE
865,000
8.000%, 
6/15/2030
h,i
909,094
1,080,000
6.750%, 
9/15/2033
h
1,074,659
Gaia
Purchaser,
Inc.
1,340,000
7.625%, 
7/15/2033
h
1,344,120
Gap,
Inc.
1,141,000
3.625%, 
10/1/2029
h
1,073,384
Garda
World
Security
Corporation
1,940,000
6.000%, 
6/1/2029
h,i
1,911,884
490,000
8.250%, 
8/1/2032
h
496,899
Garrett
Motion
Holdings,
Inc./
Garrett
LX
I
SARL
1,225,000
7.750%, 
5/31/2032
h
1,273,323
General
Motors
Financial
Company,
Inc.
1,794,000
5.750%, 
9/30/2027
b,i,l
1,779,797
Genting
New
York,
LLC/GENNY
Capital,
Inc.
1,131,000
7.250%, 
10/1/2029
h
1,157,253
Global
Auto
Holdings,
Ltd./AAG
FH
UK,
Ltd.
2,105,000
8.750%, 
1/15/2032
h,i
2,042,420
Goodyear
Tire
&
Rubber
Company
1,710,000
5.250%, 
4/30/2031
1,535,602
Hilton
Domestic
Operating
Company,
Inc.
748,000
4.875%, 
1/15/2030
737,401
1,100,000
5.500%, 
9/15/2031
h
1,089,878
962,000
3.625%, 
2/15/2032
h
870,466
Hilton
Grand
Vacations
Borrower,
LLC/Hilton
Grand
Vacations
Borrower,
Inc.
1,120,000
5.000%, 
6/1/2029
h
1,086,017
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Consumer
Cyclical
15.8%
-
continued
IHO
Verwaltungs
GmbH
$
980,000
7.375%,PIK
8.125%,
5/15/2033
h,j
$
1,015,790
Jacobs
Entertainment,
Inc.
1,422,000
6.750%, 
2/15/2029
h
1,395,337
K
Hovnanian
Enterprises,
Inc.
540,000
8.000%, 
4/1/2031
h
550,438
KB
Home
942,000
6.875%, 
6/15/2027
946,579
L
Brands,
Inc.
1,326,000
5.250%, 
2/1/2028
1,325,659
689,000
6.875%, 
11/1/2035
696,664
Life
Time,
Inc.
1,170,000
6.000%, 
11/15/2031
h
1,179,967
Light
&
Wonder
International,
Inc.
594,000
7.250%, 
11/15/2029
h
603,722
1,300,000
6.250%, 
10/1/2033
h
1,277,250
Lindblad
Expeditions,
LLC
1,590,000
7.000%, 
9/15/2030
h
1,636,813
Lithia
Motors,
Inc.
870,000
4.625%, 
12/15/2027
h
865,809
Live
Nation
Entertainment,
Inc.
729,000
4.750%, 
10/15/2027
h
725,248
Macy's
Retail
Holdings,
LLC
650,000
7.375%, 
8/1/2033
h
676,384
720,000
6.375%, 
3/15/2037
669,708
870,000
4.300%, 
2/15/2043
620,740
Marriott
Ownership
Resorts,
Inc.
950,000
6.500%, 
10/1/2033
h,i
934,266
Match
Group
Holdings
II,
LLC
1,665,000
6.125%, 
9/15/2033
h
1,621,116
Mattamy
Group
Corporation
1,555,000
4.625%, 
3/1/2030
h
1,490,256
550,000
6.000%, 
12/15/2033
h
523,531
Melco
Resorts
Finance,
Ltd.
1,201,000
5.375%, 
12/4/2029
h
1,161,080
625,000
7.625%, 
4/17/2032
h
637,802
320,000
6.500%, 
9/24/2033
h
308,974
MGM
China
Holdings,
Ltd.
219,000
7.125%, 
6/26/2031
h
224,851
MGM
Resorts
International
1,201,000
6.125%, 
9/15/2029
1,208,393
Michaels
Companies,
Inc.
961,000
8.500%, 
3/15/2033
h
951,992
1,448,000
11.000%, 
3/15/2034
h,i
1,417,441
Millrose
Properties,
Inc.
1,800,000
6.375%, 
8/1/2030
h
1,813,307
440,000
6.250%, 
9/15/2032
h
439,628
Muvico,
LLC
1,164,115
9.000%,PIK
6.000%,
2/19/2029
h,i,j
1,278,379
NCL
Corporation,
Ltd.
2,055,000
5.875%, 
1/15/2031
h
1,964,008
Nissan
Motor
Acceptance
Company,
LLC
1,300,000
5.625%, 
9/29/2028
h
1,292,270
1,180,000
6.125%, 
9/30/2030
h
1,152,396
Penn
Entertainment,
Inc.
970,000
6.750%, 
4/1/2031
h,i
973,506
PENN
Entertainment,
Inc.
750,000
4.125%, 
7/1/2029
h
714,861
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
57
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Consumer
Cyclical
15.8%
-
continued
PetSmart,
LLC/PetSmart
Finance
Corporation
$
2,960,000
7.500%, 
9/15/2032
h
$
2,990,808
650,000
10.000%, 
9/15/2033
h
646,694
Phinia,
Inc.
657,000
6.625%, 
10/15/2032
h
663,534
Pioneer
OpCo,
LLC
550,000
7.000%, 
5/15/2033
h
555,314
Prime
Security
Services
Borrower,
LLC/Prime
Finance,
Inc.
1,595,000
3.375%, 
8/31/2027
h
1,566,524
Rakuten
Group,
Inc.
219,000
11.250%, 
2/15/2027
h
225,163
1,344,000
9.750%, 
4/15/2029
h
1,459,276
650,000
8.125%, 
12/15/2029
b,h,l
664,337
Raven
Acquisition
Holdings,
LLC
1,150,000
6.875%, 
11/15/2031
h
1,118,830
Resorts
World
Las
Vegas,
LLC/
RWLV
Capital,
Inc.
900,000
4.625%, 
4/16/2029
h
809,809
Risewell
Homes,
Inc.
430,000
8.500%, 
11/1/2030
h
438,606
S&S
Holdings,
LLC
1,304,000
8.375%, 
10/1/2031
h
1,259,204
Six
Flags
Entertainment
Corporation/Canada's
Wonderland
Company/Magnum
Management
Corporation
1,653,000
5.250%, 
7/15/2029
1,583,001
Sotheby's
980,000
8.250%, 
4/15/2031
h
977,568
Sotheby's/Bidfair
Holdings,
Inc.
730,000
5.875%, 
6/1/2029
h
704,176
Staples,
Inc.
1,598,000
10.750%, 
9/1/2029
h
1,529,049
Station
Casinos,
LLC
480,000
4.500%, 
2/15/2028
h
471,987
1,074,000
4.625%, 
12/1/2031
h,i
1,009,868
Taylor
Morrison
Communities,
Inc.
545,000
5.750%, 
11/15/2032
h
557,860
Tenneco,
Inc.
1,507,000
8.000%, 
11/17/2028
h
1,510,782
TKC
Holdings,
Inc.
980,000
8.500%, 
8/15/2030
h
1,001,804
Vail
Resorts,
Inc.
560,000
5.625%, 
7/15/2030
h
557,553
VF
Corporation
400,000
2.950%, 
4/23/2030
359,363
650,000
6.000%, 
10/15/2033
636,334
Victoria's
Secret
&
Company
1,189,000
4.625%, 
7/15/2029
h
1,154,765
Viking
Cruises,
Ltd.
1,743,000
5.875%, 
10/15/2033
h
1,725,893
Wayfair,
LLC
825,000
7.750%, 
9/15/2030
h
864,515
980,000
7.125%, 
5/31/2034
h
1,006,745
Wyndham
Hotels
&
Resorts,
Inc.
480,000
5.625%, 
3/1/2033
h
467,149
Wynn
Macau,
Ltd.
1,900,000
6.750%, 
2/15/2034
h
1,867,777
Wynn
Resorts
Finance,
LLC/Wynn
Resorts
Capital
Corporation
2,890,000
7.125%, 
2/15/2031
h
3,028,292
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Consumer
Cyclical
15.8%
-
continued
ZF
North
America
Capital,
Inc.
$
747,000
6.875%, 
4/14/2028
h
$
760,450
1,485,000
6.750%, 
4/23/2030
h
1,473,669
960,000
6.875%, 
4/23/2032
h
943,171
Total
130,026,222
Consumer
Non-Cyclical
10.7%
1261229
B.C.,
Ltd.
2,478,000
10.000%, 
4/15/2032
h
2,533,131
Acadia
Healthcare
Company,
Inc.
650,000
5.000%, 
4/15/2029
h
636,311
830,000
7.375%, 
3/15/2033
h,i
855,935
ACCO
Brands
Corporation
980,000
4.250%, 
3/15/2029
h
923,746
AdaptHealth,
LLC
3,002,000
4.625%, 
8/1/2029
h
2,894,289
Albertsons
Companies,
Inc./
Safeway,
Inc./New
Albertsons,
LP/Albertsons,
LLC
440,000
5.500%, 
3/31/2031
h
422,784
720,000
5.625%, 
3/31/2032
h
684,865
300,000
6.250%, 
3/15/2033
h
290,571
2,150,000
5.750%, 
3/31/2034
h
1,998,945
Bausch
+
Lomb
Corporation
414,000
8.375%, 
10/1/2028
h
424,350
Bausch
Health
Americas,
Inc.
970,000
8.500%, 
1/31/2027
h
964,364
Bausch
Health
Companies,
Inc.
1,678,000
4.875%, 
6/1/2028
h,i
1,560,584
BellRing
Brands,
Inc.
2,644,000
7.000%, 
3/15/2030
h,i
2,613,594
BioMarin
Pharmaceutical,
Inc.
1,440,000
5.500%, 
2/15/2034
h
1,404,824
Champ
Acquisition
Corporation
970,000
8.375%, 
12/1/2031
h
1,011,661
CHS/Community
Health
Systems,
Inc.
963,000
6.125%, 
4/1/2030
h
809,080
1,370,000
4.750%, 
2/15/2031
h,i
1,222,033
547,000
10.875%, 
1/15/2032
h
576,973
1,730,000
9.750%, 
1/15/2034
h
1,752,597
Concentra
Health
Services,
Inc.
841,000
6.875%, 
7/15/2032
h,i
864,798
CVS
Health
Corporation
1,121,000
7.000%, 
3/10/2055
b
1,154,231
DaVita,
Inc.
3,561,000
6.875%, 
9/1/2032
h
3,659,504
Embecta
Corporation
756,000
5.000%, 
2/15/2030
h
583,538
Encompass
Health
Corporation
462,000
4.500%, 
2/1/2028
457,079
1,960,000
5.875%, 
6/1/2034
h
1,940,508
Endo
Finance
Holdings,
LP
1,865,000
8.500%, 
4/15/2031
h,i
1,964,069
Energizer
Holdings,
Inc.
1,200,000
4.375%, 
3/31/2029
h
1,155,703
1,145,000
6.000%, 
9/15/2033
h,i
1,084,997
Fiesta
Purchaser,
Inc.
1,127,000
9.625%, 
9/15/2032
h
1,055,926
Genmab
AS/Genmab
Finance,
LLC
1,760,000
6.250%, 
12/15/2032
h
1,776,109
330,000
7.250%, 
12/15/2033
h
340,264
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
58
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Consumer
Non-Cyclical
10.7%
-
continued
Grifols
SA
$
1,262,000
4.750%, 
10/15/2028
h
$
1,231,322
HLF
Financing
SARL,
LLC/
Herbalife
International,
Inc.
2,017,000
4.875%, 
6/1/2029
h
1,875,788
970,000
7.750%, 
5/1/2033
h
976,148
HNI
Corporation
970,000
5.125%, 
1/18/2029
h
953,665
Industrial
F&B
Investments
III,
Inc.
904,000
7.750%, 
2/11/2033
h
917,836
Insulet
Corporation
606,000
6.500%, 
4/1/2033
h
613,956
IQVIA,
Inc.
1,736,000
6.250%, 
6/1/2032
h
1,758,327
Jazz
Securities
DAC
870,000
4.375%, 
1/15/2029
h
851,707
KeHE
Distributors,
LLC/KeHE
Finance
Corporation/NextWave
Distribution,
Inc.
573,000
9.000%, 
2/15/2029
h
596,786
610,000
7.125%, 
4/30/2033
h
620,218
Lamb
Weston
Holdings,
Inc.
647,000
4.375%, 
1/31/2032
h
606,417
LifePoint
Health,
Inc.
1,564,000
5.375%, 
1/15/2029
h,i
1,484,192
642,000
9.875%, 
8/15/2030
h
673,966
Medline
Borrower,
LP
1,885,000
5.250%, 
10/1/2029
h
1,867,373
Newell
Brands,
Inc.
260,000
6.375%, 
9/15/2027
260,789
676,000
6.625%, 
9/15/2029
684,131
2,620,000
6.375%, 
5/15/2030
i
2,648,770
650,000
6.625%, 
5/15/2032
i
657,620
Organon
&
Company/Organon
Foreign
Debt
Co-Issuer
BV
977,000
5.125%, 
4/30/2031
h
966,994
Performance
Food
Group,
Inc.
1,096,000
4.250%, 
8/1/2029
h
1,059,592
1,315,000
6.125%, 
9/15/2032
h
1,318,715
Perrigo
Finance
Unlimited
Company
718,000
5.150%, 
6/15/2030
678,871
849,000
6.125%, 
9/30/2032
i
806,612
Post
Holdings,
Inc.
1,965,000
4.500%, 
9/15/2031
h
1,821,137
1,340,000
6.250%, 
10/15/2034
h
1,302,838
Prime
Healthcare
Services,
Inc.
2,507,000
9.375%, 
9/1/2029
h
2,613,949
Radiology
Partners,
Inc.
825,000
8.500%, 
7/15/2032
h
866,968
Simmons
Foods,
Inc.
2,480,000
4.625%, 
3/1/2029
h
2,397,216
Spectrum
Brands,
Inc.
170,000
3.875%, 
3/15/2031
h
148,954
Star
Parent,
Inc.
2,400,000
9.000%, 
10/1/2030
h
2,520,276
Surgery
Center
Holdings,
Inc.
1,780,000
7.250%, 
4/15/2032
h,i
1,785,544
TEAM
Services
Holding,
Inc.
1,450,000
9.000%, 
2/15/2033
h,i
1,468,411
Teleflex,
Inc.
240,000
5.875%, 
1/15/2032
h
237,924
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Consumer
Non-Cyclical
10.7%
-
continued
Tenet
Healthcare
Corporation
$
1,668,000
5.125%, 
11/1/2027
$
1,667,039
1,416,000
5.500%, 
11/15/2032
h
1,394,177
218,000
6.000%, 
11/15/2033
h
218,697
US
Acute
Care
Solutions,
LLC
2,172,000
9.750%, 
5/15/2029
h
2,024,389
Viking
Baked
Goods
Acquisition
Corporation
980,000
8.625%, 
11/1/2031
h
983,624
1,000,000
8.625%, 
11/1/2031
h
1,003,698
Whirlpool
Corporation
430,000
6.125%, 
6/15/2030
390,736
980,000
7.500%, 
7/1/2031
h
973,881
1,000,000
7.875%, 
7/1/2034
h
945,399
Total
88,492,015
Energy
10.8%
Aethon
United
BR,
LP/Aethon
United
Finance
Corporation
573,000
7.500%, 
10/1/2029
h
594,490
Antero
Midstream
Partners,
LP/
Antero
Midstream
Finance
Corporation
1,556,000
5.375%, 
6/15/2029
h
1,551,138
Archrock
Services,
LP/Archrock
Partners
Finance
Corporation
960,000
6.000%, 
2/1/2034
h
939,514
Ascent
Resources
Utica
Holdings,
LLC/ARU
Finance
Corporation
1,120,000
6.625%, 
7/15/2033
h
1,124,917
Beusa
Investments,
LLC
1,470,000
7.000%, 
8/1/2031
h
1,436,734
Buckeye
Partners,
LP
868,000
6.750%, 
2/1/2030
h
889,275
California
Resources
Corporation
745,000
7.000%, 
1/15/2034
h
729,677
Caturus
Energy,
LLC
243,000
7.125%, 
5/15/2031
h
240,890
CNX
Resources
Corporation
332,000
7.375%, 
1/15/2031
h
339,261
360,000
5.875%, 
3/1/2034
h
348,784
Comstock
Resources,
Inc.
2,805,000
5.875%, 
1/15/2030
h
2,642,623
CQP
Holdco,
LP/BIP-V
Chinnok
Holdco,
LLC
1,219,000
5.500%, 
6/15/2031
h
1,186,866
Crescent
Energy
Finance,
LLC
1,089,000
7.625%, 
4/1/2032
h
1,100,487
1,320,000
7.875%, 
4/15/2032
h
1,344,259
438,000
7.375%, 
1/15/2033
h
439,978
Delek
Logistics
Partners,
LP/Delek
Logistics
Finance
Corporation
505,000
8.625%, 
3/15/2029
h
524,107
1,640,000
7.375%, 
6/30/2033
h
1,677,148
480,000
6.875%, 
6/1/2034
h
482,310
Energy
Transfer,
LP
1,945,000
6.500%, 
2/15/2056
b
1,945,216
Excelerate
Energy,
LP
609,000
8.000%, 
5/15/2030
h
638,039
Genesis
Energy,
LP/Genesis
Energy
Finance
Corporation
2,405,000
7.875%, 
5/15/2032
2,483,963
600,000
6.750%, 
3/15/2034
598,428
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
59
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Energy
10.8%
-
continued
Global
Partners,
LP/GLP
Finance
Corporation
$
330,000
7.125%, 
7/1/2033
h
$
334,183
Harvest
Midstream
I,
LP
1,250,000
6.750%, 
5/15/2034
h
1,254,976
Hess
Midstream
Operations,
LP
1,175,000
4.250%, 
2/15/2030
h
1,125,076
Hilcorp
Energy
I,
LP/Hilcorp
Finance
Company
664,000
5.750%, 
2/1/2029
h
662,701
1,810,000
6.000%, 
2/1/2031
h
1,764,390
1,440,000
6.250%, 
4/15/2032
h
1,397,882
Howard
Midstream
Energy
Partners,
LLC
1,371,000
7.375%, 
7/15/2032
h
1,417,155
1,080,000
6.625%, 
1/15/2034
h
1,092,047
366,000
6.625%, 
1/15/2035
h
365,799
ITT
Holdings,
LLC
2,145,000
6.500%, 
8/1/2029
h
2,120,898
Kodiak
Gas
Services,
LLC
650,000
6.500%, 
10/1/2033
h
649,159
Kraken
Oil
&
Gas
Partners,
LLC
410,000
7.625%, 
8/15/2029
h,i
414,005
Mesquite
Energy,
Inc.
3,260,000
0.000%, 
2/15/2023
f,g
326
Moss
Creek
Resources
Holdings,
Inc.
713,000
8.250%, 
9/1/2031
h
714,653
Nabors
Industries,
Inc.
579,000
9.125%, 
1/31/2030
h
605,336
438,000
8.875%, 
8/15/2031
h,i
450,691
1,190,000
7.625%, 
11/15/2032
h
1,213,763
NGL
Energy
Operating,
LLC/NGL
Energy
Finance
Corporation
545,000
8.125%, 
2/15/2029
h
558,670
1,192,000
8.375%, 
2/15/2032
h
1,239,544
Noble
Finance
II,
LLC
700,000
8.000%, 
4/15/2030
h
723,650
1,740,000
6.250%, 
6/15/2034
h
1,689,662
Northern
Oil
and
Gas,
Inc.
1,138,000
8.750%, 
6/15/2031
h,i
1,172,824
NuStar
Logistics,
LP
858,000
6.375%, 
10/1/2030
875,292
Oceaneering
International,
Inc.
1,000,000
6.875%, 
7/15/2034
h
1,023,213
PBF
Holding
Company,
LLC/PBF
Finance
Corporation
1,925,000
7.875%, 
9/15/2030
h
1,997,804
1,340,000
7.250%, 
6/1/2034
h
1,360,840
Permian
Resources
Operating,
LLC
1,062,000
7.000%, 
1/15/2032
h
1,099,380
Prairie
Acquiror,
LP
1,413,000
9.000%, 
8/1/2029
h
1,457,536
Rockies
Express
Pipeline,
LLC
966,000
4.950%, 
7/15/2029
h
952,834
Saturn
Oil
&
Gas,
Inc.
1,590,000
8.500%, 
7/30/2031
h
1,594,408
Seadrill
Finance,
Ltd.
1,010,000
6.750%, 
7/15/2034
h
972,424
SESI,
LLC
1,360,000
7.875%, 
9/30/2030
h
1,376,083
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Energy
10.8%
-
continued
SM
Energy
Company
$
711,000
8.750%, 
7/1/2031
h
$
743,386
350,000
7.000%, 
8/1/2032
h,i
355,592
2,077,000
9.625%, 
6/15/2033
h
2,284,756
960,000
6.625%, 
4/15/2034
h
954,073
Solaris
Energy
Infrastructure,
Inc.
600,000
6.375%, 
5/15/2031
h
589,393
Sunoco,
LP
866,000
5.875%, 
7/15/2027
h
866,201
633,000
6.625%, 
8/15/2032
h
639,019
960,000
5.625%, 
7/15/2034
h
928,179
Sunoco,
LP/Sunoco
Finance
Corporation
975,000
4.500%, 
5/15/2029
949,199
564,000
4.500%, 
4/30/2030
544,121
Tallgrass
Energy
Partners,
LP/
Tallgrass
Energy
Finance
Corporation
3,197,000
6.750%, 
3/15/2034
h
3,216,860
TGNR
Intermediate
Holdings,
LLC
1,934,000
5.500%, 
10/15/2029
h
1,892,216
Transocean
International,
Ltd.
1,916,000
8.250%, 
5/15/2029
h
1,975,704
1,216,000
8.500%, 
5/15/2031
h,i
1,268,142
USA
Compression
Partners,
LP/
USA
Compression
Finance
Corporation
1,110,000
6.250%, 
10/1/2033
h
1,092,341
Valaris,
Ltd.
905,000
8.375%, 
4/30/2030
h
936,947
Venture
Global
LNG,
Inc.
2,427,000
9.000%, 
9/30/2029
b,h,l
2,417,243
1,753,000
7.000%, 
1/15/2030
h
1,780,883
2,330,000
8.375%, 
6/1/2031
h
2,408,750
610,000
6.375%, 
12/15/2034
h
594,090
1,467,000
6.625%, 
6/15/2036
h
1,437,753
Venture
Global
Plaquemines
LNG,
LLC
660,000
6.125%, 
12/15/2030
h
670,456
1,550,000
7.500%, 
5/1/2033
h
1,681,779
1,310,000
6.500%, 
1/15/2034
h
1,351,738
660,000
6.500%, 
6/15/2034
h
680,678
Total
89,194,807
Financials
12.5%
Acrisure,
LLC/Acrisure
Finance,
Inc.
1,009,000
6.000%, 
8/1/2029
h
911,672
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
658,000
6.950%, 
3/10/2055
b
673,161
Alliant
Holdings
Intermediate,
LLC/
Alliant
Holdings
Co-Issuer,
Inc.
1,019,000
6.750%, 
4/15/2028
h
1,023,596
657,000
5.875%, 
11/1/2029
h
646,805
Ally
Financial,
Inc.
970,000
7.100%, 
8/15/2031
b,l
975,513
AmWINS
Group,
Inc.
990,000
4.875%, 
6/30/2029
h
952,938
Asurion,
LLC/Asurion
Co-Issuer,
Inc.
730,000
8.000%, 
12/31/2032
h
738,487
730,000
8.375%, 
2/1/2034
h
665,109
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
60
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Financials
12.5%
-
continued
Avolon
Holdings
Funding,
Ltd.
$
418,000
2.528%, 
11/18/2027
h
$
406,141
Azorra
Finance,
Ltd.
980,000
6.250%, 
2/15/2034
h
961,160
Baldwin
Insurance
Group
Holdings,
LLC/Baldwin
Insurance
Group
Holdings
Finance
658,000
7.125%, 
5/15/2031
h
663,580
Banco
Santander
SA
625,000
7.250%, 
12/3/2035
b,l
626,728
Bank
of
America
Corporation
430,000
6.250%, 
7/26/2030
b,l
430,416
BBVA
Mexico
SA,
Institucion
de
Banca
Multiple,
Grupo
Financiero
BBVA
Mexico/TX
320,000
7.625%, 
2/11/2035
b,h
327,200
BNP
Paribas
SA
329,000
4.625%, 
1/12/2027
b,h,l
327,118
430,000
7.450%, 
6/27/2035
b,h,l
435,813
Burford
Capital
Global
Finance,
LLC
2,255,000
9.250%, 
7/1/2031
h
2,198,317
760,000
7.500%, 
7/15/2033
h,i
640,817
190,000
8.500%, 
1/15/2034
h
164,350
Centene
Corporation
1,950,000
3.000%, 
10/15/2030
1,752,369
Citigroup,
Inc.
345,000
6.250%, 
8/15/2026
b,l
344,358
430,000
6.875%, 
12/29/2049
b,l
434,153
Constellation
Insurance,
Inc.
299,000
6.800%, 
1/24/2030
h
295,687
CRC
Insurance
Group,
LLC
840,000
7.125%, 
6/1/2031
h
838,418
Drawbridge
Special
Opportunities
Fund,
LP/Drawbridge
Special
Opportunities
Finance
Corporation
1,510,000
5.950%, 
9/17/2030
h
1,448,009
Encore
Capital
Group,
Inc.
2,330,000
6.625%, 
4/15/2031
h
2,339,895
First
Eagle
Holdings,
Inc.
1,600,000
7.250%, 
8/15/2032
h
1,618,680
FirstCash,
Inc.
1,170,000
4.625%, 
9/1/2028
h
1,148,379
658,000
5.625%, 
1/1/2030
h
647,763
1,100,000
6.125%, 
5/1/2034
h
1,084,373
Freedom
Mortgage
Holdings,
LLC
1,500,000
9.250%, 
2/1/2029
h
1,541,568
1,660,000
6.875%, 
5/1/2031
h
1,600,219
240,000
8.000%, 
2/1/2032
h
238,122
430,000
8.375%, 
4/1/2032
h
431,892
860,000
7.875%, 
4/1/2033
h
829,404
FTAI
Aviation
Investors,
LLC
1,904,000
7.000%, 
5/1/2031
h
1,956,908
950,000
7.000%, 
6/15/2032
h
969,973
GGAM
Finance,
Ltd.
689,000
8.000%, 
2/15/2027
h
688,201
676,000
8.000%, 
6/15/2028
h
699,251
140,000
6.875%, 
4/15/2029
h
142,275
500,000
5.875%, 
3/15/2030
h
496,875
Global
Aircraft
Leasing
Company,
Ltd.
2,200,000
8.750%, 
9/1/2027
h
2,235,033
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Financials
12.5%
-
continued
Global
Net
Lease,
Inc.
$
424,000
4.500%, 
9/30/2028
h
$
414,037
Global
Net
Lease,
Inc./Global
Net
Lease
Operating
Partnership,
LP
2,000,000
3.750%, 
12/15/2027
h
1,953,760
goeasy,
Ltd.
720,000
9.250%, 
12/1/2028
h
711,505
1,945,000
6.875%, 
2/15/2031
h,i
1,739,585
Howard
Hughes
Corporation
399,000
4.125%, 
2/1/2029
h
384,598
600,000
5.875%, 
3/1/2032
h
586,083
HSBC
Holdings
plc
679,000
6.875%, 
9/11/2029
b,l
690,290
HUB
International,
Ltd.
1,194,000
5.625%, 
12/1/2029
h
1,189,309
1,239,000
7.375%, 
1/31/2032
h
1,267,187
Icahn
Enterprises,
LP/Icahn
Enterprises
Finance
Corporation
1,507,000
5.250%, 
5/15/2027
1,497,367
Intesa
Sanpaolo
SPA
459,000
4.198%, 
6/1/2032
b,h
430,434
Jane
Street
Group/JSG
Finance,
Inc.
406,000
4.500%, 
11/15/2029
h
393,912
394,000
7.125%, 
4/30/2031
h
406,617
967,000
6.125%, 
11/1/2032
h
962,164
2,150,000
6.750%, 
5/1/2033
h
2,191,106
Jefferies
Finance,
LLC/JFIN
Co-
Issuer
Corporation
1,229,000
6.625%, 
10/15/2031
h
1,207,079
Jefferson
Capital
Holdings,
LLC
1,363,000
9.500%, 
2/15/2029
h
1,420,977
1,240,000
8.250%, 
5/15/2030
h
1,294,803
JPMorgan
Chase
&
Company
1,534,000
6.470%, 
(TSFR3M
+
2.745%),
10/1/2026
b,l
1,537,953
Ladder
Capital
Finance
Holdings,
LLLP/Ladder
Capital
Finance
Corporation
560,000
4.750%, 
6/15/2029
h
545,372
Liberty
Mutual
Group,
Inc.
184,000
4.125%, 
12/15/2051
b,h
182,769
Macquarie
AirFinance
Holdings,
Ltd.
819,000
6.400%, 
3/26/2029
h
840,686
Midcap
Financial
Issuer
Trust
688,000
6.500%, 
5/1/2028
h
687,546
MPT
Operating
Partnership,
LP/
MPT
Finance
Corporation
1,209,000
4.625%, 
8/1/2029
i
968,857
1,060,000
8.500%, 
2/15/2032
h
1,077,289
NatWest
Group
plc
459,000
8.125%, 
11/10/2033
b,l
499,485
Navient
Corporation
399,000
5.500%, 
3/15/2029
i
382,156
Nippon
Life
Insurance
Company
430,000
6.500%, 
4/30/2055
b,h
442,464
OneMain
Finance
Corporation
3,026,000
3.500%, 
1/15/2027
3,002,296
865,000
6.750%, 
3/15/2032
860,808
1,850,000
7.125%, 
9/15/2032
1,869,369
1,310,000
6.750%, 
9/15/2033
1,288,884
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
61
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Financials
12.5%
-
continued
Osaic
Holdings,
Inc.
$
1,285,000
6.750%, 
8/1/2032
h
$
1,289,594
910,000
8.000%, 
8/1/2033
h
923,380
Park
Intermediate
Holdings,
LLC/
PK
Domestic
Property,
LLC/PK
Finance
Co-Issuer,
Inc.
1,279,000
4.875%, 
5/15/2029
h
1,246,622
PennyMac
Financial
Services,
Inc.
1,825,000
6.875%, 
5/15/2032
h
1,744,510
570,000
6.875%, 
2/15/2033
h
540,843
Phoenix
Aviation
Capital,
Ltd.
1,340,000
9.250%, 
7/15/2030
h
1,387,338
PNC
Financial
Services
Group,
Inc.
658,000
3.400%, 
9/15/2026
b,l
655,484
PRA
Group,
Inc.
1,710,000
8.875%, 
1/31/2030
h
1,760,703
RHP
Hotel
Properties,
LP/RHP
Finance
Corporation
658,000
4.500%, 
2/15/2029
h
642,796
Rithm
Capital
Corporation
1,950,000
8.000%, 
7/15/2030
h
1,950,112
RLJ
Lodging
Trust,
LP
811,000
4.000%, 
9/15/2029
h,i
772,506
Rocket
Companies,
Inc.
639,000
6.500%, 
8/1/2029
h
647,393
650,000
6.125%, 
8/1/2030
h
655,270
300,000
6.125%, 
8/1/2031
h
301,367
300,000
6.500%, 
6/15/2034
h
302,371
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
2,367,000
3.875%, 
3/1/2031
h
2,192,829
802,000
4.000%, 
10/15/2033
h
708,297
Ryan
Specialty,
LLC
1,315,000
5.875%, 
8/1/2032
h
1,296,912
SLM
Corporation
430,000
6.500%, 
1/31/2030
434,933
1,100,000
6.495%, 
5/15/2032
b
1,096,061
Societe
Generale
SA
655,000
8.125%, 
11/21/2029
b,h,l
683,268
480,000
7.125%, 
7/15/2035
b,h,l
473,625
Starwood
Property
Trust,
Inc.
1,385,000
6.500%, 
10/15/2030
h
1,404,081
980,000
6.125%, 
6/1/2031
h
977,680
Stonebriar
ABF
Issuer,
LLC
520,000
8.125%, 
12/15/2030
h
541,410
980,000
7.000%, 
8/15/2031
h
980,740
Stonex
Escrow
Issuer,
LLC
1,685,000
6.875%, 
7/15/2032
h
1,710,376
Synchrony
Financial
348,000
7.250%, 
2/2/2033
357,662
UBS
Group
AG
1,080,000
7.000%, 
2/10/2030
b,h,l
1,092,455
United
Wholesale
Mortgage,
LLC
1,318,000
5.500%, 
4/15/2029
h
1,230,923
UWM
Holdings,
LLC
1,068,000
6.625%, 
2/1/2030
h
990,726
Vornado
Realty,
LP
481,000
5.750%, 
2/1/2033
476,926
XHR,
LP
322,000
4.875%, 
6/1/2029
h,i
313,701
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Financials
12.5%
-
continued
$
577,000
6.625%, 
5/15/2030
h
$
589,309
Total
102,849,676
Technology
9.6%
Amentum
Holdings,
Inc.
1,234,000
7.250%, 
8/1/2032
h
1,267,803
APLD
ComputeCo
2,
LLC
970,000
6.750%, 
3/15/2031
h
948,183
APLD
ComputeCo
3,
LLC
1,950,000
7.000%, 
6/15/2031
h
1,901,786
APLD
ComputeCo,
LLC
1,810,000
9.250%, 
12/15/2030
h
1,923,588
AthenaHealth
Group,
Inc.
2,288,000
6.500%, 
2/15/2030
h
2,206,954
611,000
7.500%, 
2/15/2032
h
626,409
Block,
Inc.
860,000
5.625%, 
8/15/2030
h
855,600
2,414,000
6.500%, 
5/15/2032
2,438,874
870,000
6.000%, 
8/15/2033
h
862,769
CACI
International,
Inc.
405,000
6.375%, 
6/15/2033
h
408,134
Cipher
Compute,
LLC
995,000
7.125%, 
11/15/2030
h
1,014,911
Clarivate
Science
Holdings
Corporation
960,000
3.875%, 
7/1/2028
h
927,503
Cloud
Software
Group,
LLC
4,174,000
6.500%, 
3/31/2029
h
4,078,679
2,457,000
9.000%, 
9/30/2029
h
2,407,250
Coherent
Corporation
638,000
5.000%, 
12/15/2029
h
624,275
Core
Scientific
Finance
I,
LLC
2,080,000
7.750%, 
5/15/2031
h
2,036,789
CoreLogic,
Inc.
980,000
9.000%, 
8/1/2031
h
966,301
CoreWeave,
Inc.
1,130,000
9.250%, 
6/1/2030
h
1,056,049
650,000
9.000%, 
2/1/2031
h,i
586,751
1,460,000
9.750%, 
10/1/2031
h
1,324,750
650,000
9.625%, 
7/15/2032
h
581,770
Diebold
Nixdorf,
Inc.
870,000
7.750%, 
3/31/2030
h
903,163
Edged
Compute,
LLC
1,220,000
7.500%, 
4/30/2031
h
1,156,433
Everforth,
Inc.
980,000
4.625%, 
5/15/2028
h
935,468
Fair
Isaac
Corporation
870,000
6.000%, 
5/15/2033
h
842,036
970,000
6.250%, 
9/15/2034
h
937,070
Flash
Compute,
LLC
600,000
7.250%, 
12/31/2030
h
605,893
Galaxy
Helios
Data
Centers
II,
LLC
1,344,000
9.875%, 
8/1/2031
h
1,347,656
Gen
Digital,
Inc.
1,537,000
7.125%, 
9/30/2030
h
1,560,355
430,000
6.250%, 
4/1/2033
h
423,292
ION
Platform
Finance
US,
Inc.
1,360,000
7.875%, 
9/30/2032
h
1,077,138
ION
Platform
Finance
US,
Inc./ION
Platform
Finance
SARL
649,000
8.750%, 
5/1/2029
h
604,650
650,000
9.000%, 
8/1/2029
h
605,877
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
62
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Technology
9.6%
-
continued
Iron
Mountain,
Inc.
$
2,455,000
5.250%, 
3/15/2028
h
$
2,446,127
610,000
5.000%, 
7/15/2028
h
604,093
770,000
5.250%, 
7/15/2030
h
752,453
2,080,000
4.500%, 
2/15/2031
h
1,968,603
1,530,000
6.250%, 
1/15/2035
h
1,510,743
Kioxia
Holdings
Corporation
1,470,000
6.250%, 
7/24/2030
h
1,503,273
760,000
6.625%, 
7/24/2033
h
785,435
McAfee
Corporation
1,422,000
7.375%, 
2/15/2030
h,i
1,205,678
Meridian
Arc
Holdco,
LLC
3,530,000
6.250%, 
4/30/2031
h
3,391,740
NCR
Atleos
Corporation
540,000
9.500%, 
4/1/2029
h
572,694
NCR
Voyix
Corporation
651,000
5.000%, 
10/1/2028
h
630,613
474,000
5.125%, 
4/15/2029
h
459,600
Neptune
Bidco
US,
Inc.
2,127,000
9.290%, 
4/15/2029
h
2,167,081
545,000
10.375%, 
5/15/2031
h
570,584
290,000
9.500%, 
2/15/2033
h
295,415
Open
Text
Corporation
1,828,000
3.875%, 
12/1/2029
h
1,681,296
Open
Text
Holdings,
Inc.
2,047,000
4.125%, 
2/15/2030
h
1,888,441
PR
RNO
Property
Owner
1,
LLC
2,310,000
6.500%, 
5/1/2031
h
2,175,140
RingCentral,
Inc.
1,759,000
8.500%, 
8/15/2030
h
1,835,024
Rocket
Software,
Inc.
1,035,000
9.000%, 
11/28/2028
h
1,024,429
Sabre
GLBL,
Inc.
430,000
11.125%, 
7/15/2030
h
413,875
Seagate
Data
Storage
Technology,
Private
Ltd.
1,318,000
4.091%, 
6/1/2029
1,279,317
Shift4
Payments,
LLC/Shift4
Payments
Finance
Sub,
Inc.
1,475,000
6.750%, 
8/15/2032
h
1,477,089
SS&C
Technologies,
Inc.
1,317,000
6.500%, 
6/1/2032
h
1,326,744
Stingray
Compute,
LLC
1,100,000
6.000%, 
6/15/2031
h
1,073,134
SV
RNO
Property
Owner
1,
LLC
2,420,000
5.875%, 
3/1/2031
h
2,247,202
UKG,
Inc.
1,513,000
6.875%, 
2/1/2031
h
1,482,381
Viavi
Solutions,
Inc.
740,000
3.750%, 
10/1/2029
h
698,163
WULF
Compute,
LLC
1,255,000
7.750%, 
10/15/2030
h
1,303,904
Yondr
JK
1,
LLC
540,000
6.875%, 
6/30/2031
h
514,303
Total
79,328,733
Transportation
2.0%
Allegiant
Travel
Company
1,460,000
7.125%, 
7/1/2031
h
1,479,386
Avianca
Midco
2
plc
490,000
9.625%, 
2/14/2030
h
473,301
960,000
9.500%, 
1/28/2031
h
896,633
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Transportation
2.0%
-
continued
Avis
Budget
Car
Rental,
LLC/Avis
Budget
Finance,
Inc.
$
1,134,000
5.375%, 
3/1/2029
h
$
1,104,008
611,000
8.000%, 
2/15/2031
h,i
610,071
Carrix,
Inc.
2,440,000
6.125%, 
8/1/2033
h
2,428,730
DCLI
Bidco,
LLC
592,000
7.750%, 
11/15/2029
h
608,135
OneSky
Flight,
LLC
1,681,000
8.875%, 
12/15/2029
h
1,767,282
Rand
Parent,
LLC
1,918,000
8.500%, 
2/15/2030
h
1,966,219
RXO,
Inc.
1,090,000
6.375%, 
5/15/2031
h
1,087,670
Star
Leasing
Company,
LLC
970,000
7.625%, 
2/15/2030
h
944,239
Stena
International
SA
891,000
7.250%, 
1/15/2031
h
906,884
VistaJet
Malta
Finance
plc/Vista
Management
Holding,
Inc.
1,570,000
6.375%, 
2/1/2030
h,i
1,481,443
970,000
8.750%, 
1/15/2032
h,i
953,288
Total
16,707,289
Utilities
3.4%
AES
Corporation
459,000
7.600%, 
1/15/2055
b
466,646
Algonquin
Power
&
Utilities
Corporation
2,120,000
4.750%, 
1/18/2082
b
2,100,298
Alpha
Generation,
LLC
562,000
6.750%, 
10/15/2032
h
566,899
Dominion
Energy,
Inc.
459,000
7.000%, 
6/1/2054
b
478,895
Duke
Energy
Corporation
450,000
6.450%, 
9/1/2054
b
460,875
Edison
International
539,000
5.000%, 
12/15/2026
b,l
531,425
Hawaiian
Electric
Company,
Inc.
430,000
6.000%, 
10/1/2033
h,i
421,830
Leeward
Renewable
Energy
Operations,
LLC
935,000
4.250%, 
7/1/2029
h
887,359
Long
Ridge
Energy,
LLC
1,950,000
8.750%, 
2/15/2032
h
2,018,697
NRG
Energy,
Inc.
1,060,000
5.250%, 
6/15/2029
h
1,049,946
526,000
6.000%, 
2/1/2033
h
524,419
2,170,000
5.750%, 
1/15/2034
h
2,113,370
2,190,000
5.875%, 
5/15/2034
h
2,149,923
526,000
6.250%, 
11/1/2034
h
524,614
1,210,000
6.125%, 
5/15/2036
h
1,194,398
PG&E
Corporation
491,000
7.375%, 
3/15/2055
b
498,571
Talen
Energy
Supply,
LLC
440,000
6.250%, 
2/1/2034
h
431,557
220,000
6.500%, 
2/1/2036
h
217,256
TerraForm
Power
Operating,
LLC
4,010,000
5.000%, 
1/31/2028
h
3,967,423
TransAlta
Corporation
1,310,000
5.875%, 
2/1/2034
1,277,043
Vistra
Corporation
3,985,000
7.000%, 
12/15/2026
b,h,l
4,006,296
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
63
Principal
Amount
Long-Term
Fixed
Income  90.5%
Value
Utilities
3.4%
-
continued
Vistra
Operations
Company,
LLC
$
1,172,000
5.000%, 
7/31/2027
h
$
1,171,608
VoltaGrid,
LLC
540,000
7.375%, 
11/1/2030
h
542,684
Total
27,602,032
Total
Long-Term
Fixed
Income
(cost
$753,900,839)
746,068,744
Shares
Collateral
Held
for
Securities
Loaned
6.9%
Value
56,794,398
Thrivent
Cash
Management
Trust
56,794,398
Total
Collateral
Held
for
Securities
Loaned
(cost
$56,794,398)
56,794,398
Shares
Registered
Investment
Companies  
3.0%
Value
U.S.
Unaffiliated  
3.0%  
670,000
iShares
Broad
USD
High
Yield
Corporate
Bond
ETF
24,642,600
Total
24,642,600
Total
Registered
Investment
Companies
(cost
$24,873,647)
24,642,600
Shares
Preferred
Stock
0.1%
Value
Capital
Goods
0.1%
17,296
Boeing
Company,
Convertible,
6.000%
1,155,546
Total
1,155,546
Total
Preferred
Stock
(cost
$952,441)
1,155,546
Shares
Common
Stock
<
0.1%
Value
Communications
Services
<0.1%
15,384
Altice
Luxco
3
e,m
294,272
Total
294,272
Consumer
Non-Cyclical
<0.1%
19,543
Modivcare
Buyer,
LLC
e,m
96,503
Total
96,503
Total
Common
Stock
(cost
$377,144)
390,775
Shares
or
Principal
Amount
Short-Term
Investments
2.5%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
20,349,198
3.619%
n
20,349,199
Total
Short-Term
Investments
(cost
$20,349,198)
20,349,199
Total
Investments
(cost
$879,511,194)
105.7%
$871,494,083
Other
Assets
and
Liabilities,
Net
(5.7%)
(46,965,138)
Total
Net
Assets
100.0%
$824,528,945
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
All
or
a
portion
of
the
loan
is
unfunded.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
Defaulted
security.  Interest
is
not
being
accrued.
g
In
bankruptcy.  Income
is
not
being
accrued
per
the
bankruptcy
agreement
terms.
h
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$668,141,070
or
81.0%
of
total
net
assets.
i
All
or
a
portion
of
the
security
is
on
loan.
j
Denotes
payment-in-kind
security.  The
security
may
pay
an
interest
or
dividend
payment
with
additional
fixed
income
or
equity
securities
in
lieu
of,
or
in
addition
to
a
cash
payment.  The
cash
rate
and/or
payment-in-kind
rate
shown
are
as
of
July
31,
2026.
k
In
bankruptcy.  Income
is
being
accrued
per
the
bankruptcy
agreement
terms.  
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
Non-income
producing
security.
n
The
interest
rate
shown
reflects
the
yield.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
High
Yield
Fund
as
of
July
31,
2026
was
$17,253
or
0.00%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
Abengoa
Abenewco
2
Bis
SA,
4/26/2024
4/26/2019
$
490,667
ACN
113
874
712,
Pty.
Ltd.,
2/15/2018
2/9/2011
2,712,434
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
64
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
High
Yield
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
54,465,959
Total
lending
$54,465,959
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$56,794,398
Net
amounts
due
to
counterparty
$2,328,439
Definitions:
DAC
-
Designated
Activity
Company
ETF
-
Exchange-Traded
Fund
PIK
-
Payment-In-Kind
plc
-
Public
Limited
Company
Reference
Rate
Index:
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
65
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
High
Yield
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
2,438,177
–
2,438,177
–
Capital
Goods
3,307,966
–
3,307,966
–
Communications
Services
5,539,959
–
5,539,959
–
Consumer
Cyclical
2,584,569
–
2,584,569
–
Consumer
Non-Cyclical
2,556,973
–
2,556,973
–
Financials
2,281,177
–
1,791,789
489,388
Technology
578,818
–
578,818
–
Transportation
2,805,182
–
2,805,182
–
Long-Term
Fixed
Income
Basic
Materials
40,791,994
–
40,791,991
3
Capital
Goods
82,192,794
–
82,192,794
–
Communications
Services
88,883,182
–
88,883,182
–
Consumer
Cyclical
130,026,222
–
130,026,222
–
Consumer
Non-Cyclical
88,492,015
–
88,492,015
–
Energy
89,194,807
–
89,194,807
–
Financials
102,849,676
–
102,849,676
–
Technology
79,328,733
–
79,328,733
–
Transportation
16,707,289
–
16,707,289
–
Utilities
27,602,032
–
27,602,032
–
Registered
Investment
Companies
U.S.
Unaffiliated
24,642,600
24,642,600
–
–
Preferred
Stock
Capital
Goods
1,155,546
1,155,546
–
–
Common
Stock
Communications
Services
294,272
–
–
294,272
Consumer
Non-Cyclical
96,503
–
–
96,503
Short-Term
Investments
20,349,199
20,349,199
–
–
Subtotal
Investments
in
Securities
$814,699,685
$46,147,345
$767,672,174
$880,166
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
56,794,398
Subtotal
Other
Investments
$56,794,398
Total
Investments
at
Value
$871,494,083
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
High
Yield
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
66
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
High
Yield
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$42,217
$207,884
$193,307
$56,794
56,794
6.9%
Total
Collateral
Held
for
Securities
Loaned
42,217
56,794
6.9
Total
Value
$42,217
$56,794
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$–
$222
Total
Affiliated
Income
from
Securities
Loaned,
Net
$222
Total
$–
$–
$–
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
67
Principal
Amount
Long-Term
Fixed
Income
99.9%
Value
Alabama
3.9%
Birmingham,
AL
Special
Care
Fac.
Financing
Auth.
Health
Care
Fac.
Rev.
Refg.
(Children's
Hospital)
$
100,000
5.250%,
6/1/2050,
Ser.
A
$
103,966
Black
Belt
Energy
Gas
District,
AL
Gas
Proj.
Rev.
250,000
5.000%,
10/1/2033,
Ser.
I
261,610
500,000
5.250%,
6/1/2036,
Ser.
C
525,581
Black
Belt
Energy
Gas
District,
AL
Gas
Proj.
Rev.
Refg.
250,000
5.500%,
6/1/2049,
Ser.
D-1
a
260,601
Jacksonville,
AL
Public
Educational
Building
Auth.
Rev.
(JSU
Foundation)
(AG
Insured)
200,000
5.500%,
8/1/2058,
Ser.
A
b
204,322
Jefferson
County,
AL
Sewer
Rev.
Refg.
Warrants
250,000
5.500%,
10/1/2053
259,702
Mobile
County,
AL
Industrial
Development
Auth.
Solid
Waste
Disposal
Rev.
(AM/NS
Calvert,
LLC)
200,000
5.000%,
6/1/2054,
Ser.
A,
AMT
192,726
Pell
City
Square
Cooperative
District,
AL
Rev.
225,000
7.000%,
4/1/2044,
Ser.
A
222,387
Point
Clear
Club
Improvement
District,
AL
SAB
Rev.
250,000
5.500%,
6/1/2046,
Ser.
A
245,099
Total
2,275,994
Alaska
0.4%
Anchorage,
AK
Port
Rev.
Refg.
200,000
5.500%,
2/1/2056,
Ser.
A,
AMT
208,416
Total
208,416
Arizona
5.6%
Arizona
Industrial
Development
Auth.
Education
Rev.
(Academies
of
Math
&
Science)
250,000
5.375%,
7/1/2053
c
235,346
Arizona
Industrial
Development
Auth.
Education
Rev.
(Doral
Academy
of
Nevada
-
Pebble
Campus)
200,000
5.000%,
7/15/2050,
Ser.
A
c
177,125
Arizona
Industrial
Development
Auth.
Education
Rev.
(KIPP
Nashville)
350,000
5.000%,
7/1/2047,
Ser.
A
345,532
Arizona
Industrial
Development
Auth.
Education
Rev.
Refg.
(Doral
Academy
of
Northern
Nevada)
350,000
4.000%,
7/15/2051,
Ser.
A
c
266,904
Maricopa
County,
AZ
Industrial
Development
Auth.
Education
Fac.
Rev.
(Arizona
Christian
University)
250,000
6.375%,
10/1/2041,
Ser.
A
a,c
244,587
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Arizona
5.6%
-
continued
Maricopa
County,
AZ
Industrial
Development
Auth.
Education
Fac.
Rev.
(Valley
Christian
Schools)
$
250,000
6.375%,
7/1/2058,
Ser.
A
c
$
244,015
Phoenix,
AZ
Industrial
Development
Auth.
Healthcare
Fac.
Rev.
(Mayo
Clinic)
1,300,000
2.800%,
11/15/2052,
Ser.
A
a
1,300,000
Phoenix,
AZ
Industrial
Development
Auth.
Rental
Housing
Rev.
Refg.
(Christian
Care
Surprise,
Inc.)
250,000
5.250%,
12/1/2055
237,935
Salt
River
Project
Agricultural
Improvement
&
Power
District,
AZ
Electric
System
Rev.
250,000
5.250%,
1/1/2055,
Ser.
C
262,622
Total
3,314,066
Arkansas
0.4%
Arkansas
Development
Finance
Auth.
Environmental
Rev.
(United
States
Steel
Corporation)
250,000
5.700%,
5/1/2053,
AMT
256,551
Total
256,551
California
5.2%
California
Community
Choice
Financing
Auth.
Rev.
(Clean
Energy)
200,000
5.250%,
10/1/2031,
Ser.
C
a
209,629
California
Municipal
Finance
Auth.
Rev.
(Clay
Lacy
Aviation
Fac.
-
John
Wayne
Airport,
Orange
County)
250,000
6.000%,
1/1/2055,
AMT
c
261,089
California
Municipal
Finance
Auth.
School
Fac.
Rev.
(St.
Mary's
School
-
Aliso
Viejo)
250,000
5.875%,
5/1/2059,
Ser.
A
c
251,211
California
Municipal
Finance
Auth.
Special
Tax
Rev.
250,000
6.250%,
9/1/2052,
Ser.
C
263,676
California
State
University
Rev.
Refg.
500,000
5.250%,
11/1/2050,
Ser.
A
537,173
California
Statewide
Communities
Development
Auth.
Community
Fac.
District
No.
2021-03
Special
Tax
Rev.
(Laurel
Ranch)
145,000
5.000%,
9/1/2054
142,155
Dixon,
CA
Special
Tax
Rev.
250,000
5.000%,
9/1/2048
245,995
Mountain
House,
CA
Community
Fac.
District
Special
Tax
(Improvement
Area
No.
1)
110,000
4.250%,
9/1/2035
108,217
River
Islands,
CA
Public
Financing
Auth.
Community
Fac.
District
Special
Tax
150,000
5.625%,
9/1/2053
151,774
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
68
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
California
5.2%
-
continued
Sacramento
County,
CA
Airport
System
Rev.
$
400,000
5.250%,
7/1/2050,
Ser.
A,
AMT
$
414,041
San
Diego
County,
CA
Regional
Airport
Auth.
Rev.
250,000
5.250%,
7/1/2058,
Ser.
B,
AMT
255,101
Tejon
Ranch,
CA
Public
Fac.
Financing
Auth.
Community
Fac.
District
No.
2008-1
Special
Tax
Rev.
Refg.
(Tejon
Industrial
Complex
-
East)
200,000
5.000%,
9/1/2054,
Ser.
A
196,076
Total
3,036,137
Colorado
4.6%
Aerotropolis,
CO
Regional
Transportation
Auth.
Special
Rev.
500,000
5.750%,
12/1/2054
c
502,172
CCP
Metropolitan
District
No.
3,
CO
LTGO
Refg.
250,000
5.000%,
12/1/2053
242,943
Centerra
Metropolitan
District
No.
1,
Larimer
County,
CO
Special
Rev.
250,000
6.500%,
12/1/2053
260,131
Colorado
Educational
and
Cultural
Fac.
Auth.
Rev.
(Aspen
View
Academy)
350,000
4.000%,
5/1/2051
280,478
Colorado
Educational
and
Cultural
Fac.
Auth.
Rev.
(Mountain
Phoenix
Community
School)
200,000
6.250%,
7/1/2053
c
178,657
Colorado
Educational
and
Cultural
Fac.
Auth.
Rev.
Refg.
(Global
Village
Academy
-
Northglenn)
150,000
5.000%,
12/1/2050
c
134,261
Colorado
Health
Fac.
Auth.
Rev.
Refg.
(CommonSpirit
Health)
350,000
4.000%,
8/1/2049,
Ser.
A-2
301,441
Colorado
High
Performance
Transportation
Enterprise
Rev.
225,000
5.000%,
12/31/2056
216,932
Denver,
CO
Health
and
Hospital
Auth.
Healthcare
Rev.
230,000
5.000%,
12/1/2039,
Ser.
A
230,379
Fraser,
CO
Housing
Auth.
Housing
Fac.
Rev.
(St.
Louis
Landing)
150,000
6.125%,
12/1/2065
c
152,130
Hess
Ranch
Metropolitan
District
No.
5,
CO
SAB
177,662
6.000%,
12/1/2043,
Ser.
A-1
183,509
Total
2,683,033
Connecticut
1.2%
Connecticut
Health
&
Educational
Fac.
Auth.
Rev.
(Fairview
Issue)
250,000
6.375%,
12/15/2061,
Ser.
A
251,873
Connecticut
Health
&
Educational
Fac.
Auth.
Rev.
(McLean
Issue)
250,000
5.000%,
1/1/2045,
Ser.
A
c
228,045
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Connecticut
1.2%
-
continued
Stamford,
CT
Housing
Auth.
Rev.
Refg.
(Mozaic
Concierge
Living)
$
225,000
6.500%,
10/1/2055,
Ser.
A
$
232,391
Total
712,309
Delaware
1.7%
Bridgeville,
DE
Special
Obligation
(Heritage
Shores
Special
Development
District)
200,000
5.625%,
7/1/2053
c
202,107
Delaware
Economic
Development
Auth.
Charter
School
Rev.
(ASPIRA
of
Delaware
Charter
Operations,
Inc.)
250,000
5.750%,
2/1/2056,
Ser.
A
239,791
Delaware
Economic
Development
Auth.
Charter
School
Rev.
(Newark
Charter
School,
Inc.)
400,000
4.000%,
9/1/2051
323,796
Kent
County,
DE
Student
Housing
and
Dining
Fac.
Rev.
(CHF-
Dover,
LLC
-
Delaware
State
University)
230,000
5.000%,
7/1/2040,
Ser.
A
229,313
Total
995,007
District
Of
Columbia
0.4%
Metropolitan
Washington
DC
Airports
Auth.
Airport
System
Rev.
Refg.
250,000
5.250%,
10/1/2048,
Ser.
A,
AMT
256,146
Total
256,146
Florida
9.6%
Alachua
County,
FL
Health
Fac.
Auth.
Rev.
Refg.
(Oak
Hammock
at
the
University
of
Florida,
Inc.)
250,000
4.000%,
10/1/2046
216,633
Braddock
Lakes
Community
Development
District,
FL
Capital
Improvement
Rev.
150,000
5.750%,
5/1/2055
145,036
Cape
Coral,
FL
Utility
Improvement
Assessment
Refg.
(North
1
West
Area)
(BAM
Insured)
245,000
5.650%,
3/1/2054
b
256,651
Capital
Projects
Finance
Auth.,
FL
Student
Housing
Rev.
(Provident
Group
-
Continuum
Properties)
150,000
5.000%,
11/1/2053,
Ser.
A-1
134,809
Capital
Trust
Auth.,
FL
Rev.
(Marie
Selby
Botanical
Gardens,
Inc.)
250,000
4.500%,
6/15/2033
c
249,015
Charlotte
County,
FL
Industrial
Development
Auth.
Utility
System
Rev.
(Town
&
Country
Utilities)
250,000
4.000%,
10/1/2051,
AMT
c
199,445
250,000
6.125%,
10/1/2055,
AMT
255,649
Florida
Development
Finance
Corporation
Educational
Fac.
Lease
Rev.
Refg.
(Seaside
Community
Charter
School)
225,000
5.750%,
6/15/2047,
Ser.
A
c
227,663
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
69
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Florida
9.6%
-
continued
Florida
Development
Finance
Corporation
Educational
Fac.
Rev.
(River
City
Science
Academy)
$
150,000
5.000%,
7/1/2051,
Ser.
A-1
$
137,707
250,000
4.000%,
7/1/2055,
Ser.
A
188,348
Florida
Development
Finance
Corporation
Healthcare
Fac.
Rev.
(Tampa
General
Hospital)
250,000
4.500%,
8/1/2055,
Ser.
A
227,916
Florida
Development
Finance
Corporation
Senior
Living
Rev.
Refg.
(Glenridge
Palmer
Ranch)
250,000
5.000%,
6/1/2051
c
231,936
Florida
Development
Finance
Corporation
Student
Housing
Rev.
(Sinking
Fund
Protection
-
Tampa
I,
LLC
-
The
Henry)
250,000
5.250%,
6/1/2059,
Ser.
A-1
c
237,107
Florida
Higher
Educational
Fac.
Financing
Auth.
Rev.
(Ringling
College)
300,000
5.000%,
3/1/2049
272,115
Greater
Orlando,
FL
Aviation
Auth.
Airport
Fac.
Rev.
400,000
5.250%,
10/1/2051,
AMT
407,988
Greater
Orlando,
FL
Aviation
Auth.
Special
Purpose
Airport
Fac.
Rev.
(United
Airlines,
Inc.)
250,000
5.500%,
11/1/2036,
AMT
267,815
Lee
County,
FL
Airport
Rev.
250,000
5.250%,
10/1/2054,
AMT
253,905
Lee
County,
FL
Industrial
Development
Auth.
Health
Care
Fac.
Rev.
(Cypress
Cove
at
Healthpark,
FL,
Inc.)
300,000
5.250%,
10/1/2052,
Ser.
A
281,431
Okaloosa
County,
FL
Industrial
Development
Rev.
(Air
Force
Enlisted
Village,
Inc.)
250,000
5.750%,
5/15/2060
c
251,958
Orange
County,
FL
Health
Fac.
Auth.
Hospital
Rev.
(Orlando
Health
Obligated
Group)
250,000
5.250%,
10/1/2056,
Ser.
A
255,592
Orange
County,
FL
Health
Fac.
Auth.
Rev.
Refg.
(Presbyterian
Retirement
Communities
Obligated
Group)
250,000
5.000%,
8/1/2054
243,745
Osceola
County,
FL
Transportation
Rev.
Refg.
300,000
Zero
Coupon,
10/1/2043,
Ser.
A-2
125,056
Seminole
County,
FL
Industrial
Development
Auth.
Educational
Fac.
Rev.
(Galileo
Schools
for
Gifted
Learning)
290,000
4.000%,
6/15/2056,
Ser.
A
c
213,259
Village
Community
Development
District
No.
15,
Wildwood,
FL
SAB
195,000
5.250%,
5/1/2054
c
193,282
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Florida
9.6%
-
continued
$
200,000
4.800%,
5/1/2055
c
$
185,533
Total
5,659,594
Georgia
1.7%
Cobb
County,
GA
Development
Auth.
Educational  Fac.
Rev.
(Mt.
Bethel
Christian
Academy)
250,000
6.250%,
6/1/2064
c
254,233
Fulton
County,
GA
Development
Auth.
Rev.
(Spelman
College)
300,000
5.250%,
6/1/2056
306,629
George
L.
Smith
II
GA
World
Congress
Center
Auth.
Rev.
(Convention
Center
Hotel)
250,000
4.000%,
1/1/2054,
Ser.
A
206,294
Main
Street
Natural
Gas,
Inc.,
GA
Gas
Supply
Rev.
250,000
5.000%,
5/15/2028,
Ser.
A
256,825
Total
1,023,981
Guam
0.5%
Guam
Power
Auth.
Rev.
Refg.
300,000
5.000%,
10/1/2034,
Ser.
A
315,455
Total
315,455
Idaho
0.6%
Avimor
Community
Infrastructure
District
No.
1,
ID
SAB
(Assessment
Area
Five)
152,000
5.875%,
9/1/2053
c
154,258
College
of
Western
Idaho
Annual
Appropriation
COP
200,000
5.000%,
8/1/2052
201,057
Total
355,315
Illinois
1.4%
Illinois
Finance
Auth.
Rev.
(Plymouth
Place,
Inc.)
200,000
6.500%,
5/15/2047,
Ser.
A
211,675
Illinois
Finance
Auth.
Rev.
Refg.
(DePaul
College
Prep
Foundation)
250,000
5.625%,
8/1/2053,
Ser.
A
c
254,135
Illinois
Finance
Auth.
Rev.
Refg.
(Goodman
Theatre)
120,000
6.125%,
10/1/2050,
Ser.
A
c
120,954
Illinois
Finance
Auth.
Student
Housing
and
Academic
Fac.
Rev.
(University
of
Illinois
at
Chicago)
150,000
5.000%,
2/15/2037,
Ser.
A
149,209
Metropolitan
Pier
and
Exposition
Auth.,
IL
Rev.
(McCormick
Place
Expansion)
(NATL-RE
Insured)
115,000
Zero
Coupon,
6/15/2035,
Ser.
A
b
80,761
Total
816,734
Indiana
1.6%
Indiana
Finance
Auth.
Health
Fac.
Rev.
(Margaret
Mary
Health)
150,000
5.750%,
3/1/2054,
Ser.
A
152,644
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
70
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Indiana
1.6%
-
continued
Indiana
Finance
Auth.
Student
Housing
Rev.
(Tippecanoe,
LLC
Student
Housing)
$
250,000
5.375%,
6/1/2064,
Ser.
A
$
243,677
Indiana
Housing
&
Community
Development
Auth.
Rev.
(Vita
of
New
Whiteland)
150,000
6.750%,
1/1/2043
134,621
Indianapolis,
IN
Local
Public
Improvement
Bank
Convention
Center
Hotel
Rev.
250,000
6.125%,
3/1/2057,
Ser.
E
258,303
Valparaiso,
IN
Exempt
Fac.
Rev.
Refg.
(Pratt
Paper,
LLC)
150,000
5.000%,
1/1/2054,
AMT
c
146,331
Total
935,576
Iowa
1.8%
Cedar
Rapids,
IA
Community
School
District
Infrastructure
Sales,
Services
and
Use
Tax
Rev.
(BAM
Insured)
100,000
5.000%,
7/1/2046
b
104,641
Iowa
Finance
Auth.
Rev.
(Lifespace
Communities,
Inc.)
160,000
5.000%,
5/15/2032,
Ser.
A
160,060
150,000
5.000%,
5/15/2043,
Ser.
A
149,773
Iowa
Finance
Auth.
Senior
Living
Fac.
Rev.
Refg.
(Presbyterian
Homes
Mill
Pond)
150,000
5.875%,
10/1/2065
152,127
Iowa
Higher
Education
Loan
Auth.
Fac.
Rev.
(Des
Moines
University)
350,000
5.375%,
10/1/2052
351,256
PEFA,
Inc.,
IA
Gas
Proj.
Rev.
Refg.
150,000
5.000%,
4/1/2035,
Ser.
A
157,265
Total
1,075,122
Kansas
1.5%
Garden
City,
KS
Sales
Tax
Special
Obligation
Rev.
(Sports
of
the
World
-
Phase
II)
150,000
5.375%,
6/1/2039
c
149,181
Overland
Park,
KS
Sales
Tax
Special
Obligation
Rev.
(Bluhawk
Sports
Park)
150,000
6.500%,
11/15/2042,
Ser.
A
c
156,960
Wichita,
KS
Health
Care
Fac.
Rev.
Refg.
(Presbyterian
Manors,
Inc.)
130,000
5.875%,
5/15/2050
126,666
Wichita,
KS
Sales
Tax
Special
Obligation
Rev.
(K-96
Greenwich
Star
-
Phase
III)
200,000
4.125%,
9/1/2033
c
197,936
Wyandotte
County/Kansas
City,
KS
Unified
Government
Special
Obligation
Rev.
(Northwest
Speedway
Star
Bond
District)
250,000
5.500%,
3/1/2046
c
248,135
Total
878,878
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Kentucky
0.4%
Public
Energy
Auth.
of
Kentucky
Gas
Supply
Rev.
Refg.
$
250,000
5.000%,
5/1/2036,
Ser.
C
$
258,856
Total
258,856
Louisiana
0.3%
Louisiana
Public
Fac.
Auth.
Rev.
Refg.
(Lake
Charles
Charter
Academy
Foundation)
150,000
5.000%,
12/15/2043,
Ser.
A
c
144,741
Total
144,741
Maryland
1.5%
Maryland
Department
of
Transportation
Rev.
(Baltimore/
Washington
International
Thurgood
Marshall
Airport)
(AG
Insured)
250,000
5.250%,
8/1/2049,
Ser.
A,
AMT
b
257,509
Maryland
Economic
Development
Corporation
Student
Housing
Rev.
(Morgan
State
University)
200,000
6.000%,
7/1/2058,
Ser.
A
209,650
Maryland
Economic
Development
Corporation
Student
Housing
Rev.
(University
of
Maryland,
College
Park
-
Leonardtown)
(AG
Insured)
250,000
5.250%,
7/1/2064
b
253,986
Prince
George's
County,
MD
Tax
Allocation
(Westphalia
Town
Center)
185,000
5.000%,
7/1/2030
c
186,051
Total
907,196
Massachusetts
0.3%
Massachusetts
Development
Finance
Agency
Rev.
(Merrimack
College)
200,000
5.000%,
7/1/2052
186,117
Total
186,117
Michigan
1.1%
Kalamazoo,
MI  Economic
Development
Corporation
Rev.
(Friendship
Village
of
Kalamazoo)
100,000
3.900%,
8/15/2031,
Ser.
B-3
c
98,276
100,000
4.250%,
8/15/2031,
Ser.
B-2
c
98,292
Michigan
Strategic
Fund
Limited
Obligation
Rev.
(I-75
Improvement)
100,000
5.000%,
12/31/2033,
AMT
101,943
225,000
5.000%,
12/31/2043,
AMT
226,221
Michigan
Strategic
Fund
Limited
Obligation
Tax
Capture
Rev.
(Bedrock
Detroit
-
Transformational
Brownfield
Plan)
100,000
5.500%,
10/1/2053
c
100,435
Total
625,167
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
71
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Minnesota
3.9%
Apple
Valley,
MN
Senior
Housing
Rev.
(PHS
Apple
Valley
Senior
Housing,
Inc.
-
Orchard
Path
Phase
II)
$
290,000
4.000%,
9/1/2041
$
264,973
Bethel,
MN
Charter
School
Lease
Rev.
(Spectrum
High
School)
250,000
5.000%,
7/1/2059
227,386
Bethel,
MN
Housing
and
Health
Care
Fac.
Rev.
Refg.
150,000
6.250%,
3/1/2054,
Ser.
A
146,033
Brainerd,
MN
Senior
Housing
&
Healthcare
Rev.
(Pinecrest
of
Country
Manor)
200,000
6.000%,
5/1/2055,
Ser.
A
203,960
Cuyuna
Range
Hospital
District,
MN
Health
Care
Fac.
Rev.
150,000
5.750%,
5/1/2053
151,003
Deephaven,
MN
Charter
School
Lease
Rev.
(Eagle
Ridge
Academy)
235,000
5.000%,
7/1/2043,
Ser.
A
233,127
Duluth,
MN
Economic
Development
Auth.
Health
Care
Fac.
Rev.
(St.
Luke's
Hospital
of
Duluth
Obligated
Group)
250,000
5.250%,
6/15/2047,
Ser.
B
258,242
Minnesota
Municipal
Gas
Agency
Gas
Proj.
Rev.
200,000
5.000%,
9/1/2035,
Ser.
A
204,716
Rochester,
MN
Health
Care
Fac.
Rev.
(Mayo
Clinic)
250,000
4.375%,
11/15/2053,
Ser.
A
236,015
Shakopee,
MN
Senior
Housing
Rev.
Refg.
(Benedictine
Senior
Living
Obligated
Group
-
Windermere
Way)
150,000
5.625%,
11/1/2045
154,107
St.
Joseph,
MN
Senior
Housing
&
Healthcare
Rev.
(Woodcrest
of
Country
Manor)
225,000
5.000%,
7/1/2055,
Ser.
A
204,255
Total
2,283,817
Mississippi
0.4%
Hinds
County,
MS
COP
(Lease
Purchase)
(BAM
Insured)
250,000
4.625%,
9/1/2054,
Ser.
A
b,c
230,187
Total
230,187
Missouri
1.2%
Lee's
Summit,
MO
Industrial
Development
Auth.
Senior
Living
Fac.
Rev.
Refg.
(John
Knox
Village)
75,000
5.750%,
8/15/2059,
Ser.
A
76,230
140,000
5.000%,
8/15/2042,
Ser.
A
140,050
Missouri
Development
Finance
Board
Tax
Increment
and
Special
District
Rev.
(Lakeport
Village)
150,000
6.000%,
6/15/2040,
Ser.
A
c
150,855
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Missouri
1.2%
-
continued
Missouri
Health
&
Educational
Fac.
Auth.
Health
Fac.
Rev.
(Children's
Mercy
Hospital)
$
100,000
5.000%,
5/15/2047,
Ser.
A
$
103,486
Taney
County,
MO
Industrial
Development
Auth.
Sales
Tax
Rev.
(Big
Cedar
Infrastructure)
250,000
6.000%,
10/1/2049
c
249,126
Total
719,747
Montana
0.3%
Montana
Fac.
Finance
Auth.
Health
Care
Fac.
Rev.
(Montana
Children's
Home
and
Hospital)
250,000
4.000%,
7/1/2050,
Ser.
A
173,300
Total
173,300
Nebraska
0.7%
Omaha,
NE
Various
Purpose
UTGO
400,000
5.000%,
4/15/2045,
Ser.
B
422,779
Total
422,779
Nevada
1.3%
Las
Vegas,
NV
Special
Improvement
District
No.
817
SAB
(Summerlin
Village
29)
250,000
6.000%,
6/1/2053
260,650
Nevada
Department
of
Business
&
Industry
Rev.
Refg.
(Brightline
West
Passenger
Rail)
110,000
12.000%,
11/2/2026,
AMT
a,c
70,400
Reno-Tahoe,
NV
Airport
Auth.
Rev.
(Reno-Tahoe
International
Airport)
250,000
5.250%,
7/1/2054,
Ser.
A,
AMT
252,999
Sparks,
NV
Special
Improvement
District
No.
1
SAB
(5
Ridges)
150,000
5.125%,
6/1/2054
147,265
Total
731,314
New
Hampshire
1.3%
National
Finance
Auth.,
NH
Affordable
Housing
Certificates
Rev.
248,365
4.150%,
10/20/2040,
Ser.
A
a
241,948
National
Finance
Auth.,
NH
Rev.
(Presbyterian
Senior
Living)
250,000
5.250%,
7/1/2048,
Ser.
A
252,596
National
Finance
Auth.,
NH
Special
Rev.
CAB
(Provence)
150,000
Zero
Coupon,
12/1/2031
c
105,179
New
Hampshire
Health
and
Education
Fac.
Auth.
Rev.
Refg.
(Dartmouth
College)
145,000
2.900%,
6/1/2041,
Ser.
B
a
145,000
Total
744,723
New
Jersey
0.7%
Camden
County,
NJ
Improvement
Auth.
School
Rev.
(Kipp:
Cooper
Norcross
Academy
-
2022)
160,000
6.000%,
6/15/2052
163,830
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
72
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
New
Jersey
0.7%
-
continued
New
Jersey
Economic
Development
Auth.
Dock
and
Wharf
Fac.
Rev.
(Repauno
Port
and
Rail
Terminal)
$
250,000
6.375%,
1/1/2035,
AMT
c
$
263,133
Total
426,963
New
York
7.0%
Build
NYC
Resource
Corporation,
NY
Rev.
(East
Harlem
Scholars
Academy
Charter
School)
200,000
5.750%,
6/1/2042
c
201,017
Build
NYC
Resource
Corporation,
NY
Rev.
(Global
Community
Charter
School)
410,000
5.000%,
6/15/2042,
Ser.
A
372,656
Build
NYC
Resource
Corporation,
NY
Rev.
(New
World
Preparatory
Charter
School)
250,000
4.000%,
6/15/2051,
Ser.
A
c
194,397
Build
NYC
Resource
Corporation,
NY
Rev.
(Unity
Preparatory
Charter
School
of
Brooklyn)
250,000
5.500%,
6/15/2053,
Ser.
A
c
244,921
Clinton
County,
NY
Capital
Resource
Corporation
Lease
Rev.
(CVES
BOCES)
250,000
5.000%,
7/1/2046
c
254,819
Genesee
County,
NY
Funding
Corporation
Rev.
(Rochester
Regional
Health
Energy)
250,000
5.250%,
12/1/2050,
Ser.
A
254,420
New
York
City,
NY
Municipal
Water
Finance
Auth.
Water
and
Sewer
System
Rev.
Refg.
500,000
5.000%,
6/15/2046,
Ser.
DD
526,307
New
York
City,
NY
Transitional
Finance
Auth.
Rev.
300,000
5.500%,
5/1/2052,
Ser.
D
318,001
New
York
Dormitory
Auth.
Rev.
Refg.
(Yeshiva
University)
300,000
5.000%,
7/15/2042,
Ser.
A
301,553
New
York
Transportation
Development
Corporation
Exempt
Fac.
Rev.
(State
Thruway
Service
Areas)
250,000
4.000%,
4/30/2053,
AMT
215,289
New
York
Transportation
Development
Corporation
Special
Fac.
Rev.
(John
F.
Kennedy
International
Airport
New
Terminal
One)
250,000
5.500%,
6/30/2060,
AMT
251,773
New
York
Transportation
Development
Corporation
Special
Fac.
Rev.
(LaGuardia
Airport
Terminal
C&D
Redevelopment)
250,000
5.625%,
4/1/2040,
AMT
264,968
Oneida
Indian
Nation,
NY
Tax
Rev.
250,000
6.000%,
9/1/2043,
Ser.
B
c
267,116
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
New
York
7.0%
-
continued
Suffolk
County,
NY
Economic
Development
Corporation
Rev.
(St.
Johnland
Assisted
Living,
Inc.)
$
250,000
5.375%,
11/1/2054
c
$
200,926
Suffolk
Regional
Off-Track
Betting
Corporation,
NY
Rev.
250,000
6.000%,
12/1/2053
254,170
Total
4,122,333
North
Carolina
1.7%
Durham,
NC
Utility
System
Rev.
Refg.
250,000
5.000%,
8/1/2046
266,582
Greater
Asheville,
NC
Regional
Airport
Auth.
Rev.
(AG
Insured)
250,000
5.250%,
7/1/2053,
AMT
b
254,162
North
Carolina
Medical
Care
Commission
Retirement
Fac.
First
Mortgage
Rev.
(United
Methodist
Retirement
Homes)
250,000
5.125%,
10/1/2054,
Ser.
A
250,016
North
Carolina
Medical
Care
Commission
Retirement
Fac.
Rev.
(EveryAge)
200,000
5.000%,
9/1/2054,
Ser.
B
197,877
Total
968,637
North
Dakota
0.3%
Horace,
ND
Refg.
Improvement
UTGO
200,000
5.000%,
5/1/2048,
Ser.
A
195,247
Total
195,247
Ohio
2.9%
Buckeye
Tobacco
Settlement
Financing
Auth.,
OH
Rev.
Refg.
250,000
5.000%,
6/1/2055,
Ser.
B-2
189,038
Cleveland-Cuyahoga
County,
OH
Port
Auth.
Rev.
Refg.
(Flats
East
Bank)
225,000
4.000%,
12/1/2055,
Ser.
A
c
171,901
Columbus,
OH
Regional
Airport
Auth.
Rev.
Refg.
(John
Glenn
Columbus
International
Airport)
250,000
5.250%,
1/1/2045,
Ser.
A,
AMT
260,826
Columbus-Franklin
County,
OH
Finance
Auth.
Multifamily
Housing
Rev.
(Vivera
Brookshire)
100,000
6.300%,
1/1/2046,
Ser.
ER
c
99,816
Columbus-Franklin
County,
OH
Finance
Auth.
Multifamily
Housing
Rev.
(Vivera
Rosewood)
100,000
6.300%,
1/1/2046,
Ser.
A
c
99,816
Montgomery
County,
OH
Health
Care
Fac.
Rev.
Refg.
(Solvita)
200,000
5.250%,
9/1/2054
195,922
Norwood,
OH
Special
Obligation
Rev.
Refg.
(Rockwood
Exchange)
240,000
5.000%,
12/1/2041
245,593
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
73
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Ohio
2.9%
-
continued
Port
of
Greater
Cincinnati,
OH
Development
Auth.
Special
Obligation
Development
Rev.
Refg.
(Convention
Center
Hotel)
$
300,000
6.250%,
3/1/2051
c
$
309,555
Port
of
Greater
Cincinnati,
OH
Development
Auth.
TIF
Rev.
(RBM
Phase
3
Garage)
150,000
5.125%,
12/1/2055
148,807
Total
1,721,274
Oklahoma
0.8%
Osage
County,
OK
Industrial
Auth.
Use
Tax
Rev.
225,000
6.500%,
9/1/2040
239,499
Tulsa
County,
OK
Industrial
Auth.
Capital
Improvement
Rev.
250,000
5.250%,
7/1/2046
238,751
Total
478,250
Oregon
1.3%
Astoria,
OR
Hospital
Fac.
Auth.
Rev.
(Columbia
Memorial
Hospital)
250,000
5.250%,
8/1/2054
249,915
Oregon
Fac.
Auth.
Rev.
(Southern
Oregon
Goodwill)
250,000
5.500%,
12/1/2054,
Ser.
A
250,952
Umatilla,
OR
Hospital
District
No.
1
GO
250,000
5.000%,
6/1/2053
250,764
Total
751,631
Pennsylvania
1.3%
Allegheny
County,
PA
Airport
Auth.
Rev.
(Pittsburgh
International
Airport)
350,000
5.000%,
1/1/2051,
Ser.
A,
AMT
348,101
Philadelphia,
PA
Auth.
for
Industrial
Development
Charter
School
Rev.
Refg.
(Tacony
Academy
Charter
School)
250,000
5.500%,
6/15/2043
c
247,062
Philadelphia,
PA
Auth.
for
Industrial
Development
Health
Care
Fac.
Rev.
Refg.
(Greater
Philadelphia
Health
Action,
Inc.)
140,000
6.000%,
6/1/2045
149,495
Total
744,658
Puerto
Rico
0.8%
Puerto
Rico
Sales
Tax
Financing
Corporation
Rev.
250,000
4.750%,
7/1/2053,
Ser.
A-1
237,348
Puerto
Rico
Sales
Tax
Financing
Corporation
Sales
Tax
Rev.
250,000
4.784%,
7/1/2058,
Ser.
A-2
236,314
Total
473,662
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Rhode
Island
0.5%
Rhode
Island
Housing
&
Mortgage
Finance
Corporation
Rev.
$
300,000
3.200%,
10/1/2027,
Ser.
2-A
a
$
300,102
Total
300,102
South
Carolina
1.7%
Columbia,
SC
Waterworks
and
Sewer
System
Rev.
250,000
5.250%,
2/1/2055
261,786
South
Carolina
Jobs-Economic
Development
Auth.
Educational
Fac.
Rev.
Refg.
(Oceanside
Collegiate
Academy)
250,000
5.000%,
6/15/2054,
Ser.
A
c
224,122
South
Carolina
Jobs-Economic
Development
Auth.
Healthcare
Rev.
(Beaufort
Memorial
Hospital
&
South
of
Broad
Healthcare)
300,000
5.750%,
11/15/2054
299,494
South
Carolina
Jobs-Economic
Development
Auth.
Rev.
(Bishop
Gadsden
Episcopal
Retirement
Community)
200,000
5.000%,
4/1/2054,
Ser.
A
192,276
Total
977,678
South
Dakota
0.3%
Lincoln
County,
SD
Economic
Development
Rev.
Refg.
(Augustana
College
Association)
250,000
4.000%,
8/1/2051,
Ser.
A
196,687
Total
196,687
Tennessee
1.0%
Bartlett,
TN
Industrial
Development
Board
Tax
Increment
Rev.
Refg.
(Union
Depot)
250,000
6.200%,
7/1/2049
c
252,388
Metropolitan
Government
of
Nashville
and
Davidson
County,
TN
Health
and
Educational
Fac.
Rev.
Refg.
(Trevecca
Nazarene
University)
300,000
5.000%,
10/1/2034
302,218
Total
554,606
Texas
8.9%
Arlington,
TX
Higher
Education
Finance
Corporation
Education
Rev.
(Cypress
Christian
School)
250,000
6.250%,
6/1/2063
c
250,340
Austin,
TX
Airport
System
Rev.
Refg.
250,000
5.250%,
11/15/2056,
Ser.
B,
AMT
255,366
Bertram,
TX
LTGO
and
Limited
Pledge
Rev.
Certificates
of
Obligation
(BAM
Insured)
300,000
4.250%,
2/15/2054
b
265,298
Brooks,
TX
Development
Auth.
Special
Fac.
Hotel
Rev.
Refg.
250,000
5.875%,
8/15/2052
c
242,795
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
74
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Texas
8.9%
-
continued
Harris
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Rev.
(First
Mortgage
Brazos
Presbyterian
Homes,
Inc.)
$
15,000
5.000%,
1/1/2033,
Ser.
A
$
15,007
Harris
County,
TX
Hospital
District
LTGO
Refg.
200,000
5.250%,
2/15/2056
209,128
Houston,
TX
Airport
System
Rev.
(United
Airlines,
Inc.
Terminal
Improvement)
250,000
5.500%,
7/15/2039,
Ser.
B,
AMT
264,766
Hunt,
TX
Memorial
Hospital
District,
LTGO
250,000
6.000%,
2/15/2045
252,338
Kenedy,
TX
Independent
School
District
UTGO
(PSF-GTD
Insured)
250,000
5.000%,
8/15/2050
b
255,117
Magnolia,
TX
Independent
School
District
UTGO
(PSF-GTD
Insured)
300,000
5.000%,
8/15/2044
b,d
318,596
Metrocare
Services,
TX
Rev.
250,000
5.250%,
11/1/2050
258,086
New
Hope
Cultural
Education
Fac.
Finance
Corporation,
TX
Retirement
Fac.
Rev.
(Army
Retirement
Residence
Foundation)
250,000
5.750%,
7/15/2052
250,830
New
Hope
Cultural
Education
Fac.
Finance
Corporation,
TX
Retirement
Fac.
Rev.
(Bella
Vida
Forefront
Living)
100,000
6.500%,
10/1/2055,
Ser.
A
105,392
Pflugerville,
TX
SAB
Rev.
(Meadowlark
Preserve
Public
Improvement
District)
100,000
5.375%,
9/1/2055
c
98,272
Port
Beaumont,
TX
Navigation
District
Dock
and
Wharf
Fac.
Rev.
(Jefferson
Gulf
Coast
Energy)
250,000
5.250%,
1/1/2054,
Ser.
A,
AMT
c
227,262
Reagan
Hospital
District
of
Reagan
County,
TX
LTGO
250,000
6.000%,
8/1/2046
259,917
San
Antonio,
TX
Education
Fac.
Corporation
Rev.
(Hallmark
University)
230,000
5.000%,
10/1/2031,
Ser.
A
225,009
Tarrant
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Health
Resources
System
Rev.
Refg.
100,000
5.000%,
11/15/2049,
Ser.
A
102,280
Tarrant
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Hospital
Rev.
(Baylor
Scott
and
White
Health)
250,000
5.500%,
11/15/2047,
Ser.
D
263,434
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Texas
8.9%
-
continued
Tarrant
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Hospital
Rev.
Refg.
(Cook
Children's
Medical
Center)
$
300,000
4.125%,
12/1/2054
$
266,372
Texas
Municipal
Gas
Acquisition
&
Supply
Corporation
V
Rev.
250,000
5.000%,
4/1/2036
258,040
Texas
Water
Development
Board
Rev.
(Master
Trust)
250,000
4.750%,
10/15/2055
244,803
Texas
Woman's
University
Financing
System
Rev.
Refg.
125,000
5.000%,
7/1/2046
130,068
Upper
Trinity,
TX
Regional
Water
District
Water
Rev.
Refg.
(BAM
Insured)
250,000
4.375%,
8/1/2054
b
233,774
Total
5,252,290
Utah
3.6%
Black
Desert
Public
Infrastructure
District,
UT
SAB
(Black
Desert
Assessment
Area
No.1)
243,579
5.625%,
12/1/2053
c
246,704
Black
Ridge
Infrastructure
Financing
District,
UT
SAB
(Black
Ridge
Assessment
Area)
193,522
6.250%,
12/1/2054
194,001
Deseret
Public
Infrastructure
District
No.
2,
UT
SAB
(Deseret
Assessment
Area
No.
1)
200,000
6.500%,
12/1/2055
c
203,809
Downtown
Revitalization
Public
Infrastructure
District,
UT
Sales
Tax
Rev.
(SEG
Redevelopment)
100,000
5.000%,
7/15/2035,
Ser.
C
c
100,082
Lomond
Heights
Public
Infrastructure
District,
UT
SAB
(Lomond
Heights
Assessment
Area)
250,000
5.625%,
12/1/2055,
Ser.
A-2
247,759
Mida
Mountain
Village
Public
Infrastructure
District,
UT
TIF
Rev.
500,000
6.000%,
6/15/2054,
Ser.
2
c
513,423
Tech
Ridge
Public
Infrastructure
District,
UT
SAB
and
TIF
(Tech
Ridge
Assessment
Area)
150,000
6.250%,
12/1/2054
c
154,209
Utah
Infrastructure
Agency
Telecommunication
Rev.
245,000
6.000%,
10/15/2047
263,096
Wakara
Ridge,
UT
Public
Infrastructure
District
SAB
(Wakara
Ridge
Assessment
Area)
200,000
5.625%,
12/1/2054
c
203,373
Total
2,126,456
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
75
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Virginia
1.6%
James
City
County,
VA
Economic
Development
Auth.
Residential
Care
Fac.
Rev.
(Williamsburg
Landing)
$
235,000
6.875%,
12/1/2058,
Ser.
A
$
255,182
Virginia
Small
Business
Financing
Auth.
Rev.
(Transform
66
P3)
230,000
5.000%,
12/31/2047,
AMT
230,471
Virginia
Small
Business
Financing
Auth.
Rev.
Refg.
(95
Express
Lanes,
LLC)
500,000
4.000%,
1/1/2048,
AMT
440,619
Total
926,272
Washington
1.6%
Port
of
Seattle,
WA
Rev.
Refg.
250,000
5.250%,
7/1/2049,
Ser.
B,
AMT
257,335
Port
of
Woodland,
WA
Rev.
150,000
6.000%,
12/1/2047
136,682
Skagit
County,
WA
Public
Hospital
District
No.
1
Hospital
Rev.
(Skagit
Regional
Health)
250,000
5.500%,
12/1/2054
251,746
Washington
Housing
Finance
Commission
Nonprofit
Rev.
Refg.
(Seattle
Academy
of
Arts
and
Sciences)
250,000
6.125%,
7/1/2053
c
261,815
Total
907,578
West
Virginia
0.4%
Ohio
County,
WV
Commission
TIF
Rev.
Refg.
(Highlands)
250,000
5.250%,
6/1/2053
242,980
Total
242,980
Wisconsin
8.7%
Public
Finance
Auth.,
WI
Charter
School
Rev.
(Founders
Academy
of
Las
Vegas)
250,000
6.625%,
7/1/2053,
Ser.
A
c
256,994
Public
Finance
Auth.,
WI
Charter
School
Rev.
(Quality
Education
Academy)
250,000
6.500%,
7/15/2063,
Ser.
A
c
253,261
Public
Finance
Auth.,
WI
Education
Rev.
(Pinecrest
Academy
of
Nevada;
Pinecrest
Academy
Springs
Campus)
230,000
4.000%,
7/15/2033
c
225,861
Public
Finance
Auth.,
WI
Education
Rev.
(Revolution
Academy)
150,000
6.000%,
10/1/2060
c
146,480
Public
Finance
Auth.,
WI
Education
Rev.
(Unity
Classical
Charter
School;
A
Challenge
Foundation
Academy)
250,000
7.000%,
7/1/2058
c
252,994
Public
Finance
Auth.,
WI
Limited
Obligation
Rev.
(Town
of
Scarborough
-
The
Downs)
250,000
5.000%,
8/1/2039
252,226
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Wisconsin
8.7%
-
continued
Public
Finance
Auth.,
WI
Rev.
(AFCO
Airport
Real
Estate
Group)
$
250,000
5.250%,
7/1/2053,
AMT
$
237,934
Public
Finance
Auth.,
WI
Rev.
(Bridgewater)
92,983
5.625%,
12/15/2030
c
92,961
Public
Finance
Auth.,
WI
Rev.
(Fargo-Moorhead
Metropolitan
Area
Flood
Risk
Management)
500,000
4.000%,
3/31/2056,
AMT
402,959
Public
Finance
Auth.,
WI
Rev.
(Mayfair)
105,694
5.500%,
11/15/2032,
Ser.
A-4
c
104,785
Public
Finance
Auth.,
WI
Rev.
(Midtown)
211,000
Zero
Coupon,
12/15/2034
c
125,417
Public
Finance
Auth.,
WI
Rev.
(Viticus
Group)
150,000
6.750%,
12/1/2065,
Ser.
A
c
155,328
Public
Finance
Auth.,
WI
Rev.
CAB
(Heritage
Bend)
100,000
Zero
Coupon,
12/15/2042
c
31,578
Public
Finance
Auth.,
WI
Rev.
Refg.
(Astro
Texas
Land)
122,783
5.000%,
12/15/2036
c
120,403
Public
Finance
Auth.,
WI
Rev.
Refg.
(Legacy
Hills)
200,000
6.000%,
11/15/2045
c
198,221
Public
Finance
Auth.,
WI
Special
Fac.
Rev.
Refg.
(Million
Air
Three,
LLC
General
Aviation
Fac.)
250,000
6.250%,
9/1/2046,
Ser.
A,
AMT
c
255,153
Public
Finance
Auth.,
WI
Special
Fac.
Rev.
Refg.
(Million
Air
Two,
LLC
General
Aviation
Fac.)
250,000
5.375%,
6/1/2046,
Ser.
A,
AMT
d
247,765
Public
Finance
Auth.,
WI
Special
Rev.
(Candela,
Fort
Bend
County,
TX)
100,000
6.125%,
12/15/2029
c
100,777
Public
Finance
Auth.,
WI
Special
Rev.
(Lariat,
Williamson
County,
TX)
100,000
Zero
Coupon,
9/1/2029
c
79,234
Public
Finance
Auth.,
WI
Student
Housing
Fac.
Rev.
(Aggie
Apartment
Life
Holding
Corporation
II,
LLC)
250,000
5.250%,
6/1/2054,
Ser.
A
244,243
Public
Finance
Auth.,
WI
Student
Housing
Rev.
(CHF-Manoa,
LLC)
250,000
5.750%,
7/1/2063,
Ser.
A
c
233,240
Public
Finance
Auth.,
WI
TIF
Rev.
(Miami
WorldCenter)
150,000
5.000%,
6/1/2041,
Ser.
A
c
151,149
Public
Finance
Auth.,
WI
Toll
Rev.
(Georgia
SR
400
Express
Lanes)
250,000
5.750%,
12/31/2065,
AMT
257,952
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
76
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Wisconsin
8.7%
-
continued
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
(Dickson
Hollow
Phase
II)
$
250,000
6.000%,
10/1/2049
$
259,678
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
(Wisconsin
Museum
of
Nature
and
Culture,
Inc.)
250,000
6.500%,
11/1/2036
c
254,484
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
Refg.
(Benevolent
Corporation
Cedar
Community)
200,000
5.375%,
6/1/2050
199,288
Total
5,140,365
Total
Long-Term
Fixed
Income
(cost
$60,502,716)
58,733,927
Shares
Common
Stock
<
0.1%
Value
Delaware
<
0.1%
900
BL
Train
Holdings
West,
LLC,
Warrants
(Expires
11/26/2035)
e
0
Total
0
Total
Common
Stock
(cost
$–)
0
Total
Investments
(cost
$60,502,716)
99.9%
$58,733,927
Other
Assets
and
Liabilities,
Net
0.1%
76,623
Total
Net
Assets
100.0%
$58,810,550
a
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
b
To
reduce
certain
risks
associated
with
securities
issued
by
municipalities,
which
may
include
but
are
not
limited
to
economic
development
in
a
specific
industry
or
municipality,
the
principal
and/or
interest
payments
are
guaranteed
by
the
bond
insurance
company
or
government
agency
identified.
c
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$16,753,905
or
28.5%
of
total
net
assets.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Definitions:
AG
-
Assured
Guaranty,
Inc.
AMT
-
Subject
to
Alternative
Minimum
Tax
Auth.
-
Authority
BAM
-
Build
America
Mutual
CAB
-
Capital
Appreciation
Bonds
COP
-
Certificate
of
Participation
Fac.
-
Facility/Facilities
GO
-
General
Obligation
LTGO
-
Limited
Tax
General
Obligation
NATL-RE
-
National
Public
Finance
Guarantee
Corporation
Proj.
-
Project
PSF-GTD
-
Permanent
School
Fund
Guarantee
Program
Refg.
-
Refunding
Rev.
-
Revenue
SAB
-
Special
Assessment
Bonds
Ser.
-
Series
TIF
-
Tax
Increment
Financing
UTGO
-
Unlimited
Tax
General
Obligation
High
Yield
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
77
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
High
Yield
Municipal
Bond
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Education
12,644,415
–
12,644,415
–
Health
Care
12,382,423
–
12,382,423
–
Housing
10,805,656
–
10,805,656
–
Industrial
Revenue
7,043,596
–
7,043,596
–
Local/State
Government
1,591,761
–
1,591,761
–
Miscellaneous
1,035,888
–
1,035,888
–
Tax
Revenue
4,088,893
–
4,088,893
–
Tobacco
Settlement
189,038
–
189,038
–
Transportation
5,869,481
–
5,869,481
–
Utilities
3,082,776
–
3,082,776
–
Common
Stock
Industrials
@
0
–
–
0
Total
Investments
at
Value
$58,733,927
$–
$58,733,927
$0
@Level
3
security
in
this
section
is
fair
valued
at
<$1.
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
78
Principal
Amount
Long-Term
Fixed
Income
97.6%
Value
Basic
Materials
1.9%
Anglo
American
Capital
plc
$
2,700,000
5.500%, 
5/2/2033
a
$
2,700,299
2,950,000
5.750%, 
4/5/2034
a
2,990,052
Eastman
Chemical
Company
2,800,000
5.000%, 
8/1/2029
2,803,785
First
Quantum
Minerals,
Ltd.
3,600,000
8.625%, 
6/1/2031
a
3,745,166
International
Flavors
&
Fragrances,
Inc.
1,818,000
2.300%, 
11/1/2030
a
1,626,452
LYB
International
Finance
III,
LLC
2,700,000
6.150%, 
5/15/2035
b
2,740,590
2,350,000
3.375%, 
10/1/2040
1,689,923
Smurfit
Kappa
Treasury,
ULC
1,200,000
5.777%, 
4/3/2054
b
1,144,097
1,700,000
5.438%, 
4/3/2034
1,695,389
Smurfit
Westrock
Financing
DAC
1,300,000
5.418%, 
1/15/2035
1,291,274
United
States
Steel
Corporation
1,750,000
5.700%, 
8/1/2036
a
1,714,199
Total
24,141,226
Capital
Goods
5.1%
Amphenol
Corporation
2,575,000
4.400%, 
2/15/2033
2,469,856
Amrize
Finance
US,
LLC
2,650,000
4.950%, 
4/7/2030
2,648,717
BAE
Systems
plc
625,000
5.500%, 
3/26/2054
a
591,617
1,700,000
3.400%, 
4/15/2030
a
1,614,391
1,400,000
1.900%, 
2/15/2031
a
1,226,699
Boeing
Company
1,250,000
5.805%, 
5/1/2050
1,180,747
3,275,000
6.858%, 
5/1/2054
3,508,398
2,650,000
5.930%, 
5/1/2060
2,474,146
850,000
6.528%, 
5/1/2034
910,309
3,000,000
5.705%, 
5/1/2040
2,964,220
Carrier
Global
Corporation
1,450,000
2.700%, 
2/15/2031
1,319,848
Caterpillar
Financial
Services
Corporation
2,550,000
4.500%, 
5/15/2031
2,514,057
CNH
Industrial
Capital,
LLC
2,100,000
4.550%, 
4/10/2028
2,090,733
Eaton
Corporation
1,000,000
4.800%, 
3/6/2036
958,451
GE
Vernova,
Inc.
1,400,000
4.875%, 
2/4/2036
1,345,208
General
Electric
Company
1,200,000
4.900%, 
1/29/2036
1,172,103
GFL
Environmental
Holdings
US,
Inc.
3,150,000
5.500%, 
2/1/2034
a
2,913,929
GFL
Environmental,
Inc.
3,300,000
6.750%, 
1/15/2031
a
3,339,933
Honeywell
Aerospace,
Inc.
1,200,000
5.732%, 
3/16/2056
a
1,142,957
2,050,000
4.950%, 
3/16/2036
a
1,976,172
Howmet
Aerospace,
Inc.
5,200,000
5.950%, 
2/1/2037
5,394,939
Lockheed
Martin
Corporation
2,700,000
5.000%, 
8/15/2035
2,662,515
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Capital
Goods
5.1%
-
continued
Northrop
Grumman
Corporation
$
1,200,000
4.700%, 
3/15/2033
$
1,170,775
2,800,000
4.750%, 
6/1/2043
2,449,679
Regal
Rexnord
Corporation
2,150,000
6.050%, 
4/15/2028
2,190,225
1,700,000
6.300%, 
2/15/2030
1,757,550
RTX
Corporation
1,000,000
3.030%, 
3/15/2052
612,262
850,000
6.400%, 
3/15/2054
887,216
2,150,000
6.000%, 
3/15/2031
2,247,707
850,000
6.100%, 
3/15/2034
896,188
1,075,000
4.450%, 
11/16/2038
970,640
Waste
Connections,
Inc.
3,600,000
5.000%, 
3/1/2034
3,545,201
Wrangler
Holdco
Corporation
1,500,000
6.625%, 
4/1/2032
a
1,502,247
Total
64,649,635
Collateralized
Mortgage
Obligations
3.0%
Angel
Oak
Mortgage
Trust
5,340,695
4.929%, 
10/25/2070,
Ser.
2025-13,
Class
A1
a
5,269,909
Aspire
Mortgage
Trust
3,037,373
5.057%, 
1/25/2066,
Ser.
2026-1,
Class
A2
a,c
2,998,623
BRAVO
Residential
Funding
Trust
3,081,973
5.138%, 
11/25/2065,
Ser.
2026-NQM3,
Class
A2
a,c
3,042,986
Cross
Mortgage
Trust
3,141,393
5.087%, 
3/25/2061,
Ser.
2026-NQM2,
Class
A2
a,c
3,097,532
GCAT
Trust
3,154,457
6.000%, 
12/25/2054,
Ser.
2024-INV4,
Class
A1
a,d
3,167,273
GMAC
Mortgage
Corporation
Loan
Trust
46,860
4.339%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
d,e
20,839
J.P.
Morgan
Mortgage
Trust
3,300,000
5.500%, 
3/25/2056,
Ser.
2025-9,
Class
A8
a,d
3,225,719
Morgan
Stanley
Residential
Mortgage
Loan
Trust
3,032,239
4.988%, 
1/26/2071,
Ser.
2026-NQM2,
Class
A2
a,c
2,974,544
2,343,267
5.432%, 
3/25/2071,
Ser.
2026-NQM3,
Class
A2
a,c
2,325,403
1,500,349
5.032%, 
12/25/2070,
Ser.
2026-NQM1,
Class
A2
a,c
1,474,802
PMT
Loan
Trust
3,673,512
6.000%, 
1/25/2060,
Ser.
2025-INV1,
Class
A1
a,d
3,688,437
2,400,000
6.000%, 
2/25/2056,
Ser.
2025-INV2,
Class
A10
a,d
2,360,706
Sequoia
Mortgage
Trust
4,400,000
5.000%, 
5/25/2056,
Ser.
2026-5,
Class
A8
a,d
4,022,707
Total
37,669,480
Communications
Services
5.1%
American
Tower
Corporation
1,500,000
5.350%, 
3/15/2035
1,479,872
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
79
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Communications
Services
5.1%
-
continued
AppLovin
Corporation
$
3,450,000
5.375%, 
12/1/2031
$
3,453,856
AT&T,
Inc.
4,400,000
6.000%, 
4/30/2056
3,951,816
1,750,000
3.650%, 
6/1/2051
1,108,657
3,768,000
2.550%, 
12/1/2033
3,103,540
3,200,000
5.400%, 
2/15/2034
3,179,151
2,300,000
4.500%, 
5/15/2035
2,111,023
2,300,000
4.850%, 
3/1/2039
2,051,111
1,800,000
4.500%, 
3/9/2048
1,356,951
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
3,100,000
4.750%, 
2/1/2032
a
2,708,758
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
1,550,000
6.550%, 
6/1/2034
1,532,592
1,550,000
6.384%, 
10/23/2035
1,499,947
1,600,000
5.850%, 
12/1/2035
1,494,043
1,150,000
6.484%, 
10/23/2045
997,154
Comcast
Corporation
1,600,000
4.600%, 
10/15/2038
1,392,448
Crown
Castle,
Inc.
3,350,000
5.100%, 
5/1/2033
3,260,218
Meta
Platforms,
Inc.
2,350,000
5.250%, 
5/15/2036
2,253,105
Orange
SA
1,500,000
4.750%, 
1/13/2033
a
1,449,139
Sopaipilla
Investor,
LLC
1,850,000
7.534%, 
11/30/2048
a
1,917,495
Space
Exploration
Technologies
Corporation
2,000,000
5.650%, 
7/15/2033
a
1,916,054
Sprint
Capital
Corporation
4,800,000
8.750%, 
3/15/2032
5,585,352
T-Mobile
USA,
Inc.
1,800,000
5.700%, 
1/15/2056
1,587,687
3,100,000
3.400%, 
10/15/2052
1,888,905
1,200,000
3.000%, 
2/15/2041
845,019
Verizon
Communications,
Inc.
1,400,000
4.000%, 
3/22/2050
1,008,168
2,800,000
4.750%, 
1/15/2033
2,712,151
2,650,000
5.250%, 
4/2/2035
2,583,492
1,221,000
5.401%, 
7/2/2037
1,182,455
2,800,000
3.400%, 
3/22/2041
2,076,482
Videotron,
Ltd.
2,900,000
3.625%, 
6/15/2029
a
2,788,993
Total
64,475,634
Consumer
Cyclical
6.0%
Amazon.com,
Inc.
1,450,000
5.800%, 
3/13/2056
1,333,276
1,200,000
3.100%, 
5/12/2051
723,739
1,750,000
5.450%, 
11/20/2055
1,534,078
2,000,000
5.100%, 
7/9/2033
1,981,417
2,050,000
4.875%, 
3/13/2036
1,961,964
2,000,000
5.300%, 
7/9/2036
1,965,089
1,500,000
6.000%, 
7/9/2046
1,458,233
Carnival
Corporation,
Ltd.
2,300,000
5.750%, 
8/1/2032
a
2,278,803
D.R.
Horton,
Inc.
2,300,000
5.000%, 
10/15/2034
2,232,797
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Consumer
Cyclical
6.0%
-
continued
Daimler
Truck
Finance
North
America,
LLC
$
2,500,000
2.375%, 
12/14/2028
a
$
2,367,708
Flutter
Treasury
DAC
850,000
5.875%, 
6/4/2031
a
837,357
Ford
Motor
Credit
Company,
LLC
1,400,000
5.850%, 
5/17/2027
1,409,448
2,000,000
6.800%, 
5/12/2028
2,051,492
General
Motors
Financial
Company,
Inc.
3,100,000
5.750%, 
2/8/2031
3,163,774
1,800,000
6.400%, 
1/9/2033
1,887,715
GLP
Capital,
LP
2,000,000
3.250%, 
1/15/2032
1,768,964
Home
Depot,
Inc.
1,820,000
4.250%, 
4/1/2046
1,453,027
Hyundai
Capital
America
1,650,000
6.375%, 
4/8/2030
a
1,711,260
4,400,000
6.200%, 
9/21/2030
a
4,556,386
1,750,000
5.000%, 
4/7/2031
a
1,731,478
2,750,000
5.000%, 
6/18/2031
a
2,719,094
Las
Vegas
Sands
Corporation
1,550,000
6.000%, 
8/15/2029
1,581,413
Lowe's
Companies,
Inc.
1,300,000
5.625%, 
4/15/2053
b
1,192,182
3,250,000
2.625%, 
4/1/2031
2,934,856
Marriott
International,
Inc./MD
2,100,000
4.625%, 
6/15/2030
2,076,128
1,675,000
5.100%, 
4/15/2032
1,673,679
McDonald's
Corporation
1,825,000
4.450%, 
3/1/2047
1,472,740
Ralph
Lauren
Corporation
2,700,000
5.000%, 
6/15/2032
2,692,181
Royal
Caribbean
Cruises,
Ltd.
3,100,000
6.250%, 
3/15/2032
a
3,152,044
Stellantis
Financial
Services
US
Corporation
3,000,000
5.400%, 
6/15/2029
a
2,978,907
Target
Corporation
1,250,000
4.500%, 
9/15/2034
1,191,195
Toll
Brothers
Finance
Corporation
1,700,000
3.800%, 
11/1/2029
1,640,297
Toyota
Motor
Credit
Corporation
3,800,000
4.600%, 
3/11/2033
3,674,390
Uber
Technologies,
Inc.
2,300,000
5.350%, 
9/15/2054
b
2,034,530
VICI
Properties,
LP/VICI
Note
Company,
Inc.
90,000
4.625%, 
12/1/2029
a
87,945
Viking
Cruises,
Ltd.
4,100,000
5.875%, 
10/15/2033
a
4,059,759
Walmart,
Inc.
1,800,000
4.500%, 
9/9/2052
1,486,368
Total
75,055,713
Consumer
Non-Cyclical
9.3%
Abbott
Laboratories
3,200,000
5.600%, 
3/15/2066
2,973,504
2,000,000
6.000%, 
4/1/2039
2,098,039
AbbVie,
Inc.
1,875,000
5.400%, 
3/15/2054
1,716,114
1,550,000
5.600%, 
3/15/2055
1,461,069
950,000
5.050%, 
3/15/2034
942,864
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
80
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Consumer
Non-Cyclical
9.3%
-
continued
$
1,900,000
4.550%, 
3/15/2035
$
1,803,723
2,900,000
4.300%, 
5/14/2036
2,679,984
Amgen,
Inc.
3,000,000
5.650%, 
3/2/2053
2,788,555
2,100,000
5.250%, 
3/2/2033
2,104,668
Anheuser-Busch
Companies,
LLC/Anheuser-Busch
InBev
Worldwide,
Inc.
1,790,000
4.700%, 
2/1/2036
1,702,670
Anheuser-Busch
InBev
Worldwide,
Inc.
1,800,000
4.439%, 
10/6/2048
1,456,338
BAT
Capital
Corporation
1,900,000
6.343%, 
8/2/2030
1,992,142
1,100,000
5.834%, 
2/20/2031
1,134,581
1,600,000
7.750%, 
10/19/2032
1,804,685
Bristol-Myers
Squibb
Company
1,550,000
5.550%, 
2/22/2054
1,439,728
Bunge,
Ltd.
Finance
Corporation
2,250,000
5.250%, 
4/21/2032
2,255,625
725,000
4.650%, 
9/17/2034
690,145
Cargill,
Inc.
1,350,000
5.375%, 
10/23/2055
a
1,228,390
Cigna
Group
2,850,000
4.875%, 
9/15/2032
2,808,746
3,400,000
4.800%, 
8/15/2038
3,134,416
Constellation
Brands,
Inc.
2,750,000
4.950%, 
11/1/2035
b
2,625,523
Coty,
Inc./HFC
Prestige
Products,
Inc./HFC
Prestige
International
US,
LLC
2,850,000
4.750%, 
1/15/2029
a
2,798,624
CVS
Health
Corporation
2,250,000
5.625%, 
2/21/2053
2,025,668
1,850,000
5.550%, 
6/1/2031
1,887,334
1,200,000
2.125%, 
9/15/2031
1,040,323
2,750,000
5.050%, 
3/25/2048
2,322,610
Eli
Lilly
&
Company
1,400,000
5.100%, 
2/9/2064
1,207,337
2,100,000
5.500%, 
2/12/2055
1,975,971
HCA,
Inc.
3,100,000
5.450%, 
4/1/2031
3,139,057
2,600,000
5.500%, 
3/1/2032
2,627,987
2,650,000
4.900%, 
11/15/2035
2,507,653
Imperial
Brands
Finance
plc
3,250,000
4.875%, 
2/7/2032
a
3,185,505
2,650,000
5.625%, 
7/1/2035
a
2,618,619
JBS
NV/JBS
USA
Foods
Group
Holdings,
Inc./JBS
USA
Food
Company
Holdings
1,650,000
3.625%, 
1/15/2032
1,513,763
JBS
NV/JBS
USA
Foods
Group
Holdings.
Inc./JBS
USA
Food
Company
Holdings
3,850,000
5.625%, 
3/10/2037
a
3,756,330
Kenvue,
Inc.
1,150,000
5.000%, 
3/22/2030
b
1,155,434
Mars,
Inc.
4,200,000
4.800%, 
3/1/2030
a
4,185,695
900,000
5.650%, 
5/1/2045
a
859,855
Medline
Borrower,
LP
3,400,000
5.250%, 
10/1/2029
a
3,368,206
Medtronic,
Inc.
2,800,000
4.375%, 
3/15/2035
2,639,757
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Consumer
Non-Cyclical
9.3%
-
continued
Novartis
Capital
Corporation
$
2,500,000
5.700%, 
3/18/2056
$
2,416,018
Pfizer,
Inc.
1,650,000
4.500%, 
11/15/2032
1,606,445
1,750,000
4.875%, 
11/15/2035
1,695,151
Philip
Morris
International,
Inc.
1,750,000
5.500%, 
9/7/2030
1,788,825
1,650,000
5.125%, 
2/13/2031
1,663,936
2,065,000
5.750%, 
11/17/2032
2,136,802
3,000,000
5.250%, 
2/13/2034
2,999,458
Roche
Holdings,
Inc.
2,700,000
2.607%, 
12/13/2051
a
1,542,077
2,600,000
4.374%, 
12/2/2032
a
2,522,560
1,450,000
4.985%, 
3/8/2034
a
1,438,647
Smithfield
Foods,
Inc.
800,000
3.000%, 
10/15/2030
a
726,737
Takeda
Pharmaceutical
Company,
Ltd.
2,200,000
3.175%, 
7/9/2050
1,390,439
2,400,000
5.300%, 
7/5/2034
2,383,666
Tenet
Healthcare
Corporation
1,900,000
5.500%, 
11/15/2032
a
1,870,718
Teva
Pharmaceutical
Finance
Netherlands
III
BV
5,600,000
4.100%, 
10/1/2046
4,127,010
Unilever
Capital
Corporation
1,100,000
2.625%, 
8/12/2051
644,285
Total
116,610,011
Energy
5.6%
Baker
Hughes
Holdings,
LLC/
Baker
Hughes
Co-Obligor,
Inc.
3,350,000
5.000%, 
6/15/2036
3,215,603
BP
Capital
Markets
America,
Inc.
3,250,000
3.001%, 
3/17/2052
1,975,281
Cheniere
Energy
Partners,
LP
1,500,000
4.000%, 
3/1/2031
1,431,696
1,350,000
5.950%, 
6/30/2033
1,390,110
3,100,000
5.550%, 
10/30/2035
3,079,632
Cheniere
Energy,
Inc.
900,000
5.650%, 
4/15/2034
908,791
Columbia
Pipelines
Holding
Company,
LLC
4,150,000
5.097%, 
10/1/2031
a
4,109,400
Devon
Energy
Corporation
2,750,000
5.200%, 
9/15/2034
2,705,222
2,800,000
4.750%, 
5/15/2042
2,407,641
Diamondback
Energy,
Inc.
450,000
5.150%, 
1/30/2030
453,393
450,000
5.400%, 
4/18/2034
448,590
DT
Midstream,
Inc.
3,000,000
4.300%, 
4/15/2032
a
2,832,266
Eastern
Energy
Gas
Holdings,
LLC
1,500,000
6.200%, 
1/15/2055
b
1,470,721
Energy
Transfer,
LP
900,000
8.000%, 
5/15/2054
d
944,514
1,000,000
6.500%, 
8/17/2026
d,f
999,760
2,350,000
3.750%, 
5/15/2030
2,249,771
900,000
5.550%, 
5/15/2034
898,980
1,550,000
5.700%, 
4/1/2035
1,560,628
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
81
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Energy
5.6%
-
continued
Enterprise
Products
Operating,
LLC
$
900,000
6.897%, 
(TSFR3M
+
3.248%),
8/16/2077
d
$
901,323
EQT
Corporation
1,500,000
7.500%, 
6/1/2030
1,607,825
Kinder
Morgan,
Inc.
1,650,000
5.850%, 
6/1/2035
1,689,684
MPLX,
LP
2,700,000
5.000%, 
1/15/2033
2,642,574
950,000
5.500%, 
6/1/2034
946,160
Occidental
Petroleum
Corporation
3,300,000
6.450%, 
9/15/2036
3,473,296
ONEOK,
Inc.
2,300,000
6.350%, 
1/15/2031
2,404,525
Ovintiv,
Inc.
1,600,000
6.250%, 
7/15/2033
1,668,796
South
Bow
USA
Infrastructure
Holdings,
LLC
1,825,000
5.026%, 
10/1/2029
1,819,423
Targa
Resources
Corporation
1,400,000
6.125%, 
3/15/2033
1,453,929
775,000
5.500%, 
2/15/2035
767,068
TransCanada
PipeLines,
Ltd.
1,800,000
6.125%, 
10/17/2056
b,d
1,798,657
1,250,000
4.625%, 
3/1/2034
1,187,502
Venture
Global
LNG,
Inc.
3,850,000
9.000%, 
9/30/2029
a,d,f
3,834,523
Venture
Global
Plaquemines
LNG,
LLC
1,200,000
6.500%, 
1/15/2034
a
1,238,233
Western
Midstream
Operating,
LP
3,300,000
6.150%, 
4/1/2033
3,394,235
1,000,000
5.700%, 
7/1/2036
987,138
Williams
Companies,
Inc.
1,800,000
7.500%, 
1/15/2031
1,983,451
1,650,000
5.600%, 
3/15/2035
1,652,022
1,730,000
4.850%, 
3/1/2048
1,435,929
Total
69,968,292
Financials
35.0%
200
Park
Funding
Trust
1,550,000
5.740%, 
2/15/2055
a
1,457,180
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
4,075,000
6.950%, 
3/10/2055
d
4,168,893
3,150,000
5.375%, 
12/15/2031
3,162,240
1,600,000
3.400%, 
10/29/2033
1,397,614
Aircastle,
Ltd.
1,200,000
2.850%, 
1/26/2028
a
1,164,258
1,650,000
6.500%, 
7/18/2028
a
1,694,558
Allianz
SE
1,500,000
6.500%, 
10/30/2034
a,d,f
1,488,405
Ally
Financial,
Inc.
1,200,000
5.737%, 
5/15/2029
d
1,213,527
1,250,000
8.000%, 
11/1/2031
1,379,437
American
Express
Company
1,150,000
4.918%, 
7/20/2033
d
1,134,132
2,000,000
5.284%, 
7/26/2035
d
1,985,610
1,400,000
5.667%, 
4/25/2036
d
1,422,093
3,800,000
5.412%, 
2/8/2041
d
3,710,699
American
Homes
4
Rent,
LP
1,450,000
2.375%, 
7/15/2031
1,271,561
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Financials
35.0%
-
continued
American
International
Group,
Inc.
$
1,150,000
5.450%, 
5/7/2035
$
1,150,817
Ameriprise
Financial,
Inc.
4,100,000
5.200%, 
4/15/2035
4,023,823
ANZ
Bank
New
Zealand,
Ltd.
1,300,000
5.548%, 
8/11/2032
a,d
1,305,738
1,500,000
5.898%, 
7/10/2034
a,b,d
1,528,293
Aon
North
America,
Inc.
1,400,000
5.450%, 
3/1/2034
1,401,977
Apollo
Debt
Solutions
BDC
4,700,000
5.200%, 
12/8/2028
a
4,628,433
Ares
Capital
Corporation
1,200,000
2.875%, 
6/15/2027
1,182,532
1,000,000
5.500%, 
9/1/2030
981,787
Arthur
J.
Gallagher
&
Company
2,000,000
5.150%, 
2/15/2035
1,946,064
Atlas
Warehouse
Lending
Company,
LP
1,750,000
4.625%, 
11/15/2028
a
1,725,548
Aviation
Capital
Group,
LLC
1,875,000
5.125%, 
4/10/2030
a
1,864,944
Avolon
Holdings
Funding,
Ltd.
2,400,000
5.750%, 
11/15/2029
a
2,438,916
2,700,000
4.900%, 
10/10/2030
a
2,652,577
1,250,000
4.700%, 
1/30/2031
a
1,217,274
Banco
Santander
Mexico
SA
900,000
5.621%, 
12/10/2029
a
911,340
Banco
Santander
SA
2,200,000
5.294%, 
8/18/2027
2,215,480
2,800,000
4.867%, 
4/15/2031
2,757,231
1,800,000
5.127%, 
11/6/2035
1,731,362
1,800,000
7.250%, 
12/3/2035
d,f
1,804,977
Bank
of
America
Corporation
2,030,000
3.194%, 
7/23/2030
d
1,934,369
2,100,000
6.250%, 
7/26/2030
d,f
2,102,033
2,750,000
2.572%, 
10/20/2032
d
2,424,379
3,200,000
4.571%, 
4/27/2033
d
3,098,122
3,400,000
5.288%, 
4/25/2034
d
3,390,959
1,400,000
5.468%, 
1/23/2035
d
1,405,589
5,250,000
5.511%, 
1/24/2036
d
5,252,329
6,000,000
2.482%, 
9/21/2036
d
5,178,248
Bank
of
Montreal
2,850,000
5.511%, 
6/4/2031
2,910,339
Bank
of
New
York
Mellon
Corporation
3,100,000
4.942%, 
2/11/2031
d
3,101,545
Bank
of
Nova
Scotia
4,350,000
6.875%, 
10/27/2085
d
4,319,226
Barclays
plc
850,000
9.625%, 
12/15/2029
d,f
936,431
1,400,000
5.367%, 
2/25/2031
d
1,407,876
1,900,000
2.645%, 
6/24/2031
d
1,730,623
1,800,000
4.521%, 
2/24/2032
d
1,739,590
BBVA
Mexico
SA,
Institucion
de
Banca
Multiple,
Grupo
Financiero
BBVA
Mexico/TX
750,000
5.250%, 
9/10/2029
a
751,125
1,750,000
5.400%, 
6/3/2031
a
1,737,400
1,250,000
7.625%, 
2/11/2035
a,d
1,278,125
Berkshire
Hathaway
Finance
Corporation
4,000,000
2.850%, 
10/15/2050
2,407,448
1,050,000
4.250%, 
1/15/2049
822,615
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
82
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Financials
35.0%
-
continued
Blackstone
Private
Credit
Fund
$
1,550,000
4.950%, 
9/26/2027
$
1,545,007
Blackstone
Reg
Finance
Company,
LLC
2,900,000
5.000%, 
12/6/2034
2,808,618
Blackstone
Secured
Lending
Fund
1,075,000
5.875%, 
11/15/2027
1,082,644
2,700,000
5.350%, 
4/13/2028
2,685,862
Blue
Owl
Credit
Income
Corporation
2,000,000
4.700%, 
2/8/2027
1,992,348
Blue
Owl
Technology
Finance
Corporation
1,075,000
6.100%, 
3/15/2028
b
1,075,029
BNP
Paribas
SA
1,950,000
4.792%, 
5/9/2029
a,d
1,946,719
2,100,000
5.497%, 
5/20/2030
a,d
2,125,236
2,050,000
6.875%, 
12/15/2033
a,d,f
2,030,500
BPCE
SA
2,250,000
5.876%, 
1/14/2031
a,d
2,293,261
1,350,000
6.508%, 
1/18/2035
a,d
1,381,221
Brixmor
Operating
Partnership,
LP
1,000,000
2.250%, 
4/1/2028
962,318
Brookfield
Asset
Management,
Ltd.
900,000
6.077%, 
9/15/2055
865,754
Capital
One
Financial
Corporation
4,100,000
6.312%, 
6/8/2029
d
4,201,592
2,850,000
4.722%, 
1/30/2032
d
2,786,921
2,125,000
5.197%, 
9/11/2036
d
2,034,172
Capital
One
NA
2,510,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
d
2,546,939
Charles
Schwab
Corporation
1,450,000
4.000%, 
12/1/2030
d,f
1,339,019
4,400,000
4.914%, 
11/14/2036
d
4,203,754
Citadel
Finance,
LLC
1,500,000
5.150%, 
2/14/2031
a
1,457,324
Citadel
Securities
Global
Holdings,
LLC
1,000,000
5.125%, 
1/27/2032
a
978,445
250,000
6.200%, 
6/18/2035
a
251,432
Citigroup,
Inc.
2,050,000
5.174%, 
2/13/2030
d
2,061,734
2,350,000
6.950%, 
2/15/2030
d,f
2,370,734
4,100,000
3.057%, 
1/25/2033
d
3,676,236
2,650,000
5.449%, 
6/11/2035
d
2,646,192
3,400,000
6.020%, 
1/24/2036
d
3,441,692
Citizens
Financial
Group,
Inc.
1,400,000
5.841%, 
1/23/2030
d
1,428,205
1,325,000
5.718%, 
7/23/2032
d
1,346,660
COPT
Defense
Properties,
LP
1,500,000
4.500%, 
10/15/2030
1,464,778
Cousins
Properties,
LP
1,000,000
5.375%, 
2/15/2032
1,003,149
Credit
Agricole
SA
2,700,000
7.125%, 
9/23/2035
a,d,f
2,742,088
Credit
Suisse
Group
AG
2,300,000
5.250%, 
N/A
*,g
552,000
2,350,000
7.250%, 
N/A
*,g
564,000
1,300,000
7.500%, 
N/A
*,g
312,000
Deutsche
Bank
AG/New
York,
NY
2,850,000
5.373%, 
1/10/2029
d
2,870,049
1,950,000
4.999%, 
9/11/2030
d
1,943,225
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Financials
35.0%
-
continued
EPR
Properties
$
1,318,000
4.950%, 
4/15/2028
$
1,314,121
2,200,000
4.750%, 
11/15/2030
2,140,470
Fifth
Third
Bancorp
1,450,000
4.895%, 
9/6/2030
b,d
1,445,730
4,250,000
4.566%, 
4/29/2032
d
4,129,852
First
Citizens
BancShares,
Inc./NC
2,250,000
5.600%, 
9/5/2035
d
2,199,291
First-Citizens
Bank
&
Trust
Company
3,650,000
6.125%, 
3/9/2028
3,711,800
Goldman
Sachs
BDC,
Inc.
800,000
6.375%, 
3/11/2027
b
808,531
Goldman
Sachs
Group,
Inc.
4,950,000
5.207%, 
1/28/2031
d
4,961,180
2,750,000
4.369%, 
10/21/2031
d
2,661,895
3,800,000
3.102%, 
2/24/2033
d
3,397,259
2,550,000
5.536%, 
1/28/2036
d
2,530,571
1,400,000
5.065%, 
1/21/2037
d
1,333,434
Goldman
Sachs
Private
Credit
Corporation
3,600,000
5.050%, 
2/23/2028
3,578,186
HA
Sustainable
Infrastructure
Capital,
Inc.
2,750,000
5.950%, 
7/15/2033
a
2,718,041
Healthcare
Realty
Holdings,
LP
3,750,000
2.000%, 
3/15/2031
3,262,263
Highwoods
Realty,
LP
950,000
4.125%, 
3/15/2028
936,406
1,900,000
4.200%, 
4/15/2029
1,853,959
1,350,000
5.350%, 
1/15/2033
1,323,358
HSBC
Holdings
plc
950,000
6.750%, 
11/18/2032
d,f
942,962
1,650,000
5.133%, 
11/6/2036
d
1,586,638
1,800,000
5.279%, 
3/10/2037
d
1,741,762
Huntington
Bancshares,
Inc./OH
2,750,000
5.709%, 
2/2/2035
d
2,759,661
Invitation
Homes
Operating
Partnership,
LP
1,250,000
5.450%, 
8/15/2030
1,260,789
Jane
Street
Group/JSG
Finance,
Inc.
3,850,000
6.750%, 
5/1/2033
a
3,923,608
JPMorgan
Chase
&
Company
2,300,000
6.875%, 
6/1/2029
b,d,f
2,374,784
2,400,000
4.995%, 
7/22/2030
d
2,404,259
1,800,000
2.956%, 
5/13/2031
d
1,668,683
2,450,000
4.586%, 
4/26/2033
d
2,381,283
2,450,000
4.912%, 
7/25/2033
d
2,417,694
2,000,000
5.717%, 
9/14/2033
d
2,036,879
850,000
5.336%, 
1/23/2035
d
847,458
3,400,000
5.766%, 
4/22/2035
d
3,473,626
2,900,000
4.946%, 
10/22/2035
d
2,808,336
4,450,000
4.810%, 
10/22/2036
d
4,225,165
4,500,000
5.193%, 
2/5/2037
d
4,321,432
KeyCorp
1,650,000
6.401%, 
3/6/2035
d
1,722,486
Kilroy
Realty,
LP
1,450,000
4.250%, 
8/15/2029
1,403,781
850,000
6.250%, 
1/15/2036
846,595
Ladder
Capital
Finance
Holdings,
LLLP/Ladder
Capital
Finance
Corporation
2,750,000
4.750%, 
6/15/2029
a
2,678,164
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
83
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Financials
35.0%
-
continued
$
2,600,000
7.000%, 
7/15/2031
a
$
2,687,422
Lloyds
Banking
Group
plc
3,700,000
4.241%, 
2/10/2030
d
3,637,792
750,000
6.068%, 
6/13/2036
d
757,651
LPL
Holdings,
Inc.
1,400,000
5.150%, 
6/15/2030
1,394,297
3,100,000
4.375%, 
5/15/2031
a
2,949,850
1,600,000
5.650%, 
3/15/2035
1,561,059
Macquarie
AirFinance
Holdings,
Ltd.
1,650,000
5.200%, 
3/27/2028
a
1,652,238
1,075,000
6.400%, 
3/26/2029
a
1,103,464
375,000
6.500%, 
3/26/2031
a
389,257
MetLife,
Inc.
1,900,000
6.350%, 
3/15/2055
d
1,927,368
Mitsubishi
UFJ
Financial
Group,
Inc.
2,000,000
5.159%, 
4/24/2031
d
2,002,369
2,250,000
5.133%, 
7/20/2033
d
2,235,085
Mizuho
Financial
Group,
Inc.
1,300,000
5.098%, 
5/13/2031
d
1,299,942
1,400,000
1.979%, 
9/8/2031
d
1,237,556
Morgan
Stanley
2,350,000
5.656%, 
4/18/2030
d
2,389,511
2,500,000
5.230%, 
1/15/2031
d
2,512,722
2,400,000
3.622%, 
4/1/2031
d
2,284,675
3,150,000
5.192%, 
4/17/2031
d
3,159,418
1,900,000
1.794%, 
2/13/2032
d
1,638,072
2,000,000
2.943%, 
1/21/2033
d
1,778,512
950,000
4.889%, 
7/20/2033
d
932,270
2,900,000
6.342%, 
10/18/2033
d
3,049,532
3,400,000
5.250%, 
4/21/2034
d
3,366,981
1,100,000
6.627%, 
11/1/2034
d
1,171,594
1,400,000
5.466%, 
1/18/2035
d
1,395,625
1,850,000
5.587%, 
1/18/2036
d
1,854,670
1,100,000
5.664%, 
4/17/2036
d
1,103,724
1,750,000
5.314%, 
1/18/2041
d
1,658,540
Nationwide
Building
Society
2,200,000
6.557%, 
10/18/2027
a,d
2,207,953
Nationwide
Mutual
Insurance
Company
1,775,000
4.350%, 
4/30/2050
a
1,302,710
NatWest
Group
plc
3,850,000
5.115%, 
5/23/2031
d
3,845,679
2,900,000
3.032%, 
11/28/2035
d
2,643,216
New
York
Life
Insurance
Company
2,200,000
3.750%, 
5/15/2050
a
1,547,076
Nippon
Life
Insurance
Company
2,000,000
6.500%, 
4/30/2055
a,d
2,057,972
Omega
Healthcare
Investors,
Inc.
1,875,000
3.625%, 
10/1/2029
1,790,440
2,300,000
5.200%, 
7/1/2030
2,287,287
Phillips
Edison
Grocery
Center
Operating
Partnership
I,
LP
2,950,000
5.250%, 
8/15/2032
2,943,661
Pinnacle
Financial
Partners,
Inc.
1,750,000
5.596%, 
5/19/2032
d
1,734,977
PNC
Financial
Services
Group,
Inc.
3,000,000
5.068%, 
1/24/2034
d
2,951,557
3,600,000
6.875%, 
10/20/2034
d
3,903,946
1,450,000
5.373%, 
7/21/2036
d
1,433,105
Regency
Centers,
LP
1,750,000
3.700%, 
6/15/2030
1,675,813
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Financials
35.0%
-
continued
$
1,000,000
5.250%, 
1/15/2034
$
992,779
1,800,000
5.100%, 
1/15/2035
1,763,826
Regions
Financial
Corporation
1,600,000
5.722%, 
6/6/2030
d
1,632,728
1,350,000
5.502%, 
9/6/2035
d
1,334,089
RGA
Global
Funding
3,500,000
6.000%, 
11/21/2028
a
3,581,944
900,000
5.500%, 
1/11/2031
a
913,562
Royal
Bank
of
Canada
1,900,000
6.750%, 
8/24/2085
d
1,925,768
Societe
Generale
SA
1,900,000
4.450%, 
4/12/2030
a,d
1,866,825
3,100,000
5.512%, 
5/22/2031
a,d
3,118,848
1,200,000
6.100%, 
4/13/2033
a,d
1,230,248
Sumisho
Air
Lease
Corporation
2,900,000
8.256%, 
9/15/2026
d,f
2,907,151
1,500,000
3.000%, 
2/1/2030
1,396,438
Sumitomo
Mitsui
Financial
Group,
Inc.
2,900,000
5.808%, 
9/14/2033
2,971,198
Teachers
Insurance
&
Annuity
Association
of
America
3,650,000
6.050%, 
6/15/2056
a
3,530,095
Toronto-Dominion
Bank
1,750,000
5.146%, 
9/10/2034
d
1,747,129
Truist
Financial
Corporation
1,150,000
5.435%, 
1/24/2030
d
1,163,135
4,700,000
5.071%, 
5/20/2031
d
4,698,761
2,800,000
4.597%, 
1/27/2032
d
2,733,551
U.S.
Bancorp
900,000
5.384%, 
1/23/2030
d
911,160
2,650,000
5.046%, 
2/12/2031
d
2,651,078
900,000
5.678%, 
1/23/2035
d
912,495
UBS
Group
AG
250,000
3.091%, 
5/14/2032
a,d
227,022
3,150,000
6.875%, 
6/5/2032
a,d,f
3,125,995
1,750,000
7.000%, 
1/8/2036
a,d,f
1,740,515
UnitedHealth
Group,
Inc.
1,300,000
5.875%, 
2/15/2053
1,251,314
2,150,000
4.950%, 
5/15/2062
1,748,237
760,000
4.750%, 
7/15/2045
648,782
1,775,000
4.450%, 
12/15/2048
1,418,197
Unum
Group
2,650,000
4.046%, 
8/15/2041
a
2,095,356
Ventas
Realty,
LP
1,600,000
5.100%, 
7/15/2032
1,592,508
3,200,000
5.000%, 
1/15/2035
3,087,563
Wells
Fargo
&
Company
2,150,000
5.198%, 
1/23/2030
d
2,166,683
2,550,000
5.244%, 
1/24/2031
d
2,566,889
2,450,000
5.150%, 
4/23/2031
d
2,460,154
2,700,000
4.897%, 
7/25/2033
d
2,652,043
1,900,000
6.491%, 
10/23/2034
d
2,017,071
2,200,000
4.892%, 
9/15/2036
d
2,103,959
Western
Alliance
Bank
2,000,000
6.537%, 
11/15/2035
d
1,973,620
Zions
Bancorp
NA
2,700,000
4.483%, 
2/9/2029
d
2,678,482
Total
440,190,726
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
84
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Foreign
Government
0.8%
Dominican
Republic
Government
International
Bond
$
2,300,000
6.000%, 
7/19/2028
a
$
2,314,950
1,875,000
6.000%, 
2/22/2033
a
1,852,500
Equinor
ASA
3,250,000
4.750%, 
11/14/2035
3,108,046
Petroleos
Mexicanos
3,000,000
5.950%, 
1/28/2031
2,938,543
Total
10,214,039
Mortgage-Backed
Securities
1.0%
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
5,883,741
5.000%, 
5/1/2054
5,758,253
6,362,010
5.000%, 
8/1/2055
6,217,743
Total
11,975,996
Technology
8.9%
Accenture
Capital,
Inc.
3,750,000
5.300%, 
7/10/2033
3,731,548
725,000
4.500%, 
10/4/2034
681,039
Alphabet,
Inc.
1,250,000
5.650%, 
2/15/2056
b
1,154,455
4,750,000
5.300%, 
5/15/2065
4,023,729
3,300,000
5.500%, 
2/15/2046
3,065,260
Apple,
Inc.
1,850,000
2.700%, 
8/5/2051
1,068,492
1,750,000
3.950%, 
8/8/2052
1,284,319
1,080,000
3.750%, 
9/12/2047
794,831
Beacon
Point
DC,
LLC
2,250,000
6.129%, 
11/30/2042
a
2,158,943
Block,
Inc.
850,000
5.625%, 
8/15/2030
a
845,651
2,600,000
6.000%, 
8/15/2033
a
2,578,391
Broadcom,
Inc.
2,400,000
3.137%, 
11/15/2035
1,950,868
1,950,000
3.187%, 
11/15/2036
1,551,190
1,800,000
4.926%, 
5/15/2037
a
1,674,893
2,750,000
4.900%, 
2/15/2038
2,560,809
Cisco
Systems,
Inc.
1,500,000
5.300%, 
2/26/2054
b
1,341,594
Dell
International,
LLC/EMC
Corporation
2,425,000
4.850%, 
2/1/2035
2,304,935
Equinix
Europe
2
Financing
Corporation,
LLC
2,700,000
5.500%, 
6/15/2034
2,664,609
Fidelity
National
Information
Services,
Inc.
2,100,000
4.800%, 
3/10/2031
2,062,922
Fiserv,
Inc.
2,000,000
2.650%, 
6/1/2030
1,825,431
2,500,000
5.600%, 
3/2/2033
2,490,790
2,800,000
5.150%, 
8/12/2034
2,663,443
Foundry
JV
Holdco,
LLC
3,100,000
6.150%, 
1/25/2032
a
3,201,064
3,700,000
5.900%, 
1/25/2033
a
3,768,268
2,500,000
5.875%, 
1/25/2034
a
2,482,099
Global
Payments,
Inc.
1,300,000
5.400%, 
8/15/2032
b
1,280,948
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Technology
8.9%
-
continued
Hewlett
Packard
Enterprise
Company
$
1,975,000
5.000%, 
10/15/2034
$
1,892,324
HUT
8
DC,
LLC
1,900,000
6.192%, 
11/15/2042
a
1,847,328
Intel
Corporation
1,200,000
5.000%, 
8/15/2033
1,166,612
1,200,000
5.300%, 
5/15/2036
1,158,559
Mastercard,
Inc.
1,250,000
4.850%, 
3/9/2033
1,240,513
1,950,000
4.550%, 
1/15/2035
1,867,857
Microchip
Technology,
Inc.
900,000
5.050%, 
3/15/2029
902,888
Microsoft
Corporation
1,600,000
2.500%, 
9/15/2050
886,717
NVIDIA
Corporation
1,000,000
5.625%, 
6/15/2056
904,890
3,350,000
5.550%, 
6/15/2046
3,091,901
Oracle
Corporation
2,000,000
6.700%, 
2/4/2056
b
1,763,521
2,200,000
6.850%, 
2/4/2066
1,935,750
2,300,000
5.550%, 
2/6/2053
1,727,722
4,240,000
3.950%, 
3/25/2051
2,584,166
2,650,000
4.800%, 
9/26/2032
2,439,057
2,600,000
5.350%, 
5/4/2033
2,443,290
2,600,000
6.550%, 
2/4/2046
2,300,935
4,750,000
4.000%, 
7/15/2046
3,017,482
Paychex,
Inc.
2,650,000
5.350%, 
4/15/2032
2,655,773
Roper
Technologies,
Inc.
2,700,000
5.100%, 
9/15/2035
2,575,647
Salesforce,
Inc.
3,350,000
4.900%, 
9/15/2031
3,301,218
Sony
Group
Corporation
4,300,000
5.089%, 
6/30/2036
4,197,139
Synopsys,
Inc.
2,200,000
5.000%, 
4/1/2032
2,175,348
2,925,000
5.150%, 
4/1/2035
2,838,332
Texas
Instruments,
Inc.
2,100,000
5.000%, 
3/14/2053
1,804,854
VeriSign,
Inc.
2,150,000
5.250%, 
6/1/2032
b
2,144,975
VMware,
LLC
1,900,000
2.200%, 
8/15/2031
1,651,998
Total
111,727,317
Transportation
1.5%
Air
Canada
1,400,000
3.875%, 
8/15/2026
a
1,398,335
Burlington
Northern
Santa
Fe,
LLC
1,500,000
4.700%, 
9/1/2045
1,285,960
Canadian
Pacific
Railway
Company
3,080,000
4.700%, 
5/1/2048
2,590,367
Delta
Air
Lines,
Inc./SkyMiles
IP,
Ltd.
2,175,000
4.750%, 
10/20/2028
a
2,171,264
ERAC
USA
Finance,
LLC
2,440,000
4.200%, 
11/1/2046
a
1,924,804
FedEx
Freight
Holding
Company,
Inc.
2,800,000
5.250%, 
3/15/2036
a
2,671,565
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
85
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Transportation
1.5%
-
continued
United
Airlines
Holdings,
Inc.
$
3,100,000
5.375%, 
3/1/2031
$
3,059,384
United
Airlines
Pass
Through
Trust
380,920
3.750%, 
9/3/2026
b
380,624
United
Airlines,
Inc.
3,425,000
4.625%, 
4/15/2029
a
3,365,700
Total
18,848,003
U.S.
Government
&
Agencies
3.8%
Tennessee
Valley
Authority
2,750,000
5.250%, 
2/1/2055
2,583,034
U.S.
Treasury
Bonds
13,100,000
5.000%, 
5/15/2056
12,600,563
6,350,000
4.625%, 
11/15/2055
5,746,750
8,500,000
4.375%, 
8/15/2043
7,683,867
5,450,000
5.000%, 
5/15/2045
5,279,900
U.S.
Treasury
Notes
3,000,000
4.125%, 
3/31/2032
2,946,914
11,000,000
4.125%, 
2/15/2036
10,511,875
Total
47,352,903
Utilities
10.6%
AES
Corporation
3,550,000
7.600%, 
1/15/2055
d
3,609,136
Algonquin
Power
&
Utilities
Corporation
3,500,000
4.750%, 
1/18/2082
d
3,467,474
American
Electric
Power
Company,
Inc.
2,650,000
6.050%, 
3/15/2056
d
2,604,237
1,925,000
7.050%, 
12/15/2054
d
1,987,942
1,250,000
5.625%, 
3/1/2033
b
1,276,233
American
Water
Capital
Corporation
1,800,000
3.450%, 
5/1/2050
1,208,733
4,350,000
5.200%, 
4/1/2036
4,250,240
Arizona
Public
Service
Company
1,950,000
5.550%, 
8/1/2033
1,966,155
Berkshire
Hathaway
Energy
Company
1,425,000
4.450%, 
1/15/2049
1,120,840
CenterPoint
Energy,
Inc.
1,225,000
7.000%, 
2/15/2055
d
1,262,658
2,250,000
6.700%, 
5/15/2055
d
2,287,667
1,000,000
6.400%, 
8/15/2058
d
999,328
Commonwealth
Edison
Company
950,000
5.650%, 
6/1/2054
884,615
Consolidated
Edison
Company
of
New
York,
Inc.
1,583,000
3.850%, 
6/15/2046
1,168,845
2,250,000
4.125%, 
5/15/2049
1,692,856
Constellation
Energy
Generation,
LLC
1,200,000
5.875%, 
1/15/2066
b
1,107,997
1,900,000
5.800%, 
3/1/2033
1,951,134
Dominion
Energy,
Inc.
1,450,000
6.875%, 
2/1/2055
d
1,482,787
2,750,000
6.000%, 
2/15/2056
d
2,722,028
2,950,000
6.150%, 
12/15/2056
d
2,918,444
1,000,000
4.350%, 
1/15/2027
d,f
994,947
DTE
Energy
Company
2,600,000
5.200%, 
4/1/2030
2,616,464
1,450,000
5.850%, 
6/1/2034
1,488,503
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Utilities
10.6%
-
continued
Duke
Energy
Corporation
$
2,300,000
3.250%, 
1/15/2082
d
$
2,272,294
1,500,000
3.500%, 
6/15/2051
969,240
2,050,000
5.800%, 
6/15/2054
1,891,269
3,000,000
5.000%, 
8/15/2052
2,477,411
1,500,000
6.450%, 
9/1/2054
b,d
1,536,251
1,800,000
3.750%, 
9/1/2046
1,288,034
Exelon
Corporation
1,200,000
4.100%, 
3/15/2052
870,138
3,100,000
5.875%, 
3/15/2055
2,908,264
FirstEnergy
Corporation
2,200,000
4.850%, 
7/15/2047
1,834,236
FirstEnergy
Transmission,
LLC
2,550,000
4.750%, 
1/15/2033
2,468,428
1,850,000
5.450%, 
7/15/2044
a
1,693,493
Florida
Power
&
Light
Company
800,000
5.300%, 
6/15/2034
801,112
Georgia
Power
Company
700,000
5.250%, 
3/15/2034
698,452
Indiana
Michigan
Power
Company
1,000,000
5.625%, 
4/1/2053
b
930,188
Kentucky
Utilities
Company
1,000,000
5.850%, 
8/15/2055
956,609
MidAmerican
Energy
Company
4,200,000
5.500%, 
11/15/2056
3,831,460
National
Rural
Utilities
Cooperative
Finance
Corporation
1,400,000
4.400%, 
11/1/2048
1,112,578
Nevada
Power
Company
675,000
6.000%, 
3/15/2054
652,157
NextEra
Energy
Capital
Holdings,
Inc.
1,950,000
6.750%, 
6/15/2054
d
2,001,843
2,600,000
6.625%, 
10/1/2066
d
2,532,339
1,850,000
5.300%, 
3/15/2032
1,860,278
Niagara
Mohawk
Power
Corporation
2,450,000
5.996%, 
7/3/2055
a
2,314,439
NiSource,
Inc.
2,900,000
5.850%, 
4/1/2055
b
2,722,437
1,750,000
5.750%, 
7/15/2056
b,d
1,723,628
1,000,000
5.350%, 
7/15/2035
987,976
Oncor
Electric
Delivery
Company,
LLC
1,510,000
3.750%, 
4/1/2045
1,119,844
Pacific
Gas
and
Electric
Company
3,200,000
4.550%, 
7/1/2030
3,128,959
3,450,000
5.600%, 
8/15/2036
3,384,119
2,250,000
5.850%, 
11/1/2036
h
2,246,413
PG&E
Corporation
2,700,000
5.250%, 
7/1/2030
2,655,282
PPL
Electric
Utilities
Corporation
1,150,000
4.850%, 
2/15/2034
1,121,148
Public
Service
Company
of
Colorado
1,200,000
4.500%, 
6/1/2052
942,184
Public
Service
Enterprise
Group,
Inc.
1,650,000
5.400%, 
3/15/2035
1,636,729
Sempra
3,250,000
6.400%, 
10/1/2054
d
3,233,873
4,300,000
5.250%, 
3/15/2036
4,149,223
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
86
Principal
Amount
Long-Term
Fixed
Income  97.6%
Value
Utilities
10.6%
-
continued
Southern
California
Edison
Company
$
1,600,000
5.450%, 
3/1/2035
$
1,571,182
Southern
Company
2,000,000
5.700%, 
10/15/2032
2,058,103
1,350,000
3.750%, 
9/15/2051
d
1,347,402
Southern
Company
Gas
Capital
Corporation
2,450,000
4.950%, 
9/15/2034
2,380,783
Virginia
Electric
and
Power
Company
1,000,000
5.550%, 
8/15/2054
911,809
1,800,000
5.000%, 
1/15/2034
1,761,814
Vistra
Operations
Company,
LLC
1,550,000
5.050%, 
12/30/2026
a
1,551,556
3,500,000
4.375%, 
5/1/2029
a
3,415,113
1,250,000
4.700%, 
1/31/2031
a
1,216,782
1,700,000
5.250%, 
4/30/2033
a
1,662,146
Xcel
Energy,
Inc.
1,600,000
5.750%, 
12/3/2056
b,d
1,569,130
1,900,000
5.600%, 
4/15/2035
1,900,283
Total
133,367,694
Total
Long-Term
Fixed
Income
(cost
$1,273,614,708)
1,226,246,669
Shares
Collateral
Held
for
Securities
Loaned
2.0%
Value
24,702,946
Thrivent
Cash
Management
Trust
24,702,946
Total
Collateral
Held
for
Securities
Loaned
(cost
$24,702,946)
24,702,946
Shares
Preferred
Stock
0.3%
Value
Capital
Goods
0.3%
60,000
Boeing
Company,
Convertible,
6.000%
4,008,600
Total
4,008,600
Total
Preferred
Stock
(cost
$3,133,200)
4,008,600
Shares
or
Principal
Amount
Short-Term
Investments
1.0%
Value
Federal
Home
Loan
Bank
Discount
Notes
200,000
3.614%,
8/21/2026
i,j
199,580
200,000
3.620%,
8/26/2026
i,j
199,481
300,000
3.640%,
9/4/2026
i,j
298,936
200,000
3.685%,
9/18/2026
i,j
199,006
200,000
3.700%,
10/1/2026
i,j
198,731
200,000
3.800%,
10/21/2026
i,j
198,321
State
Street
Institutional
U.S.
Government
Money
Market
Fund
12,546,312
3.619%
i
12,546,312
Total
Short-Term
Investments
(cost
$13,840,430)
13,840,367
Total
Investments
(cost
$1,315,291,284)
100.9%
$1,268,798,582
Other
Assets
and
Liabilities,
Net
(0.9%)
(11,913,362)
Total
Net
Assets
100.0%
$1,256,885,220
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$279,918,108
or
22.3%
of
total
net
assets.
b
All
or
a
portion
of
the
security
is
on
loan.
c
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
d
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
e
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
f
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
g
Defaulted
security.  Interest
is
not
being
accrued.
h
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
i
The
interest
rate
shown
reflects
the
yield.
j
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Income
Fund
as
of
July
31,
2026
was
$1,428,000
or
0.11%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG 
7/9/2018
$
1,300,000
Credit
Suisse
Group
AG 
5/17/2021
2,600,260
Credit
Suisse
Group
AG 
8/4/2020
2,300,000
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Income
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
23,734,727
Total
lending
$23,734,727
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$24,702,946
Net
amounts
due
to
counterparty
$968,219
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
87
Definitions:
DAC
-
Designated
Activity
Company
plc
-
Public
Limited
Company
Ser.
-
Series
Reference
Rate
Index:
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Income
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Basic
Materials
24,141,226
–
24,141,226
–
Capital
Goods
64,649,635
–
64,649,635
–
Collateralized
Mortgage
Obligations
37,669,480
–
37,669,480
–
Communications
Services
64,475,634
–
64,475,634
–
Consumer
Cyclical
75,055,713
–
75,055,713
–
Consumer
Non-Cyclical
116,610,011
–
116,610,011
–
Energy
69,968,292
–
69,968,292
–
Financials
440,190,726
–
440,190,726
–
Foreign
Government
10,214,039
–
10,214,039
–
Mortgage-Backed
Securities
11,975,996
–
11,975,996
–
Technology
111,727,317
–
111,727,317
–
Transportation
18,848,003
–
18,848,003
–
U.S.
Government
&
Agencies
47,352,903
–
47,352,903
–
Utilities
133,367,694
–
133,367,694
–
Preferred
Stock
Capital
Goods
4,008,600
4,008,600
–
–
Short-Term
Investments
13,840,367
12,546,312
1,294,055
–
Subtotal
Investments
in
Securities
$1,244,095,636
$16,554,912
$1,227,540,724
$–
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
24,702,946
Subtotal
Other
Investments
$24,702,946
Total
Investments
at
Value
$1,268,798,582
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Income
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
798,699
798,699
–
–
Total
Liability
Derivatives
$798,699
$798,699
$–
$–
Income
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
88
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
The
following
table
presents
Income
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$1,294,055
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
5-Yr.
U.S.
Treasury
Note
200
September
2026
$
21,335,680
(
$
140,368)
CBOT
U.S.
Long
Bond
125
September
2026
13,938,440
(
399,378)
Ultra
10-Yr.
U.S.
Treasury
Note
175
September
2026
19,457,001
(
258,953)
Total
Futures
Long
Contracts
$
54,731,121
(
$
798,699)
Total
Futures
Contracts
$
54,731,121
($798,699)
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Income
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$11,617
$142,075
$128,989
$24,703
24,703
2.0%
Total
Collateral
Held
for
Securities
Loaned
11,617
24,703
2.0
Total
Value
$11,617
$24,703
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$
–
$29
Total
Affiliated
Income
from
Securities
Loaned,
Net
$29
Total
$–
$–
$–
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
89
Shares
Common
Stock
93.2%
Value
Australia
4.0%
68,523
Alkane
Resources,
Ltd.
$
63,891
11,006
Ampol,
Ltd.
310,525
8,792
Ansell,
Ltd.
201,915
52,349
ANZ
Group
Holdings,
Ltd.
1,368,146
695,150
Aurizon
Holdings,
Ltd.
2,044,273
18,241
Austal,
Ltd.
a
46,003
4,112
Bank
of
Queensland,
Ltd.
19,153
7,830
Bendigo
and
Adelaide
Bank,
Ltd.
62,948
212,013
BHP
Group,
Ltd.
8,936,473
8,720
BlueScope
Steel,
Ltd.
200,004
10,671
Brambles,
Ltd.
146,488
24,479
Challenger,
Ltd.
168,219
27,337
Champion
Iron,
Ltd.
65,003
7,103
Charter
Hall
Group
116,146
53,177
Charter
Hall
Retail
REIT
150,304
2,490
Cochlear,
Ltd.
208,683
25,070
Codan,
Ltd.
704,137
34,012
Commonwealth
Bank
of
Australia
4,251,668
24,291
Deterra
Royalties,
Ltd.
73,946
60,312
Dexus
Industria
REIT
104,419
62,897
DEXUS
Property
Group
264,144
14,922
Dicker
Data,
Ltd.
131,348
56,839
Downer
EDI,
Ltd.
309,227
151,022
Dyno
Nobel,
Ltd.
399,743
8,572
Genesis
Minerals,
Ltd.
a
34,339
169,276
GPT
Group
609,712
117,210
Greatland
Resources,
Ltd.
a
810,526
19,644
Harvey
Norman
Holdings,
Ltd.
67,656
25,991
Helia
Group,
Ltd.
91,419
144,451
HomeCo
Daily
Needs
REIT
128,349
868
JB
Hi-Fi,
Ltd.
49,934
16,778
Karoon
Gas
Australia,
Ltd.
20,798
93,198
Liontown,
Ltd.
a
63,038
1,446
Macquarie
Group,
Ltd.
256,692
1,187
Macquarie
Technology
Group,
Ltd.
a
50,329
12,307
Magellan
Financial
Group,
Ltd.
82,372
9,513
Mineral
Resources,
Ltd.
a
386,628
52,954
National
Australia
Bank,
Ltd.
1,533,335
9,269
NEXTDC,
Ltd.
a
87,181
152,645
Nickel
Industries,
Ltd.
a
86,974
78,008
NRW
Holdings,
Ltd.
382,158
40,837
Nufarm,
Ltd.
a
85,853
173,537
Orica,
Ltd.
2,834,838
171,180
Perenti,
Ltd.
254,010
62,124
Perseus
Mining,
Ltd.
212,668
73,505
PLS
Group,
Ltd.
a
213,579
187,108
QBE
Insurance
Group,
Ltd.
3,245,347
4,067
Ramsay
Health
Care,
Ltd.
126,394
106,423
Region
Group
177,924
128,849
Regis
Resources,
Ltd.
552,145
185,165
Resolute
Mining,
Ltd.
a
121,152
35,560
Rio
Tinto,
Ltd.
4,238,106
6,144
Sandfire
Resources,
Ltd.
a
81,331
16,835
SmartGroup
Corporation,
Ltd.
151,601
18,570
South32,
Ltd.
59,203
31,640
SRG
Global,
Ltd.
74,453
73,588
Stanmore
Resources,
Ltd.
119,182
42,494
Tabcorp
Holdings,
Ltd.
26,626
16,917
Technology
One,
Ltd.
368,971
767,951
Telstra
Corporation,
Ltd.
2,711,157
39,152
TUAS,
Ltd.
a
59,140
144,456
Ventia
Services
Group,
Pty.
Ltd.
589,138
45,604
Virgin
Australia
Holdings,
Ltd.
a
88,842
172,400
Waypoint
REIT,
Ltd.
301,398
19,734
Wesfarmers,
Ltd.
1,236,047
Shares
Common
Stock  93.2%
Value
Australia
4.0%-
continued
41,866
Westgold
Resources,
Ltd.
$
139,555
59,639
Westpac
Banking
Corporation
1,581,465
14,618
Whitehaven
Coal,
Ltd.
72,192
12,662
Worley,
Ltd.
93,983
Total
44,904,546
Austria
0.2%
6,766
ams
OSRAM
AG
a
134,423
13,173
Erste
Group
Bank
AG
1,722,016
1,754
Lenzing
AG
a
47,658
3,949
Porr
AG
171,507
7,297
Voestalpine
AG
380,103
1,584
Wienerberger
AG
38,986
Total
2,494,693
Belgium
0.9%
6,237
Ackermans
&
van
Haaren
NV
1,935,704
1,395
Aedifica
SA
112,806
9,871
Ageas
SA
NV
816,896
56,170
Anheuser-Busch
InBev
SA/NV
4,878,588
8,993
Barco
NV
81,482
3,269
Bekaert
SA
150,232
301
Deme
Group
NV
57,425
2,627
Fagron
NV
70,169
1,451
Groupe
Bruxelles
Lambert
SA
130,875
4,286
Lakefront
Biotherapeutics
NV
a
117,574
3,178
UCB
SA
815,741
11,193
Umicore
SA
279,376
Total
9,446,868
Bermuda
0.1%
34,034
AutoStore
Holdings,
Ltd.
a,b
43,434
10,791
Conduit
Holdings,
Ltd.
62,901
1,528
Credicorp,
Ltd.
612,086
5,025
Hiscox,
Ltd.
122,679
3,200
Jardine
Matheson
Holdings,
Ltd.
212,528
10,500
Orient
Overseas
International,
Ltd.
205,323
12,000
Yue
Yuen
Industrial
Holdings,
Ltd.
21,718
Total
1,280,669
Brazil
1.1%
59,700
Alupar
Investimento
SA
385,347
37,600
Ambev
SA
118,382
16,232
Axia
Energia
SA
ADR
169,949
39,500
Banco
ABC
Brasil
SA
188,650
177,556
Banco
Bradesco
SA
ADR
640,977
168,700
Banco
do
Brasil
SA
706,862
249,600
Banco
do
Estado
do
Rio
Grande
do
Sul
SA
689,346
75,200
BB
Seguridade
Participacoes
SA
609,712
634,450
Cogna
Educacao
SA
289,117
57,055
Companhia
de
Saneamento
Basico
do
Estado
de
Sao
Paulo
ADR
310,950
24,783
Companhia
Energetica
de
Minas
Gerais
ADR
54,275
931
Companhia
Paranaense
de
Energia
-
COPEL
ADR
10,921
1,800
CPFL
Energia
SA
16,387
64,658
Cury
Construtora
e
Incorporadora
SA
382,656
6,500
Cyrela
Brazil
Realty
SA
Empreendimentos
e
Participacoes
27,466
135,500
Direcional
Engenharia
SA
302,053
68,100
Itau
Unibanco
Holding
SA
613,271
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
90
Shares
Common
Stock  93.2%
Value
Brazil
1.1%-
continued
220,863
Itau
Unibanco
Holding
SA
ADR
$
1,868,501
168,700
JHSF
Participacoes
SA
370,071
12,000
M.
Dias
Branco
SA
40,669
278,098
Metalurgica
Gerdau
SA
599,630
119,380
Petroleo
Brasileiro
SA
-
Petrobras
ADR
2,315,972
52,700
TIM
SA/Brazil
201,583
186,900
Usinas
Siderurgicas
de
Minas
Gerais
SA
Usiminas
a
269,889
91,954
Vale
SA
ADR
1,384,827
Total
12,567,463
Canada
7.8%
14,173
Agnico
Eagle
Mines,
Ltd.
2,057,630
34,759
Air
Canada
a
629,051
16,743
Alimentation
Couche-Tard,
Inc.
1,086,978
7,191
AltaGas,
Ltd.
286,132
40,948
Andean
Precious
Metals
Corporation
a
162,700
9,156
Aris
Mining
Corporation
a
122,333
6,129
ATCO,
Ltd.
348,936
16,441
Athabasca
Oil
Corporation
a
121,503
10,073
AtkinsRealis
Group,
Inc.
624,348
23,303
B2Gold
Corporation
87,271
17,472
Bank
of
Montreal
3,134,204
31,094
Bank
of
Nova
Scotia
2,727,559
52,794
Barrick
Mining
Corporation
1,937,619
51,007
Bausch
Health
Companies,
Inc.
a
351,438
48,541
Baytex
Energy
Corporation
221,263
14,747
BCE,
Inc.
319,903
2,002
Bombardier,
Inc.
a
482,331
1,935
Brookfield
Business
Corporation
57,394
47,488
Brookfield
Corporation
2,018,287
9,082
Cameco
Corporation
784,503
5,569
Canaccord
Genuity
Group,
Inc.
57,206
21,666
Canadian
Imperial
Bank
of
Commerce
2,566,197
16,158
Canadian
National
Railway
Company
2,054,545
57,031
Canadian
Natural
Resources,
Ltd.
2,716,789
16,719
Canadian
Pacific
Kansas
City,
Ltd.
1,485,073
4,244
Canadian
Tire
Corporation,
Ltd.
619,412
8,234
Canadian
Utilities,
Ltd.
327,281
29,235
Capstone
Copper
Corporation
a
277,575
56,275
Cascades,
Inc.
540,731
10,620
CCL
Industries,
Inc.
704,162
2,293
Celestica,
Inc.
a
759,992
39,344
Cenovus
Energy,
Inc.
1,186,340
23,121
Centerra
Gold,
Inc.
397,486
31,587
CES
Energy
Solutions
Corporation
368,179
11,004
CGI,
Inc.
805,450
1,175
Cogeco
Communications,
Inc.
49,536
380
Constellation
Software,
Inc./Canada
814,022
16,505
Discovery
Mining,
Ltd.
a
103,020
3,314
Dollarama,
Inc.
451,457
1,456
Emera,
Inc.
77,803
15,470
Empire
Company,
Ltd.
566,227
60,852
Enbridge,
Inc.
3,311,189
24,883
Equinox
Gold
Corporation
222,941
707
Fairfax
Financial
Holdings,
Ltd.
1,183,953
1,231
Finning
International,
Inc.
81,578
27,540
First
Majestic
Silver
Corporation
413,926
23,115
First
Quantum
Minerals,
Ltd.
a
640,760
10,769
Fortis,
Inc.
613,023
38,973
Fortuna
Mining
Corporation
a
328,542
Shares
Common
Stock  93.2%
Value
Canada
7.8%-
continued
2,740
Franco-Nevada
Corporation
$
583,401
10,093
George
Weston,
Ltd.
754,320
14,844
GoGold
Resources,
Inc.
a
30,708
14,452
Great-West
Lifeco,
Inc.
958,140
5,421
Hudbay
Minerals,
Inc.
123,010
3,378
Hydro
One,
Ltd.
140,725
2,116
iA
Financial
Corporation,
Inc.
312,860
32,001
IAMGOLD
Corporation
a
454,094
4,060
IGM
Financial,
Inc.
252,430
3,921
Imperial
Metals
Corporation
a
20,139
7,329
Imperial
Oil,
Ltd.
950,206
4,096
Intact
Financial
Corporation
804,240
1,515
Kinaxis,
Inc.
a
181,560
47,386
Kinross
Gold
Corporation
1,094,617
7,135
Linamar
Corporation
526,224
17,411
Loblaw
Companies,
Ltd.
817,362
1,372
Lundin
Gold,
Inc.
76,819
28,790
Lundin
Mining
Corporation
712,844
13,662
Magna
International,
Inc.
937,213
51,759
Manulife
Financial
Corporation
2,298,759
4,549
Metro,
Inc./CN
302,369
1,390
Mullen
Group,
Ltd.
27,297
8,836
National
Bank
of
Canada
1,429,228
2,633
Northland
Power,
Inc.
40,983
17,330
Nutrien,
Ltd.
1,196,983
20,895
OceanaGold
Corporation
503,799
24,846
Open
Text
Corporation
629,901
11,365
Pan
American
Silver
Corporation
489,945
13,504
Pembina
Pipeline
Corporation
660,245
21,967
Power
Corporation
of
Canada
1,501,187
1,911
Precision
Drilling
Corporation
a
148,589
12,541
Quebecor,
Inc.
580,330
215
RB
Global,
Inc.
23,582
2,013
Restaurant
Brands
International,
Inc.
148,880
5,726
Rogers
Communications,
Inc.
193,855
34,902
Royal
Bank
of
Canada
7,305,058
4,230
Russel
Metals,
Inc.
202,953
8,580
Saputo,
Inc.
241,331
27,827
Shopify,
Inc.
a
3,259,933
3,975
South
Bow
Corporation
147,391
8,244
SSR
Mining,
Inc.
a
211,211
19,031
Sun
Life
Financial,
Inc.
1,578,982
37,117
Suncor
Energy,
Inc.
2,492,559
19,275
Superior
Plus
Corporation
109,722
62,114
Tamarack
Valley
Energy,
Ltd.
594,178
24,443
TC
Energy
Corporation
1,645,981
11,427
Teck
Resources,
Ltd.
688,363
1,595
TFI
International,
Inc.
215,485
765
Thomson
Reuters
Corporation
75,046
2,546
Torex
Gold
Resources,
Inc.
97,982
42,150
Toronto-Dominion
Bank
5,052,528
26,961
Valeura
Energy,
Inc.
a
240,790
28,547
Vermilion
Energy,
Inc.
339,668
7,467
Wheaton
Precious
Metals
Corporation
814,127
5,475
Whitecap
Resources,
Inc.
64,598
3,449
WSP
Global,
Inc.
421,379
Total
86,991,887
Cayman
Islands
2.6%
365,988
Alibaba
Group
Holding,
Ltd.
5,575,243
5,200
ASMPT,
Ltd.
99,786
12,450
Baidu,
Inc.
a
172,465
1,145
Bitdeer
Technologies
Group
a
12,045
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
91
Shares
Common
Stock  93.2%
Value
Cayman
Islands
2.6%-
continued
106,500
China
Hongqiao
Group,
Ltd.
$
335,119
79,000
China
Resources
Land,
Ltd.
334,219
194,000
Comba
Telecom
Systems
Holdings,
Ltd.
19,538
571,000
Consun
Pharmaceutical
Group,
Ltd.
998,059
216,000
Geely
Automobile
Holdings,
Ltd.
545,343
11,348
Hello
Group,
Inc.
ADR
67,974
30,000
Hengan
International
Group
Company,
Ltd.
94,637
4,283
Huazhu
Group,
Ltd.
ADR
182,841
21,500
JD.com,
Inc.
353,675
4,937
JOYY,
Inc.
ADR
363,215
73,500
Kingboard
Holdings,
Ltd.
367,574
17,500
Kingboard
Laminates
Holdings,
Ltd.
65,194
144,000
Li
Ning
Company,
Ltd.
278,182
102,000
Mobvista,
Inc.
a,b
145,548
86,500
NetDragon
Websoft
Holdings,
Ltd.
88,907
14,570
NetEase,
Inc.
ADR
1,941,744
42,390
NU
Holdings,
Ltd./Cayman
Islands
a
607,449
36,447
Pagseguro
Digital,
Ltd.
351,349
2,813
PDD
Holdings,
Inc.
ADR
a
249,119
1,260,000
Shui
On
Land,
Ltd.
a
86,858
101,600
Sunny
Optical
Technology
(Group)
Company,
Ltd.
726,152
178,490
Tencent
Holdings,
Ltd.
10,906,272
182,000
VSTECS
Holdings,
Ltd.
217,639
1,728,000
WH
Group,
Ltd.
b
1,859,273
116,000
WuXi
Biologics
(Cayman),
Inc.
a,b
572,519
182,600
Xiaomi
Corporation
a,b
670,048
21,450
ZTO
Express
Cayman,
Inc.
513,324
Total
28,801,310
Chile
0.1%
140,473
Aguas
Andinas
SA
51,294
7,449
Banco
de
Chile
ADR
308,016
1,140
Banco
de
Credito
e
Inversiones
SA
82,028
10,555
Banco
Santander
Chile
SA
ADR
365,309
1,095,432
Colbun
SA
163,758
3,232,558
Latam
Airlines
Group
SA
86,016
Total
1,056,421
China
3.8%
393,000
Agricultural
Bank
of
China,
Ltd.,
Class
H
315,964
434,000
Aluminum
Corporation
of
China,
Ltd.,
Class
H
472,579
40,000
Anhui
Expressway
Company,
Ltd.
79,873
25,400
Anjoy
Foods
Group
Company,
Ltd.
244,452
1,522,000
BAIC
Motor
Corporation,
Ltd.
a,b
169,038
2,032,000
Bank
of
China,
Ltd.,
Class
H
1,425,459
37,000
Bank
of
Ningbo
Company,
Ltd.
174,813
179,900
Bank
of
Suzhou
Company,
Ltd.
226,514
234,300
BOE
Technology
Group
Company,
Ltd.
190,745
10,700
Chaozhou
Three-Circle
Group
Company,
Ltd.
175,288
32,800
Chifeng
Jilong
Gold
Mining
Group,
Ltd.
193,181
1,348,000
China
CITIC
Bank
Corporation,
Ltd.,
Class
H
1,329,167
644,000
China
Coal
Energy
Company,
Ltd.
882,681
2,303,000
China
Construction
Bank
Corporation,
Class
H
2,702,400
Shares
Common
Stock  93.2%
Value
China
3.8%-
continued
102,700
China
Galaxy
Securities
Company,
Ltd.
$
192,144
42,600
China
International
Capital
Corporation,
Ltd.,
Class
A
222,879
300,000
China
International
Capital
Corporation,
Ltd.,
Class
H
b
827,385
29,000
China
Life
Insurance
Company,
Ltd.,
Class
A
169,591
438,000
China
Life
Insurance
Company,
Ltd.,
Class
H
1,630,649
150,500
China
Merchants
Bank
Company,
Ltd.,
Class
H
976,456
495,500
China
Minsheng
Banking
Corporation,
Ltd.
229,269
171,200
China
National
Chemical
Engineering
Company,
Ltd.
198,784
53,300
China
Pacific
Insurance
(Group)
Company,
Ltd.,
Class
A
255,029
391,200
China
Pacific
Insurance
(Group)
Company,
Ltd.,
Class
H
1,526,882
1,446,000
China
Petroleum
&
Chemical
Corporation,
Class
H
817,173
346,000
China
Railway
Group,
Ltd.
159,296
59,900
China
Resources
Sanjiu
Medical
&
Pharmaceutical
Company,
Ltd.
229,276
65,000
China
Shenhua
Energy
Company,
Ltd.,
Class
H
360,092
183,000
Chongqing
Rural
Commercial
Bank
Company,
Ltd.
153,176
65,300
CITIC
Securities
Company,
Ltd.,
Class
A
274,869
179,000
CITIC
Securities
Company,
Ltd.,
Class
H
624,869
384,000
CMOC
Group,
Ltd.,
Class
H
827,607
9,500
Contemporary
Amperex
Technology
Company,
Ltd.,
Class
A
556,935
7,300
Contemporary
Amperex
Technology
Company,
Ltd.,
Class
H
577,903
99,900
COSCO
SHIPPING
Holdings
Company,
Ltd.,
Class
A
231,134
522,500
COSCO
SHIPPING
Holdings
Company,
Ltd.,
Class
H
1,051,123
16,100
Fiberhome
Telecommunication
Technologies
Company,
Ltd.
78,510
72,800
Guotai
Haitong
Securities
Company,
Ltd.
197,806
113,700
Hangzhou
First
Applied
Material
Company,
Ltd.
246,948
31,000
Hangzhou
Silan
Microelectronics
Company,
Ltd.
129,452
140,900
Hengli
Petrochemical
Company,
Ltd.
348,579
21,600
Hengtong
Optic-Electric
Company,
Ltd.
151,488
518,000
Huaneng
Power
International,
Inc.,
Class
H
398,088
157,600
Huatai
Securities
Company,
Ltd.,
Class
H
b
339,740
95,000
HUAYU
Automotive
Systems
Company,
Ltd.
237,185
33,400
iFLYTEK
Company,
Ltd.
208,632
2,478,000
Industrial
and
Commercial
Bank
of
China,
Ltd.,
Class
H
2,370,424
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
92
Shares
Common
Stock  93.2%
Value
China
3.8%-
continued
127,100
Inner
Mongolia
Junzheng
Energy
&
Chemical
Industry
Group
Company,
Ltd.
$
89,179
44,500
Inner
Mongolia
Yili
Industrial
Group
Company,
Ltd.
178,550
115,500
Jiangsu
Eastern
Shenghong
Company,
Ltd.
a
201,266
1,100
Kweichow
Moutai
Company,
Ltd.
220,178
46,000
Legend
Holdings
Corporation
b
77,009
444,000
Lenovo
Group,
Ltd.
1,357,838
67,200
Midea
Group
Company,
Ltd.
851,409
26,700
New
China
Life
Insurance
Company,
Ltd.,
Class
A
249,359
161,800
New
China
Life
Insurance
Company,
Ltd.,
Class
H
997,713
62,800
Ningxia
Baofeng
Energy
Group
Company,
Ltd.
216,248
126,000
PetroChina
Company,
Ltd.,
Class
A
207,440
1,440,000
PetroChina
Company,
Ltd.,
Class
H
1,832,343
32,900
Ping
An
Insurance
(Group)
Company
of
China,
Ltd.,
Class
A
267,246
227,500
Ping
An
Insurance
(Group)
Company
of
China,
Ltd.,
Class
H
1,699,601
2,431
Piotech,
Inc.
239,137
9,871
Raytron
Technology
Company,
Ltd.
206,570
163,200
Rongsheng
Petrochemical
Company,
Ltd.
298,946
103,400
SAIC
Motor
Corporation,
Ltd.
173,438
90,800
Sanan
Optoelectronics
Company,
Ltd.
a
164,696
49,300
Sany
Heavy
Industry
Company,
Ltd.
150,138
64,600
Satellite
Chemical
Company,
Ltd.
242,217
59,020
Shandong
Hualu
Hengsheng
Chemical
Company,
Ltd.
188,495
259,400
Shandong
Nanshan
Aluminum
Company,
Ltd.
181,641
66,200
Shanghai
Baosight
Software
Company,
Ltd.
182,424
9,024
Shanghai
BOCHU
Electronic
Technology
Corporation,
Ltd.
140,087
152,700
Shanghai
Electric
Group
Company,
Ltd.
156,072
34,200
Shanghai
Fosun
Pharmaceutical
Group
Company,
Ltd.
117,691
11,500
Shengyi
Technology
Company,
Ltd.
179,820
167,600
Sinopharm
Group
Company,
Ltd.
371,669
18,200
Spring
Airlines
Company,
Ltd.
126,916
762,690
TCL
Technology
Group
Corporation
534,050
181,000
Tong
Ren
Tang
Technologies
Company,
Ltd.
81,197
9,300
TongFu
Microelectronics
Company,
Ltd.
78,157
20,400
Wanhua
Chemical
Group
Company,
Ltd.
224,883
28,200
Weichai
Power
Company,
Ltd.,
Class
A
116,799
234,600
Wuhan
Guide
Infrared
Company,
Ltd.
a
437,405
8,700
WuXi
AppTec
Company,
Ltd.,
Class
A
165,460
39,800
WuXi
AppTec
Company,
Ltd.,
Class
H
b
816,188
106,200
XCMG
Construction
Machinery
Company,
Ltd.
140,989
Shares
Common
Stock  93.2%
Value
China
3.8%-
continued
61,000
Xinhua
Winshare
Publishing
and
Media
Company,
Ltd.
$
77,548
8,000
Yangtze
Optical
Fibre
&
Cable
Joint
Stock,
Ltd.
Company
b
97,037
27,600
Yunnan
Aluminium
Company,
Ltd.
109,097
75,400
Zhejiang
Century
Huatong
Group
Company,
Ltd.
151,243
62,000
Zhejiang
Chint
Electrics
Company,
Ltd.
231,717
126,200
Zhejiang
Dahua
Technology
Company,
Ltd.
312,224
55,500
Zhejiang
NHU
Company,
Ltd.
246,838
100
Zhongji
Innolight
Company,
Ltd.
13,316
380,000
Zijin
Mining
Group
Company,
Ltd.,
Class
H
1,613,473
160,400
Zoomlion
Heavy
Industry
Science
and
Technology
Company,
Ltd.,
Class
A
180,645
Total
42,575,129
Colombia
0.1%
16,558
Grupo
Cibest
SA
469,289
620
Grupo
Cibest
SA
ADR
57,363
Total
526,652
Cyprus
<
0.1%
5,797
Frontline
plc
229,862
9,845
Ros
Agro
plc
GDR
a,c,d
0
Total
229,862
Czech
Republic
<
0.1%
37,162
Moneta
Money
Bank
AS
b
340,081
110
Philip
Morris
CR
98,150
Total
438,231
Denmark
0.4%
15,704
ALK-Abello
AS
537,115
5,736
Bavarian
Nordic
AS
a
157,234
2,459
ChemoMetec
AS
164,120
361
Dampskibsselskabet
Norden
AS
18,799
1,298
FLSmidth
&
Company
AS
97,406
2,974
Gubra
AS
a
177,706
19,309
H
Lundbeck
AS,
Class
B
123,536
41,451
ISS
AS
1,837,164
5,239
NKT
AS
a
715,058
1,865
Per
Aarsleff
Holding
AS
207,726
579
Royal
Unibrew
AS
43,434
2,094
Scandinavian
Tobacco
Group
AS
b
23,245
4,847
Zealand
Pharma
AS
a
227,854
Total
4,330,397
Egypt
<
0.1%
71,970
Commercial
International
Bank
Egypt
SAE
GDR
194,679
Total
194,679
Finland
0.3%
10,955
Huhtamaki
Oyj
390,689
3,027
Kalmar
Oyj
134,607
5,035
Kemira
Oyj
98,826
2,850
Konecranes
Oyj
88,908
57,065
Nokia
Oyj
527,448
1,005
Orion
Oyj
93,955
6,272
QT
Group
Oyj
a
182,007
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
93
Shares
Common
Stock  93.2%
Value
Finland
0.3%-
continued
115,609
Sampo
Oyj
$
1,279,994
Total
2,796,434
France
5.1%
7,333
Air
France-KLM
a
102,420
21,715
Air
Liquide
SA
4,278,040
946
ARGAN
SA
82,847
112,450
AXA
SA
5,828,242
1,655
BioMerieux
131,917
57,615
BNP
Paribas
SA
7,321,064
24,948
Bouygues
SA
1,405,316
14,914
Canal+
SA
53,054
4,626
Carrefour
SA
84,896
2,906
Compagnie
des
Alpes
68,467
138,064
Credit
Agricole
SA
3,085,103
203
Eiffage
SA
28,852
19,206
Elis
SA
550,903
15,577
Emeis
SA
a
262,932
48,941
Eutelsat
Communications
SACA
a
115,763
20,160
FORVIA
SE
a
208,272
514
Gaztransport
Et
Technigaz
SA
116,174
10,780
Ipsen
SA
2,082,972
7,085
Ipsos
SA
292,715
9,411
Klepierre
SA
427,457
26,029
Legrand
SA
3,957,169
3,785
L'Oreal
SA
1,685,821
50,237
Louis
Hachette
Group
102,086
3,299
LVMH
Moet
Hennessy
Louis
Vuitton
SE
1,811,597
13,736
Mercialys
SA
190,409
1,566
Mersen
SA
67,457
1,517
Nexans
SA
231,071
14,609
Safran
SA
5,741,064
59,586
Sanofi
SA
5,131,050
7,159
SCOR
SE
283,218
33,347
Societe
Generale
SA
3,134,506
3,631
SPIE
SA
195,278
4,365
Technip
Energies
NV
150,971
73,540
TotalEnergies
SE
6,483,322
18,572
Valeo
SE
321,331
688
Vicat
SA
52,084
8,876
Vinci
SA
1,253,228
355
Viridien
a
38,173
3,983
Voltalia
SA
a
32,155
381
Wendel
SA
36,949
Total
57,426,345
Germany
3.6%
8,949
Aixtron
SE
377,480
10,942
Allianz
SE
5,450,236
270
Alzchem
Group
AG
48,121
5,976
Aumovio
SE
a
275,930
398
Aurubis
AG
83,748
1,503
Auto1
Group
SE
a
39,470
7,484
BASF
SE
434,473
9,840
Bayer
AG
546,079
578
Bechtle
AG
24,204
353
Bilfinger
SE
33,760
681
Cewe
Stiftung
&
Company
KGaA
75,425
21,651
Deutsche
Bank
AG
796,887
3,374
Deutsche
Boerse
AG
1,016,307
1,603
Deutsche
Lufthansa
AG
16,820
98,100
Deutsche
Telekom
AG
3,027,464
5,685
Deutz
AG
64,867
34,094
DHL
Group
2,277,540
Shares
Common
Stock  93.2%
Value
Germany
3.6%-
continued
3,450
Duerr
AG
$
71,235
15,579
E.ON
SE
335,623
569
Elmos
Semiconductor
SE
96,152
3,558
flatexDEGIRO
SE
149,810
303
Fraport
AG
Frankfurt
Airport
Services
Worldwide
23,671
996
Freenet
AG
27,989
24,683
Fresenius
SE
&
Company
KGaA
1,268,638
440
FUCHS
SE
20,394
12,539
GEA
Group
AG
890,790
6,983
Heidelberg
Materials
AG
1,299,990
586
Hornbach
Holding
AG
&
Company
KGaA
56,452
2,525
Indus
Holding
AG
92,570
40,241
Infineon
Technologies
AG
2,887,838
7,699
Jenoptik
AG
333,568
1,884
Jungheinrich
AG
53,075
3,111
KION
Group
AG
140,781
821
Krones
AG
105,807
2,135
LEG
Immobilien
SE
128,182
339
MBB
SE
75,491
2,013
Mercedes-Benz
Group
AG
108,841
4,458
Muenchener
Rueckversicherungs-
Gesellschaft
AG
2,677,921
962
Nemetschek
SE
64,843
2,224
Nordex
SE
a
99,368
2,747
Norma
Group
SE
57,922
3,962
PATRIZIA
SE
33,303
822
PUMA
SE
a
26,222
1,062
RENK
Group
AG
58,937
511
Rheinmetall
AG
675,516
26,449
RWE
AG
1,739,894
334
SAF-Holland
SE
8,350
20,777
SAP
SE
3,808,323
15,480
Siemens
AG
5,071,968
13,446
Siemens
Energy
AG
2,297,155
1,246
Siltronic
AG
a
110,127
1,309
TAG
Immobilien
AG
20,917
8,931
ThyssenKrupp
AG
125,328
19,322
TUI
AG
168,281
3,894
United
Internet
AG
106,377
Total
39,906,460
Greece
0.3%
6,977
Aegean
Airlines
SA
98,158
154,294
Eurobank
SA
797,322
5,474
HELLENiQ
ENERGY
Holdings
SA
82,061
10,171
Motor
Oil
(Hellas)
Corinth
Refineries
SA
595,817
46,418
National
Bank
of
Greece
SA
868,530
45,080
Piraeus
Bank
SA
a
525,816
Total
2,967,704
Guernsey
<
0.1%
14,349
Foresight
Group
Holdings,
Ltd.
89,669
Total
89,669
Hong
Kong
1.1%
380,000
China
Everbright
Environment
Group,
Ltd.
247,459
103,000
China
Nonferrous
Mining
Corporation,
Ltd.
194,369
195,000
China
Overseas
Grand
Oceans
Group,
Ltd.
60,924
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
94
Shares
Common
Stock  93.2%
Value
Hong
Kong
1.1%-
continued
318,500
China
Resources
Pharmaceutical
Group,
Ltd.
b
$
197,098
159,200
China
Taiping
Insurance
Holdings
Company,
Ltd.
446,664
82,000
Chow
Sang
Sang
Holdings
International,
Ltd.
121,640
756,000
CITIC,
Ltd.
1,189,965
124,000
CK
Asset
Holdings,
Ltd.
755,287
622,500
CK
Hutchison
Holdings,
Ltd.
5,832,377
100,000
CSPC
Pharmaceutical
Group,
Ltd.
109,392
537,000
Genertec
Universal
Medical
Group
Company,
Ltd.
b
333,747
336,000
Guangdong
Investment,
Ltd.
362,606
78,000
Hang
Lung
Properties,
Ltd.
72,489
166,000
HKT
Trust
and
HKT,
Ltd.
281,012
545,000
Hong
Kong
and
China
Gas
Company,
Ltd.
487,904
4,000
Hua
Hong
Grace
Semiconductor,
Ltd.
a,b
65,189
78,000
Hysan
Development
Company,
Ltd.
185,478
42,000
Melco
International
Development,
Ltd.
a
19,717
97,000
New
World
Development
Company,
Ltd.
a
85,123
145,000
PCCW,
Ltd.
108,683
53,000
Sun
Hung
Kai
Properties,
Ltd.
831,827
27,600
VTech
Holdings,
Ltd.
181,958
87,000
Weichai
Power
Company,
Ltd.,
Class
H
363,765
Total
12,534,673
Hungary
0.2%
45,146
MOL
Hungarian
Oil
&
Gas
plc
646,381
10,066
OTP
Bank
Nyrt
1,491,196
Total
2,137,577
India
2.9%
18,437
Aditya
Birla
Sun
Life
Asset
Management
Company,
Ltd.
195,353
1,394
AIA
Engineering,
Ltd.
67,056
8,081
Anand
Rathi
Wealth,
Ltd.
175,596
5,432
Apollo
Hospitals
Enterprise,
Ltd.
509,616
3,559
Asian
Paints,
Ltd.
102,375
14,340
Aurobindo
Pharma,
Ltd.
237,374
38,446
Axis
Bank,
Ltd.
495,082
4,289
Bajaj
Auto,
Ltd.
517,727
176,036
Bharat
Petroleum
Corporation,
Ltd.
588,308
101,235
Bharti
Airtel,
Ltd.
2,091,447
5,627
Ceat,
Ltd.
202,195
107,291
Chambal
Fertilisers
and
Chemicals,
Ltd.
493,199
186,959
Coal
India,
Ltd.
811,676
12,586
Cummins
India,
Ltd.
727,917
9,915
Eicher
Motors,
Ltd.
813,498
125,506
Federal
Bank,
Ltd.
471,839
33,869
Granules
India,
Ltd.
292,730
19,528
Grasim
Industries,
Ltd.
634,281
20,988
Great
Eastern
Shipping
Company,
Ltd.
296,955
226,245
HDFC
Bank,
Ltd.
1,771,908
15,185
Hero
MotoCorp,
Ltd.
857,199
163,561
Hindalco
Industries,
Ltd.
1,675,987
55,952
ICICI
Bank,
Ltd.
ADR
1,678,000
146,235
Indian
Oil
Corporation,
Ltd.
214,367
65,812
Infosys,
Ltd.
ADR
791,718
Shares
Common
Stock  93.2%
Value
India
2.9%-
continued
3,993
Ipca
Laboratories,
Ltd.
$
73,141
69,368
JSW
Steel,
Ltd.
923,342
11,121
Kajaria
Ceramics,
Ltd.
139,613
28,692
Karnataka
Bank,
Ltd.
85,593
19,391
Larsen
&
Toubro,
Ltd.
799,799
30,671
Laurus
Labs,
Ltd.
b
583,883
42,744
Lupin,
Ltd.
1,081,872
26,401
Marico,
Ltd.
240,845
7,006
Maruti
Suzuki
India,
Ltd.
1,044,769
1
MRF,
Ltd.
1,391
174,884
National
Aluminium
Company,
Ltd.
643,409
10,360
Nava,
Ltd.
60,057
14,746
Nestle
India,
Ltd.
233,201
333,247
NMDC,
Ltd.
297,208
236,517
NTPC,
Ltd.
860,120
718,289
Oil
&
Natural
Gas
Corporation,
Ltd.
1,829,939
7,478
Polycab
India,
Ltd.
713,327
182,638
Reliance
Industries,
Ltd.
2,500,580
25,694
Samvardhana
Motherson
International,
Ltd.
40,581
14,136
Shipping
Corporation
of
India,
Ltd.
43,159
45,413
State
Bank
of
India
488,754
36,555
Sun
Pharmaceutical
Industries,
Ltd.
762,183
20,979
Tata
Consultancy
Services,
Ltd.
520,480
751,082
Tata
Steel,
Ltd.
1,494,422
19,146
Tech
Mahindra,
Ltd.
332,439
7,090
Torrent
Pharmaceuticals,
Ltd.
380,783
Total
32,888,293
Indonesia
<
0.1%
2,240,900
Medco
Energi
Internasional
Tbk
PT
159,825
1,254,500
Perusahaan
Gas
Negara
(Persero)
Tbk
PT
104,532
Total
264,357
Ireland
<
0.1%
40,584
Glenveagh
Properties
plc
a,b
112,184
42,246
Irish
Residential
Properties
REIT
plc
52,808
13,647
Octave
Intelligence
plc
SDR
a
244,643
Total
409,635
Israel
0.9%
6,487
Airport
City,
Ltd.
a
116,861
47,162
Bank
Hapoalim
BM
1,144,997
29,949
Bank
Leumi
Le-Israel
BM
707,645
578,685
Bezeq
Israel
Telecommunication
Corporation,
Ltd.
1,386,547
667
Big
Shopping
Centers,
Ltd.
149,907
1,699
Camtek,
Ltd./Israel
a
234,933
3,470
Check
Point
Software
Technologies,
Ltd.
a
441,141
2,124
Clal
Insurance
Enterprises
Holdings,
Ltd.
160,739
4,010
Delek
Group,
Ltd.
105,865
401
Delek
Yizum
Nechasim,
Ltd.
a
8,849
4,457
Doral
Group
Renewable
Energy
Resources,
Ltd.
a
100,439
45,009
Energix-Renewable
Energies,
Ltd.
326,157
1,131
Equital,
Ltd.
a
42,407
1,038
FIBI
Holdings,
Ltd.
101,880
7,643
First
International
Bank
of
Israel,
Ltd.
590,220
815
Formula
Systems
1985,
Ltd.
85,945
11,474
G
City,
Ltd.
43,467
868
Hilan,
Ltd.
62,211
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
95
Shares
Common
Stock  93.2%
Value
Israel
0.9%-
continued
1,230
Israel
Corporation,
Ltd.
$
32,165
209
Isras
Holdings,
Ltd.
25,738
8,223
Ituran
Location
and
Control,
Ltd.
453,581
1,170
Meitav
Investment
House,
Ltd.
50,625
20,057
Meshek
Energy
Renewable
Energies,
Ltd.
a
73,318
18,804
Migdal
Insurance
&
Financial
Holdings,
Ltd.
a
106,811
146,845
Mivne
Real
Estate
(KD),
Ltd.
647,997
7,565
Mizrahi
Tefahot
Bank,
Ltd.
562,973
2,414
Monday.com,
Ltd.
a
210,380
454
NICE,
Ltd.
a
44,237
12,768
Oddity
Tech,
Ltd.
a
181,050
7,904
One
Software
Technologies,
Ltd.
169,478
30,419
OPC
Energy,
Ltd.
a
954,406
11,883
Plus500,
Ltd.
626,197
24,002
Riskified,
Ltd.
a
124,570
15,368
Shufersal,
Ltd.
219,834
36
Tower
Semiconductor,
Ltd.
a
7,887
Total
10,301,457
Italy
2.1%
8,711
ACEA
SPA
211,672
11,596
Azimut
Holding
SPA
492,540
1,939
Buzzi
SPA
91,977
34,413
CIR
SPA-Compagnie
Industriali
a
28,533
4,238
Credito
Emiliano
SPA
93,192
129,218
Enel
SPA
1,459,311
93,995
Generali
4,763,576
62,109
Hera
SPA
271,118
307,752
Italgas
SPA
3,174,794
33,859
Lottomatica
Group
SPA
915,350
16,597
MAIRE
SPA
248,032
86,965
OVS
SPA
b
628,666
62,475
Pirelli
&
C.
SPA
b
475,911
19,030
RAI
Way
SPA
b
102,019
357
Reply
SPA
45,304
2,250
Sesa
SPA
240,330
5,683
Technogym
SPA
b
88,913
68,724
UniCredit
SPA
6,481,488
123,602
Unipol
Assicurazioni
SPA
3,867,444
Total
23,680,170
Japan
14.0%
4,400
ADEKA
Corporation
107,392
31,800
Advantest
Corporation
6,283,106
184
AEON
REIT
Investment
Corporation
140,646
2,900
AGC,
Inc.
109,368
1,600
Air
Water,
Inc.
25,093
1,800
Alps
Alpine
Company,
Ltd.
24,656
12,700
ALSOK
Company,
Ltd.
93,352
67,400
Amada
Company,
Ltd.
1,156,326
2,100
Amano
Corporation
50,870
10,600
Arcs
Company,
Ltd.
240,841
16,300
Argo
Graphics,
Inc.
139,119
4,700
Artience
Company,
Ltd.
130,213
13,300
Asahi
Group
Holdings,
Ltd.
138,801
4,600
Asics
Corporation
135,628
2,300
Awa
Bank,
Ltd.
118,748
11,000
Bandai
Namco
Holdings,
Inc.
318,662
6,400
BIPROGY,
Inc.
196,399
24,800
Brother
Industries,
Ltd.
617,599
8,900
Canon
Marketing
Japan,
Inc.
199,991
37,600
Canon,
Inc.
1,046,601
1,500
Central
Glass
Company,
Ltd.
37,114
Shares
Common
Stock  93.2%
Value
Japan
14.0%-
continued
5,900
Chudenko
Corporation
$
181,725
3,800
Chugoku
Marine
Paints,
Ltd.
84,749
3,100
Coca-Cola
Bottlers
Japan,
Inc.
74,496
38,900
Cosmo
Energy
Holdings
Company,
Ltd.
968,029
13,900
Cover
Corporation
a
127,611
30,200
Dai
Nippon
Printing
Company,
Ltd.
547,593
263,500
Daiichi
Life
Group,
Inc.
3,177,117
14,700
Daishi
Hokuetsu
Financial
Group,
Inc.
211,164
2,200
Daito
Trust
Construction
Company,
Ltd.
46,584
45,000
Daiwa
House
Industry
Company,
Ltd.
1,321,495
89,900
Daiwa
Securities
Group,
Inc.
1,005,680
4,900
Daiwabo
Holdings
Company,
Ltd.
109,216
12,600
Dexerials
Corporation
254,342
1,800
DISCO
Corporation
643,382
11,100
Doshisha
Company,
Ltd.
207,237
6,200
Doutor
Nichires
Holdings
Company,
Ltd.
124,381
37,100
DTS
Corporation
269,818
12,500
EIZO
Corporation
225,668
4,900
Electric
Power
Development
Company,
Ltd.
115,916
146,400
Eneos
Holdings,
Inc.
1,209,049
6,100
Exedy
Corporation
229,855
11,100
F.C.C.
Company,
Ltd.
257,976
3,600
Fast
Retailing
Company,
Ltd.
1,762,809
4,900
Fuji
Media
Holdings,
Inc.
122,496
28,100
FUJIFILM
Holdings
NPV
661,464
10,800
Fujikura,
Ltd.
274,065
9,600
Fujitsu,
Ltd.
221,273
4,900
Furukawa
Company,
Ltd.
107,379
5,000
Furukawa
Electric
Company,
Ltd.
95,410
1,000
Furuno
Electric
Company,
Ltd.
45,024
3,800
Fuyo
General
Lease
Company,
Ltd.
107,878
57
Global
One
Real
Estate
Investment
Corporation
40,049
700
Glory,
Ltd.
19,900
7,100
GungHo
Online
Entertainment,
Inc.
108,128
36,600
Hachijuni
Nagano
Bank,
Ltd.
568,692
8,700
Hanwa
Company,
Ltd.
92,403
6,500
Happinet
Corporation
134,552
16,400
Haseko
Corporation
285,355
14,800
Hazama
Ando
Corporation
168,621
15,600
Heiwa
Corporation
208,942
200
Hirose
Electric
Company,
Ltd.
33,702
99,700
Hitachi,
Ltd.
3,267,224
158,700
Honda
Motor
Company,
Ltd.
1,599,636
11,000
Hosiden
Corporation
195,317
6,500
House
Foods
Group,
Inc.
158,226
12,900
Hoya
Corporation
1,972,630
4,100
Hulic
Company,
Ltd.
45,079
12,900
Hyakugo
Bank,
Ltd.
161,260
18,400
Hyakujushi
Bank,
Ltd.
324,205
69,000
Inaba
Denki
Sangyo
Company,
Ltd.
1,230,537
4,900
Inabata
&
Company,
Ltd.
121,180
6,000
INFRONEER
Holdings,
Inc.
97,072
25,500
Inpex
Corporation
587,741
1,700
Internet
Initiative
Japan,
Inc.
37,318
1,300
Ise
Chemicals
Corporation
27,270
178,100
ITOCHU
Corporation
2,235,086
7,400
Japan
Airlines
Company,
Ltd.
136,490
120,500
Japan
Exchange
Group,
Inc.
1,639,174
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
96
Shares
Common
Stock  93.2%
Value
Japan
14.0%-
continued
59,500
Japan
Petroleum
Exploration
Company,
Ltd.
$
662,053
63,200
Japan
Post
Holdings
Company,
Ltd.
935,004
16,200
Japan
Post
Insurance
Company,
Ltd.
178,380
14,800
Japan
Pulp
&
Paper
Company,
Ltd.
103,148
9,600
Japan
Tobacco,
Inc.
428,034
11,200
JGC
Corporation
156,645
3,400
JMDC,
Inc.
66,390
28,200
JTEKT
Corporation
386,148
35,500
Juroku
Financial
Group,
Inc.
521,038
6,800
JX
Advanced
Metals
Corporation
157,544
6,000
Kaga
Electronics
Company,
Ltd.
174,258
26,700
Kajima
Corporation
892,160
10,400
Kaken
Pharmaceutical
Company,
Ltd.
247,457
5,500
Kamigumi
Company,
Ltd.
178,609
1,100
Kanamoto
Company,
Ltd.
35,837
8,300
Kandenko
Company,
Ltd.
276,075
49,200
Kawasaki
Kisen
Kaisha,
Ltd.
876,687
151,300
KDDI
Corporation
2,787,509
241
KDX
Realty
Investment
Corporation
235,542
18,700
Keiyo
Bank,
Ltd.
306,299
3,200
Keyence
Corporation
1,605,078
6,900
Kioxia
Holdings
Corporation
a
1,923,281
8,200
Kissei
Pharmaceutical
Company,
Ltd.
209,380
5,800
Kobe
Bussan
Company,
Ltd.
101,405
8,000
Kobe
Steel,
Ltd.
103,547
10,100
Kokusai
Electric
Corporation
454,649
11,100
Komatsu,
Ltd.
481,632
6,500
KOMEDA
Holdings
Company,
Ltd.
118,067
6,900
KOSE
Holdings
Corporation
245,575
6,600
Kumagai
Gumi
Company,
Ltd.
58,777
4,500
Kuraray
Company,
Ltd.
51,613
9,700
Kureha
Corporation
259,456
27,200
Kyocera
Corporation
620,345
29,900
Kyoei
Steel,
Ltd.
361,847
6,200
Kyokuto
Kaihatsu
Kogyo
Company,
Ltd.
91,087
1,700
Lasertec
Corporation
390,545
6,800
Lintec
Corporation
260,680
15,000
LIXIL
Corporation
162,913
6,200
Macnica
Holdings,
Inc.
125,517
15,700
Marubeni
Corporation
507,435
7,800
Marui
Group
Company,
Ltd.
145,479
7,200
Maruichi
Steel
Tube,
Ltd.
80,406
100
Maruwa
Company,
Ltd./Aichi
33,861
31,100
Matsui
Securities
Company,
Ltd.
203,724
18,000
Mazda
Motor
Corporation
131,231
4,300
Mebuki
Financial
Group,
Inc.
39,844
6,200
Medipal
Holdings
Corporation
111,640
400
Meiko
Electronics
Company,
Ltd.
50,244
13,700
MEITEC
Group
Holdings,
Inc.
286,771
94,200
Metaplanet,
Inc.
a
137,178
16,000
MIRAIT
ONE
Corporation
353,438
150,000
Mitsubishi
Chemical
Group
Corporation
1,103,828
48,500
Mitsubishi
Corporation
1,449,800
22,500
Mitsubishi
Electric
Corporation
810,520
15,700
Mitsubishi
HC
Capital,
Inc.
144,553
114,600
Mitsubishi
Heavy
Industries,
Ltd.
2,677,324
32,000
Mitsubishi
Logistics
Corporation
320,849
6,400
Mitsubishi
Materials
Corporation
166,109
Shares
Common
Stock  93.2%
Value
Japan
14.0%-
continued
225,400
Mitsubishi
UFJ
Financial
Group,
Inc.
$
5,034,647
34,400
Mitsui
&
Company,
Ltd.
1,055,539
13,000
Mitsui
Chemicals,
Inc.
170,921
5,800
Mitsui
DM
Sugar
Company,
Ltd.
124,838
300
Mitsui
Kinzoku
Company,
Ltd.
56,482
7,000
Mixi,
Inc.
127,364
43,600
Mizuho
Financial
Group,
Inc.
2,260,407
5,600
Modec,
Inc.
361,686
43,400
MS
and
AD
Insurance
Group
Holdings,
Inc.
1,336,007
30,100
Murata
Manufacturing
Company,
Ltd.
1,371,487
3,100
Nachi-Fujikoshi
Corporation
104,837
33,500
Nanto
Bank,
Ltd.
357,723
40,100
NEC
Corporation
1,191,719
20,100
NGK
Corporation
687,710
18,700
Nichirei
Corporation
258,983
4,400
Nikon
Corporation
52,282
20,400
Nintendo
Company,
Ltd.
973,124
800
Nippon
Electric
Glass
Company,
Ltd.
26,354
7,500
Nippon
Express
Holdings,
Inc.
247,524
57,300
Nippon
Shokubai
Company,
Ltd.
770,806
9,800
Nippon
Steel
Corporation
39,923
11,100
Nippon
Television
Holdings,
Inc.
202,690
44,400
Nippon
Yusen
Kabushiki
Kaisha
1,704,849
2,800
Nishimatsu
Construction
Company,
Ltd.
92,788
900
Nissan
Chemical
Corporation
41,834
16,800
Nisshin
Oillio
Group,
Ltd.
200,569
13,100
Niterra
Company,
Ltd.
765,022
6,400
Nitori
Holdings
Company,
Ltd.
103,251
900
Nitta
Corporation
35,816
60,600
Nitto
Denko
Corporation
1,279,655
15,600
Nitto
Kogyo
Corporation
420,780
13,600
Nojima
Corporation
111,349
5,600
NOK
Corporation
105,825
34,800
Nomura
Holdings,
Inc.
336,672
55,400
Nomura
Real
Estate
Holdings,
Inc.
318,355
27,600
North
Pacific
Bank,
Ltd.
197,878
11,700
NSD
Company,
Ltd.
209,028
30,700
NSK,
Ltd.
218,675
3,399,300
NTT,
Inc.
3,258,276
5,200
Obayashi
Corporation
102,202
4,900
Ogaki
Kyoritsu
Bank,
Ltd.
218,078
4,600
Ohsho
Food
Service
Corporation
87,313
15,000
Oita
Bank,
Ltd.
238,594
19,200
Oji
Holdings
Corporation
105,577
7,700
Okumura
Corporation
277,842
6,000
OMRON
Corporation
200,637
57,800
Ono
Pharmaceutical
Company,
Ltd.
863,821
800
Oracle
Corporation
Japan
44,947
43,800
ORIX
Corporation
1,767,740
3,500
OSG
Corporation
79,851
13,300
Panasonic
Holdings
Corporation
351,685
17,200
Penta-Ocean
Construction
Company,
Ltd.
160,096
161,400
Persol
Holdings
Company,
Ltd.
267,605
18,100
PowerX,
Inc.
a
175,398
8,800
Raito
Kogyo
Company,
Ltd.
207,328
15,500
Rakus
Company,
Ltd.
104,680
47,100
Rakuten
Group,
Inc.
a
245,587
46,416
Recruit
Holdings
Company,
Ltd.
3,670,616
21,600
Ricoh
Company,
Ltd.
211,960
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
97
Shares
Common
Stock  93.2%
Value
Japan
14.0%-
continued
13,500
Rohto
Pharmaceutical
Company,
Ltd.
$
202,179
6,800
Rorze
Corporation
163,764
20,700
Ryohin
Keikaku
Company,
Ltd.
542,967
2,100
Ryoyo
Ryosan
Holdings,
Inc.
38,367
23,800
San-in
Godo
Bank,
Ltd.
344,938
11,400
Sanki
Engineering
Company,
Ltd.
162,161
16,500
Sanrio
Company,
Ltd.
131,965
9,000
Sanyo
Chemical
Industries,
Ltd.
272,410
117,900
SBI
Holdings,
Inc.
2,225,750
10,000
SCREEN
Holdings
Company,
Ltd.
762,846
14,400
Secom
Company,
Ltd.
620,295
111,700
Seiko
Epson
Corporation
2,046,015
24,100
Sekisui
Chemical
Company,
Ltd.
401,107
23,700
Sekisui
House,
Ltd.
518,847
900
Senshu
Electric
Company,
Ltd.
34,110
10,100
Senshu
Ikeda
Holdings,
Inc.
59,209
44,600
Seven
Bank,
Ltd.
89,037
12,800
Shimadzu
Corporation
325,536
17,700
Shimizu
Corporation
260,736
9,100
Shin-Etsu
Chemical
Company,
Ltd.
324,416
6,800
ShinMaywa
Industries,
Ltd.
83,297
5,300
Shinnihon
Corporation
69,869
8,000
Ship
Healthcare
Holdings,
Inc.
128,160
11,800
Shizuoka
Financial
Group,
Inc.
232,755
6,300
SHO-BOND
Holdings
Company,
Ltd.
52,143
600
SKY
Perfect
JSAT
Corporation
7,815
6,700
Socionext,
Inc.
78,665
1,240,700
SoftBank
Corporation
1,741,419
75,700
SoftBank
Group
Corporation
2,357,866
53,300
Sojitz
Corporation
1,780,780
48,400
Sompo
Holdings,
Inc.
2,148,797
104,900
Sony
Financial
Group,
Inc.
101,699
141,500
Sony
Group
Corporation
3,306,696
73
SOSiLA
Logistics
REIT,
Inc.
49,846
5,500
Stanley
Electric
Company,
Ltd.
119,849
203
Star
Asia
Investment
Corporation
68,182
11,200
Sumco
Corporation
227,696
40,100
Sumitomo
Chemical
Company,
Ltd.
129,756
107,200
Sumitomo
Corporation
1,112,732
189,600
Sumitomo
Electric
Industries,
Ltd.
2,509,374
30,400
Sumitomo
Forestry
Company,
Ltd.
256,406
1,100
Sumitomo
Heavy
Industries,
Ltd.
35,560
15,900
Sumitomo
Metal
Mining
Company,
Ltd.
799,220
53,800
Sumitomo
Mitsui
Financial
Group,
Inc.
2,311,729
109,200
Sumitomo
Mitsui
Trust
Group,
Inc.
1,122,869
6,600
Suzuken
Company,
Ltd./Aichi
Japan
210,560
300
SWCC
Corporation
20,680
2,500
T.
Hasegawa
Company,
Ltd.
50,763
5,100
Taikisha,
Ltd.
133,644
5,600
Taisei
Corporation
453,614
2,300
Taiyo
Yuden
Company,
Ltd.
142,235
12,100
Takamatsu
Construction
Group
Company,
Ltd.
281,969
9,800
Takeda
Pharmaceutical
Company,
Ltd.
336,489
2,000
THK
Company,
Ltd.
82,299
13,300
TISI,
Inc.
318,859
40,800
Toagosei
Company,
Ltd.
456,088
11,100
Toda
Corporation
103,046
33,900
Toho
Bank,
Ltd.
180,931
2,000
Toho
Company,
Ltd.
19,132
Shares
Common
Stock  93.2%
Value
Japan
14.0%-
continued
4,800
Toho
Holdings
Company,
Ltd.
$
121,048
94,400
Tokai
Tokyo
Financial
Holdings,
Inc.
471,462
84,300
Tokio
Marine
Holdings,
Inc.
4,296,467
37,700
Tokyo
Electric
Power
Company
Holdings,
Inc.
a
121,708
16,000
Tokyo
Electron,
Ltd.
5,349,397
4,700
Tokyo
Kiraboshi
Financial
Group,
Inc.
49,412
500
Tokyo
Seimitsu
Company,
Ltd.
52,064
2,700
Tokyo
Steel
Manufacturing
Company,
Ltd.
29,963
26,400
Tokyu
Construction
Company,
Ltd.
191,727
3,100
Tokyu
Fudosan
Holdings
Corporation
25,766
19,800
TOPPAN
Holdings,
Inc.
555,209
23,700
Tosoh
Corporation
398,598
1,700
Totetsu
Kogyo
Company,
Ltd.
44,291
3,000
Towa
Corporation
48,657
10,300
Toyo
Seikan
Group
Holdings,
Ltd.
261,712
6,000
Toyoda
Gosei
Company,
Ltd.
207,141
136,700
Toyota
Motor
Corporation
2,587,004
6,700
Toyota
Tsusho
Corporation
278,086
26,900
TS
Tech
Company,
Ltd.
308,566
70,100
Tsubakimoto
Chain
Company
1,124,751
37,300
TV
Asahi
Holdings
Corporation
731,202
13,500
Umios
Corporation
110,626
7,300
Unicharm
Corporation
46,304
10,100
USS
Company,
Ltd.
127,552
1,400
Wacoal
Holdings
Corporation
38,605
5,900
Wakita
&
Company,
Ltd.
70,887
2,100
Yakult
Honsha
Company,
Ltd.
37,165
125,400
Yamada
Holdings
Company,
Ltd.
560,121
6,600
Yamato
Holdings
Company,
Ltd.
85,649
20,100
Yamazen
Corporation
222,674
24,400
Yokogawa
Bridge
Holdings
Corporation
451,442
5,100
Yonex
Company,
Ltd.
82,986
11,900
YUASA
Company,
Ltd.
431,647
18,700
Zenkoku
Hosho
Company,
Ltd.
367,877
Total
156,214,782
Jersey
0.1%
43,792
International
Workplace
Group
plc
116,793
103,498
Man
Group
plc
423,776
190,505
TP
ICAP
Group
plc
879,866
13,063
Yellow
Cake
plc
a,b
96,832
Total
1,517,267
Kuwait
0.1%
323,045
Agility
Public
Warehousing
Company
KSCC
153,120
298,733
Kuwait
Finance
House
KSCP
757,853
94,467
Mobile
Telecommunications
Company
KSCP
182,456
Total
1,093,429
Luxembourg
<
0.1%
39,171
Aroundtown
SA
98,530
2,533
Befesa
SA
b
102,147
15,138
d'Amico
International
Shipping
SA
126,121
Total
326,798
Malaysia
0.5%
237,000
IHH
Healthcare
Bhd
484,563
140,700
Malayan
Banking
Bhd
375,105
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
98
Shares
Common
Stock  93.2%
Value
Malaysia
0.5%-
continued
31,500
Malayan
Cement
Bhd
$
49,999
134,400
Press
Metal
Aluminium
Holdings
Bhd
260,903
519,100
Public
Bank
Bhd
656,257
176,900
RHB
Bank
Bhd
369,999
841,800
SD
Guthrie
Bhd
1,353,389
320,300
Sime
Darby
Bhd
169,156
270,800
Sunway
Construction
Group
Bhd
524,307
149,200
Telekom
Malaysia
Bhd
282,882
162,300
Tenaga
Nasional
Bhd
579,811
20,200
United
Plantations
Bhd
166,682
Total
5,273,053
Mexico
0.4%
27,370
America
Movil
SAB
de
CV
ADR
693,829
23,200
Banco
del
Bajio
SA
b
77,090
14,431
Cemex
SAB
de
CV
ADR
170,574
154,000
Fibra
Uno
Administracion
SA
de
CV
277,510
3,436
Fomento
Economico
Mexicano
SAB
de
CV
ADR
439,774
80,130
Grupo
Financiero
Banorte
SAB
de
CV
ADR
923,650
96,000
Grupo
Mexico
SAB
de
CV
1,154,528
14,485
Industrias
Penoles
SAB
de
CV
666,020
72,600
Megacable
Holdings
SAB
de
CV
245,095
10,900
Regional
SAB
de
CV
89,695
Total
4,737,765
Netherlands
3.6%
13,318
AerCap
Holdings
NV
2,009,686
1,963
Argo
Properties
NV
a
81,367
12,561
Ariston
Holding
NV
52,678
10,723
ASML
Holding
NV
17,670,917
10,014
Corbion
NV
218,846
3,173
Eurocommercial
Properties
NV
102,638
1,085
EXOR
NV
86,888
62,406
Ferrovial
NV
4,087,968
1,210
Havas
NV
25,910
5,113
Heineken
Holding
NV
430,136
4,089
Heineken
NV
370,220
95,463
Koninklijke
(Royal)
KPN
NV
450,761
145,126
Koninklijke
Ahold
Delhaize
NV
5,750,215
46,358
Koninklijke
BAM
Groep
NV
621,688
1,906
Koninklijke
Heijmans
NV
206,189
5,890
Koninklijke
Vopak
NV
333,431
18,274
MFE-MediaForEurope
NV
55,539
1,182
NN
Group
NV
111,417
2,957
Pharvaris
NV
a
96,457
59,520
Prosus
NV
2,766,061
52,975
SBM
Offshore
NV
1,978,399
4,936
STMicroelectronics
NV
263,673
2,217
Van
Lanschot
Kempen
NV
166,608
21,176
Wereldhave
NV
467,978
22,369
Wolters
Kluwer
NV
1,756,160
Total
40,161,830
New
Zealand
<
0.1%
54,147
Ryman
Healthcare,
Ltd.
a
68,336
Total
68,336
Norway
0.2%
4,588
Atea
ASA
83,253
26,427
DNB
Bank
ASA
850,912
20,295
DNO
International
ASA
36,091
31,447
Elkem
ASA
a,b
103,262
Shares
Common
Stock  93.2%
Value
Norway
0.2%-
continued
2,131
Nordic
Semiconductor
ASA
a
$
36,005
11,039
SpareBank
1
SMN
228,999
14,743
Storebrand
ASA
313,810
86,292
Var
Energi
ASA
433,532
963
Wilh
Wilhelmsen
Holding
ASA
78,036
591
Yara
International
ASA
27,878
Total
2,191,778
Panama
<
0.1%
52
Intercorp
Financial
Services,
Inc.
3,032
Total
3,032
Philippines
0.1%
50,855
International
Container
Terminal
Services,
Inc.
798,604
Total
798,604
Poland
0.3%
11,522
Bank
Polska
Kasa
Opieki
SA
759,470
2,653
Erste
Bank
Polska
SA
523,054
28,800
Orlen
SA
1,142,822
29,015
Powszechna
Kasa
Oszczednosci
Bank
Polski
SA
869,083
8,774
XTB
SA
b
349,302
Total
3,643,731
Portugal
0.6%
62,683
CTT-Correios
de
Portugal
SA
445,816
945,862
EDP
SA
4,870,529
47,941
Galp
Energia
SGPS
SA
1,088,769
20,976
REN
-
Redes
Energeticas
Nacionais
SGPS
SA
83,502
156,624
Sonae
SGPS
SA
367,904
Total
6,856,520
Qatar
0.1%
151,732
Commercial
Bank
PSQC
171,404
239,490
Doha
Bank
QPSC
190,618
4,564
Qatar
Islamic
Bank
QPSC
27,255
157,725
Qatar
National
Bank
QPSC
718,487
Total
1,107,764
Russian
Federation
<
0.1%
89,225
Gazprom
PJSC
ADR
a,c
9
7,840
GMK
Norilskiy
Nickel
PAO
ADR
a,c,d
1
3,228
LUKOIL
PJSC
a,c,e
0
3,189
Mechel
PJSC
ADR
a,c
0
234
Novatek
PJSC
GDR
a,c,d
0
3,610
Polyus
PJSC
a,c,e
0
1
Polyus
PJSC
GDR
a,c,d
0
174,130
Sberbank
of
Russia
PJSC
a,c,e
0
9,280
Sovcomflot
PJSC
a,c,e
0
35,587
Surgutneftegas
PAO
ADR
a,c,d
4
Total
14
Saudi
Arabia
0.7%
847
Al
Babtain
Power
&
Telecommunication
Company
11,931
73,511
Al
Rajhi
Bank
1,226,809
39,332
Alinma
Bank
245,069
69,726
Arab
National
Bank
403,481
57,144
Arabian
Centres
Company
b
237,511
84,042
Banque
Saudi
Fransi
443,207
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
99
Shares
Common
Stock  93.2%
Value
Saudi
Arabia
0.7%-
continued
91,691
Mobile
Telecommunications
Company
Saudi
Arabia
$
252,697
62,410
Riyad
Bank
338,503
3,171
SABIC
Agri-Nutrients
Company
104,096
262,694
Saudi
Arabian
Oil
Company
b
1,853,368
61,042
Saudi
Awwal
Bank
551,547
9,175
Saudi
Basic
Industries
Corporation
121,498
96,504
Saudi
Energy
Company
436,651
9,443
Saudi
Investment
Bank
34,974
107,468
Saudi
National
Bank
1,124,590
45
Saudi
Telecom
Company
517
Total
7,386,449
Singapore
1.1%
101,100
AIMS
APAC
REIT
126,183
4,397
BW
LPG,
Ltd.
b
100,798
102,100
CapitaLand
Ascott
Trust
72,030
84,500
CapitaLand
China
Trust
43,487
366,000
CapitaLand
Integrated
Commercial
Trust
710,310
602
China
Yuchai
International,
Ltd.
28,390
305,000
ComfortDelGro
Corporation,
Ltd.
318,805
91,000
Fortune
Real
Estate
Investment
Trust
56,040
41,200
Frasers
Centrepoint
Trust
72,883
2,000
Haw
Par
Corporation,
Ltd.
25,093
69,400
Hong
Leong
Asia,
Ltd.
155,260
6,022
Kenon
Holdings,
Ltd.
410,599
205,400
Lendlease
Global
Commercial
REIT
94,449
115,400
Mapletree
Logistics
Trust
111,482
14,600
Parkway
Life
REIT
48,042
112,500
Sasseur
Real
Estate
Investment
Trust
60,529
348,100
Sembcorp
Industries,
Ltd.
1,497,209
10,500
Sheng
Siong
Group,
Ltd.
27,327
119,900
Singapore
Airlines,
Ltd.
719,257
75,800
Singapore
Airport
Terminal
Services,
Ltd.
279,468
215,900
Singapore
Exchange,
Ltd.
4,115,962
47,900
UMS
Integration,
Ltd.
85,053
352,600
United
Overseas
Land,
Ltd.
2,720,777
55,300
Venture
Corporation,
Ltd.
689,026
4,600
Yangzijiang
Shipbuilding
Holdings,
Ltd.
14,041
112,200
Yanlord
Land
Group,
Ltd.
59,936
Total
12,642,436
South
Africa
0.8%
26,322
Absa
Group,
Ltd.
362,793
86,693
AECI,
Ltd.
655,920
17,436
African
Rainbow
Minerals,
Ltd.
178,716
4,336
Coronation
Fund
Managers,
Ltd.
11,141
89,183
DataTec,
Ltd.
458,135
11,578
Discovery,
Ltd.
183,720
19,967
Exxaro
Resources,
Ltd.
246,233
107,936
FirstRand,
Ltd.
645,519
31,652
Gold
Fields,
Ltd.
ADR
1,026,158
19,367
Impala
Platinum
Holdings,
Ltd.
211,220
40,398
Investec
plc
353,569
44,931
Investec,
Ltd.
390,098
37,462
Momentum
Group,
Ltd.
93,274
19,211
MTN
Group,
Ltd.
238,160
7,193
Naspers,
Ltd.
377,939
22,634
Nedbank
Group,
Ltd.
383,105
249,836
Redefine
Properties,
Ltd.
98,747
Shares
Common
Stock  93.2%
Value
South
Africa
0.8%-
continued
35,646
Sasol,
Ltd.
a
$
422,420
69,007
Standard
Bank
Group,
Ltd.
1,374,070
9,146
Valterra
Platinum,
Ltd.
684,859
286,275
Vukile
Property
Fund,
Ltd.
438,047
Total
8,833,843
South
Korea
5.7%
22,129
BNK
Financial
Group,
Inc.
231,929
4,644
Celltrion,
Inc.
598,481
1,614
CJ
Corporation
144,766
3,098
Doosan
Bobcat,
Inc.
127,534
12,287
GS
Holdings
Corporation
760,183
17,018
Hana
Financial
Group,
Inc.
1,471,021
4,916
Hankook
Tire
&
Technology
Company,
Ltd.
229,014
7,826
Hanwha
Corporation
c
454,652
12,606
Hanwha
Machinery
&
Service
Holdings
Company,
Ltd.
a,c
147,255
34,744
HMM
Company,
Ltd.
506,260
2,808
Hyundai
Department
Store
Company,
Ltd.
229,377
1,819
Hyundai
Elevator
Company,
Ltd.
85,128
5,599
Hyundai
Marine
&
Fire
Insurance
Company,
Ltd.
a
148,932
1,272
Hyundai
Mobis
Company,
Ltd.
411,372
2,853
Hyundai
Motor
Company
755,923
45,563
iM
Financial
Group
Company,
Ltd.
534,232
12,392
KB
Financial
Group,
Inc.
1,450,321
438
KCC
Corporation
115,297
5,687
Kia
Corporation
512,741
47,536
Korean
Air
Lines
Company,
Ltd.
842,144
15,170
Korean
Reinsurance
Company
145,753
6,796
KT&G
Corporation
845,684
1,761
LG
Chem,
Ltd.
311,905
9,525
LG
Corporation
660,385
55,623
LG
Uplus
Corporation
570,333
4,692
Lotte
Corporation
73,437
6,645
LX
International
Corporation
173,358
4,593
Misto
Holdings
Corporation
144,119
5,129
NAVER
Corporation
734,271
2,881
POSCO
Holdings,
Inc.
622,073
4,297
Samsung
C&T
Corporation
1,001,041
1,372
Samsung
Electro-Mechanics
Company,
Ltd.
1,048,410
139,067
Samsung
Electronics
Company,
Ltd.
24,205,282
514
Samsung
Fire
&
Marine
Insurance
Company,
Ltd.
222,460
15,258
SD
Biosensor,
Inc.
67,587
20,021
Shinhan
Financial
Group
Company,
Ltd.
1,389,857
1,657
Shinsegae,
Inc.
479,439
16,494
SK
Hynix,
Inc.
18,731,505
1,108
SK
Square
Company,
Ltd.
761,876
2,764
SK,
Inc.
1,032,620
31,302
Woori
Financial
Group,
Inc.
724,621
882
Youngone
Holdings
Company,
Ltd.
117,485
Total
63,820,063
Spain
2.7%
7,799
ACS
Actividades
de
Construccion
y
Servicios
SA
994,146
71,408
Aena
SME
SA
b
2,201,357
5,787
Amadeus
IT
Holding
SA
357,156
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
100
Shares
Common
Stock  93.2%
Value
Spain
2.7%-
continued
159,185
Banco
Bilbao
Vizcaya
Argentaria
SA
$
4,462,259
1,128,525
Banco
de
Sabadell
SA
4,332,663
538,477
Banco
Santander
SA
7,658,366
23,097
Colonial
SFL
Socimi
SA
147,842
6,330
Construcciones
y
Auxiliar
de
Ferrocarriles
SA
500,587
78,032
Iberdrola
SA
1,853,541
20,027
International
Consolidated
Airlines
Group
SA
116,987
366
Laboratorios
Farmaceuticos
ROVI
SA
24,711
4,443
Let's
GOWEX
SA
a,c,f
1
53,428
Logista
Integral
SA
2,279,325
98,167
Mapfre
SA
501,969
7,089
Melia
Hotels
International
SA
84,577
24,232
Merlin
Properties
Socimi
SA
421,155
69,705
Naturgy
Energy
Group
SA
2,325,349
5,362
Neinor
Homes
SA
b
98,197
1,077
Pharma
Mar
SA
98,213
23,633
Repsol
SA
721,303
80,341
Sacyr
SA
436,742
1,138
Vidrala
SA
115,098
Total
29,731,544
Supranational
<
0.1%
2,894
Unibail-Rodamco-Westfield
352,600
Total
352,600
Sweden
2.0%
34,990
AB
Industrivarden,
Class
A
2,017,631
32,409
AcadeMedia
AB
b
339,671
13,508
Addnode
Group
AB
54,418
12,844
Ambea
AB
b
194,688
49,274
Arjo
AB
140,157
51,843
Assa
Abloy
AB
1,923,675
27,462
Attendo
AB
b
315,863
18,382
Avanza
Bank
Holding
AB
754,325
10,977
Betsson
AB
106,096
3,571
BioArctic
AB
b
121,926
1,419
Catena
AB
58,952
2,923
Cloetta
AB
17,552
30,937
Dios
Fastigheter
AB
213,818
14,171
Epiroc
AB,
Class
A
363,297
11,063
Fabege
AB
86,764
7,219
Granges
AB
135,956
3,549
Hacksaw
AB
27,404
21,372
Hexpol
AB
198,930
3,495
Hufvudstaden
AB
44,506
7,176
Intea
Fastigheter
AB
55,453
163,951
Intrum
AB
a
55,184
187,309
Investor
AB,
Class
B
8,091,351
19,450
Kinnevik
AB
a
107,326
9,689
Loomis
AB
534,683
2,249
Mildef
Group
AB
51,158
3,159
NCAB
Group
AB
22,825
7,452
NCC
AB
133,021
9,914
NOBA
Bank
Group
AB
86,784
5,733
Norion
Bank
AB
a
35,241
18,560
Peab
AB
183,845
95,989
Sandvik
AB
3,589,483
81,244
Sinch
AB
a,b
343,602
10,890
Synsam
AB
64,832
25,896
Tele2
AB
448,625
126,557
Telefonaktiebolaget
LM
Ericsson
1,244,901
Shares
Common
Stock  93.2%
Value
Sweden
2.0%-
continued
2,536
Vitec
Software
Group
AB
$
61,361
Total
22,225,304
Switzerland
4.6%
97,632
ABB,
Ltd.
9,632,270
3,100
Accelleron
Industries
AG
280,663
9,404
Adecco
Group
AG
262,854
657
Allreal
Holding
AG
171,864
11,488
Avolta
AG
689,674
8,000
BeOne
Medicines,
Ltd.
a
197,760
492
Bucher
Industries
AG
193,303
21
Burckhardt
Compression
Holding
AG
12,588
468
DKSH
Holding
AG
38,851
257
EFG
International
AG
5,113
17,606
Galderma
Group
AG
3,831,268
10,523
Galenica
AG
b
1,117,876
1,500
Huber+Suhner
AG
353,574
828
INFICON
Holding
AG
167,046
3,426
Julius
Baer
Group,
Ltd.
301,216
291
Logitech
International
SA
29,720
195
Mobimo
Holding
AG
84,355
27,174
Nestle
SA
2,716,070
67,424
Novartis
AG
10,544,567
2,882
PSP
Swiss
Property
AG
519,959
19,890
Roche
Holding
AG
8,693,770
1,729
Roche
Holding
AG,
Bearer
Shares
766,459
571
Swiss
Life
Holding
AG
673,779
570
Swisscom
AG
438,014
2,437
Temenos
AG
202,721
120,281
UBS
Group
AG
6,357,771
4,785
Zurich
Insurance
Group
AG
3,644,870
Total
51,927,975
Taiwan
8.1%
15,000
Accton
Technology
Corporation
972,255
3,000
Acter
Group
Corporation,
Ltd.
84,414
37,551
ASE
Technology
Holding
Company,
Ltd.
ADR
1,320,669
4,000
Asia
Vital
Components
Company,
Ltd.
281,311
100
ASPEED
Technology,
Inc.
43,674
574,000
Cathay
Financial
Holding
Company,
Ltd.
1,786,449
1,053
ChipMOS
Technologies,
Inc.
ADR
49,912
8,000
Chroma
ATE,
Inc.
502,609
16,097
Chunghwa
Telecom
Company,
Ltd.
ADR
685,893
986
Compeq
Manufacturing
Company,
Ltd.
5,045
1,455,000
CTBC
Financial
Holding
Company,
Ltd.
2,904,086
78,000
CTCI
Corporation
a
84,404
61,000
Delta
Electronics,
Inc.
3,001,054
7,000
Elite
Material
Company,
Ltd.
1,004,869
14,000
Ennoconn
Corporation
174,209
176,000
Far
EasTone
Telecommunications
Company,
Ltd.
571,345
144,000
Feng
Hsin
Steel
Company,
Ltd.
289,404
509,000
Fubon
Financial
Holding
Company,
Ltd.
2,028,859
472,000
Hon
Hai
Precision
Industry
Company,
Ltd.
3,604,668
497,000
Innolux
Corporation
682,060
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
101
Shares
Common
Stock  93.2%
Value
Taiwan
8.1%-
continued
1,377,000
KGI
Financial
Holding
Company,
Ltd.
$
1,300,964
3,000
King
Slide
Works
Company,
Ltd.
718,865
38,000
L&K
Engineering
Company,
Ltd.
817,740
37,000
MediaTek,
Inc.
3,941,526
49,000
Nan
Ya
Plastics
Corporation
232,815
91,000
Sigurd
Microelectronics
Corporation
517,053
51,000
Simplo
Technology
Company,
Ltd.
551,194
8,000
Sinbon
Electronics
Company,
Ltd.
72,386
70,380
SinoPac
Financial
Holdings
Company,
Ltd.
87,774
28,000
Sitronix
Technology
Corporation
227,515
586,000
Synnex
Technology
International
Corporation
1,680,671
165,000
Taiwan
Mobile
Company,
Ltd.
573,050
685,620
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
50,712,073
75,762
Topco
Scientific
Company,
Ltd.
1,156,427
18,000
Transcend
Information,
Inc.
159,857
26,000
Tripod
Technology
Corporation
291,929
442,380
TS
Financial
Holding
Company,
Ltd.
487,107
203,000
Tung
Ho
Steel
Enterprise
Corporation
466,823
315,000
United
Microelectronics
Corporation
1,178,446
185,000
Wah
Lee
Industrial
Corporation
637,359
69,000
WNC
Corporation/Taiwan
462,449
407,000
WPG
Holdings,
Ltd.
a
1,395,396
61,000
Yageo
Corporation
918,130
775,000
Yuanta
Financial
Holding
Company,
Ltd.
1,616,796
Total
90,281,534
Thailand
1.1%
103,200
Advanced
Info
Service
PCL
NVDR
1,172,237
288,500
Central
Pattana
PCL
NVDR
593,658
216,200
Kasikornbank
PCL
NVDR
1,577,413
565,200
Kiatnakin
Phatra
Bank
PCL
NVDR
1,871,971
1,317,200
Krung
Thai
Bank
PCL
NVDR
1,740,017
229,300
PTT
Exploration
and
Production
PCL
NVDR
1,026,936
767,800
PTT
PCL
NVDR
885,096
102,500
SCB
X
PCL
NVDR
468,767
364,700
Thaifoods
Group
PCL
NVDR
106,842
237,700
Thanachart
Capital
PCL
NVDR
554,766
129,200
TISCO
Financial
Group
PCL
NVDR
c
496,529
16,114,400
TMBThanachart
Bank
PCL
NVDR
1,472,877
Total
11,967,109
Turkey
0.2%
1,069,475
Anadolu
Efes
Biracilik
ve
Malt
Sanayii
AS
491,831
172,145
Dogan
Sirketler
Grubu
Holding
AS
75,707
421,851
Emlak
Konut
Gayrimenkul
Yatirim
Ortakligi
AS
158,877
124,512
Enerjisa
Enerji
AS
b
285,208
13,849
Migros
Ticaret
AS
182,155
183,109
Sok
Marketler
Ticaret
AS
a
196,469
83,651
Turkiye
Petrol
Rafinerileri
AS
521,070
1,242,624
Turkiye
Sigorta
AS
164,438
Total
2,075,755
Shares
Common
Stock  93.2%
Value
United
Arab
Emirates
0.5%
52,228
Abu
Dhabi
Commercial
Bank
PJSC
$
212,787
675,306
Deyaar
Development
PJSC
132,894
159,099
Dubai
Electricity
&
Water
Authority
PJSC
118,666
211,966
Emaar
Development
PJSC
745,942
305,917
Emaar
Properties
PJSC
913,031
106,436
Emirates
NBD
Bank
PJSC
874,180
77,449
Emirates
Telecommunications
Group
Company
PJSC
428,990
238,933
First
Abu
Dhabi
Bank
PJSC
1,258,445
10,524
Orascom
Construction
plc
147,209
162,098
Sharjah
Islamic
Bank
127,744
Total
4,959,888
United
Kingdom
8.0%
46,741
AJ
Bell
plc
369,612
17,227
Alfa
Financial
Software
Holdings
plc
b
38,180
16,874
AngloGold
Ashanti
plc
1,276,060
32,650
AstraZeneca
plc
5,554,083
24,342
Autotrader
Group
plc
b
171,883
239,006
Balfour
Beatty
plc
2,786,260
899,596
Barclays
plc
6,183,383
5,239
Bellway
plc
140,369
7,518
Berkeley
Group
Holdings
plc
a
355,094
10,292
Big
Yellow
Group
plc
123,219
373,444
BP
plc
2,805,736
5,822
British
American
Tobacco
plc
353,167
66,105
British
Land
Company
plc
395,282
754
Clarkson
plc
48,066
1,456
Computacenter
plc
90,227
10,754
Convatec
Group
plc
b
32,495
6,741
Cranswick
plc
486,056
68,835
Currys
plc
155,840
36,811
Diploma
plc
3,645,486
4,265
Endeavour
Mining
plc
203,463
52,744
Evraz
plc
a,c
7
4,967
Games
Workshop
Group
plc
1,280,399
25,170
GB
Group
plc
74,933
1,661
Georgia
Capital
plc
a
88,813
25,077
Great
Portland
Estates
plc
118,375
295,774
GSK
plc
7,690,943
164,287
Haleon
plc
804,274
10,921
Halma
plc
521,773
69,258
Harbour
Energy
plc
224,665
3,936
Hikma
Pharmaceuticals
plc
84,025
38,909
Howden
Joinery
Group
plc
414,597
183,976
HSBC
Holdings
plc
3,917,812
7,687
ICG
plc
196,263
81,590
IG
Group
Holdings
plc
1,605,453
32,065
IMI
plc
1,274,211
79,326
Imperial
Brands
plc
3,010,481
9,982
IntegraFin
Holdings
plc
49,575
80,458
ITV
plc
80,664
438
Johnson
Matthey
plc
11,832
70,451
Johnson
Service
Group
plc
142,805
25,198
Jupiter
Fund
Management
plc
53,494
10,408
Keller
Group
plc
424,187
87,533
Kier
Group
plc
285,088
212,695
Kingfisher
plc
887,348
1,288
Lion
Finance
Group
plc
202,320
1,924,498
Lloyds
TSB
Group
plc
2,974,527
32,700
Molten
Ventures
plc
a
269,780
21,213
MONY
Group
plc
56,422
17,722
Morgan
Sindall
Group
plc
1,058,094
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
102
Shares
Common
Stock  93.2%
Value
United
Kingdom
8.0%-
continued
7,349
MP
Evans
Group
plc
$
161,048
807,352
NatWest
Group
plc
7,615,427
17,925
Next
plc
3,589,614
68,921
Ocado
Group
plc
a
196,997
27,465
OSB
Group
plc
206,755
23,390
Paragon
Banking
Group
plc
265,026
21,974
Pennon
Group
plc
136,877
12,776
Persimmon
plc
191,769
17,392
Polar
Capital
Holdings
plc
180,722
2,990
Rathbones
Group
plc
67,216
5,377
Reckitt
Benckiser
Group
plc
379,493
8,068
Renew
Holdings
plc
98,544
1,740
Renishaw
plc
116,034
144,522
Rightmove
plc
906,082
14,477
Rio
Tinto
plc
1,406,720
12,365
Serica
Energy
plc
39,210
54,861
Shaftesbury
Capital
plc
106,324
53,006
Shawbrook
Group
plc
a,b
234,319
221,196
Shell
plc
10,124,483
14,965
Smith
&
Nephew
plc
234,096
8,436
Smiths
Group
plc
301,245
4,886
St.
James's
Place
plc
69,424
37,637
Standard
Chartered
plc
1,112,832
2,760
Standard
Life
plc
34,393
3,314
TBC
Bank
Group
plc
215,203
665,342
Tesco
plc
4,379,371
1,670
TORM
plc
50,986
86,050
Tritax
Big
Box
REIT
plc
197,838
54,625
Unilever
plc
3,475,644
17,509
Vistry
Group
plc
a
69,307
17,292
Volex
plc
119,165
47,733
Zigup
plc
297,535
Total
89,596,820
United
States
0.1%
1,297
Southern
Copper
Corporation
236,975
12,896
Yum
China
Holding,
Inc.
621,329
Total
858,304
Virgin
Islands,
British
<
–%
2,348
VK
IPJSC
GDR
a,c,d
0
Total
0
Total
Common
Stock
(cost
$834,691,113)
1,041,895,908
Shares
Preferred
Stock
0.6%
Brazil
0.3%
4,261
Axia
Energia
SA,
Class
C
ADR
a
43,548
38,300
Bradespar
SA
165,843
211,751
Companhia
de
Saneamento
do
Parana
297,002
132,800
Companhia
de
Saneamento
do
Parana,
Units
952,548
244,534
Itausa
SA
669,084
129,590
Petroleo
Brasileiro
SA
1,110,264
Total
3,238,289
Germany
<
0.1%
856
Draegerwerk
AG
&
Company
KGaA
108,527
1,822
Porsche
Automobil
Holding
SE
60,474
Total
169,001
Shares
Preferred
Stock  0.6%
Value
Russian
Federation
<
0.1%
404,300
Surgutneftegas
PAO
a,c,e
$
1
9,000
Transneft
PJSC
a,c,e
0
Total
1
South
Korea
0.3%
28,622
Samsung
Electronics
Company,
Ltd.
3,596,783
Total
3,596,783
Total
Preferred
Stock
(cost
$5,870,052)
7,004,074
Shares
or
Principal
Amount
Short-Term
Investments
5.4%
Federal
Home
Loan
Bank
Discount
Notes
200,000
3.610%,
 8/3/2026
g,h
199,940
300,000
3.615%,
 8/21/2026
g,h
299,371
1,100,000
3.620%,
 8/26/2026
g,h
1,097,144
400,000
3.633%,
 9/4/2026
g,h
398,581
200,000
3.640%,
 9/11/2026
g,h
199,148
200,000
3.693%,
 9/18/2026
g,h
199,006
400,000
3.710%,
 10/16/2026
g,h
396,847
500,000
3.760%,
 10/21/2026
g,h
495,803
1,000,000
3.700%,
 10/26/2026
g,h
991,095
Federal
Home
Loan
Mortgage
Corporation
Discount
Notes
500,000
3.695%,
 10/14/2026
g,h
496,162
State
Street
Institutional
U.S.
Government
Money
Market
Fund
11,400,439
3.619%
g
11,400,439
Thrivent
Core
Short-Term
Reserve
Fund
4,420,387
3.970%
44,203,871
Total
Short-Term
Investments
(cost
$60,377,717)
60,377,407
Total
Investments
(cost
$900,938,882)
99.2%
$1,109,277,389
Other
Assets
and
Liabilities,
Net
0.8%
9,414,089
Total
Net
Assets
100.0%
$1,118,691,478
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$16,983,730
or
1.5%
of
total
net
assets.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
Security
received
as
part
of
a
corporate
restructure
prior
to
period
end
with
a
contractual
restriction
on
its
sale
of
less
than
one
month.
e
Pursuant
to
sanctions
related
to
the
Russian
invasion
of
Ukraine
which
restricts
the
ability
of
Russia
and
its
allied
nations
to
make
payments
on
its
dollar-denominated
sovereign
debt
and
equity,
existing
accruals
on
these
securities
have
been
reserved
and
income
is
currently
not
being
accrued.
f
In
bankruptcy.  Income
is
not
being
accrued
per
the
bankruptcy
agreement
terms.
g
The
interest
rate
shown
reflects
the
yield.
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
103
h
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Bhd
-
Berhad
-
suffix
used
in
Malaysia
to
identify
a
Public
Limited
Company
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
NVDR
-
Non-Voting
Depository
Receipts
PCL
-
Public
Company
Limited
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
SDR
-
Singapore
Depository
Receipt
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
104
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
International
Equity
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
@
47,620,586
5,615,303
42,005,282
1
Consumer
Discretionary
56,951,918
6,129,028
50,822,890
–
Consumer
Staples
@
42,486,341
13,442,230
29,044,111
0
Energy
@
65,339,171
20,170,132
45,169,026
13
Financials
@
287,211,293
49,668,648
237,046,116
496,529
Health
Care
66,766,166
447,895
66,318,271
–
Industrials
150,712,234
10,963,444
139,146,883
601,907
Information
Technology
200,006,590
10,786,738
189,219,852
–
Materials
@
77,269,528
22,172,254
55,097,266
8
Real
Estate
20,696,892
1,129,840
19,567,052
–
Utilities
26,835,189
6,282,280
20,552,909
–
Preferred
Stock
Consumer
Discretionary
60,474
–
60,474
–
Energy
@
1,110,265
1,110,264
–
1
Financials
669,084
669,084
–
–
Health
Care
108,527
–
108,527
–
Information
Technology
3,596,783
–
3,596,783
–
Materials
165,843
165,843
–
–
Utilities
1,293,098
1,293,098
–
–
Short-Term
Investments
16,173,536
11,400,439
4,773,097
–
Subtotal
Investments
in
Securities
$1,065,073,518
$161,446,520
$902,528,539
$1,098,459
Other
Investments  *
Total
Affiliated
Short-Term
Investments
44,203,871
Subtotal
Other
Investments
$44,203,871
Total
Investments
at
Value
$1,109,277,389
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
@
Level
3
security
in
this
section
is
fair
valued
at
<$1.
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
International
Equity
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
473,857
473,857
–
–
Total
Asset
Derivatives
$473,857
$473,857
$–
$–
Liability
Derivatives
Futures
Contracts
1,622,087
1,622,087
–
–
Total
Liability
Derivatives
$1,622,087
$1,622,087
$–
$–
International
Equity
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
105
Reference
Description:
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
The
following
table
presents
International
Equity
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$4,773,097
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
ICE
mini
MSCI
EAFE
Index
451
September
2026
$
71,287,008
$
473,857
ICE
US
mini
MSCI
Emerging
Markets
Index
335
September
2026
29,130,612
(
1,622,087)
Total
Futures
Long
Contracts
$
100,417,620
(
$
1,148,230)
Total
Futures
Contracts
$
100,417,620
($1,148,230)
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
International
Equity
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
$64,204
$–
$20,000
$44,204
4,420
4.0%
Total
Affiliated
Short-Term
Investments
64,204
44,204
4.0
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
531
531
–
–
–
Total
Collateral
Held
for
Securities
Loaned
–
–
–
Total
Value
$64,204
$44,204
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
$–
$–
$–
$1,588
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$1,588
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
2
Total
Affiliated
Income
from
Securities
Loaned,
Net
$2
Total
$–
$–
$–
Large
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
106
Shares
Common
Stock
98.0%
Value
Communications
Services
15.1%
668,068
Alphabet,
Inc.,
Class
A
$
237,919,057
563,920
Alphabet,
Inc.,
Class
C
201,122,068
304,425
Meta
Platforms,
Inc.
169,476,442
886,874
Netflix,
Inc.
a
63,597,734
7,157
Space
Exploration
Technologies
Corporation
a,b
775,604
Total
672,890,905
Consumer
Discretionary
13.0%
1,407,861
Amazon.com,
Inc.
a
382,346,891
143,625
Hilton
Worldwide
Holdings,
Inc.
46,030,376
166,720
Home
Depot,
Inc.
55,344,371
305,747
Tesla,
Inc.
a
95,151,524
Total
578,873,162
Consumer
Staples
2.7%
545,171
British
American
Tobacco
plc
ADR
33,064,621
795,609
Walmart,
Inc.
88,471,721
Total
121,536,342
Energy
0.6%
220,935
ConocoPhillips
26,618,249
Total
26,618,249
Financials
7.5%
151,685
American
Express
Company
51,004,081
245,909
JPMorgan
Chase
&
Company
86,508,327
188,460
Morgan
Stanley
39,655,753
309,879
Robinhood
Markets,
Inc.
a
26,823,126
359,451
Visa,
Inc.
131,605,795
Total
335,597,082
Health
Care
5.6%
141,050
Amgen,
Inc.
54,326,818
236,378
Danaher
Corporation
46,088,982
94,859
Eli
Lilly
&
Company
108,977,814
116,678
Intuitive
Surgical,
Inc.
a
41,225,838
Total
250,619,452
Industrials
10.5%
75,025
Caterpillar,
Inc.
61,131,120
137,973
Eaton
Corporation
plc
57,286,390
53,143
EMCOR
Group,
Inc.
42,377,822
1,360,766
Fastenal
Company
64,922,146
62,073
GE
Vernova,
Inc.
61,470,271
209,709
General
Electric
Company
75,509,920
60,618
Parker-Hannifin
Corporation
59,195,295
652,316
Uber
Technologies,
Inc.
a
45,896,954
Total
467,789,918
Information
Technology
43.0%
230,462
Advanced
Micro
Devices,
Inc.
a
109,734,481
440,604
Amphenol
Corporation
70,805,063
938,640
Apple,
Inc.
289,955,282
447,419
Arista
Networks,
Inc.
a
80,692,017
507,484
Broadcom,
Inc.
197,553,372
160,036
Cadence
Design
Systems,
Inc.
a
54,415,441
352,312
Lam
Research
Corporation
103,234,462
85,857
Micron
Technology,
Inc.
70,662,887
602,494
Microsoft
Corporation
279,991,012
2,423,971
NVIDIA
Corporation
486,612,178
501,389
Palantir
Technologies,
Inc.
a
61,700,930
307,519
ServiceNow,
Inc.
a
34,205,338
Shares
Common
Stock  98.0%
Value
Information
Technology
43.0%
-
continued
194,269
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
ADR
$
78,533,243
Total
1,918,095,706
Total
Common
Stock
(cost
$2,376,910,109)
4,372,020,816
Shares
Collateral
Held
for
Securities
Loaned
<
0.1%
Value
801,500
Thrivent
Cash
Management
Trust
801,500
Total
Collateral
Held
for
Securities
Loaned
(cost
$801,500)
801,500
Shares
or
Principal
Amount
Short-Term
Investments
2.0%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
90,322,432
3.619%
c
90,322,433
Total
Short-Term
Investments
(cost
$90,322,432)
90,322,433
Total
Investments
(cost
$2,468,034,041)
100.0%
$4,463,144,749
Other
Assets
and
Liabilities,
Net
<0.1%
1,593,002
Total
Net
Assets
100.0%
$4,464,737,751
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Large
Cap
Growth
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
758,590
Total
lending
$758,590
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$801,500
Net
amounts
due
to
counterparty
$42,910
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
plc
-
Public
Limited
Company
Large
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
107
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Large
Cap
Growth
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
672,890,905
672,890,905
–
–
Consumer
Discretionary
578,873,162
578,873,162
–
–
Consumer
Staples
121,536,342
121,536,342
–
–
Energy
26,618,249
26,618,249
–
–
Financials
335,597,082
335,597,082
–
–
Health
Care
250,619,452
250,619,452
–
–
Industrials
467,789,918
467,789,918
–
–
Information
Technology
1,918,095,706
1,918,095,706
–
–
Short-Term
Investments
90,322,433
90,322,433
–
–
Subtotal
Investments
in
Securities
$4,462,343,249
$4,462,343,249
$–
$–
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
801,500
Subtotal
Other
Investments
$801,500
Total
Investments
at
Value
$4,463,144,749
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Large
Cap
Growth
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$69,933
$69,131
$802
802
<0.1%
Total
Collateral
Held
for
Securities
Loaned
–
802
<0.1
Total
Value
$–
$802
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$
–
$2
Total
Affiliated
Income
from
Securities
Loaned,
Net
$2
Total
$–
$–
$–
Large
Cap
Value
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
108
Shares
Common
Stock
98.8%
Value
Communications
Services
5.8%
267,583
Alphabet,
Inc.,
Class
C
$
95,433,477
861,802
Comcast
Corporation
20,648,776
49,058
Meta
Platforms,
Inc.
27,311,079
886,355
Universal
Music
Group
NV
14,624,466
1,053,832
Warner
Brothers
Discovery,
Inc.
a
27,715,782
1,172,736
Warner
Music
Group
Corporation
30,444,226
Total
216,177,806
Consumer
Discretionary
6.3%
332,126
Amazon.com,
Inc.
a
90,198,779
327,603
Aptiv
plc
a
18,499,741
180,534
D.R.
Horton,
Inc.
25,827,194
215,776
Lowe's
Companies,
Inc.
44,840,411
1,101,459
Sony
Group
Corporation
ADR
25,619,936
395,597
Wyndham
Hotels
&
Resorts,
Inc.
29,614,392
Total
234,600,453
Consumer
Staples
4.6%
1,337,423
Keurig
Dr
Pepper,
Inc.
41,620,604
169,317
PepsiCo,
Inc.
23,629,881
658,135
Sysco
Corporation
56,099,427
813,922
Unilever
plc
ADR
51,610,794
Total
172,960,706
Energy
8.8%
382,097
ConocoPhillips
46,035,047
955,749
Devon
Energy
Corporation
43,132,952
1,406,072
Enterprise
Products
Partners,
LP
53,501,040
717,793
ExxonMobil
Holdings
Corporation
111,573,744
1,003,837
Halliburton
Company
32,373,743
132,175
Marathon
Petroleum
Corporation
41,829,422
Total
328,445,948
Financials
19.7%
89,766
Allstate
Corporation
23,705,405
460,524
American
International
Group,
Inc.
36,187,976
1,624,111
Bank
of
America
Corporation
100,613,677
325,336
Bank
of
New
York
Mellon
Corporation
50,859,777
78,739
Berkshire
Hathaway,
Inc.
a
40,278,148
319,696
Capital
One
Financial
Corporation
66,819,661
467,058
Charles
Schwab
Corporation
49,153,184
96,288
Chubb,
Ltd.
33,766,276
1,128,758
Huntington
Bancshares,
Inc./OH
19,234,036
209,955
Intercontinental
Exchange,
Inc.
32,013,938
221,472
JPMorgan
Chase
&
Company
77,911,635
380,450
MetLife,
Inc.
36,572,659
325,168
Morgan
Stanley
68,421,851
1,124,701
Wells
Fargo
&
Company
97,230,401
Total
732,768,624
Health
Care
13.3%
303,599
Bristol-Myers
Squibb
Company
19,828,051
68,904
Cencora,
Inc.
21,452,571
193,208
Cigna
Group
53,914,692
248,713
Gilead
Sciences,
Inc.
32,384,920
219,544
ICON
plc
a
35,909,714
299,148
Johnson
&
Johnson
76,686,590
198,840
Labcorp
Holdings,
Inc.
61,481,328
672,842
Merck
&
Company,
Inc.
87,604,028
38,722
Regeneron
Pharmaceuticals,
Inc.
29,530,559
98,973
UnitedHealth
Group,
Inc.
41,014,411
Shares
Common
Stock  98.8%
Value
Health
Care
13.3%
-
continued
400,649
Zimmer
Biomet
Holdings,
Inc.
$
37,632,961
Total
497,439,825
Industrials
12.1%
642,939
Amentum
Holdings,
Inc.
a
14,273,246
4,439,172
CNH
Industrial
NV
45,501,513
1,220,972
CSX
Corporation
61,536,989
518,668
Delta
Air
Lines,
Inc.
45,352,330
557,655
Flowserve
Corporation
42,376,203
115,672
General
Dynamics
Corporation
44,350,958
352,029
Hexcel
Corporation
36,241,386
152,964
Honeywell
Aerospace,
Inc.
a
31,623,777
117,227
Honeywell
International,
Inc.
28,492,022
186,218
Jacobs
Solutions,
Inc.
25,126,395
136,732
JB
Hunt
Transport
Services,
Inc.
37,156,921
135,131
L3Harris
Technologies,
Inc.
37,439,395
Total
449,471,135
Information
Technology
14.1%
98,825
Applied
Materials,
Inc.
50,170,488
866,631
Cisco
Systems,
Inc.
100,520,530
82,179
International
Business
Machines
Corporation
18,379,333
286,260
Microsoft
Corporation
133,030,747
338,251
Qualcomm,
Inc.
49,929,230
594,422
Samsung
Electronics
Company,
Ltd.
103,462,018
281,830
TD
SYNNEX
Corporation
72,063,931
Total
527,556,277
Materials
4.6%
332,969
CF
Industries
Holdings,
Inc.
41,684,389
283,754
Crown
Holdings,
Inc.
33,440,409
168,330
Eastman
Chemical
Company
11,774,683
390,349
International
Paper
Company
15,937,950
220,893
Nucor
Corporation
56,833,560
212,183
Solstice
Advanced
Materials,
Inc.
12,767,051
Total
172,438,042
Real
Estate
3.3%
136,301
AvalonBay
Communities,
Inc.
25,298,829
214,844
CBRE
Group,
Inc.
a
31,541,248
532,462
Crown
Castle,
Inc.
40,626,850
1,209,608
Healthcare
Realty
Trust,
Inc.
25,413,864
Total
122,880,791
Utilities
6.2%
211,254
Constellation
Energy
Corporation
55,506,988
413,392
Duke
Energy
Corporation
51,851,758
565,282
Entergy
Corporation
60,835,649
315,866
Evergy,
Inc.
26,220,037
244,451
Vistra
Energy
Corporation
36,225,194
Total
230,639,626
Total
Common
Stock
(cost
$2,463,847,547)
3,685,379,233
Large
Cap
Value
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
109
Shares
or
Principal
Amount
Short-Term
Investments
1.1%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
38,959,562
3.619%
b
$
38,959,562
Total
Short-Term
Investments
(cost
$38,959,562)
38,959,562
Total
Investments
(cost
$2,502,807,109)
99.9%
$3,724,338,795
Other
Assets
and
Liabilities,
Net
0.1%
4,162,214
Total
Net
Assets
100.0%
$3,728,501,009
a
Non-income
producing
security.
b
The
interest
rate
shown
reflects
the
yield.
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
plc
-
Public
Limited
Company
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Large
Cap
Value
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
216,177,806
201,553,340
14,624,466
–
Consumer
Discretionary
234,600,453
234,600,453
–
–
Consumer
Staples
172,960,706
172,960,706
–
–
Energy
328,445,948
328,445,948
–
–
Financials
732,768,624
732,768,624
–
–
Health
Care
497,439,825
497,439,825
–
–
Industrials
449,471,135
449,471,135
–
–
Information
Technology
527,556,277
424,094,259
103,462,018
–
Materials
172,438,042
172,438,042
–
–
Real
Estate
122,880,791
122,880,791
–
–
Utilities
230,639,626
230,639,626
–
–
Short-Term
Investments
38,959,562
38,959,562
–
–
Subtotal
Investments
in
Securities
$3,724,338,795
$3,606,252,311
$118,086,484
$–
Total
Investments
at
Value
$3,724,338,795
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Large
Cap
Value
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$12,943
$153,141
$166,084
$–
–
–%
Total
Collateral
Held
for
Securities
Loaned
12,943
–
–
Total
Value
$12,943
$–
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$–
$19
Total
Affiliated
Income
from
Securities
Loaned,
Net
$19
Total
$–
$–
$–
Mid
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
110
Shares
Common
Stock
97.3%
Value
Communications
Services
1.8%
1,656
Reddit,
Inc.
a
$
232,950
709
Spotify
Technology
SA
a
354,457
Total
587,407
Consumer
Discretionary
15.1%
1,663
DoorDash,
Inc.
a
326,214
1,247
Garmin,
Ltd.
366,344
2,284
Hilton
Worldwide
Holdings,
Inc.
731,999
1,382
Installed
Building
Products,
Inc.
308,103
15,443
Levi
Strauss
&
Company
378,662
10,340
Life
Time
Group
Holdings,
Inc.
a
466,334
1,816
Ross
Stores,
Inc.
455,943
3,784
SharkNinja,
Inc.
a
612,138
2,573
Texas
Roadhouse,
Inc.
528,597
4,034
Viking
Holdings,
Ltd.
a
420,948
3,853
Wynn
Resorts,
Ltd.
382,641
Total
4,977,923
Consumer
Staples
2.8%
645
Casey's
General
Stores,
Inc.
561,795
5,000
Turning
Point
Brands,
Inc.
373,050
Total
934,845
Energy
1.8%
933
Cheniere
Energy,
Inc.
245,911
4,812
TechnipFMC
plc
344,828
Total
590,739
Financials
7.2%
771
Ameriprise
Financial,
Inc.
420,843
4,727
Arch
Capital
Group,
Ltd.
a
475,205
2,172
East
West
Bancorp,
Inc.
284,532
3,038
Intercontinental
Exchange,
Inc.
463,234
3,899
Nasdaq,
Inc.
367,247
4,069
Robinhood
Markets,
Inc.
a
352,213
Total
2,363,274
Health
Care
11.4%
488
Argenx
SE
ADR
a
416,664
2,173
Cencora,
Inc.
676,542
1,220
Guardant
Health,
Inc.
a
197,628
997
IDEXX
Laboratories,
Inc.
a
557,393
1,676
Natera,
Inc.
a
448,766
2,486
Repligen
Corporation
a
350,551
4,817
Royalty
Pharma
plc
281,457
591
United
Therapeutics
Corporation
a
305,966
1,529
West
Pharmaceutical
Services,
Inc.
521,328
Total
3,756,295
Industrials
27.0%
3,551
AAON,
Inc.
316,252
3,582
Advanced
Drainage
Systems,
Inc.
496,035
878
Axon
Enterprise,
Inc.
a
463,373
1,584
Clean
Harbors,
Inc.
a
495,602
2,241
Crane
Company
478,364
496
Curtiss-Wright
Corporation
359,104
905
EMCOR
Group,
Inc.
721,674
10,846
Fastenal
Company
517,463
1,577
FTAI
Aviation,
Ltd.
324,862
2,581
Howmet
Aerospace,
Inc.
728,513
1,926
Lincoln
Electric
Holdings,
Inc.
503,283
2,958
Mercury
Systems,
Inc.
a
287,222
2,133
nVent
Electric
plc
328,119
Shares
Common
Stock  97.3%
Value
Industrials
27.0%
-
continued
2,080
Old
Dominion
Freight
Line,
Inc.
$
441,251
835
Quanta
Services,
Inc.
557,246
679
RBC
Bearings,
Inc.
a
374,339
1,070
Rockwell
Automation,
Inc.
513,686
2,164
Verisk
Analytics,
Inc.
421,655
2,343
Vertiv
Holdings
Company
565,999
Total
8,894,042
Information
Technology
25.9%
2,465
Amphenol
Corporation
396,126
2,494
Arista
Networks,
Inc.
a
449,793
739
Celestica,
Inc.
a
244,934
2,349
Cloudflare,
Inc.
a
655,324
3,831
Cognex
Corporation
249,934
1,094
Coherent
Corporation
a
287,602
1,799
Datadog,
Inc.
a
482,078
3,045
Guidewire
Software,
Inc.
a
462,657
7,037
JFrog,
Ltd.
a
561,482
3,507
Lattice
Semiconductor
Corporation
a
435,815
596
Littelfuse,
Inc.
263,509
1,293
MACOM
Technology
Solutions
Holdings,
Inc.
a
325,112
2,409
Manhattan
Associates,
Inc.
a
460,986
1,362
MKS,
Inc.
405,127
725
Monolithic
Power
Systems,
Inc.
1,033,872
2,402
Rambus,
Inc.
a
218,654
528
SiTime
Corporation
a
282,586
2,299
Snowflake,
Inc.
a
674,251
999
Synopsys,
Inc.
a
388,371
510
Western
Digital
Corporation
277,868
Total
8,556,081
Materials
1.2%
763
Martin
Marietta
Materials,
Inc.
400,682
Total
400,682
Real
Estate
1.5%
3,433
CBRE
Group,
Inc.
a
503,999
Total
503,999
Utilities
1.6%
3,488
Vistra
Energy
Corporation
516,887
Total
516,887
Total
Common
Stock
(cost
$24,466,472)
32,082,174
Shares
Registered
Investment
Companies  
0.8%
Value
U.S.
Unaffiliated  
0.8%  
1,850
State
Street
SPDR
S&P
Biotech
ETF
271,968
Total
271,968
Total
Registered
Investment
Companies
(cost
$168,488)
271,968
Mid
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
111
Shares
or
Principal
Amount
Short-Term
Investments
2.1%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
699,650
3.619%
b
$
699,650
Total
Short-Term
Investments
(cost
$699,650)
699,650
Total
Investments
(cost
$25,334,610)
100.2%
$33,053,792
Other
Assets
and
Liabilities,
Net
(0.2%)
(61,191)
Total
Net
Assets
100.0%
$32,992,601
a
Non-income
producing
security.
b
The
interest
rate
shown
reflects
the
yield.
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
ETF
-
Exchange-Traded
Fund
plc
-
Public
Limited
Company
S&P
-
Standard
&
Poor's
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Mid
Cap
Growth
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
587,407
587,407
–
–
Consumer
Discretionary
4,977,923
4,977,923
–
–
Consumer
Staples
934,845
934,845
–
–
Energy
590,739
590,739
–
–
Financials
2,363,274
2,363,274
–
–
Health
Care
3,756,295
3,756,295
–
–
Industrials
8,894,042
8,894,042
–
–
Information
Technology
8,556,081
8,556,081
–
–
Materials
400,682
400,682
–
–
Real
Estate
503,999
503,999
–
–
Utilities
516,887
516,887
–
–
Registered
Investment
Companies
U.S.
Unaffiliated
271,968
271,968
–
–
Short-Term
Investments
699,650
699,650
–
–
Subtotal
Investments
in
Securities
$33,053,792
$33,053,792
$–
$–
Total
Investments
at
Value
$33,053,792
Mid
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
112
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Mid
Cap
Growth
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$194
$4,843
$5,037
$–
–
–%
Total
Collateral
Held
for
Securities
Loaned
194
–
–
Total
Value
$194
$–
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$
–
$2
Total
Affiliated
Income
from
Securities
Loaned,
Net
$2
Total
$–
$–
$–
Mid
Cap
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
113
Shares
Common
Stock
97.5%
Value
Communications
Services
1.2%
257,498
Reddit,
Inc.
a
$
36,222,244
Total
36,222,244
Consumer
Discretionary
11.7%
10,238
AutoZone,
Inc.
a
30,880,367
611,520
BorgWarner,
Inc.
38,978,285
197,291
Garmin,
Ltd.
57,960,150
298,665
PulteGroup,
Inc.
37,772,163
224,918
RH
a
37,228,427
157,810
Ross
Stores,
Inc.
39,621,357
269,192
SharkNinja,
Inc.
a
43,547,190
187,773
Williams-Sonoma,
Inc.
42,936,174
363,321
Wynn
Resorts,
Ltd.
36,081,408
Total
365,005,521
Consumer
Staples
2.5%
53,683
Casey's
General
Stores,
Inc.
46,757,893
131,322
WD-40
Company
29,828,479
Total
76,586,372
Energy
4.1%
735,287
Devon
Energy
Corporation
33,183,502
862,805
Enterprise
Products
Partners,
LP
32,829,730
358,255
Expand
Energy
Corporation
33,686,718
836,175
Halliburton
Company
26,966,644
Total
126,666,594
Financials
13.8%
882,566
Ally
Financial,
Inc.
38,241,585
59,644
Ameriprise
Financial,
Inc.
32,556,081
797,539
Arch
Capital
Group,
Ltd.
a
80,176,596
295,759
M&T
Bank
Corporation
72,842,484
405,537
Nasdaq,
Inc.
38,197,530
328,298
Northern
Trust
Corporation
59,812,613
811,536
Old
Republic
International
Corporation
35,066,470
394,578
Pinnacle
Financial
Partners,
Inc.
41,521,443
370,881
Robinhood
Markets,
Inc.
a
32,103,459
Total
430,518,261
Health
Care
12.3%
619,985
Dexcom,
Inc.
a
51,737,748
781,354
Exelixis,
Inc.
a
41,435,203
351,314
Illumina,
Inc.
a
72,054,501
62,073
Medpace
Holdings,
Inc.
a
35,822,949
42,430
Mettler-Toledo
International,
Inc.
a
60,093,609
229,482
Neurocrine
Biosciences,
Inc.
a
38,277,598
177,161
Tenet
Healthcare
Corporation
a
45,137,080
191,684
Veeva
Systems,
Inc.
a
39,061,365
Total
383,620,053
Industrials
23.6%
236,932
Allegion
plc
37,293,097
197,356
AMETEK,
Inc.
47,702,919
238,563
C.H.
Robinson
Worldwide,
Inc.
35,242,912
53,341
EMCOR
Group,
Inc.
42,535,714
1,100,824
Fastenal
Company
52,520,313
229,755
Howmet
Aerospace,
Inc.
64,850,646
233,618
IDEX
Corporation
53,837,268
216,783
Lincoln
Electric
Holdings,
Inc.
56,647,566
168,096
Old
Dominion
Freight
Line,
Inc.
35,659,885
75,366
Quanta
Services,
Inc.
50,296,254
129,289
Rockwell
Automation,
Inc.
62,069,063
451,809
Timken
Company
62,146,328
Shares
Common
Stock  97.5%
Value
Industrials
23.6%
-
continued
558,716
UL
Solutions,
Inc.
$
51,200,734
47,790
United
Rentals,
Inc.
51,577,835
170,560
Verisk
Analytics,
Inc.
33,233,616
Total
736,814,150
Information
Technology
14.9%
260,379
Datadog,
Inc.
a
69,773,761
66,356
Fabrinet
a
28,892,066
615,393
JFrog,
Ltd.
a
49,102,207
42,504
Monolithic
Power
Systems,
Inc.
60,611,979
7,660,134
Nokia
Oyj
ADR
70,013,625
950,116
Nutanix,
Inc.
a
56,066,345
257,951
Onto
Innovation,
Inc.
a
66,700,970
218,778
Zebra
Technologies
Corporation
a
64,281,352
Total
465,442,305
Materials
4.8%
710,515
Amrize,
Ltd.
34,751,288
579,061
Celanese
Corporation
25,895,608
360,872
Steel
Dynamics,
Inc.
90,672,699
Total
151,319,595
Real
Estate
4.8%
269,369
Extra
Space
Storage,
Inc.
39,877,387
1,176,555
First
Industrial
Realty
Trust,
Inc.
77,464,381
148,284
Simon
Property
Group,
Inc.
34,011,901
Total
151,353,669
Utilities
3.8%
559,310
Alliant
Energy
Corporation
b
39,587,962
960,334
CenterPoint
Energy,
Inc.
40,372,441
873,839
NiSource,
Inc.
38,824,667
Total
118,785,070
Total
Common
Stock
(cost
$2,118,717,542)
3,042,333,834
Shares
Collateral
Held
for
Securities
Loaned
0.6%
Value
19,053,000
Thrivent
Cash
Management
Trust
19,053,000
Total
Collateral
Held
for
Securities
Loaned
(cost
$19,053,000)
19,053,000
Shares
or
Principal
Amount
Short-Term
Investments
2.7%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
82,476,209
3.619%
c
82,476,209
Total
Short-Term
Investments
(cost
$82,476,209)
82,476,209
Total
Investments
(cost
$2,220,246,751)
100.8%
$3,143,863,043
Other
Assets
and
Liabilities,
Net
(0.8%)
(24,715,961)
Total
Net
Assets
100.0%
$3,119,147,082
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield.
Mid
Cap
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
114
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Mid
Cap
Stock
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
18,600,984
Total
lending
$18,600,984
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$19,053,000
Net
amounts
due
to
counterparty
$452,016
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
plc
-
Public
Limited
Company
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Mid
Cap
Stock
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
36,222,244
36,222,244
–
–
Consumer
Discretionary
365,005,521
365,005,521
–
–
Consumer
Staples
76,586,372
76,586,372
–
–
Energy
126,666,594
126,666,594
–
–
Financials
430,518,261
430,518,261
–
–
Health
Care
383,620,053
383,620,053
–
–
Industrials
736,814,150
736,814,150
–
–
Information
Technology
465,442,305
465,442,305
–
–
Materials
151,319,595
151,319,595
–
–
Real
Estate
151,353,669
151,353,669
–
–
Utilities
118,785,070
118,785,070
–
–
Short-Term
Investments
82,476,209
82,476,209
–
–
Subtotal
Investments
in
Securities
$3,124,810,043
$3,124,810,043
$–
$–
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
19,053,000
Subtotal
Other
Investments
$19,053,000
Total
Investments
at
Value
$3,143,863,043
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Mid
Cap
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
115
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Mid
Cap
Stock
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$31,500
$233,240
$245,687
$19,053
19,053
0.6%
Total
Collateral
Held
for
Securities
Loaned
31,500
19,053
0.6
Total
Value
$31,500
$19,053
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$
–
$52
Total
Affiliated
Income
from
Securities
Loaned,
Net
$52
Total
$–
$–
$–
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
116
Shares
Registered
Investment
Companies  
48.0%
Value
U.S.
Affiliated  
47.5%  
7,062,796
Thrivent
Core
Emerging
Markets
Debt
Fund
$
61,799,467
2,331,193
Thrivent
Core
Emerging
Markets
Equity
Fund
34,082,045
4,501,864
Thrivent
Core
High
Yield
Bond
Fund
88,641,695
7,586,944
Thrivent
Core
Investment
Grade
Corporate
Bond
Fund
146,048,677
3,674,443
Thrivent
Global
Stock
Fund,
Class
S
119,345,908
2,925,988
Thrivent
High
Yield
Fund,
Class
S
49,449,197
7,830,895
Thrivent
Income
Fund,
Class
S
125,842,478
14,780,950
Thrivent
International
Equity
Fund,
Class
S
211,663,203
725,525
Thrivent
International
Large
Cap
ETF
18,537,091
128,628
Thrivent
International
Small
Cap
ETF
2,986,717
19,906,864
Thrivent
Large
Cap
Growth
Fund,
Class
S
500,856,701
12,986,596
Thrivent
Large
Cap
Value
Fund,
Class
S
489,594,679
2,759,574
Thrivent
Mid
Cap
Stock
Fund,
Class
S
110,051,803
954,035
Thrivent
Mid
Cap
Value
ETF
16,998,328
5,936,714
Thrivent
Short-Term
Bond
Fund,
Class
S
73,733,991
1,398,447
Thrivent
Small
Cap
Stock
Fund,
Class
S
52,259,977
279,610
Thrivent
Small
Cap
Value
ETF
8,979,340
Total
2,110,871,297
U.S.
Unaffiliated  
0.5%  
8,355
Invesco
QQQ
Trust
Series
1
a
5,748,156
841
iShares
Biotechnology
ETF
156,771
422
iShares
Russell
2000
Growth
ETF
156,423
226
iShares
Semiconductor
ETF
114,105
16,683
State
Street
SPDR
S&P
500
ETF
Trust
12,462,702
1,392
State
Street
SPDR
S&P
600
Small
Cap
Growth
ETF
160,386
4,684
State
Street
SPDR
S&P
Biotech
ETF
688,595
Total
19,487,138
Total
Registered
Investment
Companies
(cost
$1,370,739,122)
2,130,358,435
Shares
Common
Stock
26.3%
Value
Communications
Services
2.0%
69,025
Alphabet,
Inc.,
Class
A
24,581,873
81,504
Alphabet,
Inc.,
Class
C
29,068,402
62,367
AT&T,
Inc.
1,450,033
212
Cable
One,
Inc.
b
8,478
746
CarGurus,
Inc.
b
27,035
142
Charter
Communications,
Inc.
b
20,587
96,042
Comcast
Corporation
2,301,166
3,088
Gogo,
Inc.
b
12,908
705
Liberty
Capital
Corporation
b
16,335
7,808
Liberty
Global,
Ltd.,
Class
A
b
82,843
312
Liberty
Media
Corporation-Liberty
Formula
One
b
30,616
8,071
Lumen
Technologies,
Inc.
b
51,493
Shares
Common
Stock  26.3%
Value
Communications
Services
2.0%
-
continued
88
Madison
Square
Garden
Sports
Corporation
b
$
34,644
623
Match
Group,
Inc.
24,552
35,007
Meta
Platforms,
Inc.
19,488,747
34,541
Netflix,
Inc.
b
2,476,935
2,294
New
York
Times
Company
171,798
239
Omnicom
Group,
Inc.
18,809
2,835
Reddit,
Inc.
b
398,799
3,058
ROBLOX
Corporation
b
108,865
280
Space
Exploration
Technologies
Corporation
a,b
30,344
698
Spotify
Technology
SA
b
348,958
5,713
Taboola.com,
Ltd.
b
28,622
6,294
Trade
Desk,
Inc.
b
113,544
98,341
Universal
Music
Group
NV
1,622,583
1,906
Versant
Media
Group,
Inc.
68,597
19,104
Walt
Disney
Company
1,837,614
117,800
Warner
Brothers
Discovery,
Inc.
b
3,098,140
130,311
Warner
Music
Group
Corporation
3,382,874
9,274
ZoomInfo
Technologies,
Inc.
b
30,604
Total
90,936,798
Consumer
Discretionary
2.5%
547
Abercrombie
&
Fitch
Company
b
54,448
1,879
Adient
plc
b
39,534
75,473
ADT,
Inc.
576,614
2,622
Advance
Auto
Parts,
Inc.
145,626
22,109
Airbnb,
Inc.
b
3,349,956
162,415
Amazon.com,
Inc.
b
44,108,666
2,969
American
Eagle
Outfitters,
Inc.
51,007
36,665
Aptiv
plc
b
2,070,473
1,755
Aramark
99,982
53
AutoNation,
Inc.
b
11,257
53
AutoZone,
Inc.
b
159,861
3,338
Bath
&
Body
Works,
Inc.
67,161
337
Best
Buy
Company,
Inc.
29,070
3,960
Boot
Barn
Holdings,
Inc.
b
590,000
7,197
BorgWarner,
Inc.
458,737
73
Bright
Horizons
Family
Solutions,
Inc.
b
5,441
320
Brunswick
Corporation
25,280
915
Buckle,
Inc.
40,050
89
Burlington
Stores,
Inc.
b
32,795
2,986
CarMax,
Inc.
b
170,978
1,845
Carnival
Corporation,
Ltd.
51,309
32
Cavco
Industries,
Inc.
b
17,505
733
Champion
Homes,
Inc.
b
58,354
2,213
Chewy,
Inc.
b
50,014
716
Chipotle
Mexican
Grill,
Inc.
b
26,650
20,447
D.R.
Horton,
Inc.
2,925,148
1,828
Dana,
Inc.
49,228
949
Deckers
Outdoor
Corporation
b
91,939
1,626
DoorDash,
Inc.
b
318,956
545
eBay,
Inc.
62,135
15,441
Etsy,
Inc.
b
1,261,221
8,218
Five
Below,
Inc.
b
1,784,374
500
Flutter
Entertainment
plc
b
52,235
8,807
Ford
Motor
Company
129,287
4,843
Frontdoor,
Inc.
b
351,747
345
Gap,
Inc.
6,931
2,607
Garmin,
Ltd.
765,884
20,946
Garrett
Motion,
Inc.
652,468
40,996
General
Motors
Company
3,642,905
3,202
Gentex
Corporation
74,799
35
Genuine
Parts
Company
4,353
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
117
Shares
Common
Stock  26.3%
Value
Consumer
Discretionary
2.5%
-
continued
167
GigaCloud
Technology,
Inc.
b
$
7,305
5,015
Goodyear
Tire
&
Rubber
Company
b
34,854
364
Grand
Canyon
Education,
Inc.
b
52,904
2,627
Hasbro,
Inc.
246,780
11,712
Hilton
Worldwide
Holdings,
Inc.
3,753,579
6,332
Home
Depot,
Inc.
2,101,971
3,833
Installed
Building
Products,
Inc.
854,529
2,099
Kohl's
Corporation
40,175
9,783
Laureate
Education,
Inc.
b
374,787
1,432
Lear
Corporation
187,077
553
Lennar
Corporation
45,540
15,187
Levi
Strauss
&
Company
372,385
21,722
Life
Time
Group
Holdings,
Inc.
b
979,662
66
Lithia
Motors,
Inc.
25,438
780
LKQ
Corporation
17,511
23,783
Lowe's
Companies,
Inc.
4,942,345
531
Lululemon
Athletica,
Inc.
b
63,120
132
M/I
Homes,
Inc.
b
19,289
4,946
Macy's,
Inc.
122,760
5,190
Mattel,
Inc.
b
78,317
4,427
Mobileye
Global,
Inc.
b
35,150
2,156
Mohawk
Industries,
Inc.
b
265,404
2,911
Monarch
Casino
&
Resort,
Inc.
357,325
715
Murphy
USA,
Inc.
434,548
4
NVR,
Inc.
b
24,588
6,061
Ollie's
Bargain
Outlet
Holdings,
Inc.
b
445,302
23,897
O'Reilly
Automotive,
Inc.
b
2,135,197
19,993
Pattern
Group,
Inc.
b
460,239
1,907
PENN
Entertainment,
Inc.
b
39,151
1,787
Perdoceo
Education
Corporation
56,844
125
Pool
Corporation
23,214
1,412
PulteGroup,
Inc.
178,576
153
Ralph
Lauren
Corporation
58,192
1,085
RH
b
179,589
20,831
Ross
Stores,
Inc.
5,230,039
6,080
SharkNinja,
Inc.
b
983,562
4,953
Sonos,
Inc.
b
72,611
122,750
Sony
Group
Corporation
ADR
2,855,165
469
Strategic
Education,
Inc.
38,458
5,842
Tapestry,
Inc.
890,146
22,706
Tesla,
Inc.
b
7,066,334
5,641
Texas
Roadhouse,
Inc.
1,158,887
19,576
TJX
Companies,
Inc.
3,080,088
1,602
Toll
Brothers,
Inc.
233,716
648
Tractor
Supply
Company
19,939
141
Ulta
Beauty,
Inc.
b
72,309
9,789
Universal
Technical
Institute,
Inc.
b
384,806
1,819
Urban
Outfitters,
Inc.
b
134,933
1,687
Versigent
plc
b
69,757
787
Victoria's
Secret
&
Company
b
69,791
27,357
Viking
Holdings,
Ltd.
b
2,854,703
299
Visteon
Corporation
31,257
883
Williams-Sonoma,
Inc.
201,907
43,883
Wyndham
Hotels
&
Resorts,
Inc.
3,285,081
8,701
Wynn
Resorts,
Ltd.
864,096
1,147
YETI
Holdings,
Inc.
b
56,134
26
Yum!
Brands,
Inc.
3,985
Total
113,135,729
Consumer
Staples
0.8%
33,483
BellRing
Brands,
Inc.
b
414,854
396
BJ's
Wholesale
Club
Holdings,
Inc.
b
38,721
Shares
Common
Stock  26.3%
Value
Consumer
Staples
0.8%
-
continued
21,287
British
American
Tobacco
plc
ADR
$
1,291,057
591
Campbell's
Company
a
12,990
880
Casey's
General
Stores,
Inc.
766,480
166
Celsius
Holdings,
Inc.
b
4,849
2,861
Central
Garden
&
Pet
Company,
Class
A
b
108,461
6,646
Chefs'
Warehouse,
Inc.
b
766,616
300
Church
&
Dwight
Company,
Inc.
29,643
31,594
Coca-Cola
Company
2,767,318
5,777
Colgate-Palmolive
Company
527,440
8,920
Conagra
Brands,
Inc.
129,429
143
Constellation
Brands,
Inc.
18,623
573
Costco
Wholesale
Corporation
545,433
29,359
Darling
Ingredients,
Inc.
b
1,780,330
396
Dollar
General
Corporation
50,312
332
Dollar
Tree,
Inc.
b
42,234
56
Hershey
Company
9,803
1,197
Hormel
Foods
Corporation
29,937
191
Ingles
Markets,
Inc.
17,192
1,005
J.M.
Smucker
Company
119,856
1,931
John
B.
Sanfilippo
&
Son,
Inc.
159,810
148,360
Keurig
Dr
Pepper,
Inc.
4,616,963
1,463
Kraft
Heinz
Company
37,819
444
Maplebear,
Inc.
b
19,802
156
Marzetti
Company
16,672
18,749
PepsiCo,
Inc.
2,616,610
459
Performance
Food
Group
Company
b
52,505
1,394
Procter
&
Gamble
Company
201,419
9
Seaboard
Corporation
39,719
2,238
Smithfield
Foods,
Inc.
58,278
28
Sprouts
Farmers
Markets,
Inc.
b
2,440
74,247
Sysco
Corporation
6,328,814
117
Target
Corporation
16,905
12,272
Turning
Point
Brands,
Inc.
915,614
1,364
Tyson
Foods,
Inc.
79,057
90,481
Unilever
plc
ADR
5,737,400
723
US
Foods
Holding
Corporation
b
72,727
225
Vita
Coco
Company,
Inc.
b
14,837
39,506
Walmart,
Inc.
4,393,067
631
WD-40
Company
143,325
Total
34,995,361
Energy
1.3%
55,001
Antero
Midstream
Corporation
1,208,372
3,179
Antero
Resources
Corporation
b
114,889
693
APA
Corporation
25,863
408
Archrock,
Inc.
14,590
150
Baker
Hughes
Company
9,073
132
California
Resources
Corporation
6,946
1,337
Cheniere
Energy,
Inc.
352,393
18,661
Chevron
Corporation
3,673,045
1,283
Chord
Energy
Corporation
180,108
989
CNX
Resources
Corporation
b
35,406
68,546
ConocoPhillips
8,258,422
125,093
Devon
Energy
Corporation
5,645,447
16,948
DHT
Holdings,
Inc.
314,724
269
Diamondback
Energy,
Inc.
54,594
3,747
Dorian
LPG,
Ltd.
177,683
1,141
DT
Midstream,
Inc.
157,458
160,799
Enterprise
Products
Partners,
LP
6,118,402
5,082
EOG
Resources,
Inc.
755,643
745
EQT
Corporation
39,701
2,594
Expand
Energy
Corporation
243,914
92,501
ExxonMobil
Holdings
Corporation
14,378,355
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
118
Shares
Common
Stock  26.3%
Value
Energy
1.3%
-
continued
1,230
Gulfport
Energy
Corporation
b
$
198,485
117,745
Halliburton
Company
3,797,276
435
Hess
Midstream,
LP
17,761
3,399
HF
Sinclair
Corporation
310,907
4,497
Kinder
Morgan,
Inc.
144,713
1,100
Kodiak
Gas
Services,
Inc.
64,581
15,005
Marathon
Petroleum
Corporation
4,748,632
6,656
Matador
Resources
Company
332,068
1,915
Occidental
Petroleum
Corporation
109,289
233
Oceaneering
International,
Inc.
b
11,366
141
ONEOK,
Inc.
12,804
3,476
Ovintiv,
Inc.
217,111
224
Par
Pacific
Holdings,
Inc.
b
19,271
35,690
Patterson-UTI
Energy,
Inc.
374,031
909
PBF
Energy,
Inc.
65,702
91,999
Permian
Resources
Corporation
1,960,499
742
Phillips
66
157,067
1,380
Range
Resources
Corporation
55,393
539
Scorpio
Tankers,
Inc.
41,967
3,074
SM
Energy
Company
99,966
6,868
Talos
Energy,
Inc.
b
104,256
14,863
TechnipFMC
plc
1,065,083
374
Teekay
Tankers,
Ltd.
29,684
16,922
Transocean,
Ltd.
b
90,025
46
Valero
Energy
Corporation
14,393
821
Viper
Energy,
Inc.
36,625
Total
55,843,983
Financials
3.7%
249
Acadian
Asset
Management,
Inc.
21,536
2,893
Affiliated
Managers
Group,
Inc.
1,060,950
655
Affirm
Holdings,
Inc.
b
46,839
4,640
AGNC
Investment
Corporation
49,462
10,266
Allstate
Corporation
2,711,045
13,653
Ally
Financial,
Inc.
591,584
7,101
American
Express
Company
2,387,711
4,673
American
Financial
Group,
Inc.
662,258
52,160
American
International
Group,
Inc.
4,098,733
1,188
Ameriprise
Financial,
Inc.
648,458
279
Ameris
Bancorp
24,332
8,986
Arch
Capital
Group,
Ltd.
b
903,363
18,729
Associated
Banc-Corp
578,352
336
Assurant,
Inc.
93,808
978
Assured
Guaranty,
Ltd.
80,900
3,461
Atlantic
Union
Bankshares
Corporation
146,850
511
Avidia
Bancorp,
Inc.
11,395
943
Axis
Capital
Holdings,
Ltd.
99,317
5,517
Banc
of
California,
Inc.
105,651
215,466
Bank
of
America
Corporation
13,348,119
1,143
Bank
of
Marin
Bancorp
33,330
77
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
4,719
43,823
Bank
of
New
York
Mellon
Corporation
6,850,850
449
Bank
OZK
23,034
1,396
BankUnited,
Inc.
65,123
885
Banner
Corporation
62,313
880
Bar
Harbor
Bankshares
34,945
635
BayCom
Corporation
19,164
17,199
Beacon
Financial
Corporation
541,940
16,038
Berkshire
Hathaway,
Inc.
b
8,204,079
70,325
BGC
Group,
Inc.
810,144
2,538
BlackRock,
Inc.
2,767,410
869
Bladex,
Inc.
50,880
199
Block,
Inc.
b
16,167
Shares
Common
Stock  26.3%
Value
Financials
3.7%
-
continued
3,511
Blue
Owl
Capital,
Inc.
$
36,163
227
Bread
Financial
Holdings,
Inc.
24,532
6,024
Bridgewater
Bancshares,
Inc.
b
123,372
14,532
Byline
Bancorp,
Inc.
570,672
275
C&F
Financial
Corporation
a
22,712
37,436
Capital
One
Financial
Corporation
7,824,498
90
Cathay
General
Bancorp
5,687
53
Central
Pacific
Financial
Corporation
2,088
79,218
Charles
Schwab
Corporation
8,336,902
190
Chemung
Financial
Corporation
15,483
986
ChoiceOne
Financial
Services,
Inc.
33,554
12,823
Chubb,
Ltd.
4,496,770
18
Cincinnati
Financial
Corporation
3,198
14,212
Citigroup,
Inc.
1,882,379
1,122
Citizens
Financial
Group,
Inc.
80,391
221
Citizens
Financial
Services,
Inc.
17,132
1,390
Civista
Bancshares,
Inc.
40,393
3,109
CNB
Financial
Corporation
109,126
3,206
CNO
Financial
Group,
Inc.
176,619
979
Colony
Bankcorp,
Inc.
21,460
5,295
Columbia
Banking
System,
Inc.
165,575
712
Commerce
Bancshares,
Inc.
42,200
29
Community
Financial
System,
Inc.
1,879
4,371
Community
Trust
Bancorp,
Inc.
342,905
4,965
ConnectOne
Bancorp,
Inc.
163,547
25
Corpay,
Inc.
b
9,553
398
Cullen/Frost
Bankers,
Inc.
66,203
6,942
Customers
Bancorp,
Inc.
b
546,197
2,486
Dynex
Capital,
Inc.
31,597
773
Eagle
Bancorp
Montana,
Inc.
18,111
3,339
East
West
Bancorp,
Inc.
437,409
674
Eastern
Bankshares,
Inc.
15,475
288
Encore
Capital
Group,
Inc.
b
27,095
3,778
Enova
International,
Inc.
b
960,141
431
Equity
Bancshares,
Inc.
21,843
8,477
Essent
Group,
Ltd.
559,143
365
Euronet
Worldwide,
Inc.
b
26,035
333
Evercore,
Inc.
106,746
4,152
F.N.B.
Corporation
78,473
1,174
Farmers
&
Merchants
Bancorp,
Inc./Archbold,
OH
39,165
1,310
Farmers
National
Banc
Corporation
20,777
885
Federal
Agricultural
Mortgage
Corporation
201,426
1,904
Federated
Hermes,
Inc.
114,164
343
Fidelity
National
Financial,
Inc.
17,695
1,295
Fidelity
National
Information
Services,
Inc.
57,977
1,283
Fifth
Third
Bancorp
72,489
3,658
Financial
Institutions,
Inc.
151,661
5,917
First
American
Financial
Corporation
443,716
445
First
Bancorp/Puerto
Rico
12,874
2,015
First
Bank/Hamilton,
NJ
37,338
2,017
First
Busey
Corporation
62,245
7
First
Citizens
BancShares,
Inc./NC
15,307
333
First
Financial
Bankshares,
Inc.
11,702
135
First
Hawaiian,
Inc.
3,752
5,219
First
Horizon
Corporation
133,815
1,510
First
Merchants
Corporation
65,141
726
First
Mid-Illinois
Bancshares,
Inc.
37,817
72
FirstCash
Holdings,
Inc.
14,689
1,725
Fiserv,
Inc.
b
93,046
679
Flagstar
Bank
NA
9,655
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
119
Shares
Common
Stock  26.3%
Value
Financials
3.7%
-
continued
560
Flywire
Corporation
b
$
8,966
199
Franklin
Resources,
Inc.
6,738
937
Fulton
Financial
Corporation
22,797
82,711
Genworth
Financial,
Inc.
b
813,049
507
Glacier
Bancorp,
Inc.
24,990
355
Global
Life,
Inc.
64,699
237
Global
Payments,
Inc.
19,927
5,435
Goosehead
Insurance,
Inc.
b
336,970
609
Hamilton
Insurance
Group,
Ltd.
21,900
382
Hamilton
Lane,
Inc.
33,964
357
Hancock
Whitney
Corporation
27,489
9,632
Hanmi
Financial
Corporation
307,068
422
Hanover
Bancorp,
Inc.
11,075
193
Hanover
Insurance
Group,
Inc.
44,898
1,425
Happen,
Inc.
b
27,274
461
Hartford
Insurance
Group,
Inc.
65,421
1,322
Hilltop
Holdings,
Inc.
52,140
763
Home
BancShares,
Inc.
23,706
4,223
Hometrust
Bancshares,
Inc.
216,175
2,345
Horizon
Bancorp,
Inc.
47,955
2,425
Houlihan
Lokey,
Inc.
304,313
128,080
Huntington
Bancshares,
Inc./OH
2,182,483
390
Independent
Bank
Corporation/MA
32,694
4,125
Independent
Bank
Corporation/MI
157,575
198
Interactive
Brokers
Group,
Inc.
17,422
39,904
Intercontinental
Exchange,
Inc.
6,084,562
978
International
Bancshares
Corporation
74,856
2,790
Invesco,
Ltd.
82,584
1,028
Investar
Holding
Corporation
30,963
1,254
Jackson
Financial,
Inc.
153,339
1,272
Jefferies
Financial
Group,
Inc.
69,451
50,346
JPMorgan
Chase
&
Company
17,711,219
4,822
Kearny
Financial
Corporation/MD
46,243
3,733
Kemper
Corporation
105,943
2,748
KeyCorp
62,077
958
Lazard,
Inc.
40,600
1,313
Lincoln
National
Corporation
59,886
505
Loews
Corporation
58,585
1,606
M&T
Bank
Corporation
395,542
2,416
Marex
Group,
Ltd.
156,847
49
Markel
Group,
Inc.
b
92,235
364
MarketAxess
Holdings,
Inc.
59,077
2,509
Marsh
&
McLennan
Companies,
Inc.
475,932
5,068
Mastercard,
Inc.
2,904,471
2,087
Mercury
General
Corporation
223,559
42,951
MetLife,
Inc.
4,128,880
22,569
MGIC
Investment
Corporation
677,973
560
Miami
International
Holdings,
Inc.
b
26,342
55,263
Morgan
Stanley
11,628,440
625
Morningstar,
Inc.
120,356
7,089
Nasdaq,
Inc.
667,713
568
National
Bankshares,
Inc.
23,061
1,233
NBT
Bancorp,
Inc.
64,917
3,845
Neptune
Insurance
Holdings,
Inc.
b
121,925
1,224
NerdWallet,
Inc.
b
11,016
12,080
NMI
Holdings,
Inc.
b
535,144
1,317
Northeast
Community
Bancorp,
Inc.
35,164
2,226
Northern
Trust
Corporation
405,555
1,757
Northpointe
Bancshares,
Inc.
30,747
3,771
Northwest
Bancshares,
Inc.
59,356
1,296
OFG
Bancorp
68,507
24,016
Old
National
Bancorp
639,786
Shares
Common
Stock  26.3%
Value
Financials
3.7%
-
continued
12,835
Old
Republic
International
Corporation
$
554,600
21,386
Old
Second
Bancorp,
Inc.
540,852
1,656
OneMain
Holdings,
Inc.
103,632
4,470
Oportun
Financial
Corporation
b
24,764
206
Orange
County
Bancorp,
Inc.
7,879
5,633
Orrstown
Financial
Services,
Inc.
240,698
11,926
Oscar
Health,
Inc.
b
372,330
435
Palomar
Holdings,
Inc.
b
58,199
1,097
Parke
Bancorp,
Inc.
37,463
676
Paymentus
Holdings,
Inc.
b
23,052
798
PayPal
Holdings,
Inc.
45,654
840
PCB
Bancorp
23,411
164
Peoples
Bancorp
of
North
Carolina,
Inc.
7,052
2,693
Pinnacle
Financial
Partners,
Inc.
283,384
608
Piper
Sandler
Companies
46,086
445
PNC
Financial
Services
Group,
Inc.
111,192
1,036
Popular,
Inc.
181,518
1,600
Prosperity
Bancshares,
Inc.
119,792
2,113
Provident
Financial
Services,
Inc.
52,149
771
Prudential
Financial,
Inc.
94,124
4,021
Radian
Group,
Inc.
156,779
671
RBB
Bancorp
17,694
1,051
Regions
Financial
Corporation
32,528
5,089
Reinsurance
Group
of
America,
Inc.
1,205,330
583
RenaissanceRe
Holdings,
Ltd.
186,548
199
Renasant
Corporation
8,670
243
RLI
Corporation
14,881
18,189
Robinhood
Markets,
Inc.
b
1,574,440
2,808
Rocket
Companies,
Inc.
b
36,223
57
S&P
Global,
Inc.
23,480
27,798
SEI
Investments
Company
2,862,638
278
Selective
Insurance
Group,
Inc.
26,352
133
ServisFirst
Bancshares,
Inc.
11,903
12,025
Simmons
First
National
Corporation
283,670
2,754
SouthState
Bank
Corporation
289,418
710
Starwood
Property
Trust,
Inc.
11,346
797
State
Street
Corporation
146,776
3,209
Stifel
Financial
Corporation
266,058
4,835
Stock
Yards
Bancorp,
Inc.
411,458
3,946
StoneX
Group,
Inc.
b
302,145
134
Texas
Capital
Bancshares,
Inc.
13,246
783
Third
Coast
Bancshares,
Inc.
b
34,327
549
Timberland
Bancorp,
Inc./WA
24,612
1,639
Toast,
Inc.
b
52,891
517
Tompkins
Financial
Corporation
51,617
1,561
Towne
Bank/Portsmouth,
VA
59,178
766
TPG
RE
Finance
Trust,
Inc.
6,105
701
TPG,
Inc.
30,606
657
Tradeweb
Markets,
Inc.
66,028
11,076
Triumph
Financial,
Inc.
b
841,001
16,817
Truist
Financial
Corporation
871,793
6,271
U.S.
Bancorp
395,136
741
UMB
Financial
Corporation
107,986
683
United
Bankshares,
Inc.
33,091
10,732
United
Community
Banks,
Inc.
380,342
340
Unity
Bancorp,
Inc.
20,023
3,951
Universal
Insurance
Holdings,
Inc.
172,698
498
Univest
Financial
Corporation
22,032
2,735
Unum
Group
235,511
10,083
Valley
National
Bancorp
144,086
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
120
Shares
Common
Stock  26.3%
Value
Financials
3.7%
-
continued
1,410
Virtu
Financial,
Inc.
$
82,809
17,945
Visa,
Inc.
6,570,203
458
Voya
Financial,
Inc.
45,539
140,482
Wells
Fargo
&
Company
12,144,669
1,925
WesBanco,
Inc.
79,656
1,060
West
Bancorporation,
Inc.
29,733
1,963
Western
Alliance
Bancorp
158,002
5,691
Western
Union
Company
a
36,195
91
WEX,
Inc.
b
17,013
1,469
Wintrust
Financial
Corporation
234,364
836
WisdomTree,
Inc.
16,193
284
WSFS
Financial
Corporation
22,777
10,877
Zions
Bancorp
NA
758,127
Total
163,772,768
Health
Care
3.1%
20,419
AbbVie,
Inc.
5,123,944
2,122
Acadia
Healthcare
Company,
Inc.
b
62,854
1,898
Adaptive
Biotechnologies
Corporation
b
42,838
14,176
Agilent
Technologies,
Inc.
1,961,533
475
Agios
Pharmaceuticals,
Inc.
b
14,259
306
Align
Technology,
Inc.
b
51,763
14,868
Alignment
Healthcare,
Inc.
b
220,790
12,200
Amgen,
Inc.
4,698,952
982
Anika
Therapeutics,
Inc.
b
18,933
1,491
Arcus
Biosciences,
Inc.
b
42,031
476
Argenx
SE
ADR
b
406,418
21,338
Avantor,
Inc.
b
294,038
306
Azenta,
Inc.
b
8,608
54
Becton,
Dickinson
and
Company
8,943
9,803
BioLife
Solutions,
Inc.
b
306,638
12,444
BioMarin
Pharmaceutical,
Inc.
b
746,889
114
Bio-Rad
Laboratories,
Inc.
b
37,105
42,580
Boston
Scientific
Corporation
b
1,989,763
3,799
BridgeBio
Pharma,
Inc.
b
304,262
11,793
BrightSpring
Health
Services,
Inc.
b
704,160
33,706
Bristol-Myers
Squibb
Company
2,201,339
195
Bruker
Corporation
12,254
250
Cardinal
Health,
Inc.
57,507
9,813
Cencora,
Inc.
3,055,179
897
Centene
Corporation
b
55,811
460
Charles
River
Laboratories
International,
Inc.
b
106,955
2,062
Chemed
Corporation
1,097,499
21,358
Cigna
Group
5,959,950
4,624
Concentra
Group
Holdings
Parent,
Inc.
146,350
2,563
Cooper
Companies,
Inc.
b
185,356
8,073
CVS
Health
Corporation
843,063
22,860
Danaher
Corporation
4,457,243
1,395
Denali
Therapeutics,
Inc.
b
32,113
3,458
Dentsply
Sirona,
Inc.
46,233
3,636
Dexcom,
Inc.
b
303,424
2,015
Doximity,
Inc.
b
42,134
1,496
Edwards
Lifesciences
Corporation
b
128,761
13,257
Elanco
Animal
Health,
Inc.
b
349,587
933
Elevance
Health,
Inc.
350,659
7,223
Eli
Lilly
&
Company
8,298,071
6,673
Encompass
Health
Corporation
741,170
2,527
Enovis
Corporation
b
73,662
558
Envista
Holdings
Corporation
b
15,239
4,166
Exelixis,
Inc.
b
220,923
4,003
Fortrea
Holdings,
Inc.
b
76,738
Shares
Common
Stock  26.3%
Value
Health
Care
3.1%
-
continued
938
Fulcrum
Therapeutics,
Inc.
b
$
3,358
199
GE
HealthCare
Technologies,
Inc.
13,536
3,097
GeneDx
Holdings
Corporation
b
201,646
27,718
Gilead
Sciences,
Inc.
3,609,161
973
Globus
Medical,
Inc.
b
76,663
3,629
Guardant
Health,
Inc.
b
587,862
6,721
Harmony
Biosciences
Holdings,
Inc.
b
236,848
324
Henry
Schein,
Inc.
b
27,783
59
Humana,
Inc.
21,468
24,402
ICON
plc
b
3,991,313
879
ICU
Medical,
Inc.
b
148,120
1,080
IDEXX
Laboratories,
Inc.
b
603,796
2,730
Illumina,
Inc.
b
559,923
841
Innoviva,
Inc.
b
17,636
690
Insmed,
Inc.
b
68,034
2,655
Insulet
Corporation
b
439,004
1,399
Integra
LifeSciences
Holdings
Corporation
b
23,293
10,844
Intuitive
Surgical,
Inc.
b
3,831,511
4,168
Ionis
Pharmaceuticals,
Inc.
b
215,777
399
IQVIA
Holding,
Inc.
b
93,773
6,151
Janux
Therapeutics,
Inc.
b
93,311
6,139
Jazz
Pharmaceuticals,
Inc.
b
1,552,308
57,575
Johnson
&
Johnson
14,759,351
229
Kiniksa
Pharmaceuticals
International
plc
b
17,024
22,138
Labcorp
Holdings,
Inc.
6,845,070
12,078
LivaNova
plc
b
967,931
297
Medline,
Inc.
b
11,666
2,810
Medpace
Holdings,
Inc.
b
1,621,679
35,711
Medtronic
plc
3,049,362
93,799
Merck
&
Company,
Inc.
12,212,630
226
Merit
Medical
Systems,
Inc.
b
19,212
489
Mesa
Laboratories,
Inc.
49,296
254
Mettler-Toledo
International,
Inc.
b
359,740
2,434
Mirum
Pharmaceuticals,
Inc.
b
257,882
415
Moderna,
Inc.
b
22,750
1,710
Natera,
Inc.
b
457,870
4,860
Neogen
Corporation
b
58,514
25,870
Neurocrine
Biosciences,
Inc.
b
4,315,116
273
Option
Care
Health,
Inc.
b
6,287
22,543
Pfizer,
Inc.
563,800
454
Prestige
Consumer
Healthcare,
Inc.
b
22,800
11,798
Progyny,
Inc.
b
367,272
1,819
QIAGEN
NV
75,307
65
Quest
Diagnostics,
Inc.
15,146
6,841
RadNet,
Inc.
b
436,319
4,776
Regeneron
Pharmaceuticals,
Inc.
3,642,321
5,342
Repligen
Corporation
b
753,275
248
Revolution
Medicines,
Inc.
b
46,507
333
Roivant
Sciences,
Ltd.
b
11,292
62,809
Royalty
Pharma
plc
3,669,930
3,709
Sarepta
Therapeutics,
Inc.
b
55,116
12,310
Sotera
Health
Company
b
219,857
234
STERIS
plc
53,446
6,445
Stryker
Corporation
2,099,136
2,225
Tenet
Healthcare
Corporation
b
566,886
1,115
Thermo
Fisher
Scientific,
Inc.
640,345
6,724
Twist
Bioscience
Corporation
b
615,582
2,707
UFP
Technologies,
Inc.
b
689,689
1,251
United
Therapeutics
Corporation
b
647,655
21,088
UnitedHealth
Group,
Inc.
8,738,867
804
Vaxcyte,
Inc.
b
43,480
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
121
Shares
Common
Stock  26.3%
Value
Health
Care
3.1%
-
continued
1,313
Veeva
Systems,
Inc.
b
$
267,563
6,264
Vericel
Corporation
b
287,893
10,026
Viatris,
Inc.
176,057
325
Viemed
Healthcare,
Inc.
b
3,793
3,606
Vir
Biotechnology,
Inc.
b
31,228
95
Waters
Corporation
b
35,844
20,263
Waystar
Holding
Corporation
b
427,752
1,775
West
Pharmaceutical
Services,
Inc.
605,204
625
Xenon
Pharmaceuticals,
Inc.
b
39,169
44,627
Zimmer
Biomet
Holdings,
Inc.
4,191,814
Total
137,389,790
Industrials
3.2%
11,275
3M
Company
1,987,557
3,497
AAON,
Inc.
311,443
1,538
Acuity,
Inc.
505,064
6,902
Advanced
Drainage
Systems,
Inc.
955,789
554
AECOM
40,104
158
AGCO
Corporation
16,141
29,812
Allegheny
Technologies,
Inc.
b
5,587,961
1,114
Allegion
plc
175,344
232
Allison
Transmission
Holdings,
Inc.
26,573
71,584
Amentum
Holdings,
Inc.
b
1,589,165
287
American
Superconductor
Corporation
b
8,429
9,912
AMETEK,
Inc.
2,395,830
1,647
APi
Group
Corporation
b
65,353
2,669
Applied
Industrial
Technologies,
Inc.
921,366
1,106
Armstrong
World
Industries,
Inc.
193,174
2,982
Atmus
Filtration
Technologies,
Inc.
153,961
863
Axon
Enterprise,
Inc.
b
455,457
178
AZZ,
Inc.
25,760
2,375
Badger
Infrastructure
Solutions,
Ltd.
150,546
4,117
Barrett
Business
Services,
Inc.
160,728
843
Bloom
Energy
Corporation
b
173,498
828
Brady
Corporation
78,056
876
BrightView
Holdings,
Inc.
b
11,423
59
Brink's
Company
6,989
316
Broadridge
Financial
Solutions,
Inc.
48,648
1,412
Builders
FirstSource,
Inc.
b
93,813
1,749
BWX
Technologies,
Inc.
295,056
1,122
C.H.
Robinson
Worldwide,
Inc.
165,753
49
CACI
International,
Inc.
b
24,390
5,772
Caterpillar,
Inc.
4,703,083
5,959
CECO
Environmental
Corporation
b
392,639
11,585
Clean
Harbors,
Inc.
b
3,624,715
493,371
CNH
Industrial
NV
5,057,053
845
Concentrix
Corporation
a
20,787
2,532
Construction
Partners,
Inc.
b
261,682
30,037
Copart,
Inc.
b
874,677
1,548
CRA
International,
Inc.
277,138
3,894
Crane
Company
831,213
1,352
CSW
Industrials,
Inc.
431,193
179,477
CSX
Corporation
9,045,641
1,598
Cummins,
Inc.
1,013,452
3,607
Curtiss-Wright
Corporation
2,611,468
57,639
Delta
Air
Lines,
Inc.
5,039,954
1,587
Donaldson
Company,
Inc.
149,559
66
Dycom
Industries,
Inc.
b
26,471
5,392
Eaton
Corporation
plc
2,238,758
3,212
EMCOR
Group,
Inc.
2,561,345
Shares
Common
Stock  26.3%
Value
Industrials
3.2%
-
continued
631
Enerpac
Tool
Group
Corporation
$
22,552
348
EnerSys
64,745
1,768
EnPro,
Inc.
555,011
281
Equifax,
Inc.
48,506
2,122
ESCO
Technologies,
Inc.
669,045
1,661
ExlService
Holdings,
Inc.
b
56,358
68,902
Fastenal
Company
3,287,314
2,272
Federal
Signal
Corporation
283,886
1,573
Ferguson
Enterprises,
Inc.
368,601
63,502
Flowserve
Corporation
4,825,517
11,110
Fluor
Corporation
b
557,389
311
Fortive
Corporation
18,414
1,604
Fortune
Brands
Innovations,
Inc.
79,013
2,477
FTAI
Aviation,
Ltd.
510,262
2,173
Gates
Industrial
Corporation,
Ltd.
b
60,801
127
GATX
Corporation
22,717
2,428
GE
Vernova,
Inc.
2,404,424
45
Generac
Holdings,
Inc.
b
8,870
18,456
General
Dynamics
Corporation
7,076,400
21,200
General
Electric
Company
7,633,484
1,104
Genpact,
Ltd.
38,828
2,485
Graco,
Inc.
197,259
646
HEICO
Corporation
166,203
2,167
Helios
Technologies,
Inc.
168,831
2,379
Herc
Holdings,
Inc.
357,183
39,511
Hexcel
Corporation
4,067,657
17,004
Honeywell
Aerospace,
Inc.
b
3,515,407
13,062
Honeywell
International,
Inc.
3,174,719
3,746
Howmet
Aerospace,
Inc.
1,057,346
32
Hubbell,
Inc.
15,122
127
Huntington
Ingalls
Industries,
Inc.
41,459
1,885
IDEX
Corporation
434,398
295
IES
Holdings,
Inc.
b
219,639
227
Ingersoll
Rand,
Inc.
18,927
1,980
Innodata,
Inc.
b
124,403
570
ITT
Corporation
111,709
20,783
Jacobs
Solutions,
Inc.
2,804,250
15,503
JB
Hunt
Transport
Services,
Inc.
4,212,940
9,406
Johnson
Controls
International
plc
1,379,484
5,486
Kirby
Corporation
b
719,434
648
Knight-Swift
Transportation
Holdings,
Inc.
45,055
2,011
Korn
Ferry
165,445
15,311
L3Harris
Technologies,
Inc.
4,242,066
264
Landstar
System,
Inc.
46,139
149
Leidos
Holdings,
Inc.
17,224
4,597
Limbach
Holdings,
Inc.
b
329,605
3,311
Lincoln
Electric
Holdings,
Inc.
865,197
132
Liquidity
Services,
Inc.
b
5,145
3,488
Louisiana-Pacific
Corporation
252,636
1,209
Lyft,
Inc.
b
19,175
163
Masco
Corporation
11,651
17
MasTec,
Inc.
b
4,473
320
Maximus,
Inc.
19,280
977
McGrath
RentCorp
112,502
7,962
Mercury
Systems,
Inc.
b
773,110
974
Middleby
Corporation
b
130,107
924
Midera
Food
Processing,
Inc.
b
44,306
2,252
MillerKnoll,
Inc.
50,715
1,940
Modine
Manufacturing
Company
b
390,056
1,737
Moog,
Inc.
677,169
5,910
Mueller
Industries,
Inc.
392,483
10,556
Mueller
Water
Products,
Inc.
266,433
51
MYR
Group,
Inc.
b
16,994
954
Nextpower,
Inc.
b
85,736
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
122
Shares
Common
Stock  26.3%
Value
Industrials
3.2%
-
continued
50
Nordson
Corporation
$
14,889
23,255
NPK
International,
Inc.
b
290,455
2,582
nVent
Electric
plc
397,189
1,817
NWPX
Infrastructure,
Inc.
b
223,636
2,817
Old
Dominion
Freight
Line,
Inc.
597,598
1,033
OPENLANE,
Inc.
b
41,072
1,111
Otis
Worldwide
Corporation
79,936
462
Owens
Corning,
Inc.
64,172
4,824
Parker-Hannifin
Corporation
4,710,781
160
Paychex,
Inc.
18,694
277
Paylocity
Holding
Corporation
b
38,197
392
Pentair
plc
25,653
1,124
Powell
Industries,
Inc.
234,556
675
Proto
Labs,
Inc.
b
50,659
1,179
Quanta
Services,
Inc.
786,817
3,600
RBC
Bearings,
Inc.
b
1,984,716
474
Regal
Rexnord
Corporation
97,279
3,946
Republic
Services,
Inc.
830,830
1,761
Rockwell
Automation,
Inc.
845,421
22,839
RTX
Corporation
4,915,410
381
Ryder
System,
Inc.
97,696
720
Saia,
Inc.
b
250,294
485
Science
Applications
International
Corporation
56,808
1,980
Sensata
Technologies
Holding
plc
91,654
216
SkyWest,
Inc.
b
23,106
255
SPX
Technologies,
Inc.
b
56,003
2,048
SS&C
Technologies
Holdings,
Inc.
157,798
1,351
Standex
International
Corporation
400,572
685
Stanley
Black
&
Decker,
Inc.
64,787
169
Sterling
Construction
Company,
Inc.
b
100,854
253
Sunbelt
Rentals
Holdings,
Inc.
18,196
1,559
Terex
Corporation
97,968
1,030
Tetra
Tech,
Inc.
34,155
187
Textron,
Inc.
15,944
3,094
Timken
Company
425,580
23,868
Toro
Company
2,192,753
54
Trane
Technologies
plc
24,567
3,952
Transcat,
Inc.
b
337,382
798
Trex
Company,
Inc.
b
34,601
25,949
Uber
Technologies,
Inc.
b
1,825,772
185
U-Haul
Holding
Company
b
13,118
2,770
UL
Solutions,
Inc.
253,843
555
United
Airlines
Holdings,
Inc.
b
67,338
350
United
Rentals,
Inc.
377,741
448
Upwork,
Inc.
b
4,104
1,928
V2X,
Inc.
b
173,983
1,109
Valmont
Industries,
Inc.
534,205
924
Veralto
Corporation
87,013
3,186
Verisk
Analytics,
Inc.
620,792
438
Verra
Mobility
Corporation
b
2,317
2,303
Vertiv
Holdings
Company
556,336
1,412
Vestis
Corporation
b
20,418
15
Vicor
Corporation
b
3,111
354
Wabtec
Corporation
102,964
64
Watts
Water
Technologies,
Inc.
22,131
603
WESCO
International,
Inc.
207,124
2,580
Willdan
Group,
Inc.
b
176,807
4,314
Woodward,
Inc.
1,556,276
82
XPO,
Inc.
b
16,480
741
Xylem,
Inc.
86,675
Shares
Common
Stock  26.3%
Value
Industrials
3.2%
-
continued
1,673
Zurn
Elkay
Water
Solutions
Corporation
$
84,503
Total
143,647,137
Information
Technology
7.2%
5,745
Adobe,
Inc.
b
1,438,605
17,338
Advanced
Micro
Devices,
Inc.
b
8,255,489
845
Akamai
Technologies,
Inc.
b
97,327
724
Ambarella,
Inc.
b
62,264
2,328
Amkor
Technology,
Inc.
116,097
49,408
Amphenol
Corporation
7,939,866
12,570
Analog
Devices,
Inc.
4,618,344
137,938
Apple,
Inc.
42,610,428
20,516
Applied
Materials,
Inc.
10,415,358
33,702
Arista
Networks,
Inc.
b
6,078,156
867
Arrow
Electronics,
Inc.
b
187,766
92
Astera
Labs,
Inc.
b
28,633
258
Atlassian
Corporation
b
26,062
8,910
Autodesk,
Inc.
b
2,086,722
1,970
Avnet,
Inc.
175,015
519
Blackbaud,
Inc.
b
22,213
46,938
Broadcom,
Inc.
18,272,025
8,317
Cadence
Design
Systems,
Inc.
b
2,827,946
8,906
CCC
Intelligent
Solutions
Holdings,
Inc.
b
54,238
723
Celestica,
Inc.
b
239,631
289
Circle
Internet
Group,
Inc.
b
18,094
930
Cirrus
Logic,
Inc.
b
120,296
105,557
Cisco
Systems,
Inc.
12,243,556
7,748
Clear
Secure,
Inc.
428,000
2,300
Cloudflare,
Inc.
b
641,654
9,632
Cognex
Corporation
628,392
494
Cognizant
Technology
Solutions
Corporation
27,343
1,175
Coherent
Corporation
b
308,896
1,722
Cohu,
Inc.
b
82,639
158
CommVault
Systems,
Inc.
b
18,612
2,088
Crane
NXT
Company
108,472
2,803
Credo
Technology
Group
Holding,
Ltd.
b
580,193
1,368
CrowdStrike
Holdings,
Inc.
b
261,097
68
CTS
Corporation
4,360
3,001
Datadog,
Inc.
b
804,178
4,108
DigitalOcean
Holdings,
Inc.
b
482,690
504
Diodes,
Inc.
b
41,489
12,129
DocuSign,
Inc.
b
665,033
1,115
Enphase
Energy,
Inc.
b
41,857
117
Entegris,
Inc.
13,929
774
EPAM
Systems,
Inc.
b
81,703
1,737
Everforth,
Inc.
b
49,400
179
F5,
Inc.
b
72,060
1,558
Fabrinet
b
678,369
1,129
Figma,
Inc.
b
27,457
1,145
Flex,
Ltd.
b
130,244
33,656
Fortinet,
Inc.
b
5,450,589
2,427
Globant
SA
b
88,828
356
GoDaddy,
Inc.
b
29,455
3,907
GPGI,
Inc.
51,572
7,255
Guidewire
Software,
Inc.
b
1,102,325
2,665
Hewlett
Packard
Enterprise
Company
127,654
134
HubSpot,
Inc.
b
31,806
436
Ichor
Holdings,
Ltd.
b
32,818
1,844
Ingram
Micro
Holding
Corporation
52,019
552
Insight
Enterprises,
Inc.
b
71,169
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
123
Shares
Common
Stock  26.3%
Value
Information
Technology
7.2%
-
continued
17,416
Intel
Corporation
b
$
1,570,923
999
InterDigital,
Inc.
304,520
9,054
International
Business
Machines
Corporation
2,024,927
2,399
Intuit,
Inc.
758,252
3,273
IPG
Photonics
Corporation
b
278,401
18,137
JFrog,
Ltd.
b
1,447,151
8,349
Keysight
Technologies,
Inc.
b
2,663,999
12,037
Knowles
Corporation
b
440,434
797
Kulicke
and
Soffa
Industries,
Inc.
71,092
23,862
Lam
Research
Corporation
6,992,043
5,698
Lattice
Semiconductor
Corporation
b
708,090
2,489
Littelfuse,
Inc.
1,100,462
273
Lumentum
Holdings,
Inc.
b
194,906
1,981
MACOM
Technology
Solutions
Holdings,
Inc.
b
498,103
2,518
Manhattan
Associates,
Inc.
b
481,844
187
MaxLinear,
Inc.
b
12,495
965
Microchip
Technology,
Inc.
71,690
13,285
Micron
Technology,
Inc.
10,933,954
101,301
Microsoft
Corporation
47,076,601
1,824
MKS,
Inc.
542,549
86
MongoDB,
Inc.
b
29,023
911
Monolithic
Power
Systems,
Inc.
1,299,113
3,397
Motorola
Solutions,
Inc.
1,480,243
617
Napco
Security
Technologies,
Inc.
22,878
125
NetApp,
Inc.
22,313
1,206
NetScout
Systems,
Inc.
b
49,048
36,973
Nokia
Oyj
ADR
337,933
1,696
Novanta,
Inc.
b
241,765
4,550
Nutanix,
Inc.
b
268,496
264,235
NVIDIA
Corporation
53,045,176
1,107
NXP
Semiconductors
NV
253,680
466
Okta,
Inc.
b
66,139
476
ON
Semiconductor
Corporation
b
38,846
3,238
Onto
Innovation,
Inc.
b
837,282
20,072
Oracle
Corporation
2,606,751
19,534
Palantir
Technologies,
Inc.
b
2,403,854
830
PC
Connection,
Inc.
69,488
3,552
Pegasystems,
Inc.
108,514
631
Plexus
Corporation
b
158,596
280
PTC,
Inc.
b
38,416
181
Q2
Holdings,
Inc.
b
11,017
413
Qnity
Electronics,
Inc.
54,177
37,448
Qualcomm,
Inc.
5,527,699
4,986
Rambus,
Inc.
b
453,876
139
Rigetti
Computing,
Inc.
b
2,078
965
Rogers
Corporation
b
119,149
200
Roper
Industries,
Inc.
78,394
40,780
SailPoint,
Inc.
b
683,881
2,773
Salesforce,
Inc.
510,287
66,509
Samsung
Electronics
Company,
Ltd.
11,576,212
1,331
SanDisk
Corporation
b
1,616,939
267
Sanmina
Corporation
b
49,545
26,242
ServiceNow,
Inc.
b
2,918,898
1,232
SiTime
Corporation
b
659,366
1,232
Skyworks
Solutions,
Inc.
76,729
6,505
Snowflake,
Inc.
b
1,907,786
3,258
Synopsys,
Inc.
b
1,266,580
7,559
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
ADR
3,055,726
32,474
TD
SYNNEX
Corporation
8,303,602
92
TE
Connectivity
plc
18,923
Shares
Common
Stock  26.3%
Value
Information
Technology
7.2%
-
continued
56
Teledyne
Technologies,
Inc.
b
$
36,712
779
Tenable
Holdings,
Inc.
b
25,427
964
Teradyne,
Inc.
354,453
17,042
Texas
Instruments,
Inc.
4,699,161
1,306
Trimble,
Inc.
b
73,893
1,276
TTM
Technologies,
Inc.
b
147,301
114
Twilio,
Inc.
b
22,498
113
Tyler
Technologies,
Inc.
b
34,985
840
Unity
Software,
Inc.
b
26,636
597
Varonis
Systems,
Inc.
b
23,850
210
VeriSign,
Inc.
60,904
720
ViaSat,
Inc.
b
55,390
1,991
Vistance
Networks,
Inc.
b
23,374
2,851
Vontier
Corporation
91,603
497
Western
Digital
Corporation
270,785
500
Workday,
Inc.
b
80,170
1,394
Zebra
Technologies
Corporation
b
409,585
667
Zoom
Communications,
Inc.
b
64,079
293
Zscaler,
Inc.
b
44,302
Total
318,136,395
Materials
0.8%
2,313
Air
Products
and
Chemicals,
Inc.
682,081
286
Albemarle
Corporation
33,645
18,391
Alcoa
Corporation
832,377
645
Amcor
plc
28,948
4,146
American
Vanguard
Corporation
b
9,909
3,405
Amrize,
Ltd.
166,539
397
AngloGold
Ashanti
plc
31,490
1,758
AptarGroup,
Inc.
235,502
2,294
Ashland,
Inc.
166,567
79
Avery
Dennison
Corporation
13,409
2,127
Avient
Corporation
77,253
5,478
Balchem
Corporation
917,866
1,561
Ball
Corporation
101,309
4,667
Celanese
Corporation
208,708
2,215
Century
Aluminum
Company
b
99,166
37,685
CF
Industries
Holdings,
Inc.
4,717,785
5,670
Cleveland-Cliffs,
Inc.
b
65,318
5,262
Coeur
Mining,
Inc.
78,456
980
Commercial
Metals
Company
67,346
32
Compass
Minerals
International,
Inc.
b
939
75,980
Constellium
SE
b
2,110,724
988
Corteva,
Inc.
77,765
33,933
Crown
Holdings,
Inc.
3,999,004
2,513
Dow,
Inc.
76,119
52
DuPont
de
Nemours,
Inc.
7,124
19,461
Eastman
Chemical
Company
1,361,297
8,377
Ecolab,
Inc.
2,325,706
26,334
Ecovyst,
Inc.
b
317,588
9,722
Element
Solutions,
Inc.
357,089
18,118
Freeport-McMoRan,
Inc.
1,134,730
3,728
Graphic
Packaging
Holding
Company
40,001
2,015
Greif,
Inc.
174,398
1,927
Hecla
Mining
Company
27,209
744
Ingevity
Corporation
b
54,394
43,330
International
Paper
Company
1,769,164
26,706
Ivanhoe
Mines,
Ltd.
b
191,839
999
Kaiser
Aluminum
Corporation
159,520
9,020
Linde
plc
4,314,988
793
LyondellBasell
Industries
NV
49,229
4,905
Magnera
Corporation
b
64,991
759
Martin
Marietta
Materials,
Inc.
398,581
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
124
Shares
Common
Stock  26.3%
Value
Materials
0.8%
-
continued
682
Minerals
Technologies,
Inc.
$
51,996
3,198
Mosaic
Company
70,740
13,191
Newmont
Corporation
1,236,129
25,023
Nucor
Corporation
6,438,168
1,125
O-I
Glass,
Inc.
b
8,044
1,726
Orion
SA
11,650
91
Packaging
Corporation
of
America
22,371
911
Perimeter
Solutions,
Inc.
b
27,886
482
PPG
Industries,
Inc.
53,271
139
Reliance,
Inc.
56,448
451
Royal
Gold,
Inc.
89,456
347
RPM
International,
Inc.
37,153
243
Scotts
Miracle-Gro
Company
15,960
747
Sensient
Technologies
Corporation
92,381
436
Smurfit
WestRock
plc
20,043
23,547
Solstice
Advanced
Materials,
Inc.
1,416,823
967
Sonoco
Products
Company
54,500
3,907
SSR
Mining,
Inc.
b
100,097
1,729
Steel
Dynamics,
Inc.
434,429
405
Stepan
Company
25,977
921
TriMas
Corporation
36,776
42
Vulcan
Materials
Company
11,280
Total
37,857,651
Real
Estate
0.8%
2,191
Agree
Realty
Corporation
170,460
2,113
Alexandria
Real
Estate
Equities,
Inc.
108,714
1,561
Alpine
Income
Property
Trust,
Inc.
31,501
5,820
Americold
Realty
Trust,
Inc.
82,004
15,132
AvalonBay
Communities,
Inc.
2,808,650
5,780
Brixmor
Property
Group,
Inc.
182,128
600
Broadstone
Net
Lease,
Inc.
12,846
5,834
CareTrust
REIT,
Inc.
244,678
27,345
CBRE
Group,
Inc.
b
4,014,519
2,434
CoStar
Group,
Inc.
b
70,002
6,854
Cousins
Properties,
Inc.
216,244
59,449
Crown
Castle,
Inc.
4,535,959
2,327
Curbline
Properties
Corporation
71,299
854
Cushman
&
Wakefield,
Ltd.
b
11,461
843
Digital
Realty
Trust,
Inc.
158,922
4,295
Easterly
Government
Properties,
Inc.
104,626
13,631
EPR
Properties
846,076
1,281
Equinix,
Inc.
1,305,698
1,862
Equity
Lifestyle
Properties,
Inc.
121,160
79,804
Essential
Properties
Realty
Trust,
Inc.
2,497,067
85
Essex
Property
Trust,
Inc.
24,152
1,290
Extra
Space
Storage,
Inc.
190,972
400
Federal
Realty
Investment
Trust
49,636
69,493
Fermi,
Inc.
b
395,415
6,421
First
Industrial
Realty
Trust,
Inc.
422,759
351
Forestar
Group,
Inc.
b
9,881
1,488
FrontView
REIT,
Inc.
30,266
2,138
Gaming
and
Leisure
Properties,
Inc.
95,761
6,620
Getty
Realty
Corporation
226,007
135,200
Healthcare
Realty
Trust,
Inc.
2,840,552
2,754
Host
Hotels
&
Resorts,
Inc.
69,208
3,725
Hudson
Pacific
Properties,
Inc.
51,293
3,442
Independence
Realty
Trust,
Inc.
57,240
20,376
Industrial
Logistics
Properties
Trust
175,437
8,698
Innovative
Industrial
Properties,
Inc.
511,529
Shares
Common
Stock  26.3%
Value
Real
Estate
0.8%
-
continued
4,632
InvenTrust
Properties
Corporation
$
164,019
7,416
Iron
Mountain,
Inc.
907,125
9,091
Jones
Lang
LaSalle,
Inc.
b
3,227,578
1,044
Kimco
Realty
Corporation
26,601
73
Lamar
Advertising
Company
11,677
738
Macerich
Company
19,070
32,404
Medical
Properties
Trust,
Inc.
150,031
35,821
Millrose
Properties,
Inc.
1,002,272
139
National
Health
Investors,
Inc.
10,654
21,126
NetSTREIT
Corporation
453,153
574
NNN
REIT,
Inc.
27,276
247
Omega
Healthcare
Investors,
Inc.
12,506
4,742
Outfront
Media,
Inc.
151,128
7,490
Park
Hotels
&
Resorts,
Inc.
112,799
2,325
Piedmont
Realty
Trust,
Inc.
b
22,529
1,103
Postal
Realty
Trust,
Inc.
25,413
3,824
Rayonier,
Inc.
REIT
83,287
600
Realty
Income
Corporation
38,322
415
Regency
Centers
Corporation
33,320
7,642
RLJ
Lodging
Trust
93,614
184
Ryman
Hospitality
Properties
24,592
34,419
Sabra
Health
Care
REIT,
Inc.
728,650
5,123
Safehold,
Inc.
82,890
353
SBA
Communications
Corporation
63,886
2,988
Service
Properties
Trust
23,994
755
Simon
Property
Group,
Inc.
173,174
3,011
STAG
Industrial,
Inc.
115,201
4,022
Sunstone
Hotel
Investors,
Inc.
47,339
65,475
Tanger,
Inc.
2,662,213
6,975
Terreno
Realty
Corporation
499,759
864
Ventas,
Inc.
80,793
5,928
VICI
Properties,
Inc.
156,203
410
WP
Carey,
Inc.
30,176
3,168
Xenia
Hotels
&
Resorts,
Inc.
65,197
1,860
Zillow
Group,
Inc.,
Class
C
b
63,352
Total
34,133,915
Utilities
0.9%
2,630
Alliant
Energy
Corporation
186,151
3,281
American
States
Water
Company
280,985
134
American
Water
Works
Company,
Inc.
17,979
864
Artesian
Resources
Corporation
29,678
4,169
Avista
Corporation
168,636
1,517
Black
Hills
Corporation
108,026
1,411
California
Water
Service
Group
70,705
4,516
CenterPoint
Energy,
Inc.
189,853
5,218
Clearway
Energy,
Inc.,
Class
C
165,567
454
Consolidated
Edison,
Inc.
49,418
23,411
Constellation
Energy
Corporation
6,151,240
105
DTE
Energy
Company
14,896
46,069
Duke
Energy
Corporation
5,778,435
52,767
Edison
International
3,871,515
62,472
Entergy
Corporation
6,723,237
35,021
Evergy,
Inc.
2,907,093
5,415
Eversource
Energy
387,660
3,003
Exelon
Corporation
137,597
1,896
FirstEnergy
Corporation
91,596
730
H2O
America
a
44,771
2,106
National
Fuel
Gas
Company
173,345
2,707
New
Jersey
Resources
Corporation
156,708
4,109
NiSource,
Inc.
182,563
461
OGE
Energy
Corporation
21,828
966
Otter
Tail
Corporation
85,414
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
125
Shares
Common
Stock  26.3%
Value
Utilities
0.9%
-
continued
63,121
PG&E
Corporation
$
1,097,043
4,472
Pinnacle
West
Capital
Corporation
451,627
44,815
Portland
General
Electric
Company
2,210,724
581
PPL
Corporation
20,457
949
Public
Service
Enterprise
Group,
Inc.
72,769
1,625
Spire,
Inc.
129,773
90,000
UGI
Corporation
3,250,800
2,780
Unitil
Corporation
149,953
30,557
Vistra
Energy
Corporation
4,528,242
147
Xcel
Energy,
Inc.
11,495
Total
39,917,779
Total
Common
Stock
(cost
$840,912,122)
1,169,767,306
Principal
Amount
Long-Term
Fixed
Income
12.9%
Value
Asset-Backed
Securities
0.4%
522
Funding
CLO,
Ltd.
$
925,000
5.503%, 
(TSFR3M
+
1.750%),
4/15/2035,
Ser.
2019-5A,
Class
CR2
c,d
925,144
Acacia,
LLC
900,000
5.440%, 
7/15/2041,
Ser.
2026-1,
Class
A
c
899,602
Access
Group,
Inc.
8,194
4.231%, 
(SOFR30A
+
0.614%),
2/25/2036,
Ser.
2013-1,
Class
A
c,d
8,179
ALLO
Issuer,
LLC
1,100,000
5.528%, 
4/20/2055,
Ser.
2025-1A,
Class
A2
c
1,101,816
Balboa
Bay
Loan
Funding,
Ltd.
1,000,000
5.679%, 
(TSFR3M
+
1.950%),
7/20/2034,
Ser.
2021-1A,
Class
CR
c,d
1,003,048
750,000
5.979%, 
(TSFR3M
+
2.250%),
1/20/2035,
Ser.
2021-2A,
Class
CR
c,d
750,158
Barings
CLO,
Ltd.
975,000
5.629%, 
(TSFR3M
+
1.900%),
1/18/2035,
Ser.
2021-3A,
Class
CR
c,d
975,116
Battalion
CLO
XIV,
Ltd.
625,000
5.729%, 
(TSFR3M
+
2.000%),
1/20/2035,
Ser.
2019-14A,
Class
CR2
c,d
625,016
CMFT
Net
Lease
Master
Issuer,
LLC
550,680
2.090%, 
7/20/2051,
Ser.
2021-1,
Class
A1
c
515,694
Commonbond
Student
Loan
Trust
7,728
4.339%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
c,d
7,670
Federal
National
Mortgage
Association
-
REMIC
1,025,000
7.776%, 
(SOFR30A
+
4.160%),
8/25/2026,
Ser.
2026-69,
Class
MF
d
990,863
FirstLight
Issuer,
LLC
800,000
5.873%, 
6/20/2056,
Ser.
2026-1A,
Class
A2
c
794,767
Principal
Amount
Long-Term
Fixed
Income  12.9%
Value
Asset-Backed
Securities
0.4%
-
continued
Foundation
Finance
Trust
$
144,095
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
c
$
137,574
Hotwire
Funding,
LLC
850,000
5.893%, 
6/20/2054,
Ser.
2024-1A,
Class
A2
c
856,957
Laurel
Road
Prime
Student
Loan
Trust
205,910
6.200%, 
11/25/2043,
Ser.
2018-D,
Class
A
c,d
195,352
LCM
41,
Ltd.
450,000
5.753%, 
(TSFR3M
+
2.000%),
4/15/2036,
Ser.
41A,
Class
CR
c,d
450,007
Lightpath
Fiber
Issuer,
LLC
1,100,000
5.597%, 
3/25/2056,
Ser.
2026-1A,
Class
A2
c
1,089,515
National
Collegiate
Trust
84,451
4.058%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
c,d
82,822
Oak
Street
Investment
525,742
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
c
473,167
Pagaya
AI
Debt
Grantor
Trust
775,000
5.245%, 
1/16/2034,
Ser.
2026-4,
Class
A2
c
774,266
Palmer
Square
Loan
Funding,
Ltd.
575,000
5.251%, 
(TSFR3M
+
1.600%),
2/15/2033,
Ser.
2025-1A,
Class
B
c,d
575,530
RR
28,
Ltd.
1,375,000
5.403%, 
(TSFR3M
+
1.650%),
4/15/2041,
Ser.
2024-28RA,
Class
A2R2
c,d
1,376,951
Sunnova
Hestia
II
Issuer,
LLC
967,443
5.630%, 
7/20/2051,
Ser.
2024-GRID1,
Class
1A
c,e
925,595
Trinitas
CLO,
Ltd.
1,400,000
5.510%, 
(TSFR3M
+
1.700%),
4/25/2039,
Ser.
2024-28A,
Class
BR
c,d
1,401,312
Total
16,936,121
Collateralized
Mortgage
Obligations
1.3%
A&D
Mortgage
Trust
392,037
6.701%, 
4/25/2069,
Ser.
2024-NQM2,
Class
A2
c,f
393,635
Alternative
Loan
Trust
100,471
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
48,271
Arroyo
Mortgage
Trust
1,000,000
4.269%, 
12/25/2056,
Ser.
2022-1,
Class
A1B
c
935,209
BINOM
Securitization
Trust
283,930
2.370%, 
6/25/2056,
Ser.
2021-INV1,
Class
A2
c,d
260,955
CFST
Mortgage
Trust
750,000
5.882%, 
10/25/2030,
Ser.
2025-RTL1,
Class
A1
c,f
751,328
Chase
Home
Lending
Mortgage
Trust
850,000
6.000%, 
11/25/2055,
Ser.
2024-11,
Class
A5
c,d
835,143
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
126
Principal
Amount
Long-Term
Fixed
Income  12.9%
Value
Collateralized
Mortgage
Obligations
1.3%
-
continued
CHNGE
Mortgage
Trust
$
178,798
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
c,f
$
178,196
Citicorp
Mortgage
Securities,
Inc.
327,794
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
281,006
COLT
Mortgage
Loan
Trust
895,070
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
c,d
806,058
Countrywide
Alternative
Loan
Trust
113,811
4.124%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
d
99,321
556,426
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
170,925
Cross
Mortgage
Trust
999,534
5.087%, 
3/25/2061,
Ser.
2026-NQM2,
Class
A2
c,f
985,579
CSMC
Trust
373,330
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
c,d
319,186
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
954,296
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
935,046
800,000
5.000%, 
1/25/2055,
Ser.
5490,
Class
LB
771,121
1,450,000
5.250%, 
2/25/2055,
Ser.
5508,
Class
AY
1,419,464
775,000
5.250%, 
3/25/2055,
Ser.
5519,
Class
CL
749,938
970,150
7.616%, 
(SOFR30A
+
4.000%),
8/25/2026,
Ser.
5567,
Class
MB
d
981,911
1,550,000
5.000%, 
8/25/2055,
Ser.
5569,
Class
BY
1,482,353
1,487,050
5.000%, 
9/25/2054,
Ser.
5473,
Class
HL
1,462,893
2,319,944
2.000%, 
12/25/2050,
Ser.
5051,
Class
WI
g
298,398
102,907
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
g
5,520
332,248
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
g
22,809
740,820
4.500%, 
10/15/2033,
Ser.
2695,
Class
BH
733,896
1,100,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
901,619
Federal
Home
Loan
Mortgage
Corporation
-
SLST
875,000
3.000%, 
5/25/2035,
Ser.
2025-1,
Class
A2
e
742,332
Federal
National
Mortgage
Association
-
REMIC
1,150,000
5.000%, 
1/25/2055,
Ser.
2024-103,
Class
YD
1,123,349
925,000
5.000%, 
8/25/2055,
Ser.
2025-69,
Class
DL
879,345
1,030,139
5.000%, 
8/25/2055,
Ser.
2025-66,
Class
KZ
959,134
717,303
Zero
Coupon, 
11/25/2053,
Ser.
2023-54,
Class
EO
594,119
1,698,989
2.000%, 
12/25/2050,
Ser.
2020-89,
Class
IM
g
224,583
Principal
Amount
Long-Term
Fixed
Income  12.9%
Value
Collateralized
Mortgage
Obligations
1.3%
-
continued
$
88,219
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
g
$
922
Flagstar
Mortgage
Trust
3,815,013
2.500%, 
9/25/2051,
Ser.
2021-8INV,
Class
A3
c,d
3,076,301
366,862
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
c,d
327,180
GCAT
Trust
433,120
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
c,d
394,303
780,078
6.000%, 
9/25/2054,
Ser.
2024-INV3,
Class
A1
c,d
783,248
GS
Mortgage-Backed
Securities
Trust
1,151,160
4.978%, 
5/25/2066,
Ser.
2026-DSC1,
Class
A2
c,f
1,129,732
864,282
3.000%, 
6/25/2052,
Ser.
2022-GR1,
Class
A2
c,d
727,642
800,000
5.000%, 
10/25/2056,
Ser.
2026-PJ7,
Class
A17
c,d
734,613
1,475,000
5.500%, 
11/25/2055,
Ser.
2025-PJ6,
Class
A17
c,d
1,436,896
GSAA
Home
Equity
Trust
1,480,605
4.013%, 
8/25/2034,
Ser.
2004-10,
Class
M2
d
1,390,904
GSR
Mortgage
Loan
Trust
489,496
5.173%, 
9/25/2034,
Ser.
2004-11,
Class
2A2
d
479,277
HTAP
Issuer
Trust
579,038
6.500%, 
4/25/2042,
Ser.
2024-2,
Class
A
c
573,533
1,108,627
6.500%, 
11/25/2042,
Ser.
2025-1,
Class
A
c
1,105,339
J.P.
Morgan
Mortgage
Trust
753,488
2.500%, 
2/25/2052,
Ser.
2021-INV7,
Class
A2A
c,d
606,665
775,000
5.500%, 
3/25/2056,
Ser.
2025-9,
Class
A8
c,d
757,555
557,614
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
c,d
472,246
546,682
5.055%, 
6/25/2056,
Ser.
2025-12MPR,
Class
A1D
c,f
539,775
665,000
5.000%, 
7/25/2056,
Ser.
2026-1,
Class
A5A
c,d
616,851
Mello
Mortgage
Capital
Acceptance
806,301
2.500%, 
8/25/2051,
Ser.
2021-INV2,
Class
A3
c,d
645,155
Merrill
Lynch
Alternative
Note
Asset
Trust
143,487
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
41,073
MFA
Trust
469,024
6.330%, 
9/25/2054,
Ser.
2024-NPL1,
Class
A1
c,f
469,632
Morgan
Stanley
Residential
Mortgage
Loan
Trust
1,200,000
7.298%, 
9/25/2068,
Ser.
2023-NQM1,
Class
M1
c,d
1,200,417
New
Residential
Mortgage
Loan
Trust
1,554,929
2.500%, 
9/25/2051,
Ser.
2021-INV2,
Class
A2
c,d
1,251,899
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
127
Principal
Amount
Long-Term
Fixed
Income  12.9%
Value
Collateralized
Mortgage
Obligations
1.3%
-
continued
OBX
Trust
$
575,000
4.688%, 
1/25/2062,
Ser.
2022-NQM3,
Class
A1B
c,d
$
536,554
PMT
Loan
Trust
1,250,000
6.000%, 
2/25/2056,
Ser.
2025-INV2,
Class
A10
c,d
1,229,534
1,375,000
5.500%, 
5/25/2056,
Ser.
2025-INV5,
Class
A12
c,d
1,332,008
Point
Securitization
Trust
950,000
5.250%, 
7/25/2056,
Ser.
2026-2,
Class
A1
c
920,835
1,096,036
5.750%, 
10/25/2055,
Ser.
2025-2,
Class
A1
c
1,083,729
PRET
Trust
585,774
4.000%, 
8/25/2064,
Ser.
2025-RPL2,
Class
A1
c,f
565,156
PRET,
LLC
850,979
5.074%, 
2/25/2056,
Ser.
2026-NPL2,
Class
A1
c,f
843,892
Provident
Funding
Mortgage
Trust
1,400,000
5.000%, 
12/25/2055,
Ser.
2025-6,
Class
A10
c,d
1,302,984
PRPM,
LLC
550,000
3.500%, 
5/25/2054,
Ser.
2024-RPL2,
Class
A2
c,f
530,871
515,544
6.255%, 
5/25/2030,
Ser.
2025-3,
Class
A1
c,f
515,099
763,041
5.729%, 
7/25/2030,
Ser.
2025-5,
Class
A1
c,f
760,020
RCO
IX
Mortgage,
LLC
329,850
5.765%, 
5/25/2031,
Ser.
2026-2,
Class
A1
c,f
328,506
Residential
Accredit
Loans,
Inc.
Trust
124,634
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
109,958
Saluda
Grade
Alternative
Mortgage
Trust
490,920
7.762%, 
4/25/2030,
Ser.
2024-RTL5,
Class
A1
c,f
489,208
709,890
7.439%, 
7/25/2030,
Ser.
2024-RTL6,
Class
A1
c,f
708,811
Sequoia
Mortgage
Trust
1,500,000
5.000%, 
5/25/2056,
Ser.
2026-5,
Class
A8
c,d
1,371,377
750,000
5.500%, 
8/25/2055,
Ser.
2025-7,
Class
A8
c,d
723,783
1,300,000
5.000%, 
12/25/2055,
Ser.
2025-12,
Class
A8
c,d
1,210,443
TRK
Trust
437,852
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
c,d
388,907
Unlock
HEA
Trust
466,214
7.000%, 
4/25/2039,
Ser.
2024-1,
Class
A
c
464,278
687,833
6.500%, 
10/25/2039,
Ser.
2024-2,
Class
A
c
683,499
Verus
Securitization
Trust
261,384
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
c,d
229,591
VOLT
CVI,
LLC
420,122
9.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
c
420,562
Principal
Amount
Long-Term
Fixed
Income  12.9%
Value
Collateralized
Mortgage
Obligations
1.3%
-
continued
Vontive
Mortgage
Trust
$
1,050,000
6.507%, 
3/25/2030,
Ser.
2025-RTL1,
Class
A1
c,f
$
1,055,597
Total
56,919,002
Commercial
Mortgage-Backed
Securities
0.2%
AMSR
Trust
1,000,000
2.352%, 
6/17/2038,
Ser.
2021-SFR1,
Class
C
c
942,125
BANK
3,943,947
0.410%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
d,g
76,637
5,273,753
0.623%, 
3/15/2058,
Ser.
2025-BNK49,
Class
XA
d,g
230,800
BBCMS
Mortgage
Trust
6,928,999
1.149%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
d,g
388,005
4,528,718
0.919%, 
12/15/2058,
Ser.
2025-C39,
Class
XA
d,g
296,428
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
8,075,000
5.000%, 
5/25/2034,
Ser.
K-164,
Class
A2
e
8,118,829
Home
Partners
of
America
Trust
807,148
2.078%, 
9/17/2041,
Ser.
2021-1,
Class
C
c
727,782
Total
10,780,606
Financials
<0.1%
CHL
Mortgage
Pass-Through
Trust
948,019
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
371,871
Countrywide
Home
Loans,
Inc.
149,677
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
61,599
Total
433,470
Mortgage-Backed
Securities
5.2%
Federal
Home
Loan
Mortgage
Corporation
Conventional
15-Yr.
Pass
Through
486,622
5.500%, 
12/1/2038
495,918
5,003,170
5.500%, 
2/1/2040
5,078,676
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
3,175,436
2.000%, 
1/1/2052
2,514,244
732,083
6.000%, 
1/1/2055
756,970
1,909,114
4.500%, 
2/1/2056
1,807,686
9,012,489
2.500%, 
4/1/2052
7,520,251
1,459,927
2.000%, 
5/1/2051
1,155,950
5,475,022
2.500%, 
5/1/2051
4,532,754
2,563,689
4.000%, 
5/1/2052
2,361,250
1,648,497
5.000%, 
7/1/2053
1,607,995
1,271,585
5.500%, 
7/1/2053
1,269,623
1,835,230
3.500%, 
8/1/2052
1,641,914
1,596,230
5.000%, 
8/1/2053
1,563,607
5,037,345
5.500%, 
9/1/2053
5,057,896
1,879,983
5.500%, 
9/1/2055
1,877,400
7,552,234
5.500%, 
9/1/2055
7,529,279
1,909,216
3.500%, 
9/1/2047
1,731,768
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
128
Principal
Amount
Long-Term
Fixed
Income  12.9%
Value
Mortgage-Backed
Securities
5.2%
-
continued
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
$
1,011,004
2.500%, 
7/1/2030
$
976,111
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
345,422
5.500%, 
9/1/2039
352,639
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
1,675,411
3.000%, 
12/1/2036
1,567,401
1,421,229
3.000%, 
8/1/2038
1,333,326
2,136,806
3.500%, 
5/1/2040
2,000,171
1,426,060
2.500%, 
4/1/2042
1,255,351
598,696
2.000%, 
5/1/2042
513,290
944,045
5.000%, 
10/1/2045
920,572
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
5,640,791
3.000%, 
1/1/2052
4,865,510
981,898
2.000%, 
2/1/2051
777,449
650,995
2.000%, 
2/1/2051
515,446
1,708,067
2.500%, 
2/1/2051
1,423,397
2,977,496
5.500%, 
2/1/2055
2,979,601
10,300,039
2.000%, 
3/1/2051
8,105,225
3,994,480
4.000%, 
3/1/2051
3,703,759
945,416
2.000%, 
3/1/2052
751,807
6,123,660
3.000%, 
3/1/2052
5,282,907
4,979,148
5.500%, 
3/1/2055
h
4,953,404
7,631,414
2.000%, 
4/1/2051
6,009,933
2,766,185
5.500%, 
4/1/2054
2,777,471
3,544,456
3.000%, 
5/1/2050
3,033,528
1,190,810
2.000%, 
5/1/2051
937,828
2,694,613
3.000%, 
5/1/2051
2,357,765
1,109,155
3.500%, 
5/1/2052
993,208
6,318,327
2.000%, 
6/1/2050
4,988,754
1,913,067
3.000%, 
6/1/2050
1,681,171
1,071,825
4.000%, 
6/1/2052
983,061
1,129,390
5.000%, 
6/1/2053
1,103,388
4,198,111
2.500%, 
7/1/2051
3,512,572
1,535,779
3.500%, 
7/1/2051
1,378,963
933,824
3.000%, 
7/1/2052
809,633
1,540,980
4.000%, 
7/1/2052
1,413,369
2,971,981
3.500%, 
8/1/2050
2,681,232
4,387,477
3.500%, 
8/1/2052
3,896,375
5,339,735
4.500%, 
8/1/2052
5,048,847
8,475,492
4.500%, 
8/1/2052
8,009,319
2,202,799
5.000%, 
8/1/2053
2,151,403
4,661,139
6.000%, 
8/1/2054
4,818,956
12,550,000
2.500%, 
8/1/2056
h
10,230,073
2,047,660
2.500%, 
9/1/2051
1,708,067
2,414,347
3.500%, 
9/1/2052
2,168,654
1,271,592
3.500%, 
9/1/2052
1,138,357
1,702,202
5.000%, 
9/1/2052
1,656,480
2,635,847
4.500%, 
9/1/2053
2,497,180
1,603,489
4.500%, 
9/1/2053
1,521,704
4,376,228
4.000%, 
10/1/2052
4,034,521
1,204,602
2.000%, 
11/1/2051
953,749
1,659,851
3.500%, 
11/1/2052
1,493,423
4,822,868
2.000%, 
12/1/2050
3,822,209
7,436,513
2.500%, 
12/1/2051
6,195,431
3,212,469
4.500%, 
12/1/2052
3,051,154
150,000
6.000%, 
8/1/2041
h
151,652
2,650,000
5.500%, 
8/1/2042
h
2,622,454
Principal
Amount
Long-Term
Fixed
Income  12.9%
Value
Mortgage-Backed
Securities
5.2%
-
continued
$
2,232,050
3.500%, 
12/1/2047
$
2,027,526
7,900,000
4.000%, 
8/1/2048
h
7,211,095
3,625,000
4.500%, 
8/1/2048
h
3,403,614
18,725,000
5.000%, 
8/1/2048
h
18,068,987
3,900,000
3.500%, 
8/1/2049
h
3,459,269
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
1,413,306
3.500%, 
7/1/2061
1,238,256
2,279,749
4.000%, 
12/1/2061
2,054,874
Total
230,076,052
U.S.
Government
&
Agencies
5.8%
U.S.
Treasury
Bonds
4,000,000
4.750%, 
2/15/2056
3,696,250
17,000,000
4.750%, 
8/15/2055
15,697,773
4,600,000
1.625%, 
11/15/2050
2,275,742
3,300,000
4.750%, 
11/15/2053
3,040,898
5,090,000
5.250%, 
11/15/2028
5,196,174
1,175,000
4.375%, 
5/15/2040
1,102,297
10,800,000
1.375%, 
11/15/2040
6,722,156
560,000
3.000%, 
5/15/2042
428,728
8,000,000
4.625%, 
2/15/2046
7,370,000
15,871,000
2.500%, 
5/15/2046
10,412,244
13,950,000
2.875%, 
5/15/2049
9,434,232
U.S.
Treasury
Notes
7,450,000
0.500%, 
4/30/2027
7,257,871
7,500,000
3.875%, 
5/31/2027
7,485,281
11,000,000
3.500%, 
9/30/2027
10,914,492
2,055,000
2.250%, 
11/15/2027
2,004,749
9,775,000
3.875%, 
12/31/2027
9,726,125
1,700,000
0.750%, 
1/31/2028
1,614,734
26,800,000
3.500%, 
1/31/2028
26,510,016
21,400,000
2.875%, 
5/15/2028
20,890,914
1,100,000
4.375%, 
8/31/2028
1,101,934
3,300,000
3.750%, 
12/31/2028
3,257,719
8,800,000
3.500%, 
9/30/2029
8,581,719
4,002,000
4.000%, 
3/31/2030
3,951,193
2,000,000
3.625%, 
8/31/2030
1,942,188
40,700,000
3.625%, 
9/30/2030
39,507,617
1,900,000
3.625%, 
10/31/2030
1,843,000
6,000,000
3.750%, 
1/31/2031
5,837,813
1,800,000
3.875%, 
4/30/2031
1,758,234
10,000,000
4.125%, 
6/30/2031
9,867,188
9,780,000
1.375%, 
11/15/2031
8,369,159
10,800,000
4.125%, 
11/15/2032
10,567,125
1,200,000
4.500%, 
11/15/2033
1,193,766
5,000,000
4.000%, 
11/15/2035
4,739,844
3,000,000
4.125%, 
2/15/2036
2,866,875
Total
257,166,050
Total
Long-Term
Fixed
Income
(cost
$609,473,662)
572,311,301
Shares
i
Private
Equity
Funds
2.1%
Value
Secondary  2.1%
__
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP
*,b,j
12,467,889
__
ASF
IX,
LP
*,b,j
12,852,628
__
ASF
VIII
Sidecar
(Cayman),
LP
*,b,j
3,337,829
__
Crown
Global
Secondaries
VI
Feeder
S.A.,
SICAV-RAIF
*,b,j
15,234,254
__
LCP
X
(Offshore),
LP
*,b,j
27,873,833
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
129
Shares
i
Private
Equity
Funds
2.1%
Value
Secondary  2.1%
-
continued
__
StepStone
Secondary
Opportunities
Fund
V
Offshore,
LP
*,b,j
$
20,001,340
__
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP
*,b,j
2,101,270
Total
93,869,043
Total
Private
Equity
Funds
(cost
$65,235,890)
93,869,043
Shares
Collateral
Held
for
Securities
Loaned
0.1%
Value
5,878,300
Thrivent
Cash
Management
Trust
5,878,300
Total
Collateral
Held
for
Securities
Loaned
(cost
$5,878,300)
5,878,300
Shares
or
Principal
Amount
Short-Term
Investments
11.5%
Value
Federal
Home
Loan
Bank
Discount
Notes
6,300,000
3.615%,
8/21/2026
k,l
6,286,788
9,500,000
3.620%,
8/26/2026
k,l
9,475,334
800,000
3.634%,
8/28/2026
k,l
797,763
5,400,000
3.629%,
9/4/2026
k,l
5,380,837
400,000
3.660%,
9/9/2026
k,l
398,378
1,100,000
3.654%,
9/11/2026
k,l
1,095,316
3,600,000
3.682%,
9/18/2026
k,l
3,582,115
200,000
3.710%,
9/23/2026
k,l
198,905
200,000
3.680%,
9/25/2026
k,l
198,864
3,200,000
3.700%,
10/1/2026
k,l
3,179,692
1,800,000
3.690%,
10/14/2026
k,l
1,786,181
8,400,000
3.710%,
10/16/2026
k,l
8,333,793
700,000
3.800%,
10/21/2026
k,l
694,125
1,700,000
3.700%,
10/26/2026
k,l
1,684,861
State
Street
Institutional
U.S.
Government
Money
Market
Fund
163,127,163
3.619%
k
163,127,163
Thrivent
Core
Short-Term
Reserve
Fund
30,581,928
3.970%
305,819,286
U.S.
Treasury
Bills
500,000
3.617%,
9/8/2026
k,m
498,187
100,000
3.645%,
9/15/2026
k,m
99,567
1,100,000
3.607%,
9/29/2026
k,m
1,093,573
400,000
3.792%,
10/22/2026
k,n
396,728
Total
Short-Term
Investments
(cost
$513,999,643)
514,127,456
Total
Investments
(cost
$3,406,238,739)
100.9%
$4,486,311,841
Other
Assets
and
Liabilities,
Net
(0.9%)
(40,788,065)
Total
Net
Assets
100.0%
$4,445,523,776
a
All
or
a
portion
of
the
security
is
on
loan.
b
Non-income
producing
security.
c
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$57,624,680
or
1.3%
of
total
net
assets.
d
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
e
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
f
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
g
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
h
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
i
Private
equity
fund
partnerships
do
not
issue
shares.
j
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
k
The
interest
rate
shown
reflects
the
yield.
l
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
m
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
n
At
July
31,
2026,
$267,791
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Moderate
Allocation
Fund
as
of
July
31,
2026
was
$93,869,043
or
2.11%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP 
6/28/2024
$
9,355,423
ASF
IX,
LP 
3/18/2024
10,140,194
ASF
VIII
Sidecar
(Cayman),
LP 
6/28/2024
2,569,567
Crown
Global
Secondaries
VI
Feeder
S.A.,
SICAV-RAIF 
2/15/2024
11,280,000
LCP
X
(Offshore),
LP 
10/25/2023
17,148,800
StepStone
Secondary
Opportunities
Fund
V
Offshore,
LP 
6/28/2024
14,741,906
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP 
7/9/2026
–
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
130
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Moderate
Allocation
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
5,788,927
Total
lending
$5,788,927
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$5,878,300
Net
amounts
due
to
counterparty
$89,373
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange-Traded
Fund
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
S&P
-
Standard
&
Poor's
Ser.
-
Series
SLST
-
Seasoned
Loans
Structured
Transactions
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
131
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Moderate
Allocation
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Registered
Investment
Companies
U.S.
Affiliated
2,014,989,785
2,014,989,785
–
–
U.S.
Unaffiliated
19,487,138
19,487,138
–
–
Common
Stock
Communications
Services
90,936,798
89,314,215
1,622,583
–
Consumer
Discretionary
113,135,729
113,135,729
–
–
Consumer
Staples
34,995,361
34,995,361
–
–
Energy
55,843,983
55,843,983
–
–
Financials
163,772,768
163,772,768
–
–
Health
Care
137,389,790
137,389,790
–
–
Industrials
143,647,137
143,647,137
–
–
Information
Technology
318,136,395
306,560,183
11,576,212
–
Materials
37,857,651
37,857,651
–
–
Real
Estate
34,133,915
34,133,915
–
–
Utilities
39,917,779
39,917,779
–
–
Long-Term
Fixed
Income
Asset-Backed
Securities
16,936,121
–
16,936,121
–
Collateralized
Mortgage
Obligations
56,919,002
–
56,919,002
–
Commercial
Mortgage-Backed
Securities
10,780,606
–
10,780,606
–
Financials
433,470
–
433,470
–
Mortgage-Backed
Securities
230,076,052
–
230,076,052
–
U.S.
Government
&
Agencies
257,166,050
–
257,166,050
–
Private
Equity
Funds
Secondary
93,869,043
–
–
93,869,043
Short-Term
Investments
208,308,170
163,127,163
45,181,007
–
Subtotal
Investments
in
Securities
$4,078,732,743
$3,354,172,597
$630,691,103
$93,869,043
Other
Investments  *
Total
Affiliated
Short-Term
Investments
305,819,286
U.S.
Affiliated
Registered
Investment
Cos.
95,881,512
Collateral
Held
for
Securities
Loaned
5,878,300
Subtotal
Other
Investments
$407,579,098
Total
Investments
at
Value
$4,486,311,841
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Moderate
Allocation
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
6,378,540
6,378,540
–
–
Credit
Default
Swaps
701,209
–
701,209
–
Total
Asset
Derivatives
$7,079,749
$6,378,540
$701,209
$–
Liability
Derivatives
Futures
Contracts
4,098,707
4,098,707
–
–
Total
Liability
Derivatives
$4,098,707
$4,098,707
$–
$–
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
132
The
following
table
is
a
reconciliation
of
assets
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
fair
value
for
Moderate
Allocation
Fund as
discussed
in
the
Notes
to
Schedule
of
Investments.
*
Located
on
the
Statement
of
Operations,
Change
in
net
unrealized
appreciation/(depreciation)
on
investments.
^
Located
on
the
Statement
of
Operations,
Net
realized
gains/(losses)
on
investments.
#
Transferred
from
Level
2
to
Level
3
because
of
a
lack
of
observable
market
data,
resulting
from
a
decrease
in
market
activity
for
the
securities.
@
Transferred
from
Level
3
to
Level
2
because
observable
market
data
became
available
for
the
securities.
The
reporting
entity's
Asset
Backed
Securities
Level
3
securities'
fair
value
is
calculated
by
a
vendor
using
the
established
policies
and
procedures
of
the
reporting
entity.
Inputs
used
in
valuation
include
the
principal
and
interest
schedules,
bond
equivalent
ratings,
and
U.S.
Treasury
yields.
Unobservable
inputs
were
weighted
by
the
relative
fair
value
of
the
instruments. Significant changes
in
the
inputs
in
isolation
could result
in
a
significantly
lower
or
higher
fair
value
measurement.
**
The
reporting
entity's Private
Equity
Funds
-
Secondary Level
3
securities
are fair
valued using
the
adjusted
reported
Net
Asset
Value
(NAV)
of
the
investment,
adjusted
for
subsequent
investment
activity
and
market
movement
using
inputs
determined
by
the policies
and
procedures
of
the
reporting
entity. 
Inputs
used
in
valuation
include index
returns
that
are
adjusted based
on
a
regression
analysis
of
similar
types
of
assets
over
time. 
Significant
changes
in
the
inputs
in
isolation
could result
in
a
significantly
lower
or
higher
fair
value
measurement.
Investments
in
Securities 
Beginning
Value
10/31/2025
Realized
Gain/
(Loss)%
Change
in
Unrealized
Appreciation/
(Depreciation)
*
Purchases
Sales
Transfers
Into
Level
3 #
Transfers
Out
of
Level
3 @
Ending
Value
07/31/2026
Private
Equity
Funds
 Secondary
$73,853,586
$-
$12,155,457
$12,313,952
($4,453,952)
$-
$-
$93,869,043
Total 
$73,853,586
$-
$12,155,457
$12,313,952
($4,453,952)
$-
$-
$93,869,043
 Investments
in
Securities
Ending
Value 07/31/2026
Valuation
Technique(s)
Unobservable 
Input(s)
Range
of Inputs
Private
Equity
Funds
   Secondary
$93,869,043
Adjusted
reported
investment
of
net
asset
value  
Fair
Value
adjustment
**
N/A
Total 
$93,869,043
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
133
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
at
The
following
table
presents
Moderate
Allocation
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$43,265,952
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
371
September
2026
$
40,442,925
(
$
374,925)
CBOT
2-Yr.
U.S.
Treasury
Note
376
September
2026
77,509,858
(
200,731)
CBOT
5-Yr.
U.S.
Treasury
Note
481
September
2026
51,312,310
(
337,585)
CBOT
U.S.
Long
Bond
246
September
2026
27,231,745
(
586,870)
CME
E-mini
Russell
2000
Index
11
September
2026
1,635,465
(
19,565)
CME
E-mini
S&P
500
Index
939
September
2026
350,272,233
2,756,555
CME
E-mini
S&P
Mid-Cap
400
Index
2
September
2026
764,542
(
9,962)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
195
September
2026
21,992,757
(
603,695)
ICE
mini
MSCI
EAFE
Index
771
September
2026
121,037,443
1,640,222
Ultra
10-Yr.
U.S.
Treasury
Note
189
September
2026
20,985,273
(
251,381)
Total
Futures
Long
Contracts
$
713,184,551
$
2,012,063
CME
E-mini
Russell
2000
Index
(1,135)
September
2026
(
$
166,960,412)
$
228,912
CME
E-mini
S&P
Mid-Cap
400
Index
(51)
September
2026
(
19,377,491)
135,701
Eurex
Euro
STOXX
50
Index
(693)
September
2026
(
49,326,621)
(
1,713,993)
ICE
US
mini
MSCI
Emerging
Markets
Index
(356)
September
2026
(
30,850,090)
1,617,150
Total
Futures
Short
Contracts
(
$
266,514,614)
$267,770
Total
Futures
Contracts
$
446,669,937
$2,279,833
The
following
table
presents
Moderate
Allocation
Fund's
credit
default
swap
contracts
held
as
of
July
31,
2026.
Investments
totaling
$1,691,327
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
46,
5
Year,
at
5.00%,
Quarterly
Sell
6/20/2031
(
$
18,883,260)
$
–
$
701,209
$
701,209
Total
Credit
Default
Swaps
$–
$701,209
$701,209
1
As
the
buyer
of
protection,
Moderate
Allocation
Fund
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Moderate
Allocation
Fund
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Moderate
Allocation
Fund
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
134
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Moderate
Allocation
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$65,143
$2,714
$5,665
$61,799
7,063
1.4%
Core
Emerging
Markets
Equity
27,530
893
–
34,082
2,331
0.8
Core
High
Yield
Bond
–
89,634
–
88,642
4,502
2.0
Core
Investment
Grade
Corporate
Bond
–
150,724
–
146,049
7,587
3.3
Global
Stock,
Class
S
105,963
10,932
–
119,346
3,674
2.7
High
Yield,
Class
S
47,939
2,258
–
49,449
2,926
1.1
Income,
Class
S
128,825
4,470
2,690
125,842
7,831
2.8
International
Equity,
Class
S
179,684
12,257
–
211,663
14,781
4.7
International
Large
Cap
ETF
1
15,583
2,569
–
18,537
726
0.4
International
Small
Cap
ETF
–
3,002
–
2,987
129
0.1
Large
Cap
Growth,
Class
S
499,226
14,766
–
500,857
19,907
11.2
Large
Cap
Value,
Class
S
411,196
22,312
–
489,595
12,987
11.0
Mid
Cap
Stock,
Class
S
91,013
10,354
–
110,052
2,760
2.5
Mid
Cap
Value
ETF
2
–
14,524
–
16,998
954
0.4
Short-Term
Bond,
Class
S
73,945
2,447
1,705
73,734
5,937
1.7
Small
Cap
Stock,
Class
S
43,711
1,043
–
52,260
1,398
1.2
Small
Cap
Value
ETF
3
7,180
849
0
8,979
280
0.2
Total
Affiliated
Registered
Investment
Companies
1,696,938
2,110,871
47.5
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
416,780
93,190
204,170
305,819
30,582
6.9
Total
Affiliated
Short-Term
Investments
416,780
305,819
6.9
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
13,112
214,203
221,436
5,879
5,878
0.1
Total
Collateral
Held
for
Securities
Loaned
13,112
5,879
0.1
Total
Value
$2,126,830
$2,422,569
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
2
Effective
November
14,
2025,
Mid
Cap
Value
Fund
converted
to
Mid
Cap
Value
ETF.
3
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Moderate
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
135
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$(721)
$328
$–
$2,714
Core
Emerging
Markets
Equity
–
5,659
–
892
Core
High
Yield
Bond
–
(992)
–
2,270
Core
Investment
Grade
Corporate
Bond
–
(4,675)
–
2,868
Global
Stock,
Class
S
–
2,451
9,182
1,751
High
Yield,
Class
S
–
(748)
–
2,257
Income,
Class
S
(402)
(4,361)
–
4,470
International
Equity,
Class
S
–
19,722
7,196
5,060
International
Large
Cap
ETF
1
–
385
1,645
924
International
Small
Cap
ETF
–
(15)
–
–
Large
Cap
Growth,
Class
S
–
(13,135)
14,766
–
Large
Cap
Value,
Class
S
–
56,087
17,077
5,235
Mid
Cap
Stock,
Class
S
–
8,685
9,913
440
Mid
Cap
Value
ETF
2
–
2,474
–
17
Short-Term
Bond,
Class
S
(13)
(940)
–
2,448
Small
Cap
Stock,
Class
S
–
7,506
865
179
Small
Cap
Value
ETF
3
–
950
688
183
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
20
(1)
–
11,072
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$42,780
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
22
Total
Affiliated
Income
from
Securities
Loaned,
Net
$22
Total
$(1,116)
$79,380
$
61,332
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
2
Effective
November
14,
2025,
Mid
Cap
Value
Fund
converted
to
Mid
Cap
Value
ETF.
3
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
136
Shares
Registered
Investment
Companies  
52.0%
Value
U.S.
Affiliated  
51.5%  
4,000,328
Thrivent
Core
Emerging
Markets
Debt
Fund
$
35,002,871
7,954,298
Thrivent
Core
Emerging
Markets
Equity
Fund
116,291,834
2,548,338
Thrivent
Core
High
Yield
Bond
Fund
50,176,766
4,294,676
Thrivent
Core
Investment
Grade
Corporate
Bond
Fund
82,672,519
9,394,523
Thrivent
Global
Stock
Fund,
Class
S
305,134,099
1,656,172
Thrivent
High
Yield
Fund,
Class
S
27,989,308
4,436,002
Thrivent
Income
Fund,
Class
S
71,286,554
29,647,038
Thrivent
International
Equity
Fund,
Class
S
424,545,578
7,666,035
Thrivent
International
Large
Cap
ETF
195,866,428
324,144
Thrivent
International
Small
Cap
ETF
7,526,559
25,289,256
Thrivent
Large
Cap
Growth
Fund,
Class
S
636,277,685
15,254,097
Thrivent
Large
Cap
Value
Fund,
Class
S
575,079,440
5,714,250
Thrivent
Mid
Cap
Stock
Fund,
Class
S
227,884,308
2,675,250
Thrivent
Mid
Cap
Value
ETF
47,665,732
3,360,179
Thrivent
Short-Term
Bond
Fund,
Class
S
41,733,419
2,571,290
Thrivent
Small
Cap
Stock
Fund,
Class
S
96,089,125
961,953
Thrivent
Small
Cap
Value
ETF
30,891,966
Total
2,972,114,191
U.S.
Unaffiliated  
0.5%  
12,106
Invesco
QQQ
Trust
Series
1
a
8,328,807
1,945
iShares
Biotechnology
ETF
362,568
975
iShares
Russell
2000
Growth
ETF
361,403
1,007
iShares
Semiconductor
ETF
508,424
24,573
State
Street
SPDR
S&P
500
ETF
Trust
18,356,768
3,217
State
Street
SPDR
S&P
600
Small
Cap
Growth
ETF
370,663
12,157
State
Street
SPDR
S&P
Biotech
ETF
1,787,201
Total
30,075,834
Total
Registered
Investment
Companies
(cost
$1,878,858,843)
3,002,190,025
Shares
Common
Stock
29.7%
Value
Communications
Services
2.2%
95,160
Alphabet,
Inc.,
Class
A
33,889,331
111,733
Alphabet,
Inc.,
Class
C
39,849,574
85,815
AT&T,
Inc.
1,995,199
437
Cable
One,
Inc.
b
17,476
1,542
CarGurus,
Inc.
b
55,882
273
Charter
Communications,
Inc.
b
39,580
129,987
Comcast
Corporation
3,114,488
6,382
Gogo,
Inc.
b
26,677
1,454
Liberty
Capital
Corporation
b
33,689
16,176
Liberty
Global,
Ltd.,
Class
A
b
171,627
602
Liberty
Media
Corporation-Liberty
Formula
One
b
59,074
16,335
Lumen
Technologies,
Inc.
b
104,217
Shares
Common
Stock  29.7%
Value
Communications
Services
2.2%
-
continued
183
Madison
Square
Garden
Sports
Corporation
b
$
72,043
1,287
Match
Group,
Inc.
50,721
48,101
Meta
Platforms,
Inc.
26,778,308
47,851
Netflix,
Inc.
b
3,431,395
4,554
New
York
Times
Company
341,049
460
Omnicom
Group,
Inc.
36,202
4,909
Reddit,
Inc.
b
690,549
4,341
ROBLOX
Corporation
b
154,540
387
Space
Exploration
Technologies
Corporation
a,b
41,939
1,579
Spotify
Technology
SA
b
789,405
11,804
Taboola.com,
Ltd.
b
59,138
12,420
Trade
Desk,
Inc.
b
224,057
133,108
Universal
Music
Group
NV
2,196,223
3,934
Versant
Media
Group,
Inc.
141,585
26,248
Walt
Disney
Company
2,524,795
159,388
Warner
Brothers
Discovery,
Inc.
b
4,191,904
176,406
Warner
Music
Group
Corporation
4,579,500
18,582
ZoomInfo
Technologies,
Inc.
b
61,321
Total
125,721,488
Consumer
Discretionary
2.9%
1,131
Abercrombie
&
Fitch
Company
b
112,580
3,885
Adient
plc
b
81,740
112,103
ADT,
Inc.
856,467
11,649
Advance
Auto
Parts,
Inc.
646,986
30,421
Airbnb,
Inc.
b
4,609,390
223,030
Amazon.com,
Inc.
b
60,570,487
6,137
American
Eagle
Outfitters,
Inc.
105,434
49,816
Aptiv
plc
b
2,813,110
3,631
Aramark
206,858
110
AutoNation,
Inc.
b
23,364
57
AutoZone,
Inc.
b
171,926
6,901
Bath
&
Body
Works,
Inc.
138,848
648
Best
Buy
Company,
Inc.
55,897
11,204
Boot
Barn
Holdings,
Inc.
b
1,669,284
11,570
BorgWarner,
Inc.
737,472
151
Bright
Horizons
Family
Solutions,
Inc.
b
11,256
660
Brunswick
Corporation
52,140
1,890
Buckle,
Inc.
82,725
170
Burlington
Stores,
Inc.
b
62,642
6,068
CarMax,
Inc.
b
347,454
3,554
Carnival
Corporation,
Ltd.
98,837
65
Cavco
Industries,
Inc.
b
35,557
1,515
Champion
Homes,
Inc.
b
120,609
4,522
Chewy,
Inc.
b
102,197
1,378
Chipotle
Mexican
Grill,
Inc.
b
51,289
27,873
D.R.
Horton,
Inc.
3,987,511
3,780
Dana,
Inc.
101,795
1,941
Deckers
Outdoor
Corporation
b
188,044
3,685
DoorDash,
Inc.
b
722,850
1,043
eBay,
Inc.
118,912
22,841
Etsy,
Inc.
b
1,865,653
11,775
Five
Below,
Inc.
b
2,556,706
961
Flutter
Entertainment
plc
b
100,396
17,030
Ford
Motor
Company
250,000
7,138
Frontdoor,
Inc.
b
518,433
713
Gap,
Inc.
14,324
4,570
Garmin,
Ltd.
1,342,575
31,176
Garrett
Motion,
Inc.
971,132
57,061
General
Motors
Company
5,070,440
6,623
Gentex
Corporation
154,713
67
Genuine
Parts
Company
8,333
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
137
Shares
Common
Stock  29.7%
Value
Consumer
Discretionary
2.9%
-
continued
345
GigaCloud
Technology,
Inc.
b
$
15,090
10,376
Goodyear
Tire
&
Rubber
Company
b
72,113
754
Grand
Canyon
Education,
Inc.
b
109,586
5,287
Hasbro,
Inc.
496,661
18,140
Hilton
Worldwide
Holdings,
Inc.
5,813,689
8,768
Home
Depot,
Inc.
2,910,625
8,801
Installed
Building
Products,
Inc.
1,962,095
4,340
Kohl's
Corporation
83,068
14,681
Laureate
Education,
Inc.
b
562,429
2,895
Lear
Corporation
378,203
1,063
Lennar
Corporation
87,538
34,431
Levi
Strauss
&
Company
844,248
57,350
Life
Time
Group
Holdings,
Inc.
b
2,586,485
137
Lithia
Motors,
Inc.
52,803
1,499
LKQ
Corporation
33,653
32,192
Lowe's
Companies,
Inc.
6,689,820
1,020
Lululemon
Athletica,
Inc.
b
121,247
272
M/I
Homes,
Inc.
b
39,747
10,065
Macy's,
Inc.
249,813
10,680
Mattel,
Inc.
b
161,161
8,938
Mobileye
Global,
Inc.
b
70,968
4,359
Mohawk
Industries,
Inc.
b
536,593
4,376
Monarch
Casino
&
Resort,
Inc.
537,154
2,119
Murphy
USA,
Inc.
1,287,843
7
NVR,
Inc.
b
43,029
14,010
Ollie's
Bargain
Outlet
Holdings,
Inc.
b
1,029,315
32,838
O'Reilly
Automotive,
Inc.
b
2,934,075
29,997
Pattern
Group,
Inc.
b
690,531
3,938
PENN
Entertainment,
Inc.
b
80,847
3,691
Perdoceo
Education
Corporation
117,411
240
Pool
Corporation
44,570
1,432
PulteGroup,
Inc.
181,105
294
Ralph
Lauren
Corporation
111,820
1,101
RH
b
182,238
30,382
Ross
Stores,
Inc.
7,628,009
14,516
SharkNinja,
Inc.
b
2,348,253
10,243
Sonos,
Inc.
b
150,162
166,136
Sony
Group
Corporation
ADR
3,864,323
897
Strategic
Education,
Inc.
73,554
8,028
Tapestry,
Inc.
1,223,226
31,335
Tesla,
Inc.
b
9,751,765
14,276
Texas
Roadhouse,
Inc.
2,932,861
26,900
TJX
Companies,
Inc.
4,232,446
3,226
Toll
Brothers,
Inc.
470,641
1,241
Tractor
Supply
Company
38,186
270
Ulta
Beauty,
Inc.
b
138,464
28,376
Universal
Technical
Institute,
Inc.
b
1,115,461
3,653
Urban
Outfitters,
Inc.
b
270,980
3,490
Versigent
plc
b
144,312
1,627
Victoria's
Secret
&
Company
b
144,282
41,446
Viking
Holdings,
Ltd.
b
4,324,890
619
Visteon
Corporation
64,710
895
Williams-Sonoma,
Inc.
204,651
59,398
Wyndham
Hotels
&
Resorts,
Inc.
4,446,534
20,358
Wynn
Resorts,
Ltd.
2,021,753
2,373
YETI
Holdings,
Inc.
b
116,135
49
Yum!
Brands,
Inc.
7,511
Total
168,567,048
Consumer
Staples
0.9%
49,939
BellRing
Brands,
Inc.
b
618,744
800
BJ's
Wholesale
Club
Holdings,
Inc.
b
78,224
Shares
Common
Stock  29.7%
Value
Consumer
Staples
0.9%
-
continued
29,469
British
American
Tobacco
plc
ADR
$
1,787,295
1,133
Campbell's
Company
a
24,903
1,685
Casey's
General
Stores,
Inc.
1,467,635
318
Celsius
Holdings,
Inc.
b
9,289
5,748
Central
Garden
&
Pet
Company,
Class
A
b
217,907
17,332
Chefs'
Warehouse,
Inc.
b
1,999,246
575
Church
&
Dwight
Company,
Inc.
56,816
43,406
Coca-Cola
Company
3,801,932
7,938
Colgate-Palmolive
Company
724,739
18,216
Conagra
Brands,
Inc.
264,314
274
Constellation
Brands,
Inc.
35,683
788
Costco
Wholesale
Corporation
750,089
43,094
Darling
Ingredients,
Inc.
b
2,613,220
761
Dollar
General
Corporation
96,685
638
Dollar
Tree,
Inc.
b
81,160
109
Hershey
Company
19,080
2,301
Hormel
Foods
Corporation
57,548
395
Ingles
Markets,
Inc.
35,554
2,043
J.M.
Smucker
Company
243,648
8,587
John
B.
Sanfilippo
&
Son,
Inc.
710,660
200,847
Keurig
Dr
Pepper,
Inc.
6,250,359
2,814
Kraft
Heinz
Company
72,742
854
Maplebear,
Inc.
b
38,088
323
Marzetti
Company
34,519
25,379
PepsiCo,
Inc.
3,541,893
876
Performance
Food
Group
Company
b
100,206
1,916
Procter
&
Gamble
Company
276,843
19
Seaboard
Corporation
83,852
4,447
Smithfield
Foods,
Inc.
115,800
54
Sprouts
Farmers
Markets,
Inc.
b
4,707
101,039
Sysco
Corporation
8,612,564
226
Target
Corporation
32,655
31,963
Turning
Point
Brands,
Inc.
2,384,759
2,626
Tyson
Foods,
Inc.
152,203
122,474
Unilever
plc
ADR
7,766,076
1,445
US
Foods
Holding
Corporation
b
145,353
465
Vita
Coco
Company,
Inc.
b
30,662
54,629
Walmart,
Inc.
6,074,745
640
WD-40
Company
145,370
Total
51,557,767
Energy
1.4%
81,774
Antero
Midstream
Corporation
1,796,575
6,436
Antero
Resources
Corporation
b
232,597
1,432
APA
Corporation
53,442
843
Archrock,
Inc.
30,146
289
Baker
Hughes
Company
17,482
274
California
Resources
Corporation
14,418
2,885
Cheniere
Energy,
Inc.
760,399
25,628
Chevron
Corporation
5,044,359
2,622
Chord
Energy
Corporation
368,076
2,039
CNX
Resources
Corporation
b
72,996
93,414
ConocoPhillips
11,254,519
169,824
Devon
Energy
Corporation
7,664,157
25,549
DHT
Holdings,
Inc.
474,445
518
Diamondback
Energy,
Inc.
105,128
7,703
Dorian
LPG,
Ltd.
365,276
2,344
DT
Midstream,
Inc.
323,472
216,232
Enterprise
Products
Partners,
LP
8,227,628
6,982
EOG
Resources,
Inc.
1,038,154
1,433
EQT
Corporation
76,365
5,375
Expand
Energy
Corporation
505,411
125,455
ExxonMobil
Holdings
Corporation
19,500,725
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
138
Shares
Common
Stock  29.7%
Value
Energy
1.4%
-
continued
2,834
Gulfport
Energy
Corporation
b
$
457,323
159,239
Halliburton
Company
5,135,458
897
Hess
Midstream,
LP
36,625
6,872
HF
Sinclair
Corporation
628,582
8,591
Kinder
Morgan,
Inc.
276,458
2,279
Kodiak
Gas
Services,
Inc.
133,800
20,462
Marathon
Petroleum
Corporation
6,475,609
20,286
Matador
Resources
Company
1,012,069
3,671
Occidental
Petroleum
Corporation
209,504
483
Oceaneering
International,
Inc.
b
23,561
270
ONEOK,
Inc.
24,519
7,140
Ovintiv,
Inc.
445,964
464
Par
Pacific
Holdings,
Inc.
b
39,918
101,857
Patterson-UTI
Energy,
Inc.
1,067,461
1,879
PBF
Energy,
Inc.
135,814
138,411
Permian
Resources
Corporation
2,949,538
1,430
Phillips
66
302,702
2,855
Range
Resources
Corporation
114,600
1,115
Scorpio
Tankers,
Inc.
86,814
6,354
SM
Energy
Company
206,632
11,479
Talos
Energy,
Inc.
b
174,251
30,632
TechnipFMC
plc
2,195,089
774
Teekay
Tankers,
Ltd.
61,432
34,908
Transocean,
Ltd.
b
185,711
87
Valero
Energy
Corporation
27,222
1,698
Viper
Energy,
Inc.
75,748
Total
80,408,174
Financials
4.2%
514
Acadian
Asset
Management,
Inc.
44,456
4,466
Affiliated
Managers
Group,
Inc.
1,637,816
1,312
Affirm
Holdings,
Inc.
b
93,821
9,595
AGNC
Investment
Corporation
102,283
14,041
Allstate
Corporation
3,707,947
30,434
Ally
Financial,
Inc.
1,318,705
9,757
American
Express
Company
3,280,791
7,139
American
Financial
Group,
Inc.
1,011,739
71,102
American
International
Group,
Inc.
5,587,195
2,289
Ameriprise
Financial,
Inc.
1,249,428
578
Ameris
Bancorp
50,407
15,463
Arch
Capital
Group,
Ltd.
b
1,554,495
27,808
Associated
Banc-Corp
858,711
691
Assurant,
Inc.
192,920
2,020
Assured
Guaranty,
Ltd.
167,094
14,102
Atlantic
Union
Bankshares
Corporation
598,348
1,056
Avidia
Bancorp,
Inc.
23,549
1,950
Axis
Capital
Holdings,
Ltd.
205,374
9,682
Banc
of
California,
Inc.
185,410
292,323
Bank
of
America
Corporation
18,109,410
2,364
Bank
of
Marin
Bancorp
68,934
160
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
9,806
59,914
Bank
of
New
York
Mellon
Corporation
9,366,356
927
Bank
OZK
47,555
2,883
BankUnited,
Inc.
134,492
1,829
Banner
Corporation
128,780
1,824
Bar
Harbor
Bankshares
72,431
1,313
BayCom
Corporation
39,626
25,095
Beacon
Financial
Corporation
790,743
21,842
Berkshire
Hathaway,
Inc.
b
11,173,057
102,438
BGC
Group,
Inc.
1,180,086
3,487
BlackRock,
Inc.
3,802,190
1,797
Bladex,
Inc.
105,214
383
Block,
Inc.
b
31,115
Shares
Common
Stock  29.7%
Value
Financials
4.2%
-
continued
7,242
Blue
Owl
Capital,
Inc.
$
74,593
469
Bread
Financial
Holdings,
Inc.
50,685
24,882
Bridgewater
Bancshares,
Inc.
b
509,583
21,211
Byline
Bancorp,
Inc.
832,956
569
C&F
Financial
Corporation
a
46,994
50,742
Capital
One
Financial
Corporation
10,605,585
186
Cathay
General
Bancorp
11,753
109
Central
Pacific
Financial
Corporation
4,295
107,800
Charles
Schwab
Corporation
11,344,872
392
Chemung
Financial
Corporation
31,944
2,042
ChoiceOne
Financial
Services,
Inc.
69,489
17,396
Chubb,
Ltd.
6,100,429
34
Cincinnati
Financial
Corporation
6,041
19,543
Citigroup,
Inc.
2,588,470
2,167
Citizens
Financial
Group,
Inc.
155,266
457
Citizens
Financial
Services,
Inc.
35,427
2,873
Civista
Bancshares,
Inc.
83,489
5,435
CNB
Financial
Corporation
190,768
6,565
CNO
Financial
Group,
Inc.
361,666
2,026
Colony
Bankcorp,
Inc.
44,410
10,742
Columbia
Banking
System,
Inc.
335,902
1,468
Commerce
Bancshares,
Inc.
87,008
59
Community
Financial
System,
Inc.
3,824
6,353
Community
Trust
Bancorp,
Inc.
498,393
8,351
ConnectOne
Bancorp,
Inc.
275,082
48
Corpay,
Inc.
b
18,341
822
Cullen/Frost
Bankers,
Inc.
136,731
10,191
Customers
Bancorp,
Inc.
b
801,828
5,141
Dynex
Capital,
Inc.
65,342
1,595
Eagle
Bancorp
Montana,
Inc.
37,371
7,316
East
West
Bancorp,
Inc.
958,396
1,396
Eastern
Bankshares,
Inc.
32,052
597
Encore
Capital
Group,
Inc.
b
56,166
6,737
Enova
International,
Inc.
b
1,712,141
891
Equity
Bancshares,
Inc.
45,156
14,021
Essent
Group,
Ltd.
924,825
755
Euronet
Worldwide,
Inc.
b
53,854
674
Evercore,
Inc.
216,057
8,565
F.N.B.
Corporation
161,879
2,429
Farmers
&
Merchants
Bancorp,
Inc./Archbold,
OH
81,031
2,707
Farmers
National
Banc
Corporation
42,933
3,934
Federal
Agricultural
Mortgage
Corporation
895,378
3,936
Federated
Hermes,
Inc.
236,003
659
Fidelity
National
Financial,
Inc.
33,998
2,490
Fidelity
National
Information
Services,
Inc.
111,477
2,473
Fifth
Third
Bancorp
139,725
5,375
Financial
Institutions,
Inc.
222,848
10,059
First
American
Financial
Corporation
754,324
921
First
Bancorp/Puerto
Rico
26,645
4,175
First
Bank/Hamilton,
NJ
77,363
4,168
First
Busey
Corporation
128,624
15
First
Citizens
BancShares,
Inc./NC
32,800
688
First
Financial
Bankshares,
Inc.
24,176
279
First
Hawaiian,
Inc.
7,753
10,751
First
Horizon
Corporation
275,656
3,121
First
Merchants
Corporation
134,640
1,501
First
Mid-Illinois
Bancshares,
Inc.
78,187
138
FirstCash
Holdings,
Inc.
28,153
3,317
Fiserv,
Inc.
b
178,919
1,404
Flagstar
Bank
NA
19,965
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
139
Shares
Common
Stock  29.7%
Value
Financials
4.2%
-
continued
1,409
Flywire
Corporation
b
$
22,558
410
Franklin
Resources,
Inc.
13,883
1,937
Fulton
Financial
Corporation
47,127
129,134
Genworth
Financial,
Inc.
b
1,269,387
1,050
Glacier
Bancorp,
Inc.
51,755
737
Global
Life,
Inc.
134,318
456
Global
Payments,
Inc.
38,340
7,853
Goosehead
Insurance,
Inc.
b
486,886
1,260
Hamilton
Insurance
Group,
Ltd.
45,310
789
Hamilton
Lane,
Inc.
70,150
736
Hancock
Whitney
Corporation
56,672
14,688
Hanmi
Financial
Corporation
468,253
872
Hanover
Bancorp,
Inc.
22,886
399
Hanover
Insurance
Group,
Inc.
92,819
2,946
Happen,
Inc.
b
56,386
891
Hartford
Insurance
Group,
Inc.
126,442
2,731
Hilltop
Holdings,
Inc.
107,711
1,579
Home
BancShares,
Inc.
49,060
5,853
Hometrust
Bancshares,
Inc.
299,615
4,848
Horizon
Bancorp,
Inc.
99,142
7,081
Houlihan
Lokey,
Inc.
888,595
175,025
Huntington
Bancshares,
Inc./OH
2,982,426
806
Independent
Bank
Corporation/MA
67,567
6,461
Independent
Bank
Corporation/MI
246,810
380
Interactive
Brokers
Group,
Inc.
33,436
57,025
Intercontinental
Exchange,
Inc.
8,695,172
2,019
International
Bancshares
Corporation
154,534
5,724
Invesco,
Ltd.
169,430
2,125
Investar
Holding
Corporation
64,005
2,566
Jackson
Financial,
Inc.
313,770
2,628
Jefferies
Financial
Group,
Inc.
143,489
68,768
JPMorgan
Chase
&
Company
24,191,895
9,992
Kearny
Financial
Corporation/MD
95,823
7,706
Kemper
Corporation
218,696
5,268
KeyCorp
119,004
1,976
Lazard,
Inc.
83,743
2,713
Lincoln
National
Corporation
123,740
964
Loews
Corporation
111,834
1,823
M&T
Bank
Corporation
448,987
5,585
Marex
Group,
Ltd.
362,578
95
Markel
Group,
Inc.
b
178,822
754
MarketAxess
Holdings,
Inc.
122,374
3,450
Marsh
&
McLennan
Companies,
Inc.
654,431
6,963
Mastercard,
Inc.
3,990,495
2,949
Mercury
General
Corporation
315,897
58,450
MetLife,
Inc.
5,618,799
36,618
MGIC
Investment
Corporation
1,100,005
1,159
Miami
International
Holdings,
Inc.
b
54,519
75,266
Morgan
Stanley
15,837,472
1,260
Morningstar,
Inc.
242,638
13,212
Nasdaq,
Inc.
1,244,438
1,174
National
Bankshares,
Inc.
47,664
2,550
NBT
Bancorp,
Inc.
134,258
5,286
Neptune
Insurance
Holdings,
Inc.
b
167,619
2,530
NerdWallet,
Inc.
b
22,770
20,086
NMI
Holdings,
Inc.
b
889,810
2,725
Northeast
Community
Bancorp,
Inc.
72,758
2,879
Northern
Trust
Corporation
524,525
3,633
Northpointe
Bancshares,
Inc.
63,578
7,822
Northwest
Bancshares,
Inc.
123,118
2,530
OFG
Bancorp
133,736
64,439
Old
National
Bancorp
1,716,655
Shares
Common
Stock  29.7%
Value
Financials
4.2%
-
continued
31,382
Old
Republic
International
Corporation
$
1,356,016
30,882
Old
Second
Bancorp,
Inc.
781,006
3,430
OneMain
Holdings,
Inc.
214,649
9,240
Oportun
Financial
Corporation
b
51,190
425
Orange
County
Bancorp,
Inc.
16,256
8,629
Orrstown
Financial
Services,
Inc.
368,717
17,114
Oscar
Health,
Inc.
b
534,299
883
Palomar
Holdings,
Inc.
b
118,137
2,269
Parke
Bancorp,
Inc.
77,486
1,398
Paymentus
Holdings,
Inc.
b
47,672
1,534
PayPal
Holdings,
Inc.
87,760
1,734
PCB
Bancorp
48,327
340
Peoples
Bancorp
of
North
Carolina,
Inc.
14,620
3,496
Pinnacle
Financial
Partners,
Inc.
367,884
1,260
Piper
Sandler
Companies
95,508
623
PNC
Financial
Services
Group,
Inc.
155,669
2,109
Popular,
Inc.
369,518
3,302
Prosperity
Bancshares,
Inc.
247,221
4,365
Provident
Financial
Services,
Inc.
107,728
1,484
Prudential
Financial,
Inc.
181,167
8,319
Radian
Group,
Inc.
324,358
1,387
RBB
Bancorp
36,575
1,915
Regions
Financial
Corporation
59,269
8,065
Reinsurance
Group
of
America,
Inc.
1,910,195
1,174
RenaissanceRe
Holdings,
Ltd.
375,657
413
Renasant
Corporation
17,994
503
RLI
Corporation
30,804
28,300
Robinhood
Markets,
Inc.
b
2,449,648
5,400
Rocket
Companies,
Inc.
b
69,660
78
S&P
Global,
Inc.
32,131
40,720
SEI
Investments
Company
4,193,346
574
Selective
Insurance
Group,
Inc.
54,409
274
ServisFirst
Bancshares,
Inc.
24,523
18,626
Simmons
First
National
Corporation
439,387
8,039
SouthState
Bank
Corporation
844,819
1,471
Starwood
Property
Trust,
Inc.
23,507
1,534
State
Street
Corporation
282,501
6,558
Stifel
Financial
Corporation
543,724
11,174
Stock
Yards
Bancorp,
Inc.
950,907
6,375
StoneX
Group,
Inc.
b
488,134
277
Texas
Capital
Bancshares,
Inc.
27,381
1,619
Third
Coast
Bancshares,
Inc.
b
70,977
1,135
Timberland
Bancorp,
Inc./WA
50,882
3,203
Toast,
Inc.
b
103,361
1,072
Tompkins
Financial
Corporation
107,028
3,227
Towne
Bank/Portsmouth,
VA
122,336
1,583
TPG
RE
Finance
Trust,
Inc.
12,617
1,447
TPG,
Inc.
63,176
1,265
Tradeweb
Markets,
Inc.
127,133
30,163
Triumph
Financial,
Inc.
b
2,290,277
23,109
Truist
Financial
Corporation
1,197,971
8,617
U.S.
Bancorp
542,957
1,532
UMB
Financial
Corporation
223,258
1,411
United
Bankshares,
Inc.
68,363
16,305
United
Community
Banks,
Inc.
577,849
702
Unity
Bancorp,
Inc.
41,341
5,889
Universal
Insurance
Holdings,
Inc.
257,408
1,030
Univest
Financial
Corporation
45,567
5,617
Unum
Group
483,680
38,942
Valley
National
Bancorp
556,481
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
140
Shares
Common
Stock  29.7%
Value
Financials
4.2%
-
continued
2,915
Virtu
Financial,
Inc.
$
171,198
24,828
Visa,
Inc.
9,090,276
947
Voya
Financial,
Inc.
94,160
190,439
Wells
Fargo
&
Company
16,463,452
3,983
WesBanco,
Inc.
164,817
2,193
West
Bancorporation,
Inc.
61,514
3,999
Western
Alliance
Bancorp
321,880
11,771
Western
Union
Company
74,864
189
WEX,
Inc.
b
35,335
5,437
Wintrust
Financial
Corporation
867,419
1,728
WisdomTree,
Inc.
33,471
585
WSFS
Financial
Corporation
46,917
16,741
Zions
Bancorp
NA
1,166,848
Total
240,315,132
Health
Care
3.5%
28,054
AbbVie,
Inc.
7,039,871
4,389
Acadia
Healthcare
Company,
Inc.
b
130,002
3,925
Adaptive
Biotechnologies
Corporation
b
88,587
20,247
Agilent
Technologies,
Inc.
2,801,577
985
Agios
Pharmaceuticals,
Inc.
b
29,570
628
Align
Technology,
Inc.
b
106,232
34,368
Alignment
Healthcare,
Inc.
b
510,365
16,813
Amgen,
Inc.
6,475,695
2,032
Anika
Therapeutics,
Inc.
b
39,177
3,082
Arcus
Biosciences,
Inc.
b
86,882
1,085
Argenx
SE
ADR
b
926,395
43,237
Avantor,
Inc.
b
595,806
632
Azenta,
Inc.
b
17,778
105
Becton,
Dickinson
and
Company
17,390
22,660
BioLife
Solutions,
Inc.
b
708,805
18,990
BioMarin
Pharmaceutical,
Inc.
b
1,139,780
236
Bio-Rad
Laboratories,
Inc.
b
76,813
58,289
Boston
Scientific
Corporation
b
2,723,845
8,781
BridgeBio
Pharma,
Inc.
b
703,270
34,005
BrightSpring
Health
Services,
Inc.
b
2,030,439
45,622
Bristol-Myers
Squibb
Company
2,979,573
404
Bruker
Corporation
25,387
482
Cardinal
Health,
Inc.
110,874
15,235
Cencora,
Inc.
4,743,265
1,720
Centene
Corporation
b
107,018
926
Charles
River
Laboratories
International,
Inc.
b
215,304
2,995
Chemed
Corporation
1,594,089
28,907
Cigna
Group
8,066,498
20,549
Concentra
Group
Holdings
Parent,
Inc.
650,376
5,137
Cooper
Companies,
Inc.
b
371,508
11,094
CVS
Health
Corporation
1,158,546
31,512
Danaher
Corporation
6,144,210
2,879
Denali
Therapeutics,
Inc.
b
66,275
7,158
Dentsply
Sirona,
Inc.
95,702
4,342
Dexcom,
Inc.
b
362,340
4,168
Doximity,
Inc.
b
87,153
2,485
Edwards
Lifesciences
Corporation
b
213,884
29,101
Elanco
Animal
Health,
Inc.
b
767,393
1,282
Elevance
Health,
Inc.
481,827
9,966
Eli
Lilly
&
Company
11,449,339
18,152
Encompass
Health
Corporation
2,016,143
5,235
Enovis
Corporation
b
152,600
1,152
Envista
Holdings
Corporation
b
31,461
4,579
Exelixis,
Inc.
b
242,824
8,288
Fortrea
Holdings,
Inc.
b
158,881
Shares
Common
Stock  29.7%
Value
Health
Care
3.5%
-
continued
1,938
Fulcrum
Therapeutics,
Inc.
b
$
6,938
382
GE
HealthCare
Technologies,
Inc.
25,984
7,158
GeneDx
Holdings
Corporation
b
466,057
37,514
Gilead
Sciences,
Inc.
4,884,698
2,015
Globus
Medical,
Inc.
b
158,762
8,337
Guardant
Health,
Inc.
b
1,350,511
10,584
Harmony
Biosciences
Holdings,
Inc.
b
372,980
670
Henry
Schein,
Inc.
b
57,452
114
Humana,
Inc.
41,480
33,028
ICON
plc
b
5,402,225
3,914
ICU
Medical,
Inc.
b
659,548
2,413
IDEXX
Laboratories,
Inc.
b
1,349,036
3,841
Illumina,
Inc.
b
787,789
1,737
Innoviva,
Inc.
b
36,425
1,363
Insmed,
Inc.
b
134,392
3,819
Insulet
Corporation
b
631,472
2,891
Integra
LifeSciences
Holdings
Corporation
b
48,135
14,963
Intuitive
Surgical,
Inc.
b
5,286,877
9,466
Ionis
Pharmaceuticals,
Inc.
b
490,055
782
IQVIA
Holding,
Inc.
b
183,786
8,720
Janux
Therapeutics,
Inc.
b
132,282
8,914
Jazz
Pharmaceuticals,
Inc.
b
2,253,994
78,420
Johnson
&
Johnson
20,102,967
474
Kiniksa
Pharmaceuticals
International
plc
b
35,237
30,001
Labcorp
Holdings,
Inc.
9,276,309
17,744
LivaNova
plc
b
1,422,004
572
Medline,
Inc.
b
22,468
5,043
Medpace
Holdings,
Inc.
b
2,910,366
49,090
Medtronic
plc
4,191,795
127,336
Merck
&
Company,
Inc.
16,579,147
469
Merit
Medical
Systems,
Inc.
b
39,870
673
Mesa
Laboratories,
Inc.
67,845
305
Mettler-Toledo
International,
Inc.
b
431,971
5,626
Mirum
Pharmaceuticals,
Inc.
b
596,075
856
Moderna,
Inc.
b
46,926
3,852
Natera,
Inc.
b
1,031,412
10,039
Neogen
Corporation
b
120,870
37,782
Neurocrine
Biosciences,
Inc.
b
6,302,038
565
Option
Care
Health,
Inc.
b
13,012
31,000
Pfizer,
Inc.
775,310
940
Prestige
Consumer
Healthcare,
Inc.
b
47,207
17,972
Progyny,
Inc.
b
559,468
3,635
QIAGEN
NV
150,489
124
Quest
Diagnostics,
Inc.
28,893
15,813
RadNet,
Inc.
b
1,008,553
6,475
Regeneron
Pharmaceuticals,
Inc.
4,938,029
13,804
Repligen
Corporation
b
1,946,502
492
Revolution
Medicines,
Inc.
b
92,265
641
Roivant
Sciences,
Ltd.
b
21,736
94,500
Royalty
Pharma
plc
5,521,635
7,662
Sarepta
Therapeutics,
Inc.
b
113,857
19,502
Sotera
Health
Company
b
348,306
451
STERIS
plc
103,008
8,860
Stryker
Corporation
2,885,702
3,250
Tenet
Healthcare
Corporation
b
828,035
1,529
Thermo
Fisher
Scientific,
Inc.
878,105
18,790
Twist
Bioscience
Corporation
b
1,720,224
7,202
UFP
Technologies,
Inc.
b
1,834,926
2,808
United
Therapeutics
Corporation
b
1,453,730
28,740
UnitedHealth
Group,
Inc.
11,909,856
1,667
Vaxcyte,
Inc.
b
90,151
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
141
Shares
Common
Stock  29.7%
Value
Health
Care
3.5%
-
continued
1,711
Veeva
Systems,
Inc.
b
$
348,668
14,481
Vericel
Corporation
b
665,547
20,625
Viatris,
Inc.
362,175
673
Viemed
Healthcare,
Inc.
b
7,854
7,460
Vir
Biotechnology,
Inc.
b
64,604
183
Waters
Corporation
b
69,048
52,539
Waystar
Holding
Corporation
b
1,109,098
3,925
West
Pharmaceutical
Services,
Inc.
1,338,268
1,293
Xenon
Pharmaceuticals,
Inc.
b
81,032
60,407
Zimmer
Biomet
Holdings,
Inc.
5,674,030
Total
203,468,250
Industrials
3.8%
15,505
3M
Company
2,733,221
7,926
AAON,
Inc.
705,890
4,035
Acuity,
Inc.
1,325,054
16,733
Advanced
Drainage
Systems,
Inc.
2,317,186
1,090
AECOM
78,905
326
AGCO
Corporation
33,304
41,996
Allegheny
Technologies,
Inc.
b
7,871,730
1,130
Allegion
plc
177,862
481
Allison
Transmission
Holdings,
Inc.
55,094
96,891
Amentum
Holdings,
Inc.
b
2,150,980
593
American
Superconductor
Corporation
b
17,416
13,751
AMETEK,
Inc.
3,323,754
3,375
APi
Group
Corporation
b
133,920
6,998
Applied
Industrial
Technologies,
Inc.
2,415,780
2,234
Armstrong
World
Industries,
Inc.
390,190
6,891
Atmus
Filtration
Technologies,
Inc.
355,782
1,957
Axon
Enterprise,
Inc.
b
1,032,826
366
AZZ,
Inc.
52,968
10,556
Badger
Infrastructure
Solutions,
Ltd.
669,120
18,297
Barrett
Business
Services,
Inc.
714,315
1,950
Bloom
Energy
Corporation
b
401,330
1,713
Brady
Corporation
161,485
1,808
BrightView
Holdings,
Inc.
b
23,576
123
Brink's
Company
14,569
607
Broadridge
Financial
Solutions,
Inc.
93,448
2,867
Builders
FirstSource,
Inc.
b
190,483
3,833
BWX
Technologies,
Inc.
646,627
1,138
C.H.
Robinson
Worldwide,
Inc.
168,117
97
CACI
International,
Inc.
b
48,282
7,971
Caterpillar,
Inc.
6,494,851
14,719
CECO
Environmental
Corporation
b
969,835
17,759
Clean
Harbors,
Inc.
b
5,556,436
667,774
CNH
Industrial
NV
6,844,684
1,748
Concentrix
Corporation
a
43,001
5,854
Construction
Partners,
Inc.
b
605,011
44,457
Copart,
Inc.
b
1,294,588
3,579
CRA
International,
Inc.
640,748
8,828
Crane
Company
1,884,425
3,880
CSW
Industrials,
Inc.
1,237,448
243,830
CSX
Corporation
12,289,032
2,295
Cummins,
Inc.
1,455,489
5,592
Curtiss-Wright
Corporation
4,048,608
78,013
Delta
Air
Lines,
Inc.
6,821,457
3,282
Donaldson
Company,
Inc.
309,296
137
Dycom
Industries,
Inc.
b
54,947
7,462
Eaton
Corporation
plc
3,098,222
5,136
EMCOR
Group,
Inc.
4,095,600
Shares
Common
Stock  29.7%
Value
Industrials
3.8%
-
continued
1,307
Enerpac
Tool
Group
Corporation
$
46,712
717
EnerSys
133,398
4,056
EnPro,
Inc.
1,273,260
541
Equifax,
Inc.
93,387
3,018
ESCO
Technologies,
Inc.
951,545
3,436
ExlService
Holdings,
Inc.
b
116,583
102,895
Fastenal
Company
4,909,120
5,254
Federal
Signal
Corporation
656,487
2,486
Ferguson
Enterprises,
Inc.
582,544
87,113
Flowserve
Corporation
6,619,717
17,308
Fluor
Corporation
b
868,342
597
Fortive
Corporation
35,348
3,323
Fortune
Brands
Innovations,
Inc.
163,691
5,656
FTAI
Aviation,
Ltd.
1,165,136
4,493
Gates
Industrial
Corporation,
Ltd.
b
125,714
264
GATX
Corporation
47,222
3,362
GE
Vernova,
Inc.
3,329,355
87
Generac
Holdings,
Inc.
b
17,149
25,096
General
Dynamics
Corporation
9,622,308
29,213
General
Electric
Company
10,518,725
2,207
Genpact,
Ltd.
77,620
4,983
Graco,
Inc.
395,551
902
HEICO
Corporation
232,067
9,617
Helios
Technologies,
Inc.
749,260
5,500
Herc
Holdings,
Inc.
825,770
53,814
Hexcel
Corporation
5,540,151
23,012
Honeywell
Aerospace,
Inc.
b
4,757,501
17,678
Honeywell
International,
Inc.
4,296,638
7,008
Howmet
Aerospace,
Inc.
1,978,078
55
Hubbell,
Inc.
25,990
261
Huntington
Ingalls
Industries,
Inc.
85,203
2,658
IDEX
Corporation
612,536
1,306
IES
Holdings,
Inc.
b
972,369
438
Ingersoll
Rand,
Inc.
36,520
2,903
Innodata,
Inc.
b
182,396
1,150
ITT
Corporation
225,377
28,149
Jacobs
Solutions,
Inc.
3,798,145
21,133
JB
Hunt
Transport
Services,
Inc.
5,742,893
12,926
Johnson
Controls
International
plc
1,895,727
8,442
Kirby
Corporation
b
1,107,084
1,311
Knight-Swift
Transportation
Holdings,
Inc.
91,154
8,485
Korn
Ferry
698,061
20,866
L3Harris
Technologies,
Inc.
5,781,134
546
Landstar
System,
Inc.
95,424
286
Leidos
Holdings,
Inc.
33,062
13,228
Limbach
Holdings,
Inc.
b
948,448
6,117
Lincoln
Electric
Holdings,
Inc.
1,598,433
253
Liquidity
Services,
Inc.
b
9,862
10,414
Louisiana-Pacific
Corporation
754,286
2,503
Lyft,
Inc.
b
39,698
313
Masco
Corporation
22,373
35
MasTec,
Inc.
b
9,209
664
Maximus,
Inc.
40,006
2,024
McGrath
RentCorp
233,064
18,276
Mercury
Systems,
Inc.
b
1,774,600
2,008
Middleby
Corporation
b
268,229
1,912
Midera
Food
Processing,
Inc.
b
91,680
4,655
MillerKnoll,
Inc.
104,831
5,458
Modine
Manufacturing
Company
b
1,097,385
4,969
Moog,
Inc.
1,937,165
11,061
Mueller
Industries,
Inc.
734,561
24,372
Mueller
Water
Products,
Inc.
615,149
106
MYR
Group,
Inc.
b
35,321
1,973
Nextpower,
Inc.
b
177,314
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
142
Shares
Common
Stock  29.7%
Value
Industrials
3.8%
-
continued
99
Nordson
Corporation
$
29,480
47,147
NPK
International,
Inc.
b
588,866
5,739
nVent
Electric
plc
882,830
2,621
NWPX
Infrastructure,
Inc.
b
322,593
5,402
Old
Dominion
Freight
Line,
Inc.
1,145,980
2,137
OPENLANE,
Inc.
b
84,967
2,135
Otis
Worldwide
Corporation
153,613
957
Owens
Corning,
Inc.
132,927
6,699
Parker-Hannifin
Corporation
6,541,774
308
Paychex,
Inc.
35,987
560
Paylocity
Holding
Corporation
b
77,221
753
Pentair
plc
49,276
2,598
Powell
Industries,
Inc.
542,151
1,397
Proto
Labs,
Inc.
b
104,845
2,223
Quanta
Services,
Inc.
1,483,541
5,997
RBC
Bearings,
Inc.
b
3,306,206
979
Regal
Rexnord
Corporation
200,920
5,569
Republic
Services,
Inc.
1,172,553
3,199
Rockwell
Automation,
Inc.
1,535,776
31,365
RTX
Corporation
6,750,375
772
Ryder
System,
Inc.
197,956
1,125
Saia,
Inc.
b
391,084
1,004
Science
Applications
International
Corporation
117,599
4,092
Sensata
Technologies
Holding
plc
189,419
446
SkyWest,
Inc.
b
47,709
527
SPX
Technologies,
Inc.
b
115,740
4,055
SS&C
Technologies
Holdings,
Inc.
312,438
3,122
Standex
International
Corporation
925,673
1,416
Stanley
Black
&
Decker,
Inc.
133,925
390
Sterling
Construction
Company,
Inc.
b
232,740
488
Sunbelt
Rentals
Holdings,
Inc.
35,097
5,868
Terex
Corporation
368,745
2,028
Tetra
Tech,
Inc.
67,248
358
Textron,
Inc.
30,523
4,127
Timken
Company
567,669
35,434
Toro
Company
3,255,322
104
Trane
Technologies
plc
47,315
9,133
Transcat,
Inc.
b
779,684
1,651
Trex
Company,
Inc.
b
71,587
35,861
Uber
Technologies,
Inc.
b
2,523,180
355
U-Haul
Holding
Company
b
25,173
2,906
UL
Solutions,
Inc.
266,306
1,069
United
Airlines
Holdings,
Inc.
b
129,702
468
United
Rentals,
Inc.
505,094
924
Upwork,
Inc.
b
8,464
3,224
V2X,
Inc.
b
290,934
3,088
Valmont
Industries,
Inc.
1,487,490
1,778
Veralto
Corporation
167,434
6,132
Verisk
Analytics,
Inc.
1,194,820
843
Verra
Mobility
Corporation
b
4,459
5,219
Vertiv
Holdings
Company
1,260,754
2,919
Vestis
Corporation
b
42,209
32
Vicor
Corporation
b
6,636
681
Wabtec
Corporation
198,076
131
Watts
Water
Technologies,
Inc.
45,299
2,107
WESCO
International,
Inc.
723,733
5,963
Willdan
Group,
Inc.
b
408,644
6,012
Woodward,
Inc.
2,168,829
158
XPO,
Inc.
b
31,753
1,406
Xylem,
Inc.
164,460
Shares
Common
Stock  29.7%
Value
Industrials
3.8%
-
continued
3,469
Zurn
Elkay
Water
Solutions
Corporation
$
175,219
Total
222,907,982
Information
Technology
7.9%
7,895
Adobe,
Inc.
b
1,976,987
23,909
Advanced
Micro
Devices,
Inc.
b
11,384,270
1,748
Akamai
Technologies,
Inc.
b
201,335
1,501
Ambarella,
Inc.
b
129,086
4,758
Amkor
Technology,
Inc.
237,281
70,411
Amphenol
Corporation
11,315,048
17,286
Analog
Devices,
Inc.
6,351,049
189,920
Apple,
Inc.
58,668,187
27,984
Applied
Materials,
Inc.
14,206,637
48,655
Arista
Networks,
Inc.
b
8,774,929
1,764
Arrow
Electronics,
Inc.
b
382,029
192
Astera
Labs,
Inc.
b
59,756
495
Atlassian
Corporation
b
50,002
12,455
Autodesk,
Inc.
b
2,916,961
4,019
Avnet,
Inc.
357,048
1,074
Blackbaud,
Inc.
b
45,967
64,720
Broadcom,
Inc.
25,194,202
11,493
Cadence
Design
Systems,
Inc.
b
3,907,850
18,411
CCC
Intelligent
Solutions
Holdings,
Inc.
b
112,123
1,640
Celestica,
Inc.
b
543,562
555
Circle
Internet
Group,
Inc.
b
34,749
1,922
Cirrus
Logic,
Inc.
b
248,611
143,091
Cisco
Systems,
Inc.
16,597,125
10,655
Clear
Secure,
Inc.
588,582
5,215
Cloudflare,
Inc.
b
1,454,881
21,855
Cognex
Corporation
1,425,820
949
Cognizant
Technology
Solutions
Corporation
52,527
2,628
Coherent
Corporation
b
690,875
7,646
Cohu,
Inc.
b
366,932
328
CommVault
Systems,
Inc.
b
38,638
9,281
Crane
NXT
Company
482,148
6,479
Credo
Technology
Group
Holding,
Ltd.
b
1,341,088
1,880
CrowdStrike
Holdings,
Inc.
b
358,817
141
CTS
Corporation
9,041
5,251
Datadog,
Inc.
b
1,407,110
9,497
DigitalOcean
Holdings,
Inc.
b
1,115,898
1,041
Diodes,
Inc.
b
85,695
17,024
DocuSign,
Inc.
b
933,426
2,304
Enphase
Energy,
Inc.
b
86,492
223
Entegris,
Inc.
26,548
1,599
EPAM
Systems,
Inc.
b
168,790
3,588
Everforth,
Inc.
b
102,043
346
F5,
Inc.
b
139,289
3,556
Fabrinet
b
1,548,318
2,173
Figma,
Inc.
b
52,847
2,250
Flex,
Ltd.
b
255,938
46,282
Fortinet,
Inc.
b
7,495,370
5,015
Globant
SA
a,b
183,549
737
GoDaddy,
Inc.
b
60,979
17,357
GPGI,
Inc.
229,112
17,912
Guidewire
Software,
Inc.
b
2,721,549
5,108
Hewlett
Packard
Enterprise
Company
244,673
257
HubSpot,
Inc.
b
61,002
903
Ichor
Holdings,
Ltd.
b
67,969
3,710
Ingram
Micro
Holding
Corporation
104,659
1,142
Insight
Enterprises,
Inc.
b
147,238
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
143
Shares
Common
Stock  29.7%
Value
Information
Technology
7.9%
-
continued
23,918
Intel
Corporation
b
$
2,157,404
2,308
InterDigital,
Inc.
703,536
12,255
International
Business
Machines
Corporation
2,740,831
3,298
Intuit,
Inc.
1,042,399
9,166
IPG
Photonics
Corporation
b
779,660
41,949
JFrog,
Ltd.
b
3,347,111
11,741
Keysight
Technologies,
Inc.
b
3,746,318
32,545
Knowles
Corporation
b
1,190,822
1,632
Kulicke
and
Soffa
Industries,
Inc.
145,574
32,942
Lam
Research
Corporation
9,652,665
13,033
Lattice
Semiconductor
Corporation
b
1,619,611
6,757
Littelfuse,
Inc.
2,987,472
630
Lumentum
Holdings,
Inc.
b
449,782
4,502
MACOM
Technology
Solutions
Holdings,
Inc.
b
1,131,983
5,679
Manhattan
Associates,
Inc.
b
1,086,733
387
MaxLinear,
Inc.
b
25,859
1,843
Microchip
Technology,
Inc.
136,916
18,283
Micron
Technology,
Inc.
15,047,458
138,883
Microsoft
Corporation
64,541,708
4,029
MKS,
Inc.
1,198,426
166
MongoDB,
Inc.
b
56,022
1,809
Monolithic
Power
Systems,
Inc.
2,579,688
4,708
Motorola
Solutions,
Inc.
2,051,511
1,276
Napco
Security
Technologies,
Inc.
47,314
240
NetApp,
Inc.
42,840
2,491
NetScout
Systems,
Inc.
b
101,309
37,496
Nokia
Oyj
ADR
342,713
3,923
Novanta,
Inc.
b
559,224
4,614
Nutanix,
Inc.
b
272,272
363,209
NVIDIA
Corporation
72,914,207
1,631
NXP
Semiconductors
NV
373,760
889
Okta,
Inc.
b
126,176
916
ON
Semiconductor
Corporation
b
74,755
6,412
Onto
Innovation,
Inc.
b
1,658,015
27,566
Oracle
Corporation
3,579,996
27,068
Palantir
Technologies,
Inc.
b
3,330,988
1,713
PC
Connection,
Inc.
143,412
15,787
Pegasystems,
Inc.
482,293
2,806
Plexus
Corporation
b
705,260
539
PTC,
Inc.
b
73,951
373
Q2
Holdings,
Inc.
b
22,705
794
Qnity
Electronics,
Inc.
104,157
50,687
Qualcomm,
Inc.
7,481,908
11,399
Rambus,
Inc.
b
1,037,651
287
Rigetti
Computing,
Inc.
b
4,291
3,842
Rogers
Corporation
b
474,372
384
Roper
Industries,
Inc.
150,516
111,502
SailPoint,
Inc.
b
1,869,889
3,814
Salesforce,
Inc.
701,852
90,015
Samsung
Electronics
Company,
Ltd.
15,667,545
1,829
SanDisk
Corporation
b
2,221,924
552
Sanmina
Corporation
b
102,429
36,113
ServiceNow,
Inc.
b
4,016,849
2,813
SiTime
Corporation
b
1,505,518
2,547
Skyworks
Solutions,
Inc.
158,627
11,054
Snowflake,
Inc.
b
3,241,917
5,351
Synopsys,
Inc.
b
2,080,255
10,476
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
ADR
4,234,923
44,794
TD
SYNNEX
Corporation
11,453,826
177
TE
Connectivity
plc
36,407
Shares
Common
Stock  29.7%
Value
Information
Technology
7.9%
-
continued
108
Teledyne
Technologies,
Inc.
b
$
70,802
1,614
Tenable
Holdings,
Inc.
b
52,681
1,329
Teradyne,
Inc.
488,660
23,404
Texas
Instruments,
Inc.
6,453,419
2,612
Trimble,
Inc.
b
147,787
5,664
TTM
Technologies,
Inc.
b
653,852
221
Twilio,
Inc.
b
43,614
216
Tyler
Technologies,
Inc.
b
66,874
1,708
Unity
Software,
Inc.
b
54,161
1,235
Varonis
Systems,
Inc.
b
49,338
404
VeriSign,
Inc.
117,168
1,490
ViaSat,
Inc.
b
114,626
4,110
Vistance
Networks,
Inc.
b
48,251
5,899
Vontier
Corporation
189,535
1,126
Western
Digital
Corporation
613,490
962
Workday,
Inc.
b
154,247
1,757
Zebra
Technologies
Corporation
b
516,242
1,284
Zoom
Communications,
Inc.
b
123,354
563
Zscaler,
Inc.
b
85,126
Total
457,601,399
Materials
1.0%
3,211
Air
Products
and
Chemicals,
Inc.
946,892
581
Albemarle
Corporation
68,349
28,891
Alcoa
Corporation
1,307,607
1,240
Amcor
plc
55,651
8,578
American
Vanguard
Corporation
b
20,502
3,453
Amrize,
Ltd.
168,886
763
AngloGold
Ashanti
plc
60,521
4,842
AptarGroup,
Inc.
648,634
10,191
Ashland,
Inc.
739,969
153
Avery
Dennison
Corporation
25,969
4,397
Avient
Corporation
159,699
11,032
Balchem
Corporation
1,848,467
3,124
Ball
Corporation
202,748
6,760
Celanese
Corporation
302,307
3,151
Century
Aluminum
Company
b
141,070
51,275
CF
Industries
Holdings,
Inc.
6,419,117
11,724
Cleveland-Cliffs,
Inc.
b
135,061
10,413
Coeur
Mining,
Inc.
155,258
2,029
Commercial
Metals
Company
139,433
65
Compass
Minerals
International,
Inc.
b
1,907
112,985
Constellium
SE
b
3,138,723
1,899
Corteva,
Inc.
149,470
47,519
Crown
Holdings,
Inc.
5,600,114
4,830
Dow,
Inc.
146,301
100
DuPont
de
Nemours,
Inc.
13,700
26,844
Eastman
Chemical
Company
1,877,738
11,526
Ecolab,
Inc.
3,199,963
43,180
Ecovyst,
Inc.
b
520,751
31,079
Element
Solutions,
Inc.
1,141,532
25,743
Freeport-McMoRan,
Inc.
1,612,284
7,706
Graphic
Packaging
Holding
Company
82,685
8,868
Greif,
Inc.
767,525
3,711
Hecla
Mining
Company
52,399
1,540
Ingevity
Corporation
b
112,589
58,651
International
Paper
Company
2,394,720
84,446
Ivanhoe
Mines,
Ltd.
b
606,607
1,746
Kaiser
Aluminum
Corporation
278,801
12,400
Linde
plc
5,931,912
1,521
LyondellBasell
Industries
NV
94,424
10,145
Magnera
Corporation
b
134,421
1,720
Martin
Marietta
Materials,
Inc.
903,241
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
144
Shares
Common
Stock  29.7%
Value
Materials
1.0%
-
continued
1,413
Minerals
Technologies,
Inc.
$
107,727
6,535
Mosaic
Company
144,554
18,151
Newmont
Corporation
1,700,930
34,077
Nucor
Corporation
8,767,671
2,327
O-I
Glass,
Inc.
b
16,638
3,563
Orion
SA
24,050
175
Packaging
Corporation
of
America
43,022
1,880
Perimeter
Solutions,
Inc.
b
57,547
927
PPG
Industries,
Inc.
102,452
277
Reliance,
Inc.
112,490
900
Royal
Gold,
Inc.
178,515
666
RPM
International,
Inc.
71,309
502
Scotts
Miracle-Gro
Company
32,971
1,545
Sensient
Technologies
Corporation
191,070
839
Smurfit
WestRock
plc
38,569
31,871
Solstice
Advanced
Materials,
Inc.
1,917,678
2,000
Sonoco
Products
Company
112,720
5,995
SSR
Mining,
Inc.
b
153,592
1,754
Steel
Dynamics,
Inc.
440,710
838
Stepan
Company
53,749
1,901
TriMas
Corporation
75,907
80
Vulcan
Materials
Company
21,486
Total
56,673,304
Real
Estate
0.9%
7,883
Agree
Realty
Corporation
613,297
4,368
Alexandria
Real
Estate
Equities,
Inc.
224,734
3,234
Alpine
Income
Property
Trust,
Inc.
65,262
12,030
Americold
Realty
Trust,
Inc.
169,503
20,480
AvalonBay
Communities,
Inc.
3,801,293
11,708
Brixmor
Property
Group,
Inc.
368,919
1,241
Broadstone
Net
Lease,
Inc.
26,570
11,833
CareTrust
REIT,
Inc.
496,276
40,136
CBRE
Group,
Inc.
b
5,892,366
4,665
CoStar
Group,
Inc.
b
134,165
13,995
Cousins
Properties,
Inc.
441,542
80,585
Crown
Castle,
Inc.
6,148,635
4,822
Curbline
Properties
Corporation
147,746
1,766
Cushman
&
Wakefield,
Ltd.
b
23,700
1,592
Digital
Realty
Trust,
Inc.
300,124
8,737
Easterly
Government
Properties,
Inc.
212,833
21,473
EPR
Properties
1,332,829
1,760
Equinix,
Inc.
1,793,933
8,276
Equity
Lifestyle
Properties,
Inc.
538,519
113,154
Essential
Properties
Realty
Trust,
Inc.
3,540,589
163
Essex
Property
Trust,
Inc.
46,315
1,328
Extra
Space
Storage,
Inc.
196,597
830
Federal
Realty
Investment
Trust
102,995
110,134
Fermi,
Inc.
b
626,662
7,447
First
Industrial
Realty
Trust,
Inc.
490,310
724
Forestar
Group,
Inc.
b
20,381
3,077
FrontView
REIT,
Inc.
62,586
4,234
Gaming
and
Leisure
Properties,
Inc.
189,641
11,841
Getty
Realty
Corporation
404,252
182,995
Healthcare
Realty
Trust,
Inc.
3,844,725
5,693
Host
Hotels
&
Resorts,
Inc.
143,065
7,707
Hudson
Pacific
Properties,
Inc.
106,125
15,287
Independence
Realty
Trust,
Inc.
254,223
42,119
Industrial
Logistics
Properties
Trust
362,645
14,317
Innovative
Industrial
Properties,
Inc.
841,983
Shares
Common
Stock  29.7%
Value
Real
Estate
0.9%
-
continued
9,407
InvenTrust
Properties
Corporation
$
333,102
10,921
Iron
Mountain,
Inc.
1,335,857
13,202
Jones
Lang
LaSalle,
Inc.
b
4,687,106
2,079
Kimco
Realty
Corporation
52,973
152
Lamar
Advertising
Company
24,314
1,527
Macerich
Company
39,458
60,533
Medical
Properties
Trust,
Inc.
280,268
55,045
Millrose
Properties,
Inc.
1,540,159
287
National
Health
Investors,
Inc.
21,999
34,861
NetSTREIT
Corporation
747,768
1,187
NNN
REIT,
Inc.
56,406
512
Omega
Healthcare
Investors,
Inc.
25,923
9,803
Outfront
Media,
Inc.
312,422
15,515
Park
Hotels
&
Resorts,
Inc.
233,656
4,816
Piedmont
Realty
Trust,
Inc.
b
46,667
2,281
Postal
Realty
Trust,
Inc.
52,554
7,904
Rayonier,
Inc.
REIT
172,149
1,155
Realty
Income
Corporation
73,770
834
Regency
Centers
Corporation
66,962
15,831
RLJ
Lodging
Trust
193,930
354
Ryman
Hospitality
Properties
47,312
49,735
Sabra
Health
Care
REIT,
Inc.
1,052,890
10,429
Safehold,
Inc.
168,741
675
SBA
Communications
Corporation
122,161
6,177
Service
Properties
Trust
49,601
818
Simon
Property
Group,
Inc.
187,625
6,121
STAG
Industrial,
Inc.
234,189
8,304
Sunstone
Hotel
Investors,
Inc.
97,738
94,454
Tanger,
Inc.
3,840,500
19,002
Terreno
Realty
Corporation
1,361,493
1,651
Ventas,
Inc.
154,385
11,362
VICI
Properties,
Inc.
299,389
783
WP
Carey,
Inc.
57,629
6,564
Xenia
Hotels
&
Resorts,
Inc.
135,087
3,657
Zillow
Group,
Inc.,
Class
C
b
124,557
Total
52,196,080
Utilities
1.0%
2,667
Alliant
Energy
Corporation
188,770
5,443
American
States
Water
Company
466,138
259
American
Water
Works
Company,
Inc.
34,750
1,784
Artesian
Resources
Corporation
61,280
8,453
Avista
Corporation
341,924
3,098
Black
Hills
Corporation
220,609
2,924
California
Water
Service
Group
146,522
4,580
CenterPoint
Energy,
Inc.
192,543
10,580
Clearway
Energy,
Inc.,
Class
C
335,703
873
Consolidated
Edison,
Inc.
95,026
31,687
Constellation
Energy
Corporation
8,325,759
202
DTE
Energy
Company
28,658
62,353
Duke
Energy
Corporation
7,820,937
74,302
Edison
International
5,451,538
84,557
Entergy
Corporation
9,100,024
47,408
Evergy,
Inc.
3,935,338
8,684
Eversource
Energy
621,688
5,757
Exelon
Corporation
263,786
3,649
FirstEnergy
Corporation
176,283
1,507
H2O
America
a
92,424
4,254
National
Fuel
Gas
Company
350,147
5,520
New
Jersey
Resources
Corporation
319,553
4,167
NiSource,
Inc.
185,140
952
OGE
Energy
Corporation
45,077
1,963
Otter
Tail
Corporation
173,568
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
145
Shares
Common
Stock  29.7%
Value
Utilities
1.0%
-
continued
91,994
PG&E
Corporation
$
1,598,856
13,227
Pinnacle
West
Capital
Corporation
1,335,795
71,825
Portland
General
Electric
Company
3,543,127
1,117
PPL
Corporation
39,330
1,819
Public
Service
Enterprise
Group,
Inc.
139,481
5,940
Spire,
Inc.
474,368
128,758
UGI
Corporation
4,650,739
5,108
Unitil
Corporation
275,526
44,470
Vistra
Energy
Corporation
6,590,009
282
Xcel
Energy,
Inc.
22,052
Total
57,642,468
Total
Common
Stock
(cost
$1,288,056,278)
1,717,059,092
Principal
Amount
Long-Term
Fixed
Income
5.6%
Value
Asset-Backed
Securities
0.2%
522
Funding
CLO,
Ltd.
$
525,000
5.503%, 
(TSFR3M
+
1.750%),
4/15/2035,
Ser.
2019-5A,
Class
CR2
c,d
525,081
Acacia,
LLC
550,000
5.440%, 
7/15/2041,
Ser.
2026-1,
Class
A
c
549,757
Access
Group,
Inc.
9,833
4.231%, 
(SOFR30A
+
0.614%),
2/25/2036,
Ser.
2013-1,
Class
A
c,d
9,815
ALLO
Issuer,
LLC
625,000
5.528%, 
4/20/2055,
Ser.
2025-1A,
Class
A2
c
626,032
Balboa
Bay
Loan
Funding,
Ltd.
750,000
5.679%, 
(TSFR3M
+
1.950%),
7/20/2034,
Ser.
2021-1A,
Class
CR
c,d
752,286
425,000
5.979%, 
(TSFR3M
+
2.250%),
1/20/2035,
Ser.
2021-2A,
Class
CR
c,d
425,090
Barings
CLO,
Ltd.
550,000
5.629%, 
(TSFR3M
+
1.900%),
1/18/2035,
Ser.
2021-3A,
Class
CR
c,d
550,065
Battalion
CLO
XIV,
Ltd.
350,000
5.729%, 
(TSFR3M
+
2.000%),
1/20/2035,
Ser.
2019-14A,
Class
CR2
c,d
350,009
CMFT
Net
Lease
Master
Issuer,
LLC
335,197
2.090%, 
7/20/2051,
Ser.
2021-1,
Class
A1
c
313,901
Commonbond
Student
Loan
Trust
7,728
4.339%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
c,d
7,670
Federal
National
Mortgage
Association
-
REMIC
575,000
7.776%, 
(SOFR30A
+
4.160%),
8/25/2026,
Ser.
2026-69,
Class
MF
d
555,850
FirstLight
Issuer,
LLC
400,000
5.873%, 
6/20/2056,
Ser.
2026-1A,
Class
A2
c
397,383
Principal
Amount
Long-Term
Fixed
Income  5.6%
Value
Asset-Backed
Securities
0.2%
-
continued
Foundation
Finance
Trust
$
88,058
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
c
$
84,073
Hotwire
Funding,
LLC
475,000
5.893%, 
6/20/2054,
Ser.
2024-1A,
Class
A2
c
478,888
Laurel
Road
Prime
Student
Loan
Trust
72,068
6.200%, 
11/25/2043,
Ser.
2018-D,
Class
A
c,d
68,373
LCM
41,
Ltd.
250,000
5.753%, 
(TSFR3M
+
2.000%),
4/15/2036,
Ser.
41A,
Class
CR
c,d
250,004
Lightpath
Fiber
Issuer,
LLC
625,000
5.597%, 
3/25/2056,
Ser.
2026-1A,
Class
A2
c
619,043
National
Collegiate
Trust
56,301
4.058%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
c,d
55,215
Pagaya
AI
Debt
Grantor
Trust
425,000
5.245%, 
1/16/2034,
Ser.
2026-4,
Class
A2
c
424,597
Palmer
Square
Loan
Funding,
Ltd.
300,000
5.251%, 
(TSFR3M
+
1.600%),
2/15/2033,
Ser.
2025-1A,
Class
B
c,d
300,276
RR
28,
Ltd.
775,000
5.403%, 
(TSFR3M
+
1.650%),
4/15/2041,
Ser.
2024-28RA,
Class
A2R2
c,d
776,100
Sunnova
Hestia
II
Issuer,
LLC
527,696
5.630%, 
7/20/2051,
Ser.
2024-GRID1,
Class
1A
c,e
504,870
Trinitas
CLO,
Ltd.
800,000
5.510%, 
(TSFR3M
+
1.700%),
4/25/2039,
Ser.
2024-28A,
Class
BR
c,d
800,750
Total
9,425,128
Collateralized
Mortgage
Obligations
0.5%
A&D
Mortgage
Trust
224,021
6.701%, 
4/25/2069,
Ser.
2024-NQM2,
Class
A2
c,f
224,934
Banc
of
America
Alternative
Loan
Trust
9,209
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
8,179
BINOM
Securitization
Trust
162,246
2.370%, 
6/25/2056,
Ser.
2021-INV1,
Class
A2
c,d
149,117
CFST
Mortgage
Trust
500,000
5.882%, 
10/25/2030,
Ser.
2025-RTL1,
Class
A1
c,f
500,885
Chase
Home
Lending
Mortgage
Trust
475,000
6.000%, 
11/25/2055,
Ser.
2024-11,
Class
A5
c,d
466,697
CHNGE
Mortgage
Trust
99,332
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
c,f
98,998
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
146
Principal
Amount
Long-Term
Fixed
Income  5.6%
Value
Collateralized
Mortgage
Obligations
0.5%
-
continued
Citicorp
Mortgage
Securities,
Inc.
$
212,633
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
$
182,282
Citigroup
Mortgage
Loan
Trust,
Inc.
1,601
6.202%, 
3/25/2037,
Ser.
2007-AR4,
Class
2A1A
d
1,631
COLT
Mortgage
Loan
Trust
518,199
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
c,d
466,665
Countrywide
Alternative
Loan
Trust
47,920
4.124%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
d
41,820
268,059
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
82,343
Cross
Mortgage
Trust
571,162
5.087%, 
3/25/2061,
Ser.
2026-NQM2,
Class
A2
c,f
563,188
CSMC
Trust
220,604
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
c,d
188,610
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
477,148
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
467,523
450,000
5.000%, 
1/25/2055,
Ser.
5490,
Class
LB
433,755
825,000
5.250%, 
2/25/2055,
Ser.
5508,
Class
AY
807,626
450,000
5.250%, 
3/25/2055,
Ser.
5519,
Class
CL
435,448
538,972
7.616%, 
(SOFR30A
+
4.000%),
8/25/2026,
Ser.
5567,
Class
MB
d
545,506
900,000
5.000%, 
8/25/2055,
Ser.
5569,
Class
BY
860,721
836,466
5.000%, 
9/25/2054,
Ser.
5473,
Class
HL
822,877
1,313,357
2.000%, 
12/25/2050,
Ser.
5051,
Class
WI
g
168,928
45,737
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
g
2,453
172,384
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
g
11,834
428,136
4.500%, 
10/15/2033,
Ser.
2695,
Class
BH
424,135
600,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
491,792
Federal
Home
Loan
Mortgage
Corporation
-
SLST
500,000
3.000%, 
5/25/2035,
Ser.
2025-1,
Class
A2
e
424,190
Federal
National
Mortgage
Association
-
REMIC
600,000
5.000%, 
1/25/2055,
Ser.
2024-103,
Class
YD
586,095
525,000
5.000%, 
8/25/2055,
Ser.
2025-69,
Class
DL
499,087
583,395
5.000%, 
8/25/2055,
Ser.
2025-66,
Class
KZ
543,183
382,561
Zero
Coupon, 
11/25/2053,
Ser.
2023-54,
Class
EO
316,863
921,785
2.000%, 
12/25/2050,
Ser.
2020-89,
Class
IM
g
121,848
Principal
Amount
Long-Term
Fixed
Income  5.6%
Value
Collateralized
Mortgage
Obligations
0.5%
-
continued
$
52,932
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
g
$
553
Flagstar
Mortgage
Trust
688,499
2.500%, 
9/25/2051,
Ser.
2021-8INV,
Class
A3
c,d
555,182
217,400
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
c,d
193,885
GCAT
Trust
263,638
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
c,d
240,010
450,045
6.000%, 
9/25/2054,
Ser.
2024-INV3,
Class
A1
c,d
451,874
GS
Mortgage-Backed
Securities
Trust
671,510
4.978%, 
5/25/2066,
Ser.
2026-DSC1,
Class
A2
c,f
659,010
504,165
3.000%, 
6/25/2052,
Ser.
2022-GR1,
Class
A2
c,d
424,458
450,000
5.000%, 
10/25/2056,
Ser.
2026-PJ7,
Class
A17
c,d
413,220
825,000
5.500%, 
11/25/2055,
Ser.
2025-PJ6,
Class
A17
c,d
803,688
GSAA
Home
Equity
Trust
925,378
4.013%, 
8/25/2034,
Ser.
2004-10,
Class
M2
d
869,315
HTAP
Issuer
Trust
330,879
6.500%, 
4/25/2042,
Ser.
2024-2,
Class
A
c
327,733
630,396
6.500%, 
11/25/2042,
Ser.
2025-1,
Class
A
c
628,526
J.P.
Morgan
Mortgage
Trust
466,445
2.500%, 
2/25/2052,
Ser.
2021-INV7,
Class
A2A
c,d
375,555
450,000
5.500%, 
3/25/2056,
Ser.
2025-9,
Class
A8
c,d
439,871
328,008
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
c,d
277,792
309,787
5.055%, 
6/25/2056,
Ser.
2025-12MPR,
Class
A1D
c,f
305,873
375,000
5.000%, 
7/25/2056,
Ser.
2026-1,
Class
A5A
c,d
347,848
Mello
Mortgage
Capital
Acceptance
473,263
2.500%, 
8/25/2051,
Ser.
2021-INV2,
Class
A3
c,d
378,678
Merrill
Lynch
Alternative
Note
Asset
Trust
76,526
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
21,905
MFA
Trust
273,597
6.330%, 
9/25/2054,
Ser.
2024-NPL1,
Class
A1
c,f
273,952
Morgan
Stanley
Residential
Mortgage
Loan
Trust
650,000
7.298%, 
9/25/2068,
Ser.
2023-NQM1,
Class
M1
c,d
650,226
New
Residential
Mortgage
Loan
Trust
912,675
2.500%, 
9/25/2051,
Ser.
2021-INV2,
Class
A2
c,d
734,811
OBX
Trust
350,000
4.688%, 
1/25/2062,
Ser.
2022-NQM3,
Class
A1B
c,d
326,598
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
147
Principal
Amount
Long-Term
Fixed
Income  5.6%
Value
Collateralized
Mortgage
Obligations
0.5%
-
continued
PMT
Loan
Trust
$
700,000
6.000%, 
2/25/2056,
Ser.
2025-INV2,
Class
A10
c,d
$
688,539
775,000
5.500%, 
5/25/2056,
Ser.
2025-INV5,
Class
A12
c,d
750,768
Point
Securitization
Trust
550,000
5.250%, 
7/25/2056,
Ser.
2026-2,
Class
A1
c
533,115
622,748
5.750%, 
10/25/2055,
Ser.
2025-2,
Class
A1
c
615,755
PRET
Trust
325,430
4.000%, 
8/25/2064,
Ser.
2025-RPL2,
Class
A1
c,f
313,975
PRET,
LLC
479,807
5.074%, 
2/25/2056,
Ser.
2026-NPL2,
Class
A1
c,f
475,812
Provident
Funding
Mortgage
Trust
800,000
5.000%, 
12/25/2055,
Ser.
2025-6,
Class
A10
c,d
744,562
PRPM,
LLC
325,000
3.500%, 
5/25/2054,
Ser.
2024-RPL2,
Class
A2
c,f
313,697
302,215
6.255%, 
5/25/2030,
Ser.
2025-3,
Class
A1
c,f
301,955
423,911
5.729%, 
7/25/2030,
Ser.
2025-5,
Class
A1
c,f
422,233
RCO
IX
Mortgage,
LLC
188,486
5.765%, 
5/25/2031,
Ser.
2026-2,
Class
A1
c,f
187,718
Residential
Accredit
Loans,
Inc.
Trust
81,411
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
71,825
Residential
Funding
Mortgage
Security
I
Trust
16,070
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
12,846
Saluda
Grade
Alternative
Mortgage
Trust
257,733
7.762%, 
4/25/2030,
Ser.
2024-RTL5,
Class
A1
c,f
256,834
399,313
7.439%, 
7/25/2030,
Ser.
2024-RTL6,
Class
A1
c,f
398,706
Sequoia
Mortgage
Trust
850,000
5.000%, 
5/25/2056,
Ser.
2026-5,
Class
A8
c,d
777,114
416,972
5.500%, 
8/25/2055,
Ser.
2025-7,
Class
A8
c,d
402,397
750,000
5.000%, 
12/25/2055,
Ser.
2025-12,
Class
A8
c,d
698,332
66,338
3.434%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
d
43,047
TRK
Trust
255,413
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
c,d
226,863
Unlock
HEA
Trust
271,958
7.000%, 
4/25/2039,
Ser.
2024-1,
Class
A
c
270,829
386,906
6.500%, 
10/25/2039,
Ser.
2024-2,
Class
A
c
384,468
Verus
Securitization
Trust
156,831
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
c,d
137,754
Principal
Amount
Long-Term
Fixed
Income  5.6%
Value
Collateralized
Mortgage
Obligations
0.5%
-
continued
VOLT
CVI,
LLC
$
280,082
9.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
c
$
280,375
Vontive
Mortgage
Trust
650,000
6.507%, 
3/25/2030,
Ser.
2025-RTL1,
Class
A1
c,f
653,465
Total
30,602,760
Commercial
Mortgage-Backed
Securities
0.1%
AMSR
Trust
500,000
2.352%, 
6/17/2038,
Ser.
2021-SFR1,
Class
C
c
471,063
BANK
2,711,463
0.410%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
d,g
52,688
2,985,144
0.623%, 
3/15/2058,
Ser.
2025-BNK49,
Class
XA
d,g
130,641
BBCMS
Mortgage
Trust
3,959,428
1.149%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
d,g
221,717
2,563,613
0.919%, 
12/15/2058,
Ser.
2025-C39,
Class
XA
d,g
167,802
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
4,565,000
5.000%, 
5/25/2034,
Ser.
K-164,
Class
A2
e
4,589,777
Home
Partners
of
America
Trust
456,846
2.078%, 
9/17/2041,
Ser.
2021-1,
Class
C
c
411,925
Total
6,045,613
Financials
<0.1%
CHL
Mortgage
Pass-Through
Trust
603,285
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
236,645
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
19,692
4.619%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
d
16,444
Countrywide
Home
Loans,
Inc.
74,839
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
30,799
Total
283,888
Mortgage-Backed
Securities
2.3%
Federal
Home
Loan
Mortgage
Corporation
Conventional
15-Yr.
Pass
Through
271,936
5.500%, 
12/1/2038
277,131
2,858,898
5.500%, 
2/1/2040
2,902,043
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,607,816
2.000%, 
1/1/2052
1,273,035
602,892
6.000%, 
1/1/2055
623,387
1,074,476
4.500%, 
2/1/2056
1,017,391
4,504,237
2.500%, 
4/1/2052
3,758,450
841,605
2.000%, 
5/1/2051
666,371
2,753,065
2.500%, 
5/1/2051
2,279,254
1,838,784
4.000%, 
5/1/2052
1,693,586
844,352
5.000%, 
7/1/2053
823,607
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
148
Principal
Amount
Long-Term
Fixed
Income  5.6%
Value
Mortgage-Backed
Securities
2.3%
-
continued
$
353,218
5.500%, 
7/1/2053
$
352,673
1,070,551
3.500%, 
8/1/2052
957,783
912,131
5.000%, 
8/1/2053
893,489
2,972,859
5.500%, 
9/1/2053
2,984,988
2,628,942
5.500%, 
9/1/2055
2,620,951
1,879,983
5.500%, 
9/1/2055
1,877,400
893,676
3.500%, 
9/1/2047
810,615
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
543,550
2.500%, 
7/1/2030
524,791
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
189,982
5.500%, 
9/1/2039
193,951
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
958,491
3.000%, 
12/1/2036
896,699
795,889
3.000%, 
8/1/2038
746,662
1,260,475
3.500%, 
5/1/2040
1,179,876
1,577,054
2.500%, 
4/1/2042
1,388,271
411,604
2.000%, 
5/1/2042
352,887
552,741
5.000%, 
10/1/2045
538,998
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
3,119,026
3.000%, 
1/1/2052
2,690,341
570,134
2.000%, 
2/1/2051
451,422
394,024
2.000%, 
2/1/2051
311,980
1,881,769
2.500%, 
2/1/2051
1,568,149
1,689,930
5.500%, 
2/1/2055
1,691,125
5,942,330
2.000%, 
3/1/2051
4,676,091
2,142,494
4.000%, 
3/1/2051
1,986,562
354,531
2.000%, 
3/1/2052
281,928
3,378,571
3.000%, 
3/1/2052
2,914,707
2,817,149
5.500%, 
3/1/2055
h
2,802,584
4,317,682
2.000%, 
4/1/2051
3,400,284
475,164
3.000%, 
4/1/2051
406,624
1,564,381
5.500%, 
4/1/2054
1,570,764
2,126,674
3.000%, 
5/1/2050
1,820,117
704,131
2.000%, 
5/1/2051
554,542
1,875,914
3.000%, 
5/1/2051
1,641,409
621,127
3.500%, 
5/1/2052
556,197
2,235,139
2.000%, 
6/1/2050
1,764,796
1,230,699
3.000%, 
6/1/2050
1,081,518
554,392
4.000%, 
6/1/2052
508,480
645,366
5.000%, 
6/1/2053
630,507
3,070,260
2.500%, 
7/1/2051
2,568,896
817,969
3.500%, 
7/1/2051
734,448
492,904
3.000%, 
7/1/2052
427,352
880,560
4.000%, 
7/1/2052
807,640
1,062,608
3.500%, 
8/1/2050
958,653
1,750,871
3.500%, 
8/1/2052
1,554,891
3,236,203
4.500%, 
8/1/2052
3,059,907
3,979,104
4.500%, 
8/1/2052
3,760,244
1,252,968
5.000%, 
8/1/2053
1,223,734
2,616,780
6.000%, 
8/1/2054
2,705,379
10,250,000
2.500%, 
8/1/2056
h
8,355,239
441,034
2.500%, 
9/1/2051
367,891
1,117,086
3.500%, 
9/1/2052
1,003,407
500,930
3.500%, 
9/1/2052
448,444
953,233
5.000%, 
9/1/2052
927,629
1,729,774
4.500%, 
9/1/2053
1,638,774
992,636
4.500%, 
9/1/2053
942,007
Principal
Amount
Long-Term
Fixed
Income  5.6%
Value
Mortgage-Backed
Securities
2.3%
-
continued
$
3,133,595
4.000%, 
10/1/2052
$
2,888,917
698,320
2.000%, 
11/1/2051
552,898
644,413
3.500%, 
11/1/2052
579,800
2,836,981
2.000%, 
12/1/2050
2,248,358
4,426,496
2.500%, 
12/1/2051
3,687,757
1,909,125
4.500%, 
12/1/2052
1,813,257
450,000
6.000%, 
8/1/2041
h
454,955
1,475,000
5.500%, 
8/1/2042
h
1,459,668
1,067,629
3.500%, 
12/1/2047
969,801
3,600,000
4.000%, 
8/1/2048
h
3,286,069
2,000,000
4.500%, 
8/1/2048
h
1,877,856
11,950,000
5.000%, 
8/1/2048
h
11,531,343
2,250,000
3.500%, 
8/1/2049
h
1,995,732
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
713,019
3.500%, 
7/1/2061
624,706
1,635,850
4.000%, 
12/1/2061
1,474,489
Total
131,874,557
U.S.
Government
&
Agencies
2.5%
U.S.
Treasury
Bonds
4,000,000
4.750%, 
2/15/2056
3,696,250
13,300,000
4.750%, 
8/15/2055
12,281,199
300,000
1.625%, 
11/15/2050
148,418
1,500,000
4.750%, 
11/15/2053
1,382,226
1,510,000
5.250%, 
11/15/2028
1,541,498
1,175,000
4.375%, 
5/15/2040
1,102,297
6,780,000
3.000%, 
5/15/2042
5,190,673
4,400,000
4.625%, 
2/15/2046
4,053,500
12,618,000
2.500%, 
5/15/2046
8,278,098
10,050,000
2.875%, 
5/15/2049
6,796,705
U.S.
Treasury
Notes
5,000,000
0.500%, 
4/30/2027
4,871,055
1,500,000
3.875%, 
5/31/2027
1,497,056
1,000,000
3.625%, 
8/31/2027
994,141
10,000,000
3.500%, 
9/30/2027
9,922,266
4,485,000
2.250%, 
11/15/2027
4,375,328
5,600,000
3.875%, 
12/31/2027
5,572,000
9,100,000
3.500%, 
1/31/2028
9,001,535
7,300,000
2.875%, 
5/15/2028
7,126,340
1,600,000
3.750%, 
12/31/2028
1,579,500
5,100,000
3.500%, 
9/30/2029
4,973,496
19,311,000
4.000%, 
3/31/2030
19,065,841
11,500,000
3.625%, 
9/30/2030
11,163,086
1,000,000
3.625%, 
10/31/2030
970,000
2,000,000
3.750%, 
1/31/2031
1,945,937
1,000,000
3.875%, 
4/30/2031
976,797
5,500,000
4.125%, 
6/30/2031
5,426,953
4,680,000
1.375%, 
11/15/2031
4,004,873
1,175,000
4.125%, 
11/15/2032
1,149,664
3,200,000
4.500%, 
11/15/2033
3,183,375
2,700,000
4.000%, 
11/15/2035
2,559,516
Total
144,829,623
Total
Long-Term
Fixed
Income
(cost
$343,470,531)
323,061,569
Shares
i
Private
Equity
Funds
2.0%
Value
Secondary  2.0%
__
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP
*,b,j
17,533,107
__
ASF
IX,
LP
*,b,j
14,994,729
__
ASF
VIII
Sidecar
(Cayman),
LP
*,b,j
4,693,622
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
149
Shares
i
Private
Equity
Funds
2.0%
Value
Secondary  2.0%
-
continued
__
Crown
Global
Secondaries
VI
Feeder
SA,
SICAV-RAIF
*,b,j
$
17,773,296
__
LCP
X
(Offshore),
LP
*,b,j
27,873,833
__
StepStone
Secondary
Opportunities
Fund
V
Offshore,
LP
*,b,j
28,711,593
__
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP
*,b,j
2,552,104
Total
114,132,284
Total
Private
Equity
Funds
(cost
$80,070,257)
114,132,284
Shares
Collateral
Held
for
Securities
Loaned
0.2%
Value
8,661,675
Thrivent
Cash
Management
Trust
8,661,675
Total
Collateral
Held
for
Securities
Loaned
(cost
$8,661,675)
8,661,675
Shares
or
Principal
Amount
Short-Term
Investments
10.9%
Value
Federal
Home
Loan
Bank
Discount
Notes
10,000,000
3.615%,
8/21/2026
k,l
9,979,029
7,300,000
3.620%,
8/26/2026
k,l
7,281,046
800,000
3.634%,
8/28/2026
k,l
797,763
7,800,000
3.630%,
9/4/2026
k,l
7,772,321
500,000
3.660%,
9/9/2026
k,l
497,972
1,300,000
3.654%,
9/11/2026
k,l
1,294,464
5,300,000
3.682%,
9/18/2026
k,l
5,273,669
200,000
3.710%,
9/23/2026
k,l
198,905
4,700,000
3.700%,
10/1/2026
k,l
4,670,172
2,700,000
3.690%,
10/14/2026
k,l
2,679,272
7,500,000
3.710%,
10/16/2026
k,l
7,440,887
200,000
3.780%,
10/21/2026
k,l
198,321
1,900,000
3.700%,
10/26/2026
k,l
1,883,080
Federal
Home
Loan
Mortgage
Corporation
Discount
Notes
7,100,000
3.695%,
10/14/2026
k,l
7,045,493
State
Street
Institutional
U.S.
Government
Money
Market
Fund
249,524,014
3.619%
k
249,524,014
Thrivent
Core
Short-Term
Reserve
Fund
32,094,845
3.970%
320,948,447
U.S.
Treasury
Bills
700,000
3.617%,
9/8/2026
k,m
697,462
1,200,000
3.607%,
9/29/2026
k,m
1,192,989
Total
Short-Term
Investments
(cost
$629,260,663)
629,375,306
Total
Investments
(cost
$4,228,378,247)
100.4%
$5,794,479,951
Other
Assets
and
Liabilities,
Net
(0.4%)
(20,581,597)
Total
Net
Assets
100.0%
$5,773,898,355
a
All
or
a
portion
of
the
security
is
on
loan.
b
Non-income
producing
security.
c
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$31,055,416
or
0.5%
of
total
net
assets.
d
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
e
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
f
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
g
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
h
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
i
Private
equity
fund
partnerships
do
not
issue
shares.
j
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
k
The
interest
rate
shown
reflects
the
yield.
l
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
m
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Moderately
Aggressive
Allocation
Fund
as
of
July
31,
2026
was
$114,132,284
or
1.98%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP 
6/28/2024
$
13,156,172
ASF
IX,
LP 
3/18/2024
11,830,224
ASF
VIII
Sidecar
(Cayman),
LP 
6/28/2024
3,613,300
Crown
Global
Secondaries
VI
Feeder
SA,
SICAV-RAIF 
2/15/2024
13,160,000
LCP
X
(Offshore),
LP 
10/25/2023
17,148,800
StepStone
Secondary
Opportunities
Fund
V
Offshore,
LP 
6/28/2024
21,161,761
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP 
7/9/2026
–
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
150
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Moderately
Aggressive
Allocation
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
8,540,847
Total
lending
$8,540,847
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$8,661,675
Net
amounts
due
to
counterparty
$120,828
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange-Traded
Fund
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
S&P
-
Standard
&
Poor's
Ser.
-
Series
SLST
-
Seasoned
Loans
Structured
Transactions
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
151
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Moderately
Aggressive
Allocation
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Registered
Investment
Companies
U.S.
Affiliated
2,820,819,486
2,820,819,486
–
–
U.S.
Unaffiliated
30,075,834
30,075,834
–
–
Common
Stock
Communications
Services
125,721,488
123,525,265
2,196,223
–
Consumer
Discretionary
168,567,048
168,567,048
–
–
Consumer
Staples
51,557,767
51,557,767
–
–
Energy
80,408,174
80,408,174
–
–
Financials
240,315,132
240,315,132
–
–
Health
Care
203,468,250
203,468,250
–
–
Industrials
222,907,982
222,907,982
–
–
Information
Technology
457,601,399
441,933,854
15,667,545
–
Materials
56,673,304
56,673,304
–
–
Real
Estate
52,196,080
52,196,080
–
–
Utilities
57,642,468
57,642,468
–
–
Long-Term
Fixed
Income
Asset-Backed
Securities
9,425,128
–
9,425,128
–
Collateralized
Mortgage
Obligations
30,602,760
–
30,602,760
–
Commercial
Mortgage-Backed
Securities
6,045,613
–
6,045,613
–
Financials
283,888
–
283,888
–
Mortgage-Backed
Securities
131,874,557
–
131,874,557
–
U.S.
Government
&
Agencies
144,829,623
–
144,829,623
–
Private
Equity
Funds
Secondary
114,132,284
–
–
114,132,284
Short-Term
Investments
308,426,859
249,524,014
58,902,845
–
Subtotal
Investments
in
Securities
$5,313,575,124
$4,799,614,658
$399,828,182
$114,132,284
Other
Investments  *
Total
Affiliated
Short-Term
Investments
320,948,447
U.S.
Affiliated
Registered
Investment
Cos.
151,294,705
Collateral
Held
for
Securities
Loaned
8,661,675
Subtotal
Other
Investments
$480,904,827
Total
Investments
at
Value
$5,794,479,951
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Moderately
Aggressive
Allocation
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
9,629,071
9,629,071
–
–
Credit
Default
Swaps
755,103
–
755,103
–
Total
Asset
Derivatives
$10,384,174
$9,629,071
$755,103
$–
Liability
Derivatives
Futures
Contracts
4,267,777
4,267,777
–
–
Total
Liability
Derivatives
$4,267,777
$4,267,777
$–
$–
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
152
The
following
table
is
a
reconciliation
of
assets
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
fair
value
for
Moderately
Aggressive
Allocation
Fund as
discussed
in
the
Notes
to
Schedule
of
Investments.
*
Located
on
the
Statement
of
Operations,
Change
in
net
unrealized
appreciation/(depreciation)
on
investments.
^
Located
on
the
Statement
of
Operations,
Net
realized
gains/(losses)
on
investments.
#
Transferred
from
Level
2
to
Level
3
because
of
a
lack
of
observable
market
data,
resulting
from
a
decrease
in
market
activity
for
the
securities.
@
Transferred
from
Level
3
to
Level
2
because
observable
market
data
became
available
for
the
securities.
The
reporting
entity's
Asset
Backed
Securities
Level
3
securities'
fair
value
is
calculated
by
a
vendor
using
the
established
policies
and
procedures
of
the
reporting
entity.
Inputs
used
in
valuation
include
the
principal
and
interest
schedules,
bond
equivalent
ratings,
and
U.S.
Treasury
yields.
Unobservable
inputs
were
weighted
by
the
relative
fair
value
of
the
instruments. Significant changes
in
the
inputs
in
isolation
could result
in
a
significantly
lower
or
higher
fair
value
measurement.
**
The
reporting
entity's Private
Equity
Funds
-
Secondary Level
3
securities
are fair
valued using
the
adjusted
reported
Net
Asset
Value
(NAV)
of
the
investment,
adjusted
for
subsequent
investment
activity
and
market
movement
using
inputs
determined
by
the policies
and
procedures
of
the
reporting
entity. 
Inputs
used
in
valuation
include index
returns
that
are
adjusted based
on
a
regression
analysis
of
similar
types
of
assets
over
time. 
Significant
changes
in
the
inputs
in
isolation
could result
in
a
significantly
lower
or
higher
fair
value
measurement.
0
Investments
in
Securities 
Beginning
Value
10/31/2025
Realized
Gain/
(Loss)%
Change
in
Unrealized
Appreciation/
(Depreciation)
*
Purchases
Sales
Transfers
Into
Level
3 #
Transfers
Out
of
Level
3 @
Ending
Value
07/31/2026
Private
Equity
Funds
 Secondary
$89,473,302
$-
$14,458,736
$15,094,332
($4,894,086)
$-
$-
$114,132,284
Total 
$89,473,302
$-
$14,458,736
$15,094,332
($4,894,086)
$-
$-
$114,132,284
Investments
in
Securities
Ending
Value  07/31/2026
Valuation
Technique(s)
Unobservable 
Input(s)
Range
of Inputs
Private
Equity
Funds
   Secondary
$114,132,284
Adjusted
reported
investment
of
net
asset
value  
Fair
Value
adjustment
**
N/A
Total 
$114,132,284
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
153
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
presents
Moderately
Aggressive
Allocation
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$57,380,394
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
410
September
2026
$
44,694,338
(
$
414,338)
CBOT
2-Yr.
U.S.
Treasury
Note
411
September
2026
84,724,872
(
219,416)
CBOT
5-Yr.
U.S.
Treasury
Note
589
September
2026
62,833,577
(
413,384)
CBOT
U.S.
Long
Bond
180
September
2026
19,925,667
(
429,417)
CME
E-mini
Russell
2000
Index
24
September
2026
3,569,407
(
43,807)
CME
E-mini
S&P
500
Index
1,287
September
2026
480,084,709
3,779,028
CME
E-mini
S&P
Mid-Cap
400
Index
4
September
2026
1,529,697
(
20,537)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
175
September
2026
19,737,090
(
541,777)
ICE
mini
MSCI
EAFE
Index
1,189
September
2026
186,658,262
2,529,473
Ultra
10-Yr.
U.S.
Treasury
Note
198
September
2026
21,984,572
(
263,352)
Total
Futures
Long
Contracts
$
925,742,191
$
3,962,473
CME
E-mini
Russell
2000
Index
(1,159)
September
2026
(
$
170,490,853)
$
233,753
CME
E-mini
S&P
Mid-Cap
400
Index
(117)
September
2026
(
44,454,245)
311,315
Eurex
Euro
STOXX
50
Index
(777)
September
2026
(
55,305,606)
(
1,921,749)
ICE
US
mini
MSCI
Emerging
Markets
Index
(611)
September
2026
(
52,947,767)
2,775,502
Total
Futures
Short
Contracts
(
$
323,198,471)
$1,398,821
Total
Futures
Contracts
$
602,543,720
$5,361,294
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
154
The
following
table
presents
Moderately
Aggressive
Allocation
Fund's
credit
default
swap
contracts
held
as
of
July
31,
2026.
Investments
totaling
$1,890,451
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
46,
5
Year,
at
5.00%,
Quarterly
Sell
6/20/2031
(
$
20,334,600)
$
–
$
755,103
$
755,103
Total
Credit
Default
Swaps
$–
$755,103
$755,103
1
As
the
buyer
of
protection,
Moderately
Aggressive
Allocation
Fund
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Moderately
Aggressive
Allocation
Fund
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Moderately
Aggressive
Allocation
Fund
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
155
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Moderately
Aggressive
Allocation
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$36,902
$1,539
$3,215
$35,003
4,000
0.6%
Core
Emerging
Markets
Equity
93,937
3,044
–
116,292
7,954
2.0
Core
High
Yield
Bond
–
50,398
–
50,177
2,548
0.9
Core
Investment
Grade
Corporate
Bond
–
84,634
–
82,673
4,295
1.4
Global
Stock,
Class
S
270,917
27,951
–
305,134
9,395
5.3
High
Yield,
Class
S
27,135
1,278
–
27,989
1,656
0.5
Income,
Class
S
72,883
2,530
1,430
71,287
4,436
1.3
International
Equity,
Class
S
360,404
24,583
–
424,546
29,647
7.4
International
Large
Cap
ETF
1
164,656
27,146
–
195,866
7,666
3.4
International
Small
Cap
ETF
–
7,564
–
7,527
324
0.1
Large
Cap
Growth,
Class
S
634,207
18,758
–
636,278
25,289
11.0
Large
Cap
Value,
Class
S
482,993
26,205
–
575,078
15,254
10.0
Mid
Cap
Stock,
Class
S
188,461
21,438
–
227,884
5,714
3.9
Mid
Cap
Value
ETF
2
–
40,727
–
47,666
2,675
0.8
Short-Term
Bond,
Class
S
41,838
1,384
950
41,733
3,360
0.7
Small
Cap
Stock,
Class
S
80,370
1,919
–
96,089
2,571
1.7
Small
Cap
Value
ETF
3
24,701
2,923
0
30,892
962
0.5
Total
Affiliated
Registered
Investment
Companies
2,479,404
2,972,114
51.5
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
486,525
100,670
266,290
320,948
32,095
5.6
Total
Affiliated
Short-Term
Investments
486,525
320,948
5.6
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
5,478
318,555
315,371
8,662
8,662
0.2
Total
Collateral
Held
for
Securities
Loaned
5,478
8,662
0.2
Total
Value
$2,971,407
$3,301,724
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
2
Effective
November
14,
2025,
Mid
Cap
Value
Fund
converted
to
Mid
Cap
Value
ETF.
3
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Moderately
Aggressive
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
156
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$(401)
$178
$–
$1,538
Core
Emerging
Markets
Equity
–
19,311
–
3,044
Core
High
Yield
Bond
–
(221)
–
1,224
Core
Investment
Grade
Corporate
Bond
–
(1,961)
–
1,544
Global
Stock,
Class
S
–
6,266
23,475
4,476
High
Yield,
Class
S
–
(424)
–
1,278
Income,
Class
S
(234)
(2,462)
–
2,530
International
Equity,
Class
S
–
39,559
14,434
10,149
International
Large
Cap
ETF
1
–
4,064
17,387
9,760
International
Small
Cap
ETF
–
(37)
–
–
Large
Cap
Growth,
Class
S
–
(16,687)
18,758
–
Large
Cap
Value,
Class
S
–
65,880
20,058
6,149
Mid
Cap
Stock,
Class
S
–
17,985
20,528
910
Mid
Cap
Value
ETF
2
–
6,939
–
48
Short-Term
Bond,
Class
S
(7)
(532)
–
1,385
Small
Cap
Stock,
Class
S
–
13,800
1,590
329
Small
Cap
Value
ETF
3
–
3,268
2,366
629
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
43
–
–
12,482
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$57,475
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
19
Total
Affiliated
Income
from
Securities
Loaned,
Net
$19
Total
$(599)
$154,926
$118,596
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
2
Effective
November
14,
2025,
Mid
Cap
Value
Fund
converted
to
Mid
Cap
Value
ETF.
3
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
157
Shares
Registered
Investment
Companies  
51.6%
Value
U.S.
Affiliated  
51.2%  
3,615,605
Thrivent
Core
Emerging
Markets
Debt
Fund
$
31,636,546
965,878
Thrivent
Core
Emerging
Markets
Equity
Fund
14,121,141
2,292,067
Thrivent
Core
High
Yield
Bond
Fund
45,130,803
3,869,828
Thrivent
Core
Investment
Grade
Corporate
Bond
Fund
74,494,188
95,387
Thrivent
Global
Stock
Fund,
Class
S
3,098,166
1,497,558
Thrivent
High
Yield
Fund,
Class
S
25,308,735
4,002,075
Thrivent
Income
Fund,
Class
S
64,313,345
2,588,345
Thrivent
International
Equity
Fund,
Class
S
37,065,101
919,835
Thrivent
International
Large
Cap
ETF
23,501,692
39,444
Thrivent
International
Small
Cap
ETF
915,882
3,540,146
Thrivent
Large
Cap
Growth
Fund,
Class
S
89,070,079
4,078,223
Thrivent
Large
Cap
Value
Fund,
Class
S
153,749,020
405,746
Thrivent
Mid
Cap
Stock
Fund,
Class
S
16,181,165
90,157
Thrivent
Mid
Cap
Value
ETF
1,606,354
3,033,976
Thrivent
Short-Term
Bond
Fund,
Class
S
37,681,978
140,889
Thrivent
Small
Cap
Stock
Fund,
Class
S
5,265,016
68,050
Thrivent
Small
Cap
Value
ETF
2,185,344
Total
625,324,555
U.S.
Unaffiliated  
0.4%  
1,762
Invesco
QQQ
Trust
Series
1
a
1,212,238
118
iShares
Biotechnology
ETF
21,996
59
iShares
Russell
2000
Growth
ETF
21,870
131
iShares
Semiconductor
ETF
66,141
3,782
State
Street
SPDR
S&P
500
ETF
Trust
2,825,268
196
State
Street
SPDR
S&P
600
Small
Cap
Growth
ETF
22,583
1,097
State
Street
SPDR
S&P
Biotech
ETF
161,270
Total
4,331,366
Total
Registered
Investment
Companies
(cost
$452,110,905)
629,655,921
Principal
Amount
Long-Term
Fixed
Income
24.0%
Value
Asset-Backed
Securities
0.7%
522
Funding
CLO,
Ltd.
$
475,000
5.503%, 
(TSFR3M
+
1.750%),
4/15/2035,
Ser.
2019-5A,
Class
CR2
b,c
475,074
Acacia,
LLC
450,000
5.440%, 
7/15/2041,
Ser.
2026-1,
Class
A
b
449,801
Access
Group,
Inc.
14,750
4.231%, 
(SOFR30A
+
0.614%),
2/25/2036,
Ser.
2013-1,
Class
A
b,c
14,722
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
Asset-Backed
Securities
0.7%
-
continued
ALLO
Issuer,
LLC
$
550,000
5.528%, 
4/20/2055,
Ser.
2025-1A,
Class
A2
b
$
550,908
Balboa
Bay
Loan
Funding,
Ltd.
500,000
5.679%, 
(TSFR3M
+
1.950%),
7/20/2034,
Ser.
2021-1A,
Class
CR
b,c
501,524
375,000
5.979%, 
(TSFR3M
+
2.250%),
1/20/2035,
Ser.
2021-2A,
Class
CR
b,c
375,079
Barings
CLO,
Ltd.
500,000
5.629%, 
(TSFR3M
+
1.900%),
1/18/2035,
Ser.
2021-3A,
Class
CR
b,c
500,060
Battalion
CLO
XIV,
Ltd.
325,000
5.729%, 
(TSFR3M
+
2.000%),
1/20/2035,
Ser.
2019-14A,
Class
CR2
b,c
325,008
CMFT
Net
Lease
Master
Issuer,
LLC
311,254
2.090%, 
7/20/2051,
Ser.
2021-1,
Class
A1
b
291,479
Commonbond
Student
Loan
Trust
9,016
4.339%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,c
8,948
Federal
National
Mortgage
Association
-
REMIC
525,000
7.776%, 
(SOFR30A
+
4.160%),
8/25/2026,
Ser.
2026-69,
Class
MF
c
507,515
FirstLight
Issuer,
LLC
400,000
5.873%, 
6/20/2056,
Ser.
2026-1A,
Class
A2
b
397,384
Foundation
Finance
Trust
72,047
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
b
68,787
Hotwire
Funding,
LLC
475,000
5.893%, 
6/20/2054,
Ser.
2024-1A,
Class
A2
b
478,888
Laurel
Road
Prime
Student
Loan
Trust
102,955
6.200%, 
11/25/2043,
Ser.
2018-D,
Class
A
b,c
97,676
LCM
41,
Ltd.
200,000
5.753%, 
(TSFR3M
+
2.000%),
4/15/2036,
Ser.
41A,
Class
CR
b,c
200,003
Lightpath
Fiber
Issuer,
LLC
550,000
5.597%, 
3/25/2056,
Ser.
2026-1A,
Class
A2
b
544,758
National
Collegiate
Trust
42,226
4.058%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,c
41,411
Oak
Street
Investment
300,424
1.850%, 
11/20/2050,
Ser.
2020-1A,
Class
A1
b
270,381
Pagaya
AI
Debt
Grantor
Trust
400,000
5.245%, 
1/16/2034,
Ser.
2026-4,
Class
A2
b
399,621
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
158
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
Asset-Backed
Securities
0.7%
-
continued
Palmer
Square
Loan
Funding,
Ltd.
$
275,000
5.251%, 
(TSFR3M
+
1.600%),
2/15/2033,
Ser.
2025-1A,
Class
B
b,c
$
275,254
RR
28,
Ltd.
700,000
5.403%, 
(TSFR3M
+
1.650%),
4/15/2041,
Ser.
2024-28RA,
Class
A2R2
b,c
700,993
Sunnova
Hestia
II
Issuer,
LLC
483,721
5.630%, 
7/20/2051,
Ser.
2024-GRID1,
Class
1A
b,d
462,797
Trinitas
CLO,
Ltd.
725,000
5.510%, 
(TSFR3M
+
1.700%),
4/25/2039,
Ser.
2024-28A,
Class
BR
b,c
725,679
Total
8,663,750
Collateralized
Mortgage
Obligations
2.4%
A&D
Mortgage
Trust
224,021
6.701%, 
4/25/2069,
Ser.
2024-NQM2,
Class
A2
b,e
224,934
Alternative
Loan
Trust
108,844
6.000%, 
8/1/2036,
Ser.
2006-24CB,
Class
A9
52,293
BINOM
Securitization
Trust
152,105
2.370%, 
6/25/2056,
Ser.
2021-INV1,
Class
A2
b,c
139,797
CFST
Mortgage
Trust
500,000
5.882%, 
10/25/2030,
Ser.
2025-RTL1,
Class
A1
b,e
500,885
Chase
Home
Lending
Mortgage
Trust
425,000
6.000%, 
11/25/2055,
Ser.
2024-11,
Class
A5
b,c
417,571
CHNGE
Mortgage
Trust
99,332
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
b,e
98,998
Citicorp
Mortgage
Securities,
Inc.
161,601
6.000%, 
7/25/2037,
Ser.
2007-6,
Class
1A4
138,534
COLT
Mortgage
Loan
Trust
471,090
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
b,c
424,241
Countrywide
Alternative
Loan
Trust
110,816
4.124%, 
10/25/2035,
Ser.
2005-43,
Class
4A1
c
96,707
369,597
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
113,534
Cross
Mortgage
Trust
499,767
5.087%, 
3/25/2061,
Ser.
2026-NQM2,
Class
A2
b,e
492,789
CSMC
Trust
220,604
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
b,c
188,610
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
627,109
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
614,459
400,000
5.000%, 
1/25/2055,
Ser.
5490,
Class
LB
385,560
750,000
5.250%, 
2/25/2055,
Ser.
5508,
Class
AY
734,206
400,000
5.250%, 
3/25/2055,
Ser.
5519,
Class
CL
387,065
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
Collateralized
Mortgage
Obligations
2.4%
-
continued
$
503,041
7.616%, 
(SOFR30A
+
4.000%),
8/25/2026,
Ser.
5567,
Class
MB
c
$
509,139
800,000
5.000%, 
8/25/2055,
Ser.
5569,
Class
BY
765,086
836,466
5.000%, 
9/25/2054,
Ser.
5473,
Class
HL
822,877
1,188,732
2.000%, 
12/25/2050,
Ser.
5051,
Class
WI
f
152,898
106,719
3.000%, 
2/15/2033,
Ser.
4170,
Class
IG
f
5,724
133,734
3.000%, 
3/15/2033,
Ser.
4180,
Class
PI
f
9,181
476,241
4.500%, 
10/15/2033,
Ser.
2695,
Class
BH
471,791
650,000
2.500%, 
12/15/2048,
Ser.
5094,
Class
BC
532,775
Federal
Home
Loan
Mortgage
Corporation
-
SLST
450,000
3.000%, 
5/25/2035,
Ser.
2025-1,
Class
A2
d
381,771
Federal
National
Mortgage
Association
-
REMIC
550,000
5.000%, 
1/25/2055,
Ser.
2024-103,
Class
YD
537,254
525,581
5.000%, 
8/25/2055,
Ser.
2025-66,
Class
KZ
489,354
475,000
5.000%, 
8/25/2055,
Ser.
2025-69,
Class
DL
451,555
382,561
Zero
Coupon, 
11/25/2053,
Ser.
2023-54,
Class
EO
316,863
833,996
2.000%, 
12/25/2050,
Ser.
2020-89,
Class
IM
f
110,243
44,110
3.000%, 
12/25/2027,
Ser.
2012-137,
Class
AI
f
461
Flagstar
Mortgage
Trust
625,303
2.500%, 
9/25/2051,
Ser.
2021-8INV,
Class
A3
b,c
504,224
190,225
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
b,c
169,649
GCAT
Trust
244,807
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
b,c
222,867
420,042
6.000%, 
9/25/2054,
Ser.
2024-INV3,
Class
A1
b,c
421,749
GS
Mortgage-Backed
Securities
Trust
575,580
4.978%, 
5/25/2066,
Ser.
2026-DSC1,
Class
A2
b,e
564,866
522,170
3.000%, 
6/25/2052,
Ser.
2022-GR1,
Class
A2
b,c
439,617
400,000
5.000%, 
10/25/2056,
Ser.
2026-PJ7,
Class
A17
b,c
367,306
750,000
5.500%, 
11/25/2055,
Ser.
2025-PJ6,
Class
A17
b,c
730,625
GSAA
Home
Equity
Trust
855,050
4.013%, 
8/25/2034,
Ser.
2004-10,
Class
M2
c
803,247
GSR
Mortgage
Loan
Trust
259,965
5.173%, 
9/25/2034,
Ser.
2004-11,
Class
2A2
c
254,538
HTAP
Issuer
Trust
310,199
6.500%, 
4/25/2042,
Ser.
2024-2,
Class
A
b
307,250
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
159
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
Collateralized
Mortgage
Obligations
2.4%
-
continued
$
565,183
6.500%, 
11/25/2042,
Ser.
2025-1,
Class
A
b
$
563,506
J.P.
Morgan
Mortgage
Trust
394,684
2.500%, 
2/25/2052,
Ser.
2021-INV7,
Class
A2A
b,c
317,777
400,000
5.500%, 
3/25/2056,
Ser.
2025-9,
Class
A8
b,c
390,996
295,207
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
b,c
250,012
273,341
5.055%, 
6/25/2056,
Ser.
2025-12MPR,
Class
A1D
b,e
269,888
340,000
5.000%, 
7/25/2056,
Ser.
2026-1,
Class
A5A
b,c
315,383
Mello
Mortgage
Capital
Acceptance
438,207
2.500%, 
8/25/2051,
Ser.
2021-INV2,
Class
A3
b,c
350,628
Merrill
Lynch
Alternative
Note
Asset
Trust
76,526
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
21,905
MFA
Trust
273,597
6.330%, 
9/25/2054,
Ser.
2024-NPL1,
Class
A1
b,e
273,952
Morgan
Stanley
Residential
Mortgage
Loan
Trust
575,000
7.298%, 
9/25/2068,
Ser.
2023-NQM1,
Class
M1
b,c
575,200
New
Residential
Mortgage
Loan
Trust
845,070
2.500%, 
9/25/2051,
Ser.
2021-INV2,
Class
A2
b,c
680,380
OBX
Trust
350,000
4.688%, 
1/25/2062,
Ser.
2022-NQM3,
Class
A1B
b,c
326,598
PMT
Loan
Trust
650,000
6.000%, 
2/25/2056,
Ser.
2025-INV2,
Class
A10
b,c
639,358
700,000
5.500%, 
5/25/2056,
Ser.
2025-INV5,
Class
A12
b,c
678,113
Point
Securitization
Trust
500,000
5.250%, 
7/25/2056,
Ser.
2026-2,
Class
A1
b
484,650
572,928
5.750%, 
10/25/2055,
Ser.
2025-2,
Class
A1
b
566,495
PRET
Trust
282,039
4.000%, 
8/25/2064,
Ser.
2025-RPL2,
Class
A1
b,e
272,112
PRET,
LLC
434,543
5.074%, 
2/25/2056,
Ser.
2026-NPL2,
Class
A1
b,e
430,924
Provident
Funding
Mortgage
Trust
725,000
5.000%, 
12/25/2055,
Ser.
2025-6,
Class
A10
b,c
674,760
PRPM,
LLC
325,000
3.500%, 
5/25/2054,
Ser.
2024-RPL2,
Class
A2
b,e
313,697
266,661
6.255%, 
5/25/2030,
Ser.
2025-3,
Class
A1
b,e
266,431
381,520
5.729%, 
7/25/2030,
Ser.
2025-5,
Class
A1
b,e
380,010
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
Collateralized
Mortgage
Obligations
2.4%
-
continued
RCO
IX
Mortgage,
LLC
$
164,925
5.765%, 
5/25/2031,
Ser.
2026-2,
Class
A1
b,e
$
164,253
Residential
Accredit
Loans,
Inc.
Trust
59,824
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
52,780
Residential
Asset
Securitization
Trust
377,090
5.375%, 
7/25/2035,
Ser.
2005-A8CB,
Class
A9
175,733
Saluda
Grade
Alternative
Mortgage
Trust
257,733
7.762%, 
4/25/2030,
Ser.
2024-RTL5,
Class
A1
b,e
256,834
399,313
7.439%, 
7/25/2030,
Ser.
2024-RTL6,
Class
A1
b,e
398,706
Sequoia
Mortgage
Trust
775,000
5.000%, 
5/25/2056,
Ser.
2026-5,
Class
A8
b,c
708,545
350,000
5.500%, 
8/25/2055,
Ser.
2025-7,
Class
A8
b,c
337,766
650,000
5.000%, 
12/25/2055,
Ser.
2025-12,
Class
A8
b,c
605,221
160,567
3.434%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
c
104,191
TRK
Trust
231,088
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
b,c
205,257
Unlock
HEA
Trust
271,958
7.000%, 
4/25/2039,
Ser.
2024-1,
Class
A
b
270,829
365,411
6.500%, 
10/25/2039,
Ser.
2024-2,
Class
A
b
363,109
Verus
Securitization
Trust
156,830
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
b,c
137,754
VOLT
CVI,
LLC
280,081
9.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
b
280,375
Vontive
Mortgage
Trust
600,000
6.507%, 
3/25/2030,
Ser.
2025-RTL1,
Class
A1
b,e
603,198
Total
29,060,419
Commercial
Mortgage-Backed
Securities
0.5%
AMSR
Trust
500,000
2.352%, 
6/17/2038,
Ser.
2021-SFR1,
Class
C
b
471,063
BANK
2,711,463
0.410%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
c,f
52,688
2,686,629
0.623%, 
3/15/2058,
Ser.
2025-BNK49,
Class
XA
c,f
117,577
BBCMS
Mortgage
Trust
3,959,428
1.149%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
c,f
221,717
2,319,222
0.919%, 
12/15/2058,
Ser.
2025-C39,
Class
XA
c,f
151,805
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
160
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
Commercial
Mortgage-Backed
Securities
0.5%
-
continued
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
$
4,135,000
5.000%, 
5/25/2034,
Ser.
K-164,
Class
A2
d
$
4,157,444
Home
Partners
of
America
Trust
443,932
2.078%, 
9/17/2041,
Ser.
2021-1,
Class
C
b
400,280
Total
5,572,574
Financials
<0.1%
CHL
Mortgage
Pass-Through
Trust
474,009
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
185,936
Countrywide
Home
Loans,
Inc.
74,839
5.750%, 
4/25/2037,
Ser.
2007-3,
Class
A27
30,799
Total
216,735
Mortgage-Backed
Securities
9.6%
Federal
Home
Loan
Mortgage
Corporation
Conventional
15-Yr.
Pass
Through
237,229
5.500%, 
12/1/2038
241,761
1,304,372
5.500%, 
2/1/2040
1,324,057
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,607,816
2.000%, 
1/1/2052
1,273,035
172,255
6.000%, 
1/1/2055
178,111
973,744
4.500%, 
2/1/2056
922,011
1,864,657
2.500%, 
4/1/2052
1,555,918
772,903
2.000%, 
5/1/2051
611,973
2,830,835
2.500%, 
5/1/2051
2,343,640
1,661,978
4.000%, 
5/1/2052
1,530,741
659,399
5.000%, 
7/1/2053
643,198
317,896
5.500%, 
7/1/2053
317,406
917,615
3.500%, 
8/1/2052
820,957
893,129
5.000%, 
8/1/2053
874,875
2,312,224
5.500%, 
9/1/2053
2,321,657
1,075,476
5.500%, 
9/1/2055
1,072,207
438,132
5.500%, 
9/1/2055
437,530
974,919
3.500%, 
9/1/2047
884,307
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
612,400
2.500%, 
7/1/2030
591,264
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
172,711
5.500%, 
9/1/2039
176,319
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
1,083,172
3.000%, 
12/1/2036
1,013,343
852,738
3.000%, 
8/1/2038
799,995
1,398,527
3.500%, 
5/1/2040
1,309,101
1,711,272
2.500%, 
4/1/2042
1,506,422
411,604
2.000%, 
5/1/2042
352,887
488,963
5.000%, 
10/1/2045
476,806
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
Mortgage-Backed
Securities
9.6%
-
continued
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
$
3,533,790
3.000%, 
1/1/2052
$
3,048,099
570,134
2.000%, 
2/1/2051
451,422
376,892
2.000%, 
2/1/2051
298,416
2,040,996
2.500%, 
2/1/2051
1,700,839
1,528,984
5.500%, 
2/1/2055
1,530,065
5,546,175
2.000%, 
3/1/2051
4,364,352
2,541,942
4.000%, 
3/1/2051
2,356,938
354,531
2.000%, 
3/1/2052
281,928
3,836,086
3.000%, 
3/1/2052
3,309,407
2,555,089
5.500%, 
3/1/2055
g
2,541,879
1,493,372
3.000%, 
4/1/2051
1,277,960
1,413,647
5.500%, 
4/1/2054
1,419,415
1,932,245
3.000%, 
5/1/2050
1,653,714
690,325
2.000%, 
5/1/2051
543,668
1,758,669
3.000%, 
5/1/2051
1,538,821
534,679
3.500%, 
5/1/2052
478,786
3,958,320
2.000%, 
6/1/2050
3,125,365
1,437,847
3.000%, 
6/1/2050
1,263,555
668,508
4.000%, 
6/1/2052
613,145
423,521
5.000%, 
6/1/2053
413,770
3,258,235
2.500%, 
7/1/2051
2,726,176
918,129
3.500%, 
7/1/2051
824,380
358,476
3.000%, 
7/1/2052
310,802
788,835
4.000%, 
7/1/2052
723,510
723,162
2.500%, 
8/1/2050
604,107
1,959,183
3.500%, 
8/1/2050
1,767,516
2,389,424
3.500%, 
8/1/2052
2,121,970
6,684,895
4.500%, 
8/1/2052
6,317,210
2,984,498
4.500%, 
8/1/2052
2,821,915
1,232,759
5.000%, 
8/1/2053
1,203,996
2,453,231
6.000%, 
8/1/2054
2,536,293
6,850,000
2.500%, 
8/1/2056
g
5,583,745
567,044
2.500%, 
9/1/2051
473,003
674,329
3.500%, 
9/1/2052
603,674
1,549,506
3.500%, 
9/1/2052
1,391,823
953,233
5.000%, 
9/1/2052
927,629
916,279
4.500%, 
9/1/2053
869,545
1,400,293
4.500%, 
9/1/2053
1,326,627
2,089,063
4.000%, 
10/1/2052
1,925,944
698,320
2.000%, 
11/1/2051
552,898
898,272
3.500%, 
11/1/2052
808,205
2,758,176
2.000%, 
12/1/2050
2,185,904
3,895,317
2.500%, 
12/1/2051
3,245,226
1,725,555
4.500%, 
12/1/2052
1,638,906
525,000
6.000%, 
8/1/2041
g
530,781
1,425,000
5.500%, 
8/1/2042
g
1,410,187
1,149,754
3.500%, 
12/1/2047
1,044,401
3,400,000
4.000%, 
8/1/2048
g
3,103,509
1,925,000
4.500%, 
8/1/2048
g
1,807,436
7,100,000
5.000%, 
8/1/2048
g
6,851,258
2,000,000
3.500%, 
8/1/2049
g
1,773,984
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
954,936
3.500%, 
7/1/2061
836,659
1,078,965
4.000%, 
12/1/2061
972,536
Total
117,612,820
U.S.
Government
&
Agencies
10.8%
U.S.
Treasury
Bonds
1,000,000
4.750%, 
2/15/2056
924,063
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
161
Principal
Amount
Long-Term
Fixed
Income  24.0%
Value
U.S.
Government
&
Agencies
10.8%
-
continued
$
9,000,000
4.750%, 
8/15/2055
$
8,310,586
4,000,000
1.625%, 
11/15/2050
1,978,906
2,300,000
4.750%, 
11/15/2053
2,119,414
2,190,000
5.250%, 
11/15/2028
2,235,682
550,000
4.375%, 
5/15/2040
515,969
7,335,000
1.375%, 
11/15/2040
4,565,464
2,000,000
3.000%, 
5/15/2042
1,531,172
4,300,000
4.625%, 
2/15/2046
3,961,375
4,999,000
2.500%, 
5/15/2046
3,279,617
7,300,000
2.875%, 
5/15/2049
4,936,910
U.S.
Treasury
Notes
4,200,000
0.500%, 
4/30/2027
4,091,686
8,200,000
3.875%, 
5/31/2027
8,183,908
6,500,000
3.500%, 
9/30/2027
6,449,473
2,285,000
2.250%, 
11/15/2027
2,229,125
4,700,000
3.875%, 
12/31/2027
4,676,500
1,700,000
0.750%, 
1/31/2028
1,614,734
8,400,000
3.500%, 
1/31/2028
8,309,109
5,450,000
2.875%, 
5/15/2028
5,320,350
1,800,000
3.750%, 
12/31/2028
1,776,938
4,100,000
3.500%, 
9/30/2029
3,998,301
27,000,000
3.625%, 
9/30/2030
26,208,984
1,400,000
3.625%, 
10/31/2030
1,358,000
900,000
3.875%, 
4/30/2031
879,117
4,700,000
4.125%, 
6/30/2031
4,637,578
5,095,000
1.375%, 
11/15/2031
4,360,006
5,025,000
4.125%, 
11/15/2032
4,916,648
3,300,000
4.500%, 
11/15/2033
3,282,855
1,800,000
4.250%, 
8/15/2035
1,742,836
2,600,000
4.000%, 
11/15/2035
2,464,719
500,000
4.125%, 
2/15/2036
477,813
Total
131,337,838
Total
Long-Term
Fixed
Income
(cost
$312,940,789)
292,464,136
Shares
Common
Stock
13.4%
Value
Communications
Services
1.0%
11,287
Alphabet,
Inc.,
Class
A
4,019,639
9,635
Alphabet,
Inc.,
Class
C
3,436,323
13,530
AT&T,
Inc.
314,572
31
Cable
One,
Inc.
h
1,240
106
CarGurus
,
Inc.
h
3,841
39
Charter
Communications,
Inc.
h
5,654
4,814
Comcast
Corporation
115,343
440
Gogo
,
Inc.
h
1,839
103
Liberty
Capital
Corporation
h
2,387
1,107
Liberty
Global,
Ltd.,
Class
A
h
11,745
85
Liberty
Media
Corporation-Liberty
Formula
One
h
8,341
1,457
Lumen
Technologies,
Inc.
h
9,296
13
Madison
Square
Garden
Sports
Corporation
h
5,118
91
Match
Group,
Inc.
3,586
4,994
Meta
Platforms,
Inc.
2,780,210
2,597
Netflix,
Inc.
h
186,231
499
New
York
Times
Company
37,370
65
Omnicom
Group,
Inc.
5,116
867
Reddit
,
Inc.
h
121,961
676
ROBLOX
Corporation
h
24,066
21
Space
Exploration
Technologies
Corporation
h
2,276
156
Spotify
Technology
SA
h
77,991
815
Taboola.com,
Ltd.
h
4,083
Shares
Common
Stock  13.4%
Value
Communications
Services
1.0%
-
continued
1,417
Trade
Desk,
Inc.
h
$
25,563
4,927
Universal
Music
Group
NV
81,293
278
Versant
Media
Group,
Inc.
10,005
4,142
Walt
Disney
Company
398,419
5,908
Warner
Brothers
Discovery,
Inc.
h
155,380
6,533
Warner
Music
Group
Corporation
169,597
1,824
ZoomInfo
Technologies,
Inc.
h
6,019
Total
12,024,504
Consumer
Discretionary
1.4%
77
Abercrombie
&
Fitch
Company
h
7,665
267
Adient
plc
h
5,618
15,482
ADT,
Inc.
118,283
1,504
Advance
Auto
Parts,
Inc.
83,532
4,796
Airbnb,
Inc.
h
726,690
21,300
Amazon.com,
Inc.
h
5,784,654
424
American
Eagle
Outfitters,
Inc.
7,284
1,910
Aptiv
plc
h
107,858
249
Aramark
14,186
8
AutoNation,
Inc.
h
1,699
21
AutoZone,
Inc.
h
63,341
476
Bath
&
Body
Works,
Inc.
9,577
91
Best
Buy
Company,
Inc.
7,850
974
Boot
Barn
Holdings,
Inc.
h
145,116
2,026
BorgWarner,
Inc.
129,137
10
Bright
Horizons
Family
Solutions,
Inc.
h
745
45
Brunswick
Corporation
3,555
130
Buckle,
Inc.
5,690
24
Burlington
Stores,
Inc.
h
8,844
519
CarMax,
Inc.
h
29,718
500
Carnival
Corporation,
Ltd.
13,905
4
Cavco
Industries,
Inc.
h
2,188
104
Champion
Homes,
Inc.
h
8,279
373
Chewy,
Inc.
h
8,430
195
Chipotle
Mexican
Grill,
Inc.
h
7,258
1,100
D.R.
Horton,
Inc.
157,366
260
Dana,
Inc.
7,002
153
Deckers
Outdoor
Corporation
h
14,823
361
DoorDash
,
Inc.
h
70,814
147
eBay,
Inc.
16,760
3,274
Etsy,
Inc.
h
267,420
1,769
Five
Below,
Inc.
h
384,103
135
Flutter
Entertainment
plc
h
14,103
2,378
Ford
Motor
Company
34,909
998
Frontdoor
,
Inc.
h
72,485
49
Gap,
Inc.
984
786
Garmin,
Ltd.
230,911
4,329
Garrett
Motion,
Inc.
134,848
8,962
General
Motors
Company
796,363
458
Gentex
Corporation
10,699
9
Genuine
Parts
Company
1,119
24
GigaCloud
Technology,
Inc.
h
1,050
712
Goodyear
Tire
&
Rubber
Company
h
4,948
52
Grand
Canyon
Education,
Inc.
h
7,558
500
Hasbro,
Inc.
46,970
1,758
Hilton
Worldwide
Holdings,
Inc.
563,421
472
Home
Depot,
Inc.
156,685
650
Installed
Building
Products,
Inc.
144,911
299
Kohl's
Corporation
5,723
1,996
Laureate
Education,
Inc.
h
76,467
260
Lear
Corporation
33,966
149
Lennar
Corporation
12,270
3,361
Levi
Strauss
&
Company
82,412
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
162
Shares
Common
Stock  13.4%
Value
Consumer
Discretionary
1.4%
-
continued
5,434
Life
Time
Group
Holdings,
Inc.
h
$
245,073
9
Lithia
Motors,
Inc.
3,469
210
LKQ
Corporation
4,715
1,191
Lowe's
Companies,
Inc.
247,502
143
Lululemon
Athletica
,
Inc.
h
16,998
19
M/I
Homes,
Inc.
h
2,777
845
Macy's,
Inc.
20,973
742
Mattel,
Inc.
h
11,197
819
Mobileye
Global,
Inc.
h
6,503
386
Mohawk
Industries,
Inc.
h
47,517
593
Monarch
Casino
&
Resort,
Inc.
72,791
199
Murphy
USA,
Inc.
120,944
1
NVR,
Inc.
h
6,147
854
Ollie's
Bargain
Outlet
Holdings,
Inc.
h
62,743
5,184
O'Reilly
Automotive,
Inc.
h
463,190
4,115
Pattern
Group,
Inc.
h
94,727
278
PENN
Entertainment,
Inc.
h
5,707
255
Perdoceo
Education
Corporation
8,112
34
Pool
Corporation
6,314
591
PulteGroup,
Inc.
74,744
41
Ralph
Lauren
Corporation
15,594
455
RH
h
75,312
4,720
Ross
Stores,
Inc.
1,185,050
1,986
SharkNinja
,
Inc.
h
321,275
705
Sonos
,
Inc.
h
10,335
6,151
Sony
Group
Corporation
ADR
143,072
67
Strategic
Education,
Inc.
5,494
1,267
Tapestry,
Inc.
193,053
3,235
Tesla,
Inc.
h
1,006,764
1,340
Texas
Roadhouse,
Inc.
275,290
4,245
TJX
Companies,
Inc.
667,908
309
Toll
Brothers,
Inc.
45,080
176
Tractor
Supply
Company
5,416
38
Ulta
Beauty,
Inc.
h
19,488
2,550
Universal
Technical
Institute,
Inc.
h
100,241
359
Urban
Outfitters,
Inc.
h
26,631
239
Versigent
plc
h
9,883
112
Victoria's
Secret
&
Company
h
9,932
5,981
Viking
Holdings,
Ltd.
h
624,117
43
Visteon
Corporation
4,495
370
Williams-Sonoma,
Inc.
84,604
2,198
Wyndham
Hotels
&
Resorts,
Inc.
164,542
2,543
Wynn
Resorts,
Ltd.
252,545
163
YETI
Holdings,
Inc.
h
7,977
7
Yum!
Brands,
Inc.
1,073
Total
17,429,506
Consumer
Staples
0.3%
6,843
BellRing
Brands,
Inc.
h
84,785
74
BJ's
Wholesale
Club
Holdings,
Inc.
h
7,236
1,598
British
American
Tobacco
plc
ADR
96,919
160
Campbell's
Company
a
3,517
245
Casey's
General
Stores,
Inc.
213,395
45
Celsius
Holdings,
Inc.
h
1,314
554
Central
Garden
&
Pet
Company,
Class
A
h
21,002
1,335
Chefs'
Warehouse,
Inc.
h
153,992
81
Church
&
Dwight
Company,
Inc.
8,004
6,854
Coca-Cola
Company
600,342
1,253
Colgate-Palmolive
Company
114,399
1,478
Conagra
Brands,
Inc.
21,446
38
Constellation
Brands,
Inc.
4,949
124
Costco
Wholesale
Corporation
118,034
Shares
Common
Stock  13.4%
Value
Consumer
Staples
0.3%
-
continued
6,324
Darling
Ingredients,
Inc.
h
$
383,487
107
Dollar
General
Corporation
13,594
90
Dollar
Tree,
Inc.
h
11,449
15
Hershey
Company
2,626
323
Hormel
Foods
Corporation
8,078
27
Ingles
Markets,
Inc.
2,430
175
J.M.
Smucker
Company
20,871
1,112
John
B.
Sanfilippo
&
Son,
Inc.
92,029
7,441
Keurig
Dr
Pepper,
Inc.
231,564
395
Kraft
Heinz
Company
10,211
121
Maplebear
,
Inc.
h
5,397
22
Marzetti
Company
2,351
939
PepsiCo,
Inc.
131,047
126
Performance
Food
Group
Company
h
14,413
303
Procter
&
Gamble
Company
43,781
1
Seaboard
Corporation
4,413
470
Smithfield
Foods,
Inc.
12,239
8
Sprouts
Farmers
Markets,
Inc.
h
697
3,934
Sysco
Corporation
335,334
35
Target
Corporation
5,057
2,899
Turning
Point
Brands,
Inc.
216,294
371
Tyson
Foods,
Inc.
21,503
4,535
Unilever
plc
ADR
287,564
146
US
Foods
Holding
Corporation
h
14,686
32
Vita
Coco
Company,
Inc.
h
2,110
4,093
Walmart,
Inc.
455,142
264
WD-40
Company
59,965
Total
3,837,666
Energy
0.5%
11,431
Antero
Midstream
Corporation
251,139
577
Antero
Resources
Corporation
h
20,853
99
APA
Corporation
3,695
58
Archrock
,
Inc.
2,074
41
Baker
Hughes
Company
2,480
19
California
Resources
Corporation
1,000
318
Cheniere
Energy,
Inc.
83,815
4,046
Chevron
Corporation
796,374
209
Chord
Energy
Corporation
29,339
142
CNX
Resources
Corporation
h
5,084
6,535
ConocoPhillips
787,337
10,255
Devon
Energy
Corporation
462,808
3,528
DHT
Holdings,
Inc.
65,515
73
Diamondback
Energy,
Inc.
14,815
572
Dorian
LPG,
Ltd.
27,124
181
DT
Midstream,
Inc.
24,978
9,581
Enterprise
Products
Partners,
LP
364,557
1,102
EOG
Resources,
Inc.
163,856
191
EQT
Corporation
10,178
1,195
Expand
Energy
Corporation
112,366
6,726
ExxonMobil
Holdings
Corporation
1,045,490
174
Gulfport
Energy
Corporation
h
28,078
7,849
Halliburton
Company
253,130
63
Hess
Midstream,
LP
2,572
602
HF
Sinclair
Corporation
55,065
1,236
Kinder
Morgan,
Inc.
39,775
157
Kodiak
Gas
Services,
Inc.
9,218
813
Marathon
Petroleum
Corporation
257,290
1,932
Matador
Resources
Company
96,388
519
Occidental
Petroleum
Corporation
29,619
33
Oceaneering
International,
Inc.
h
1,610
38
ONEOK,
Inc.
3,451
535
Ovintiv
,
Inc.
33,416
32
Par
Pacific
Holdings,
Inc.
h
2,753
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
163
Shares
Common
Stock  13.4%
Value
Energy
0.5%
-
continued
8,921
Patterson-UTI
Energy,
Inc.
$
93,492
129
PBF
Energy,
Inc.
9,324
19,305
Permian
Resources
Corporation
411,390
199
Phillips
66
42,124
207
Range
Resources
Corporation
8,309
76
Scorpio
Tankers,
Inc.
5,917
438
SM
Energy
Company
14,244
1,267
Talos
Energy,
Inc.
h
19,233
3,705
TechnipFMC
plc
265,500
53
Teekay
Tankers,
Ltd.
4,207
2,432
Transocean,
Ltd.
h
12,938
13
Valero
Energy
Corporation
4,068
117
Viper
Energy,
Inc.
5,219
Total
5,983,207
Financials
1.7%
35
Acadian
Asset
Management,
Inc.
3,027
596
Affiliated
Managers
Group,
Inc.
218,571
132
Affirm
Holdings,
Inc.
h
9,439
658
AGNC
Investment
Corporation
7,014
571
Allstate
Corporation
150,790
4,386
Ally
Financial,
Inc.
190,045
693
American
Express
Company
233,021
964
American
Financial
Group,
Inc.
136,618
2,810
American
International
Group,
Inc.
220,810
326
Ameriprise
Financial,
Inc.
177,944
40
Ameris
Bancorp
3,488
2,765
Arch
Capital
Group,
Ltd.
h
277,965
3,859
Associated
Banc-Corp
119,166
53
Assurant,
Inc.
14,797
141
Assured
Guaranty,
Ltd.
11,664
1,759
Atlantic
Union
Bankshares
Corporation
74,634
73
Avidia
Bancorp,
Inc.
1,628
134
Axis
Capital
Holdings,
Ltd.
14,113
973
Banc
of
California,
Inc.
18,633
16,548
Bank
of
America
Corporation
1,025,149
164
Bank
of
Marin
Bancorp
4,782
11
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
674
3,500
Bank
of
New
York
Mellon
Corporation
547,155
64
Bank
OZK
3,283
204
BankUnited
,
Inc.
9,517
126
Banner
Corporation
8,872
126
Bar
Harbor
Bankshares
5,003
90
BayCom
Corporation
2,716
3,577
Beacon
Financial
Corporation
112,711
2,019
Berkshire
Hathaway,
Inc.
h
1,032,799
14,633
BGC
Group,
Inc.
168,572
550
BlackRock,
Inc.
599,714
123
Bladex,
Inc.
7,202
54
Block,
Inc.
h
4,387
505
Blue
Owl
Capital,
Inc.
5,201
32
Bread
Financial
Holdings,
Inc.
3,458
3,104
Bridgewater
Bancshares,
Inc.
h
63,570
3,088
Byline
Bancorp,
Inc.
121,266
39
C&F
Financial
Corporation
3,221
2,179
Capital
One
Financial
Corporation
455,433
13
Cathay
General
Bancorp
821
8
Central
Pacific
Financial
Corporation
315
8,546
Charles
Schwab
Corporation
899,381
27
Chemung
Financial
Corporation
2,200
141
ChoiceOne
Financial
Services,
Inc.
4,798
990
Chubb,
Ltd.
347,173
Shares
Common
Stock  13.4%
Value
Financials
1.7%
-
continued
5
Cincinnati
Financial
Corporation
$
888
3,085
Citigroup,
Inc.
408,608
301
Citizens
Financial
Group,
Inc.
21,567
31
Citizens
Financial
Services,
Inc.
2,403
198
Civista
Bancshares,
Inc.
5,754
595
CNB
Financial
Corporation
20,884
517
CNO
Financial
Group,
Inc.
28,482
139
Colony
Bankcorp
,
Inc.
3,047
918
Columbia
Banking
System,
Inc.
28,706
102
Commerce
Bancshares,
Inc.
6,046
4
Community
Financial
System,
Inc.
259
912
Community
Trust
Bancorp,
Inc.
71,546
992
ConnectOne
Bancorp,
Inc.
32,676
7
Corpay
,
Inc.
h
2,675
57
Cullen/Frost
Bankers,
Inc.
9,481
1,459
Customers
Bancorp,
Inc.
h
114,794
353
Dynex
Capital,
Inc.
4,487
113
Eagle
Bancorp
Montana,
Inc.
2,648
656
East
West
Bancorp,
Inc.
85,936
96
Eastern
Bankshares
,
Inc.
2,204
41
Encore
Capital
Group,
Inc.
h
3,857
685
Enova
International,
Inc.
h
174,086
61
Equity
Bancshares,
Inc.
3,091
1,626
Essent
Group,
Ltd.
107,251
52
Euronet
Worldwide,
Inc.
h
3,709
60
Evercore
,
Inc.
19,234
597
F.N.B.
Corporation
11,283
166
Farmers
&
Merchants
Bancorp,
Inc./
Archbold
,
OH
5,538
186
Farmers
National
Banc
Corporation
2,950
510
Federal
Agricultural
Mortgage
Corporation
116,076
271
Federated
Hermes,
Inc.
16,249
93
Fidelity
National
Financial,
Inc.
4,798
350
Fidelity
National
Information
Services,
Inc.
15,669
349
Fifth
Third
Bancorp
19,718
756
Financial
Institutions,
Inc.
31,344
1,147
First
American
Financial
Corporation
86,014
63
First
Bancorp/Puerto
Rico
1,823
286
First
Bank/Hamilton,
NJ
5,300
288
First
Busey
Corporation
8,888
2
First
Citizens
BancShares
,
Inc./NC
4,373
48
First
Financial
Bankshares
,
Inc.
1,687
19
First
Hawaiian,
Inc.
528
783
First
Horizon
Corporation
20,076
215
First
Merchants
Corporation
9,275
104
First
Mid-Illinois
Bancshares,
Inc.
5,417
20
FirstCash
Holdings,
Inc.
4,080
466
Fiserv,
Inc.
h
25,136
97
Flagstar
Bank
NA
1,379
80
Flywire
Corporation
h
1,281
28
Franklin
Resources,
Inc.
948
133
Fulton
Financial
Corporation
3,236
17,006
Genworth
Financial,
Inc.
h
167,169
72
Glacier
Bancorp,
Inc.
3,549
51
Global
Life,
Inc.
9,295
64
Global
Payments,
Inc.
5,381
1,138
Goosehead
Insurance,
Inc.
h
70,556
87
Hamilton
Insurance
Group,
Ltd.
3,129
54
Hamilton
Lane,
Inc.
4,801
51
Hancock
Whitney
Corporation
3,927
2,019
Hanmi
Financial
Corporation
64,366
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
164
Shares
Common
Stock  13.4%
Value
Financials
1.7%
-
continued
60
Hanover
Bancorp,
Inc.
$
1,575
28
Hanover
Insurance
Group,
Inc.
6,514
203
Happen,
Inc.
h
3,885
124
Hartford
Insurance
Group,
Inc.
17,597
189
Hilltop
Holdings,
Inc.
7,454
109
Home
BancShares
,
Inc.
3,387
914
Hometrust
Bancshares,
Inc.
46,788
335
Horizon
Bancorp,
Inc.
6,851
649
Houlihan
Lokey
,
Inc.
81,443
7,060
Huntington
Bancshares,
Inc./OH
120,302
57
Independent
Bank
Corporation/MA
4,778
810
Independent
Bank
Corporation/MI
30,942
54
Interactive
Brokers
Group,
Inc.
4,751
4,771
Intercontinental
Exchange,
Inc.
727,482
143
International
Bancshares
Corporation
10,945
433
Invesco,
Ltd.
12,817
146
Investar
Holding
Corporation
4,398
200
Jackson
Financial,
Inc.
24,456
181
Jefferies
Financial
Group,
Inc.
9,883
5,434
JPMorgan
Chase
&
Company
1,911,627
688
Kearny
Financial
Corporation/MD
6,598
539
Kemper
Corporation
15,297
745
KeyCorp
16,830
138
Lazard,
Inc.
5,848
187
Lincoln
National
Corporation
8,529
134
Loews
Corporation
15,545
641
M&T
Bank
Corporation
157,872
340
Marex
Group,
Ltd.
22,073
13
Markel
Group,
Inc.
h
24,470
52
MarketAxess
Holdings,
Inc.
8,440
545
Marsh
&
McLennan
Companies,
Inc.
103,381
1,099
Mastercard
,
Inc.
629,837
460
Mercury
General
Corporation
49,275
2,273
MetLife,
Inc.
218,503
4,472
MGIC
Investment
Corporation
134,339
79
Miami
International
Holdings,
Inc.
h
3,716
4,950
Morgan
Stanley
1,041,579
116
Morningstar,
Inc.
22,338
2,014
Nasdaq,
Inc.
189,699
81
National
Bankshares
,
Inc.
3,289
175
NBT
Bancorp,
Inc.
9,214
834
Neptune
Insurance
Holdings,
Inc.
h
26,446
174
NerdWallet
,
Inc.
h
1,566
2,328
NMI
Holdings,
Inc.
h
103,130
187
Northeast
Community
Bancorp,
Inc.
4,993
832
Northern
Trust
Corporation
151,582
251
Northpointe
Bancshares,
Inc.
4,392
539
Northwest
Bancshares,
Inc.
8,484
201
OFG
Bancorp
10,625
5,615
Old
National
Bancorp
149,584
4,225
Old
Republic
International
Corporation
182,562
4,479
Old
Second
Bancorp,
Inc.
113,274
235
OneMain
Holdings,
Inc.
14,706
636
Oportun
Financial
Corporation
h
3,523
29
Orange
County
Bancorp,
Inc.
1,109
1,160
Orrstown
Financial
Services,
Inc.
49,567
2,605
Oscar
Health,
Inc.
h
81,328
78
Palomar
Holdings,
Inc.
h
10,436
156
Parke
Bancorp,
Inc.
5,327
96
Paymentus
Holdings,
Inc.
h
3,274
215
PayPal
Holdings,
Inc.
12,300
Shares
Common
Stock  13.4%
Value
Financials
1.7%
-
continued
123
PCB
Bancorp
$
3,428
23
Peoples
Bancorp
of
North
Carolina,
Inc.
989
966
Pinnacle
Financial
Partners,
Inc.
101,652
88
Piper
Sandler
Companies
6,670
96
PNC
Financial
Services
Group,
Inc.
23,988
177
Popular,
Inc.
31,012
234
Prosperity
Bancshares,
Inc.
17,520
301
Provident
Financial
Services,
Inc.
7,429
209
Prudential
Financial,
Inc.
25,515
570
Radian
Group,
Inc.
22,224
95
RBB
Bancorp
2,505
268
Regions
Financial
Corporation
8,295
1,034
Reinsurance
Group
of
America,
Inc.
244,903
108
RenaissanceRe
Holdings,
Ltd.
34,558
28
Renasant
Corporation
1,220
35
RLI
Corporation
2,143
2,626
Robinhood
Markets,
Inc.
h
227,307
758
Rocket
Companies,
Inc.
h
9,778
12
S&P
Global,
Inc.
4,943
5,924
SEI
Investments
Company
610,054
40
Selective
Insurance
Group,
Inc.
3,792
19
ServisFirst
Bancshares,
Inc.
1,701
2,385
Simmons
First
National
Corporation
56,262
876
SouthState
Bank
Corporation
92,059
101
Starwood
Property
Trust,
Inc.
1,614
214
State
Street
Corporation
39,410
535
Stifel
Financial
Corporation
44,357
681
Stock
Yards
Bancorp,
Inc.
57,953
807
StoneX
Group,
Inc.
h
61,792
19
Texas
Capital
Bancshares,
Inc.
1,878
112
Third
Coast
Bancshares,
Inc.
h
4,910
78
Timberland
Bancorp,
Inc./WA
3,497
391
Toast,
Inc.
h
12,618
74
Tompkins
Financial
Corporation
7,388
223
Towne
Bank/Portsmouth,
VA
8,454
109
TPG
RE
Finance
Trust,
Inc.
869
99
TPG,
Inc.
4,322
179
Tradeweb
Markets,
Inc.
17,990
2,487
Triumph
Financial,
Inc.
h
188,838
3,647
Truist
Financial
Corporation
189,060
1,360
U.S.
Bancorp
85,694
105
UMB
Financial
Corporation
15,302
97
United
Bankshares
,
Inc.
4,700
2,160
United
Community
Banks,
Inc.
76,550
48
Unity
Bancorp,
Inc.
2,827
808
Universal
Insurance
Holdings,
Inc.
35,318
71
Univest
Financial
Corporation
3,141
428
Unum
Group
36,855
4,684
Valley
National
Bancorp
66,934
201
Virtu
Financial,
Inc.
11,805
1,907
Visa,
Inc.
698,210
65
Voya
Financial,
Inc.
6,463
9,542
Wells
Fargo
&
Company
824,906
274
WesBanco
,
Inc.
11,338
150
West
Bancorporation,
Inc.
4,208
333
Western
Alliance
Bancorp
26,803
806
Western
Union
Company
a
5,126
13
WEX,
Inc.
h
2,430
642
Wintrust
Financial
Corporation
102,425
118
WisdomTree
,
Inc.
2,286
41
WSFS
Financial
Corporation
3,288
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
165
Shares
Common
Stock  13.4%
Value
Financials
1.7%
-
continued
2,230
Zions
Bancorp
NA
$
155,431
Total
20,251,990
Health
Care
1.6%
4,430
AbbVie,
Inc.
1,111,664
301
Acadia
Healthcare
Company,
Inc.
h
8,916
271
Adaptive
Biotechnologies
Corporation
h
6,116
3,145
Agilent
Technologies,
Inc.
435,174
68
Agios
Pharmaceuticals,
Inc.
h
2,041
48
Align
Technology,
Inc.
h
8,120
2,094
Alignment
Healthcare,
Inc.
h
31,096
1,864
Amgen,
Inc.
717,938
139
Anika
Therapeutics,
Inc.
h
2,680
213
Arcus
Biosciences,
Inc.
h
6,004
107
Argenx
SE
ADR
h
91,359
3,830
Avantor
,
Inc.
h
52,777
45
Azenta
,
Inc.
h
1,266
15
Becton,
Dickinson
and
Company
2,484
1,378
BioLife
Solutions,
Inc.
h
43,104
2,656
BioMarin
Pharmaceutical,
Inc.
h
159,413
16
Bio-Rad
Laboratories,
Inc.
h
5,208
9,233
Boston
Scientific
Corporation
h
431,458
535
BridgeBio
Pharma,
Inc.
h
42,848
3,032
BrightSpring
Health
Services,
Inc.
h
181,041
1,689
Bristol-Myers
Squibb
Company
110,309
28
Bruker
Corporation
1,760
69
Cardinal
Health,
Inc.
15,872
859
Cencora
,
Inc.
267,441
243
Centene
Corporation
h
15,119
86
Charles
River
Laboratories
International,
Inc.
h
19,996
444
Chemed
Corporation
236,319
1,070
Cigna
Group
298,584
2,655
Concentra
Group
Holdings
Parent,
Inc.
84,031
511
Cooper
Companies,
Inc.
h
36,956
1,751
CVS
Health
Corporation
182,857
3,637
Danaher
Corporation
709,142
204
Denali
Therapeutics,
Inc.
h
4,696
495
Dentsply
Sirona,
Inc.
6,618
1,415
Dexcom
,
Inc.
h
118,082
285
Doximity
,
Inc.
h
5,959
367
Edwards
Lifesciences
Corporation
h
31,588
1,875
Elanco
Animal
Health,
Inc.
h
49,444
202
Elevance
Health,
Inc.
75,920
1,044
Eli
Lilly
&
Company
1,199,389
1,555
Encompass
Health
Corporation
172,714
358
Enovis
Corporation
h
10,436
79
Envista
Holdings
Corporation
h
2,157
1,688
Exelixis
,
Inc.
h
89,515
573
Fortrea
Holdings,
Inc.
h
10,984
133
Fulcrum
Therapeutics,
Inc.
h
476
54
GE
HealthCare
Technologies,
Inc.
3,673
436
GeneDx
Holdings
Corporation
h
28,388
1,387
Gilead
Sciences,
Inc.
180,601
139
Globus
Medical,
Inc.
h
10,952
608
Guardant
Health,
Inc.
h
98,490
1,309
Harmony
Biosciences
Holdings,
Inc.
h
46,129
46
Henry
Schein,
Inc.
h
3,945
16
Humana,
Inc.
5,822
1,222
ICON
plc
h
199,876
506
ICU
Medical,
Inc.
h
85,266
245
IDEXX
Laboratories,
Inc.
h
136,972
Shares
Common
Stock  13.4%
Value
Health
Care
1.6%
-
continued
905
Illumina,
Inc.
h
$
185,616
120
Innoviva
,
Inc.
h
2,516
156
Insmed
,
Inc.
h
15,382
593
Insulet
Corporation
h
98,053
199
Integra
LifeSciences
Holdings
Corporation
h
3,313
1,725
Intuitive
Surgical,
Inc.
h
609,494
589
Ionis
Pharmaceuticals,
Inc.
h
30,493
107
IQVIA
Holding,
Inc.
h
25,147
1,308
Janux
Therapeutics,
Inc.
h
19,842
1,313
Jazz
Pharmaceuticals,
Inc.
h
332,005
6,915
Johnson
&
Johnson
1,772,660
33
Kiniksa
Pharmaceuticals
International
plc
h
2,453
1,122
Labcorp
Holdings,
Inc.
346,922
2,518
LivaNova
plc
h
201,793
80
Medline,
Inc.
h
3,142
694
Medpace
Holdings,
Inc.
h
400,514
7,748
Medtronic
plc
661,602
7,834
Merck
&
Company,
Inc.
1,019,987
32
Merit
Medical
Systems,
Inc.
h
2,720
106
Mesa
Laboratories,
Inc.
10,686
98
Mettler
-Toledo
International,
Inc.
h
138,797
344
Mirum
Pharmaceuticals,
Inc.
h
36,447
61
Moderna
,
Inc.
h
3,344
383
Natera
,
Inc.
h
102,552
690
Neogen
Corporation
h
8,308
5,678
Neurocrine
Biosciences,
Inc.
h
947,090
39
Option
Care
Health,
Inc.
h
898
4,893
Pfizer,
Inc.
122,374
65
Prestige
Consumer
Healthcare,
Inc.
h
3,264
2,364
Progyny
,
Inc.
h
73,591
369
QIAGEN
NV
15,277
18
Quest
Diagnostics,
Inc.
4,194
964
RadNet
,
Inc.
h
61,484
320
Regeneron
Pharmaceuticals,
Inc.
244,042
1,306
Repligen
Corporation
h
184,159
52
Revolution
Medicines,
Inc.
h
9,752
90
Roivant
Sciences,
Ltd.
h
3,052
13,621
Royalty
Pharma
plc
795,875
529
Sarepta
Therapeutics,
Inc.
h
7,861
2,398
Sotera
Health
Company
h
42,828
63
STERIS
plc
14,389
1,398
Stryker
Corporation
455,329
643
Tenet
Healthcare
Corporation
h
163,824
241
Thermo
Fisher
Scientific,
Inc.
138,406
1,607
Twist
Bioscience
Corporation
h
147,121
576
UFP
Technologies,
Inc.
h
146,753
244
United
Therapeutics
Corporation
h
126,321
2,731
UnitedHealth
Group,
Inc.
1,131,726
115
Vaxcyte
,
Inc.
h
6,219
489
Veeva
Systems,
Inc.
h
99,648
882
Vericel
Corporation
h
40,537
1,518
Viatris
,
Inc.
26,656
46
Viemed
Healthcare,
Inc.
h
537
511
Vir
Biotechnology,
Inc.
h
4,425
26
Waters
Corporation
h
9,810
4,017
Waystar
Holding
Corporation
h
84,799
410
West
Pharmaceutical
Services,
Inc.
139,794
89
Xenon
Pharmaceuticals,
Inc.
h
5,578
2,236
Zimmer
Biomet
Holdings,
Inc.
210,027
Total
19,398,613
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
166
Shares
Common
Stock  13.4%
Value
Industrials
1.7%
2,447
3M
Company
$
431,357
777
AAON,
Inc.
69,200
358
Acuity,
Inc.
117,564
1,512
Advanced
Drainage
Systems,
Inc.
209,382
130
AECOM
9,411
22
AGCO
Corporation
2,248
6,426
Allegheny
Technologies,
Inc.
h
1,204,489
467
Allegion
plc
73,506
33
Allison
Transmission
Holdings,
Inc.
3,780
3,588
Amentum
Holdings,
Inc.
h
79,654
41
American
Superconductor
Corporation
h
1,204
2,385
AMETEK,
Inc.
576,478
266
APi
Group
Corporation
h
10,555
593
Applied
Industrial
Technologies,
Inc.
204,710
202
Armstrong
World
Industries,
Inc.
35,281
420
Atmus
Filtration
Technologies,
Inc.
21,685
193
Axon
Enterprise,
Inc.
h
101,858
25
AZZ,
Inc.
3,618
1,365
Badger
Infrastructure
Solutions,
Ltd.
86,524
2,361
Barrett
Business
Services,
Inc.
92,173
119
Bloom
Energy
Corporation
h
24,491
118
Brady
Corporation
11,124
126
BrightView
Holdings,
Inc.
h
1,643
8
Brink's
Company
948
85
Broadridge
Financial
Solutions,
Inc.
13,086
248
Builders
FirstSource
,
Inc.
h
16,477
301
BWX
Technologies,
Inc.
50,779
470
C.H.
Robinson
Worldwide,
Inc.
69,433
12
CACI
International,
Inc.
h
5,973
824
Caterpillar,
Inc.
671,403
1,036
CECO
Environmental
Corporation
h
68,262
2,521
Clean
Harbors,
Inc.
h
788,771
24,711
CNH
Industrial
NV
253,288
120
Concentrix
Corporation
a
2,952
357
Construction
Partners,
Inc.
h
36,896
6,819
Copart
,
Inc.
h
198,569
218
CRA
International,
Inc.
39,029
746
Crane
Company
159,241
342
CSW
Industrials,
Inc.
109,074
16,253
CSX
Corporation
819,151
356
Cummins,
Inc.
225,775
784
Curtiss-Wright
Corporation
567,616
2,885
Delta
Air
Lines,
Inc.
252,264
226
Donaldson
Company,
Inc.
21,298
10
Dycom
Industries,
Inc.
h
4,011
404
Eaton
Corporation
plc
167,741
458
EMCOR
Group,
Inc.
365,223
90
Enerpac
Tool
Group
Corporation
3,217
51
EnerSys
9,489
249
EnPro
,
Inc.
78,166
76
Equifax,
Inc.
13,119
458
ESCO
Technologies,
Inc.
144,403
236
ExlService
Holdings,
Inc.
h
8,007
8,455
Fastenal
Company
403,388
321
Federal
Signal
Corporation
40,109
373
Ferguson
Enterprises,
Inc.
87,405
3,330
Flowserve
Corporation
253,047
2,323
Fluor
Corporation
h
116,545
85
Fortive
Corporation
5,033
229
Fortune
Brands
Innovations,
Inc.
11,281
476
FTAI
Aviation,
Ltd.
98,056
Shares
Common
Stock  13.4%
Value
Industrials
1.7%
-
continued
309
Gates
Industrial
Corporation,
Ltd.
h
$
8,646
18
GATX
Corporation
3,220
182
GE
Vernova
,
Inc.
180,233
12
Generac
Holdings,
Inc.
h
2,365
1,857
General
Dynamics
Corporation
712,011
3,433
General
Electric
Company
1,236,120
230
Genpact
,
Ltd.
8,089
499
Graco
,
Inc.
39,611
142
HEICO
Corporation
36,534
1,243
Helios
Technologies,
Inc.
96,842
335
Herc
Holdings,
Inc.
50,297
2,023
Hexcel
Corporation
208,268
852
Honeywell
Aerospace,
Inc.
h
176,142
655
Honeywell
International,
Inc.
159,198
1,043
Howmet
Aerospace,
Inc.
294,397
8
Hubbell,
Inc.
3,780
18
Huntington
Ingalls
Industries,
Inc.
5,876
634
IDEX
Corporation
146,105
167
IES
Holdings,
Inc.
h
124,338
61
Ingersoll
Rand,
Inc.
5,086
411
Innodata,
Inc.
h
25,823
107
ITT
Corporation
20,970
1,047
Jacobs
Solutions,
Inc.
141,272
835
JB
Hunt
Transport
Services,
Inc.
226,911
2,040
Johnson
Controls
International
plc
299,186
1,161
Kirby
Corporation
h
152,254
117
Knight-Swift
Transportation
Holdings,
Inc.
8,135
1,074
Korn
Ferry
88,358
821
L3Harris
Technologies,
Inc.
227,466
38
Landstar
System,
Inc.
6,641
41
Leidos
Holdings,
Inc.
4,740
1,177
Limbach
Holdings,
Inc.
h
84,391
932
Lincoln
Electric
Holdings,
Inc.
243,541
36
Liquidity
Services,
Inc.
h
1,403
971
Louisiana-Pacific
Corporation
70,330
173
Lyft,
Inc.
h
2,744
43
Masco
Corporation
3,074
2
MasTec
,
Inc.
h
526
46
Maximus,
Inc.
2,772
139
McGrath
RentCorp
16,006
1,357
Mercury
Systems,
Inc.
h
131,765
146
Middleby
Corporation
h
19,503
132
Midera
Food
Processing,
Inc.
h
6,329
320
MillerKnoll
,
Inc.
7,206
474
Modine
Manufacturing
Company
h
95,302
455
Moog,
Inc.
177,382
1,178
Mueller
Industries,
Inc.
78,231
1,485
Mueller
Water
Products,
Inc.
37,481
7
MYR
Group,
Inc.
h
2,333
135
Nextpower
,
Inc.
h
12,132
8
Nordson
Corporation
2,382
3,798
NPK
International,
Inc.
h
47,437
541
nVent
Electric
plc
83,222
381
NWPX
Infrastructure,
Inc.
h
46,893
781
Old
Dominion
Freight
Line,
Inc.
165,681
146
OPENLANE,
Inc.
h
5,805
300
Otis
Worldwide
Corporation
21,585
66
Owens
Corning,
Inc.
9,167
714
Parker-Hannifin
Corporation
697,242
43
Paychex,
Inc.
5,024
50
Paylocity
Holding
Corporation
h
6,895
106
Pentair
plc
6,937
159
Powell
Industries,
Inc.
33,180
96
Proto
Labs,
Inc.
h
7,205
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
167
Shares
Common
Stock  13.4%
Value
Industrials
1.7%
-
continued
334
Quanta
Services,
Inc.
$
222,898
756
RBC
Bearings,
Inc.
h
416,790
67
Regal
Rexnord
Corporation
13,750
870
Republic
Services,
Inc.
183,179
515
Rockwell
Automation,
Inc.
247,241
4,951
RTX
Corporation
1,065,554
68
Ryder
System,
Inc.
17,437
159
Saia,
Inc.
h
55,273
69
Science
Applications
International
Corporation
8,082
282
Sensata
Technologies
Holding
plc
13,054
31
SkyWest,
Inc.
h
3,316
36
SPX
Technologies,
Inc.
h
7,906
447
SS&C
Technologies
Holdings,
Inc.
34,441
190
Standex
International
Corporation
56,335
97
Stanley
Black
&
Decker,
Inc.
9,174
24
Sterling
Construction
Company,
Inc.
h
14,322
69
Sunbelt
Rentals
Holdings,
Inc.
4,962
703
Terex
Corporation
44,177
237
Tetra
Tech,
Inc.
7,859
51
Textron,
Inc.
4,348
1,054
Timken
Company
144,978
5,029
Toro
Company
462,014
15
Trane
Technologies
plc
6,824
556
Transcat
,
Inc.
h
47,466
113
Trex
Company,
Inc.
h
4,900
1,950
Uber
Technologies,
Inc.
h
137,202
50
U-Haul
Holding
Company
h
3,546
1,135
UL
Solutions,
Inc.
104,011
151
United
Airlines
Holdings,
Inc.
h
18,321
128
United
Rentals,
Inc.
138,145
65
Upwork
,
Inc.
h
595
356
V2X,
Inc.
h
32,125
276
Valmont
Industries,
Inc.
132,949
251
Veralto
Corporation
23,637
879
Verisk
Analytics,
Inc.
171,273
119
Verra
Mobility
Corporation
h
630
514
Vertiv
Holdings
Company
124,167
201
Vestis
Corporation
h
2,906
2
Vicor
Corporation
h
415
96
Wabtec
Corporation
27,923
9
Watts
Water
Technologies,
Inc.
3,112
242
WESCO
International,
Inc.
83,125
363
Willdan
Group,
Inc.
h
24,876
943
Woodward,
Inc.
340,187
22
XPO,
Inc.
h
4,421
200
Xylem,
Inc.
23,394
239
Zurn
Elkay
Water
Solutions
Corporation
12,072
Total
20,885,792
Information
Technology
4.0%
1,246
Adobe,
Inc.
h
312,011
2,482
Advanced
Micro
Devices,
Inc.
h
1,181,804
120
Akamai
Technologies,
Inc.
h
13,822
103
Ambarella
,
Inc.
h
8,858
380
Amkor
Technology,
Inc.
18,951
8,311
Amphenol
Corporation
1,335,578
2,729
Analog
Devices,
Inc.
1,002,662
24,570
Apple,
Inc.
7,589,919
2,627
Applied
Materials,
Inc.
1,333,649
4,837
Arista
Networks,
Inc.
h
872,353
148
Arrow
Electronics,
Inc.
h
32,052
13
Astera
Labs,
Inc.
h
4,046
Shares
Common
Stock  13.4%
Value
Information
Technology
4.0%
-
continued
69
Atlassian
Corporation
h
$
6,970
1,954
Autodesk,
Inc.
h
457,627
329
Avnet,
Inc.
29,228
74
Blackbaud
,
Inc.
h
3,167
7,370
Broadcom,
Inc.
2,868,994
917
Cadence
Design
Systems,
Inc.
h
311,798
1,267
CCC
Intelligent
Solutions
Holdings,
Inc.
h
7,716
159
Celestica,
Inc.
h
52,699
78
Circle
Internet
Group,
Inc.
h
4,884
133
Cirrus
Logic,
Inc.
h
17,204
6,815
Cisco
Systems,
Inc.
790,472
1,682
Clear
Secure,
Inc.
92,914
512
Cloudflare
,
Inc.
h
142,838
1,661
Cognex
Corporation
108,364
134
Cognizant
Technology
Solutions
Corporation
7,417
266
Coherent
Corporation
h
69,929
990
Cohu
,
Inc.
h
47,510
23
CommVault
Systems,
Inc.
h
2,709
1,201
Crane
NXT
Company
62,392
395
Credo
Technology
Group
Holding,
Ltd.
h
81,761
296
CrowdStrike
Holdings,
Inc.
h
56,495
10
CTS
Corporation
641
910
Datadog
,
Inc.
h
243,853
579
DigitalOcean
Holdings,
Inc.
h
68,032
72
Diodes,
Inc.
h
5,927
2,665
DocuSign,
Inc.
h
146,122
159
Enphase
Energy,
Inc.
h
5,969
32
Entegris
,
Inc.
3,810
113
EPAM
Systems,
Inc.
h
11,928
247
Everforth
,
Inc.
h
7,025
44
F5,
Inc.
h
17,713
383
Fabrinet
h
166,762
308
Figma
,
Inc.
h
7,491
266
Flex,
Ltd.
h
30,258
7,306
Fortinet,
Inc.
h
1,183,207
346
Globant
SA
h
12,664
51
GoDaddy
,
Inc.
h
4,220
2,242
GPGI,
Inc.
29,594
1,520
Guidewire
Software,
Inc.
h
230,949
722
Hewlett
Packard
Enterprise
Company
34,584
36
HubSpot
,
Inc.
h
8,545
62
Ichor
Holdings,
Ltd.
h
4,667
351
Ingram
Micro
Holding
Corporation
9,902
79
Insight
Enterprises,
Inc.
h
10,185
3,776
Intel
Corporation
h
340,595
140
InterDigital
,
Inc.
42,675
454
International
Business
Machines
Corporation
101,537
521
Intuit,
Inc.
164,672
786
IPG
Photonics
Corporation
h
66,857
4,806
JFrog
,
Ltd.
h
383,471
1,836
Keysight
Technologies,
Inc.
h
585,831
2,743
Knowles
Corporation
h
100,366
128
Kulicke
and
Soffa
Industries,
Inc.
11,418
3,221
Lam
Research
Corporation
943,817
1,075
Lattice
Semiconductor
Corporation
h
133,590
633
Littelfuse
,
Inc.
279,868
38
Lumentum
Holdings,
Inc.
h
27,130
382
MACOM
Technology
Solutions
Holdings,
Inc.
h
96,050
547
Manhattan
Associates,
Inc.
h
104,674
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
168
Shares
Common
Stock  13.4%
Value
Information
Technology
4.0%
-
continued
27
MaxLinear
,
Inc.
h
$
1,804
256
Microchip
Technology,
Inc.
19,018
2,405
Micron
Technology,
Inc.
1,979,387
13,337
Microsoft
Corporation
6,197,971
370
MKS,
Inc.
110,056
23
MongoDB,
Inc.
h
7,762
240
Monolithic
Power
Systems,
Inc.
342,247
742
Motorola
Solutions,
Inc.
323,326
87
Napco
Security
Technologies,
Inc.
3,226
37
NetApp,
Inc.
6,604
176
NetScout
Systems,
Inc.
h
7,158
15,491
Nokia
Oyj
ADR
141,588
239
Novanta
,
Inc.
h
34,069
1,906
Nutanix
,
Inc.
h
112,473
43,643
NVIDIA
Corporation
8,761,332
251
NXP
Semiconductors
NV
57,519
124
Okta
,
Inc.
h
17,599
128
ON
Semiconductor
Corporation
h
10,446
928
Onto
Innovation,
Inc.
h
239,962
4,352
Oracle
Corporation
565,194
1,464
Palantir
Technologies,
Inc.
h
180,160
121
PC
Connection,
Inc.
10,130
2,040
Pegasystems
,
Inc.
62,322
362
Plexus
Corporation
h
90,985
75
PTC,
Inc.
h
10,290
26
Q2
Holdings,
Inc.
h
1,583
112
Qnity
Electronics,
Inc.
14,692
1,876
Qualcomm,
Inc.
276,916
893
Rambus,
Inc.
h
81,290
20
Rigetti
Computing,
Inc.
h
299
474
Rogers
Corporation
h
58,525
54
Roper
Industries,
Inc.
21,166
9,250
SailPoint
,
Inc.
a,h
155,122
602
Salesforce,
Inc.
110,780
3,334
Samsung
Electronics
Company,
Ltd.
580,299
289
SanDisk
Corporation
h
351,086
38
Sanmina
Corporation
h
7,051
4,048
ServiceNow
,
Inc.
h
450,259
215
SiTime
Corporation
h
115,068
175
Skyworks
Solutions,
Inc.
a
10,899
1,432
Snowflake,
Inc.
h
419,977
711
Synopsys,
Inc.
h
276,408
568
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
ADR
229,614
1,754
TD
SYNNEX
Corporation
448,498
25
TE
Connectivity
plc
5,142
15
Teledyne
Technologies,
Inc.
h
9,834
111
Tenable
Holdings,
Inc.
h
3,623
209
Teradyne,
Inc.
76,847
3,695
Texas
Instruments,
Inc.
1,018,859
266
Trimble,
Inc.
h
15,050
731
TTM
Technologies,
Inc.
h
84,387
31
Twilio
,
Inc.
h
6,118
30
Tyler
Technologies,
Inc.
h
9,288
148
Unity
Software,
Inc.
h
4,693
85
Varonis
Systems,
Inc.
h
3,396
56
VeriSign,
Inc.
16,241
102
ViaSat
,
Inc.
h
7,847
291
Vistance
Networks,
Inc.
h
3,416
404
Vontier
Corporation
12,981
111
Western
Digital
Corporation
60,477
135
Workday,
Inc.
h
21,646
507
Zebra
Technologies
Corporation
h
148,967
Shares
Common
Stock  13.4%
Value
Information
Technology
4.0%
-
continued
182
Zoom
Communications,
Inc.
h
$
17,485
79
Zscaler
,
Inc.
h
11,945
Total
48,995,794
Materials
0.4%
504
Air
Products
and
Chemicals,
Inc.
148,625
51
Albemarle
Corporation
6,000
3,815
Alcoa
Corporation
172,667
174
Amcor
plc
7,809
588
American
Vanguard
Corporation
h
1,405
1,427
Amrize
,
Ltd.
69,795
108
AngloGold
Ashanti
plc
8,567
571
AptarGroup,
Inc.
76,491
1,317
Ashland,
Inc.
95,627
21
Avery
Dennison
Corporation
3,564
303
Avient
Corporation
11,005
1,186
Balchem
Corporation
198,720
319
Ball
Corporation
20,703
1,425
Celanese
Corporation
63,726
490
Century
Aluminum
Company
h
21,937
1,994
CF
Industries
Holdings,
Inc.
249,629
805
Cleveland-Cliffs,
Inc.
h
9,274
1,142
Coeur
Mining,
Inc.
17,027
139
Commercial
Metals
Company
9,552
5
Compass
Minerals
International,
Inc.
h
147
15,782
Constellium
SE
h
438,424
266
Corteva
,
Inc.
20,937
2,012
Crown
Holdings,
Inc.
237,114
675
Dow,
Inc.
20,446
14
DuPont
de
Nemours,
Inc.
1,918
1,039
Eastman
Chemical
Company
72,678
1,817
Ecolab,
Inc.
504,454
5,098
Ecovyst
,
Inc.
h
61,482
3,119
Element
Solutions,
Inc.
114,561
4,013
Freeport-McMoRan,
Inc.
251,334
531
Graphic
Packaging
Holding
Company
5,698
1,142
Greif,
Inc.
98,840
525
Hecla
Mining
Company
7,413
106
Ingevity
Corporation
h
7,750
2,171
International
Paper
Company
88,642
8,336
Ivanhoe
Mines,
Ltd.
h
59,881
181
Kaiser
Aluminum
Corporation
28,902
1,956
Linde
plc
935,711
215
LyondellBasell
Industries
NV
13,347
695
Magnera
Corporation
h
9,209
167
Martin
Marietta
Materials,
Inc.
87,698
97
Minerals
Technologies,
Inc.
7,395
527
Mosaic
Company
11,657
2,862
Newmont
Corporation
268,198
1,335
Nucor
Corporation
343,482
161
O-I
Glass,
Inc.
h
1,151
252
Orion
SA
1,701
24
Packaging
Corporation
of
America
5,900
133
Perimeter
Solutions,
Inc.
h
4,071
130
PPG
Industries,
Inc.
14,368
38
Reliance,
Inc.
15,432
93
Royal
Gold,
Inc.
18,447
94
RPM
International,
Inc.
10,065
35
Scotts
Miracle-
Gro
Company
2,299
106
Sensient
Technologies
Corporation
13,109
122
Smurfit
WestRock
plc
5,608
1,179
Solstice
Advanced
Materials,
Inc.
70,940
137
Sonoco
Products
Company
7,721
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
169
Shares
Common
Stock  13.4%
Value
Materials
0.4%
-
continued
891
SSR
Mining,
Inc.
h
$
22,827
725
Steel
Dynamics,
Inc.
182,163
58
Stepan
Company
3,720
134
TriMas
Corporation
5,351
11
Vulcan
Materials
Company
2,954
Total
5,277,268
Real
Estate
0.4%
924
Agree
Realty
Corporation
71,887
301
Alexandria
Real
Estate
Equities,
Inc.
15,486
221
Alpine
Income
Property
Trust,
Inc.
4,460
829
Americold
Realty
Trust,
Inc.
11,681
756
AvalonBay
Communities,
Inc.
140,321
1,043
Brixmor
Property
Group,
Inc.
32,865
85
Broadstone
Net
Lease,
Inc.
1,820
1,023
CareTrust
REIT,
Inc.
42,905
1,966
CBRE
Group,
Inc.
h
288,628
660
CoStar
Group,
Inc.
h
18,982
1,150
Cousins
Properties,
Inc.
36,283
3,023
Crown
Castle,
Inc.
230,655
332
Curbline
Properties
Corporation
10,173
122
Cushman
&
Wakefield,
Ltd.
h
1,637
225
Digital
Realty
Trust,
Inc.
42,417
737
Easterly
Government
Properties,
Inc.
17,953
2,821
EPR
Properties
175,099
278
Equinix
,
Inc.
283,360
1,071
Equity
Lifestyle
Properties,
Inc.
69,690
17,195
Essential
Properties
Realty
Trust,
Inc.
538,032
23
Essex
Property
Trust,
Inc.
6,535
537
Extra
Space
Storage,
Inc.
79,497
57
Federal
Realty
Investment
Trust
7,073
13,863
Fermi,
Inc.
h
78,880
2,445
First
Industrial
Realty
Trust,
Inc.
160,979
50
Forestar
Group,
Inc.
h
1,408
212
FrontView
REIT,
Inc.
4,312
467
Gaming
and
Leisure
Properties,
Inc.
20,917
1,208
Getty
Realty
Corporation
41,241
6,778
Healthcare
Realty
Trust,
Inc.
142,406
392
Host
Hotels
&
Resorts,
Inc.
9,851
528
Hudson
Pacific
Properties,
Inc.
7,271
1,975
Independence
Realty
Trust,
Inc.
32,844
2,904
Industrial
Logistics
Properties
Trust
25,003
1,691
Innovative
Industrial
Properties,
Inc.
99,448
814
InvenTrust
Properties
Corporation
28,824
1,682
Iron
Mountain,
Inc.
205,742
1,933
Jones
Lang
LaSalle,
Inc.
h
686,273
225
Kimco
Realty
Corporation
5,733
10
Lamar
Advertising
Company
1,600
105
Macerich
Company
2,713
5,739
Medical
Properties
Trust,
Inc.
26,572
7,378
Millrose
Properties,
Inc.
206,436
20
National
Health
Investors,
Inc.
1,533
4,114
NetSTREIT
Corporation
88,245
82
NNN
REIT,
Inc.
3,897
35
Omega
Healthcare
Investors,
Inc.
1,772
677
Outfront
Media,
Inc.
21,576
1,062
Park
Hotels
&
Resorts,
Inc.
15,994
330
Piedmont
Realty
Trust,
Inc.
h
3,198
157
Postal
Realty
Trust,
Inc.
3,617
545
Rayonier,
Inc.
REIT
11,870
Shares
Common
Stock  13.4%
Value
Real
Estate
0.4%
-
continued
162
Realty
Income
Corporation
$
10,347
80
Regency
Centers
Corporation
6,423
1,083
RLJ
Lodging
Trust
13,267
50
Ryman
Hospitality
Properties
6,683
7,285
Sabra
Health
Care
REIT,
Inc.
154,223
872
Safehold
,
Inc.
14,109
94
SBA
Communications
Corporation
17,012
426
Service
Properties
Trust
3,421
308
Simon
Property
Group,
Inc.
70,646
516
STAG
Industrial,
Inc.
19,742
587
Sunstone
Hotel
Investors,
Inc.
6,909
13,805
Tanger
,
Inc.
561,311
1,768
Terreno
Realty
Corporation
126,677
229
Ventas,
Inc.
21,414
1,607
VICI
Properties,
Inc.
42,344
113
WP
Carey,
Inc.
8,317
449
Xenia
Hotels
&
Resorts,
Inc.
9,240
434
Zillow
Group,
Inc.,
Class
C
h
14,782
Total
5,174,461
Utilities
0.4%
1,102
Alliant
Energy
Corporation
a
78,000
643
American
States
Water
Company
55,066
36
American
Water
Works
Company,
Inc.
4,830
126
Artesian
Resources
Corporation
4,328
740
Avista
Corporation
29,933
250
Black
Hills
Corporation
17,802
200
California
Water
Service
Group
10,022
1,892
CenterPoint
Energy,
Inc.
79,540
917
Clearway
Energy,
Inc.,
Class
C
29,096
123
Consolidated
Edison,
Inc.
13,389
1,173
Constellation
Energy
Corporation
308,206
28
DTE
Energy
Company
3,972
2,309
Duke
Energy
Corporation
289,618
11,606
Edison
International
851,532
3,130
Entergy
Corporation
336,851
1,756
Evergy
,
Inc.
145,766
1,293
Eversource
Energy
92,566
814
Exelon
Corporation
37,297
506
FirstEnergy
Corporation
24,445
107
H2O
America
a
6,562
388
National
Fuel
Gas
Company
31,936
451
New
Jersey
Resources
Corporation
26,108
1,721
NiSource,
Inc.
76,464
65
OGE
Energy
Corporation
3,078
166
Otter
Tail
Corporation
14,678
14,226
PG&E
Corporation
247,248
1,236
Pinnacle
West
Capital
Corporation
124,824
10,212
Portland
General
Electric
Company
503,758
157
PPL
Corporation
5,528
257
Public
Service
Enterprise
Group,
Inc.
19,707
701
Spire,
Inc.
55,982
19,295
UGI
Corporation
696,935
486
Unitil
Corporation
26,215
2,116
Vistra
Energy
Corporation
313,570
40
Xcel
Energy,
Inc.
3,128
Total
4,567,980
Total
Common
Stock
(cost
$120,334,915)
163,826,781
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
170
Shares
i
Private
Equity
Funds
1.4%
Value
Secondary  1.4%
__
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP
*,
h,j
$
1,947,102
__
ASF
IX,
LP
*,
h,j
3,748,681
__
ASF
VIII
Sidecar
(Cayman),
LP
*,
h,j
522,949
__
Crown
Global
Secondaries
VI
Feeder
SA,
SICAV-RAIF
*,
h,j
3,554,659
__
LCP
X
(Offshore),
LP
*,
h,j
7,335,219
__
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP
*,
h,j
394,057
Total
17,502,667
Total
Private
Equity
Funds
(cost
$11,966,003)
17,502,667
Shares
Collateral
Held
for
Securities
Loaned
0.1%
Value
1,422,850
Thrivent
Cash
Management
Trust
1,422,850
Total
Collateral
Held
for
Securities
Loaned
(cost
$1,422,850)
1,422,850
Shares
or
Principal
Amount
Short-Term
Investments
11.2%
Value
Federal
Home
Loan
Bank
Discount
Notes
1,900,000
3.615%,
8/21/2026
k,l
1,896,016
1,000,000
3.621%,
8/26/2026
k,l
997,404
200,000
3.635%,
8/28/2026
k,l
199,441
400,000
3.634%,
9/4/2026
k,l
398,581
100,000
3.660%,
9/9/2026
k,l
99,594
200,000
3.650%,
9/11/2026
k,l
199,148
500,000
3.685%,
9/18/2026
k,l
497,516
100,000
3.710%,
9/23/2026
k,l
99,452
1,400,000
3.700%,
10/1/2026
k,l
1,391,115
400,000
3.690%,
10/14/2026
k,l
396,929
2,500,000
3.710%,
10/16/2026
k,l
2,480,295
900,000
3.800%,
10/21/2026
k,l
892,446
200,000
3.700%,
10/26/2026
k,l
198,219
Federal
Home
Loan
Mortgage
Corporation
Discount
Notes
900,000
3.695%,
10/14/2026
k,l
893,091
State
Street
Institutional
U.S.
Government
Money
Market
Fund
51,965,355
3.619%
k
51,965,354
Thrivent
Core
Short-Term
Reserve
Fund
7,399,196
3.970%
73,991,963
U.S.
Treasury
Bills
200,000
3.617%,
9/8/2026
k,m
199,275
300,000
3.607%,
9/29/2026
k,m
298,247
Total
Short-Term
Investments
(cost
$137,069,328)
137,094,086
Total
Investments
(cost
$1,035,844,790)
101.7%
$1,241,966,441
Other
Assets
and
Liabilities,
Net
(1.7%)
(20,763,025)
Total
Net
Assets
100.0%
$1,221,203,416
a
All
or
a
portion
of
the
security
is
on
loan.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$28,596,273
or
2.3%
of
total
net
assets.
c
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
d
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
e
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
f
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
g
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
h
Non-income
producing
security.
i
Private
equity
fund
partnerships
do
not
issue
shares.
j
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
k
The
interest
rate
shown
reflects
the
yield.
l
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
m
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Moderately
Conservative
Allocation
Fund
as
of
July
31,
2026
was
$17,502,667
or
1.43%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
AlpInvest
Secondaries
Fund
(Offshore
Feeder)
VIII,
LP 
6/28/2024
$
1,461,022
ASF
IX,
LP 
3/18/2024
2,957,556
ASF
VIII
Sidecar
(Cayman),
LP 
6/28/2024
402,582
Crown
Global
Secondaries
VI
Feeder
SA,
SICAV-RAIF 
2/15/2024
2,632,000
LCP
X
(Offshore),
LP 
10/25/2023
4,512,843
StepStone
Secondary
Opportunities
Fund
VI
Offshore,
LP 
7/9/2026
–
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
171
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Moderately
Conservative
Allocation
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
1,406,056
Total
lending
$1,406,056
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$1,422,850
Net
amounts
due
to
counterparty
$16,794
Definitions:
ADR
-
American
Depositary
Receipt,
which
is
a
certificate
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange-Traded
Fund
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
S&P
-
Standard
&
Poor's
Ser.
-
Series
SLST
-
Seasoned
Loans
Structured
Transactions
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
172
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Moderately
Conservative
Allocation
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Registered
Investment
Companies
U.S.
Affiliated
579,566,868
579,566,868
–
–
U.S.
Unaffiliated
4,331,366
4,331,366
–
–
Long-Term
Fixed
Income
Asset-Backed
Securities
8,663,750
–
8,663,750
–
Collateralized
Mortgage
Obligations
29,060,419
–
29,060,419
–
Commercial
Mortgage-Backed
Securities
5,572,574
–
5,572,574
–
Financials
216,735
–
216,735
–
Mortgage-Backed
Securities
117,612,820
–
117,612,820
–
U.S.
Government
&
Agencies
131,337,838
–
131,337,838
–
Common
Stock
Communications
Services
12,024,504
11,943,211
81,293
–
Consumer
Discretionary
17,429,506
17,429,506
–
–
Consumer
Staples
3,837,666
3,837,666
–
–
Energy
5,983,207
5,983,207
–
–
Financials
20,251,990
20,251,990
–
–
Health
Care
19,398,613
19,398,613
–
–
Industrials
20,885,792
20,885,792
–
–
Information
Technology
48,995,794
48,415,495
580,299
–
Materials
5,277,268
5,277,268
–
–
Real
Estate
5,174,461
5,174,461
–
–
Utilities
4,567,980
4,567,980
–
–
Private
Equity
Funds
Secondary
17,502,667
–
–
17,502,667
Short-Term
Investments
63,102,123
51,965,354
11,136,769
–
Subtotal
Investments
in
Securities
$1,120,793,941
$799,028,777
$304,262,497
$17,502,667
Other
Investments  *
Total
Affiliated
Short-Term
Investments
73,991,963
U.S.
Affiliated
Registered
Investment
Cos.
45,757,687
Collateral
Held
for
Securities
Loaned
1,422,850
Subtotal
Other
Investments
$121,172,500
Total
Investments
at
Value
$1,241,966,441
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Moderately
Conservative
Allocation
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
1,187,068
1,187,068
–
–
Credit
Default
Swaps
192,415
–
192,415
–
Total
Asset
Derivatives
$1,379,483
$1,187,068
$192,415
$–
Liability
Derivatives
Futures
Contracts
1,203,967
1,203,967
–
–
Total
Liability
Derivatives
$1,203,967
$1,203,967
$–
$–
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
173
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
is
a
reconciliation
of
assets
in
which
significant
unobservable
inputs
(Level
3)
were
used
in
determining
fair
value
for
Moderately
Conservative
Allocation
Fund as
discussed
in
the
Notes
to
Schedule
of
Investments.
*
Change
in
net
unrealized
appreciation/(depreciation)
on
investments. 
   %
Net
realized
gains/(losses)
on
investments.  
 #
Transferred
from
Level
2
to
Level
3
because
of
a
lack
of
observable
market
data,
resulting
from
a
decrease
in
market
activity
for
the
securities.
   @
Transferred
from
level
3
to
Level
2
because
observable
market
data
became
available
for
the
securities.
**
The
reporting
entity's Private
Equity
Funds
-
Secondary Level
3
securities
are fair
valued using
the
adjusted
reported
Net
Asset
Value
(NAV)
of
the
investment,
adjusted
for
subsequent
investment
activity
and
market
movement
using
inputs
determined
by
the policies
and
procedures
of
the
reporting
entity. 
Inputs
used
in
valuation
include index
returns
that
are
adjusted based
on
a
regression
analysis
of
similar
types
of
assets
over
time. 
Significant
changes
in
the
inputs
in
isolation
could result
in
a
significantly
lower
or
higher
fair
value
measurement.
Investments
in
Securities 
Beginning
Value
10/31/2025
Realized
Gain/
(Loss)% 
Change
in
Unrealized
Appreciation/
(Depreciation)
* 
Purchases 
Sales 
Transfers
Into
Level
3 #
Transfers
Out
of
Level
3 @
Ending
Value 
07/31/2026
Private
Equity
Funds
 Secondary
$13,384,000
$-
$2,300,679
$2,885,789
($1,067,801)
$-
$-
$17,502,667
Total 
$13,384,000
$-
$2,300,679
$2,885,789
($1,067,801)
$-
$-
$17,502,667
Investments
in
Securities
Ending
Value
07/31/2026
Valuation
Technique(s)
Unobservable 
Input(s)
Range
of Inputs
Private
Equity
Funds
   Secondary
$17,502,667
Adjusted
reported
investment
of
net
asset
value  
Fair
Value
adjustment
**
N/A
Total 
$17,502,667
The
following
table
presents
Moderately
Conservative
Allocation
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$10,653,247
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
97
September
2026
$
10,574,026
(
$
98,026)
CBOT
2-Yr.
U.S.
Treasury
Note
139
September
2026
28,653,910
(
74,207)
CBOT
5-Yr.
U.S.
Treasury
Note
124
September
2026
13,228,122
(
87,028)
CBOT
U.S.
Long
Bond
57
September
2026
6,309,795
(
135,982)
CME
E-mini
Russell
2000
Index
1
September
2026
148,360
(
1,460)
CME
E-mini
S&P
500
Index
154
September
2026
57,450,417
447,808
CME
Ultra
Long
Term
U.S.
Treasury
Bond
45
September
2026
5,075,252
(
139,314)
ICE
mini
MSCI
EAFE
Index
318
September
2026
49,922,058
676,511
ICE
US
mini
MSCI
Emerging
Markets
Index
6
September
2026
522,255
(
29,565)
Ultra
10-Yr.
U.S.
Treasury
Note
39
September
2026
4,330,294
(
51,872)
Total
Futures
Long
Contracts
$
176,214,489
$
506,865
CME
E-mini
Russell
2000
Index
(166)
September
2026
(
$
24,418,880)
$
33,480
CME
E-mini
S&P
500
Index
(5)
September
2026
(
1,864,630)
(
15,182)
CME
E-mini
S&P
Mid-Cap
400
Index
(11)
September
2026
(
4,179,459)
29,269
Eurex
Euro
STOXX
50
Index
(231)
September
2026
(
16,442,207)
(
571,331)
Total
Futures
Short
Contracts
(
$
46,905,176)
($523,764)
Total
Futures
Contracts
$
129,309,313
($16,899)
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
174
The
following
table
presents
Moderately
Conservative
Allocation
Fund's
credit
default
swap
contracts
held
as
of
July
31,
2026.
Investments
totaling
$497,522
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
46,
5
Year,
at
5.00%,
Quarterly
Sell
6/20/2031
(
$
5,181,660)
$
–
$
192,415
$
192,415
Total
Credit
Default
Swaps
$–
$192,415
$192,415
1
As
the
buyer
of
protection,
Moderately
Conservative
Allocation
Fund
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Moderately
Conservative
Allocation
Fund
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Moderately
Conservative
Allocation
Fund
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
175
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Moderately
Conservative
Allocation
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$33,348
$1,390
$2,900
$31,637
3,616
2.6%
Core
Emerging
Markets
Equity
11,407
369
–
14,121
966
1.2
Core
High
Yield
Bond
–
45,093
–
45,131
2,292
3.7
Core
Investment
Grade
Corporate
Bond
–
75,797
–
74,494
3,870
6.1
Global
Stock,
Class
S
2,751
283
–
3,098
95
0.3
High
Yield,
Class
S
24,536
1,156
–
25,309
1,498
2.1
Income,
Class
S
65,893
2,285
1,430
64,313
4,002
5.2
International
Equity,
Class
S
31,465
2,146
–
37,065
2,588
3.0
International
Large
Cap
ETF
1
19,757
3,257
–
23,502
920
1.9
International
Small
Cap
ETF
–
921
–
916
39
0.1
Large
Cap
Growth,
Class
S
88,780
2,626
–
89,070
3,540
7.3
Large
Cap
Value,
Class
S
129,129
7,007
–
153,749
4,078
12.6
Mid
Cap
Stock,
Class
S
13,382
1,522
–
16,181
406
1.3
Mid
Cap
Value
ETF
2
–
1,372
–
1,606
90
0.1
Short-Term
Bond,
Class
S
37,823
1,251
905
37,682
3,034
3.1
Small
Cap
Stock,
Class
S
4,404
105
–
5,265
141
0.4
Small
Cap
Value
ETF
3
1,747
207
0
2,185
68
0.2
Total
Affiliated
Registered
Investment
Companies
464,422
625,324
51.2
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
119,095
26,537
71,650
73,992
7,399
6.1
Total
Affiliated
Short-Term
Investments
119,095
73,992
6.1
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
4,241
46,689
49,507
1,423
1,423
0.1
Total
Collateral
Held
for
Securities
Loaned
4,241
1,423
0.1
Total
Value
$587,758
$700,739
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
2
Effective
November
14,
2025,
Mid
Cap
Value
Fund
converted
to
Mid
Cap
Value
ETF.
3
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Moderately
Conservative
Allocation
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
176
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$(362)
$161
$–
$1,389
Core
Emerging
Markets
Equity
–
2,345
–
370
Core
High
Yield
Bond
–
38
–
1,052
Core
Investment
Grade
Corporate
Bond
–
(1,303)
–
1,331
Global
Stock,
Class
S
–
64
238
45
High
Yield,
Class
S
–
(383)
–
1,155
Income,
Class
S
(116)
(2,319)
–
2,285
International
Equity,
Class
S
–
3,454
1,260
886
International
Large
Cap
ETF
1
–
488
2,086
1,171
International
Small
Cap
ETF
–
(5)
–
–
Large
Cap
Growth,
Class
S
–
(2,336)
2,626
–
Large
Cap
Value,
Class
S
–
17,613
5,363
1,644
Mid
Cap
Stock,
Class
S
–
1,277
1,458
65
Mid
Cap
Value
ETF
2
–
234
–
2
Short-Term
Bond,
Class
S
(6)
(481)
–
1,251
Small
Cap
Stock,
Class
S
–
756
87
18
Small
Cap
Value
ETF
3
(0)
231
167
44
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
10
–
–
2,831
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$15,539
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
9
Total
Affiliated
Income
from
Securities
Loaned,
Net
$9
Total
$(474)
$19,834
$13,285
1
Effective
June
12,
2026,
Core
International
Equity
Fund
converted
to
International
Large
Cap
ETF.
2
Effective
November
14,
2025,
Mid
Cap
Value
Fund
converted
to
Mid
Cap
Value
ETF.
3
Effective
November
14,
2025,
Core
Small
Cap
Value
Fund
converted
to
Small
Cap
Value
ETF.
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
177
Principal
Amount
Long-Term
Fixed
Income
50.8%
Value
Asset-Backed
Securities
10.9%
522
Funding
CLO,
Ltd.
$
1,150,000
5.503%, 
(TSFR3M
+
1.750%),
4/15/2035,
Ser.
2019-5A,
Class
CR2
a,b
$
1,150,178
Acacia,
LLC
1,750,000
5.440%, 
7/15/2041,
Ser.
2026-1,
Class
A
a
1,749,226
AGL
CLO,
Ltd.
2,500,000
5.529%, 
(TSFR3M
+
1.800%),
10/20/2034,
Ser.
2021-13A,
Class
CR
a,b
2,494,437
1,675,000
5.729%, 
(TSFR3M
+
2.000%),
4/20/2037,
Ser.
2020-9A,
Class
CR2
a,b
1,678,452
Anchorage
Capital
CLO
20,
Ltd.
2,100,000
6.929%, 
(TSFR3M
+
3.200%),
1/20/2035,
Ser.
2021-20A,
Class
DR
a,b
2,071,354
Anchorage
Capital
CLO
21,
Ltd.
1,500,000
5.629%, 
(TSFR3M
+
1.900%),
10/20/2034,
Ser.
2021-21A,
Class
CR
a,b
1,500,321
Avis
Budget
Rental
Car
Funding
AESOP,
LLC
825,000
5.240%, 
8/20/2029,
Ser.
2025-1A,
Class
B
a
825,753
1,750,000
4.770%, 
2/20/2032,
Ser.
2025-4A,
Class
B
a
1,696,410
Balboa
Bay
Loan
Funding,
Ltd.
1,500,000
5.679%, 
(TSFR3M
+
1.950%),
7/20/2034,
Ser.
2021-1A,
Class
CR
a,b
1,504,572
1,000,000
5.979%, 
(TSFR3M
+
2.250%),
1/20/2035,
Ser.
2021-2A,
Class
CR
a,b
1,000,211
Barings
CLO,
Ltd.
1,100,000
5.629%, 
(TSFR3M
+
1.900%),
1/18/2035,
Ser.
2021-3A,
Class
CR
a,b
1,100,131
Battalion
CLO
XI,
Ltd.
2,000,000
5.725%, 
(TSFR3M
+
1.950%),
4/24/2034,
Ser.
2017-11A,
Class
CR2
a,b
1,971,708
Battalion
CLO
XIV,
Ltd.
1,700,000
5.729%, 
(TSFR3M
+
2.000%),
1/20/2035,
Ser.
2019-14A,
Class
CR2
a,b
1,700,043
Battalion
CLO
XXI,
Ltd.
2,500,000
5.753%, 
(TSFR3M
+
2.000%),
7/15/2034,
Ser.
2021-21A,
Class
CR
a,b
2,500,153
Business
Jet
Securities,
LLC
793,505
5.364%, 
9/15/2039,
Ser.
2024-2A,
Class
A
a
789,621
Capital
Four
US
CLO
V,
Ltd.
1,800,000
5.624%, 
(TSFR3M
+
1.900%),
7/15/2037,
Ser.
2026-5A,
Class
C
a,b
1,799,602
College
Avenue
Student
Loans,
LLC
113,453
5.489%, 
(TSFR1M
+
1.764%),
11/26/2046,
Ser.
2017-A,
Class
A1
*,b
114,593
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Asset-Backed
Securities
10.9%
-
continued
Columbia
Cent
CLO
33,
Ltd.
$
1,350,000
5.679%, 
(TSFR3M
+
1.950%),
4/20/2037,
Ser.
2024-33A,
Class
CR
a,b
$
1,352,022
Dryden
72
CLO,
Ltd.
950,000
5.301%, 
(TSFR3M
+
1.650%),
5/15/2032,
Ser.
2019-72A,
Class
BRR
a,b
950,447
Education
Funding
Trust
397,994
2.790%, 
7/25/2041,
Ser.
2020-A,
Class
A
a
379,284
Federal
National
Mortgage
Association
-
REMIC
1,100,000
7.776%, 
(SOFR30A
+
4.160%),
8/25/2026,
Ser.
2026-69,
Class
MF
b
1,063,365
FirstLight
Issuer,
LLC
2,200,000
5.873%, 
6/20/2056,
Ser.
2026-1A,
Class
A2
a
2,185,610
Hertz
Vehicle
Financing
III,
LLC
600,000
6.120%, 
1/25/2029,
Ser.
2024-1A,
Class
B
a
605,549
1,350,000
5.450%, 
9/25/2029,
Ser.
2025-1A,
Class
B
a
1,347,509
750,000
5.590%, 
12/26/2029,
Ser.
2025-3A,
Class
B
a
748,747
1,250,000
5.140%, 
5/25/2032,
Ser.
2025-6A,
Class
B
a
1,209,882
HOMES
Trust
1,350,601
5.077%, 
8/25/2060,
Ser.
2026-INV1,
Class
A1D
a,c
1,334,048
718,227
5.053%, 
9/25/2070,
Ser.
2026-NQM1,
Class
A2
a,c
707,415
Hotwire
Funding,
LLC
1,350,000
5.893%, 
6/20/2054,
Ser.
2024-1A,
Class
A2
a
1,361,049
HPS
Loan
Management,
Ltd.
1,175,000
5.553%, 
(TSFR3M
+
1.800%),
4/15/2037,
Ser.
2024-19A,
Class
CR
a,b
1,175,848
Kennedy
Lewis
CLO
3,
Ltd.
1,000,000
5.129%, 
(TSFR3M
+
1.400%),
10/20/2036,
Ser.
3A,
Class
A2R3
a,b
996,577
KKR
Static
CLO
I,
Ltd.
2,000,000
5.179%, 
(TSFR3M
+
1.450%),
7/20/2031,
Ser.
2022-1A,
Class
BR2
a,b
1,999,028
LCM
41,
Ltd.
2,050,000
7.353%, 
(TSFR3M
+
3.600%),
4/15/2036,
Ser.
41A,
Class
D1R
a,b
1,997,042
LEDN
Issuer
Trust
725,000
6.748%, 
2/25/2041,
Ser.
2026-1A,
Class
A
a
724,646
Lightpath
Fiber
Issuer,
LLC
1,600,000
5.597%, 
3/25/2056,
Ser.
2026-1A,
Class
A2
a
1,584,749
Marathon
CLO,
Ltd.
1,550,000
5.303%, 
(TSFR3M
+
1.550%),
4/15/2034,
Ser.
2021-16A,
Class
A2R
a,b
1,550,172
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
178
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Asset-Backed
Securities
10.9%
-
continued
MetroNet
Infrastructure
Issuer,
LLC
$
2,000,000
5.400%, 
8/20/2055,
Ser.
2025-2A,
Class
A2
a
$
1,996,923
650,000
5.163%, 
12/20/2055,
Ser.
2025-4A,
Class
A2
a
639,330
Neuberger
Berman
Loan
Advisers
CLO
39,
Ltd.
1,675,000
5.529%, 
(TSFR3M
+
1.800%),
4/20/2038,
Ser.
2020-39A,
Class
CR2
a,b
1,676,915
Octagon
Investment
Partners
50,
Ltd.
2,125,000
5.753%, 
(TSFR3M
+
2.000%),
1/15/2035,
Ser.
2020-4A,
Class
CR2
a,b
2,125,323
Octagon
Investment
Partners
51,
Ltd.
3,000,000
6.579%, 
(TSFR3M
+
2.850%),
7/20/2034,
Ser.
2021-1A,
Class
DR
a,b
2,980,224
Pagaya
AI
Debt
Grantor
Trust
190,111
5.331%, 
1/15/2032,
Ser.
2024-8,
Class
A
a
190,153
443,221
5.092%, 
7/15/2032,
Ser.
2024-11,
Class
A
a
443,899
2,000,000
5.241%, 
12/15/2033,
Ser.
2026-3,
Class
A2
a
1,997,708
Pagaya
AI
Debt
Grantor
Trust
and
Pagaya
AI
Debt
Trust
239,920
6.093%, 
11/15/2031,
Ser.
2024-6,
Class
A
a
240,023
Palmer
Square
Loan
Funding,
Ltd.
1,450,000
5.603%, 
(TSFR3M
+
1.850%),
10/15/2032,
Ser.
2024-1A,
Class
CR
a,b
1,442,750
1,250,000
5.253%, 
(TSFR3M
+
1.500%),
1/15/2033,
Ser.
2024-2A,
Class
BR
a,b
1,250,125
1,450,000
5.251%, 
(TSFR3M
+
1.600%),
2/15/2033,
Ser.
2025-1A,
Class
B
a,b
1,451,337
1,550,000
5.394%, 
(TSFR3M
+
1.700%),
7/15/2034,
Ser.
2026-1A,
Class
B
a,b
1,551,843
Park
Blue
CLO,
Ltd.
1,500,000
5.909%, 
(TSFR3M
+
2.180%),
4/20/2038,
Ser.
2023-3A,
Class
CR
a,b
1,502,670
Point
Broadband
Funding,
LLC
1,500,000
5.996%, 
8/20/2056,
Ser.
2026-1A,
Class
A2
a,d
1,506,563
PPM
CLO
3,
Ltd.
2,100,000
5.800%, 
(TSFR3M
+
2.050%),
7/17/2034,
Ser.
2019-3A,
Class
CR2
a,b
2,100,622
RFS
Asset
Securitization
V,
LLC
1,250,000
6.049%, 
5/15/2032,
Ser.
2025-1,
Class
A
a
1,250,853
Rockford
Tower
CLO,
Ltd.
1,675,000
5.679%, 
(TSFR3M
+
1.950%),
7/20/2034,
Ser.
2021-2A,
Class
CR
a,b
1,680,105
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Asset-Backed
Securities
10.9%
-
continued
$
2,500,000
5.653%, 
(TSFR3M
+
1.900%),
1/15/2038,
Ser.
2021-3A,
Class
C1AR
a,b
$
2,500,695
Sculptor
CLO
XXVIII,
Ltd.
1,600,000
5.679%, 
(TSFR3M
+
1.950%),
1/20/2035,
Ser.
28A,
Class
CR
a,b
1,600,040
Signal
Peak
CLO
1,
Ltd.
1,750,000
5.700%, 
(TSFR3M
+
1.950%),
4/17/2034,
Ser.
2014-1A,
Class
CR4
a,b
1,746,497
1,625,000
7.250%, 
(TSFR3M
+
3.500%),
4/17/2034,
Ser.
2014-1A,
Class
DR4
a,b
1,598,046
Sixth
Street
CLO
XI,
Ltd.
1,600,000
5.660%, 
(TSFR3M
+
1.850%),
4/25/2037,
Ser.
2018-11A,
Class
CR2
a,b
1,607,709
Sunnova
Hestia
I
Issuer,
LLC
231,309
5.750%, 
12/20/2050,
Ser.
2023-GRID1,
Class
1A
a,e
224,288
Sunnova
Hestia
II
Issuer,
LLC
1,233,929
5.630%, 
7/20/2051,
Ser.
2024-GRID1,
Class
1A
a,e
1,180,554
Symphony
CLO
XX,
Ltd.
1,000,000
6.793%, 
(TSFR3M
+
3.000%),
1/16/2032,
Ser.
2018-20A,
Class
DR2
a,b
1,004,151
TCW
CLO,
Ltd.
1,250,000
5.610%, 
(TSFR3M
+
1.800%),
10/25/2035,
Ser.
2018-1A,
Class
BR3
a,b
1,252,355
3,090,000
5.479%, 
(TSFR3M
+
1.750%),
10/20/2037,
Ser.
2024-3A,
Class
B
a,b
3,094,604
VERDE
CLO,
Ltd.
2,100,000
6.953%, 
(TSFR3M
+
3.200%),
4/15/2032,
Ser.
2019-1A,
Class
DRR
a,b
2,108,648
Veros
Auto
Receivables
Trust
265,330
5.310%, 
9/15/2028,
Ser.
2025-1,
Class
A
a
265,910
Zayo
Issuer,
LLC
1,275,000
5.546%, 
4/20/2056,
Ser.
2026-1A,
Class
A2
a
1,261,407
1,550,000
5.570%, 
10/20/2055,
Ser.
2025-3A,
Class
A2
a
1,520,110
Total
95,912,134
Basic
Materials
<0.1%
FMC
Corporation
160,000
8.450%, 
11/1/2055
b
120,346
Peabody
Energy
Corporation,
Convertible
108,000
0.500%, 
6/1/2031
a
95,742
Total
216,088
Capital
Goods
0.3%
Array
Technologies,
Inc.,
Convertible
120,000
1.000%, 
12/1/2028
107,945
149,000
2.875%, 
7/1/2031
f
149,521
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
179
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Capital
Goods
0.3%
-
continued
BWX
Technologies,
Inc.,
Convertible
$
561,000
Zero
Coupon, 
11/1/2030
a,f
$
540,617
Fluor
Corporation,
Convertible
297,000
1.125%, 
8/15/2029
384,318
Granite
Construction,
Inc.,
Convertible
192,000
3.250%, 
6/15/2030
315,840
Greenbrier
Companies,
Inc.,
Convertible
198,000
2.875%, 
4/15/2028
224,077
JBT
Marel
Corporation,
Convertible
298,000
0.375%, 
9/15/2030
a
299,192
Mirion
Technologies,
Inc.,
Convertible
157,000
0.250%, 
6/1/2030
a
152,682
151,000
Zero
Coupon, 
10/1/2031
a
129,875
Patrick
Industries,
Inc.,
Convertible
134,000
1.750%, 
12/1/2028
184,652
Total
2,488,719
Collateralized
Mortgage
Obligations
14.7%
A&D
Mortgage
Trust
755,675
6.498%, 
4/25/2069,
Ser.
2024-NQM2,
Class
A1
a,c
758,690
686,065
6.701%, 
4/25/2069,
Ser.
2024-NQM2,
Class
A2
a,c
688,861
ACRA
Trust
1,097,523
5.573%, 
6/25/2066,
Ser.
2026-NQM1,
Class
A1
a,b
1,093,851
1,154,470
5.912%, 
10/25/2064,
Ser.
2024-NQM1,
Class
A2
a,c
1,153,397
Archwest
Mortgage
Trust
1,500,000
5.196%, 
10/25/2040,
Ser.
2025-RTL1,
Class
A1
a,c
1,488,525
875,000
5.435%, 
4/25/2041,
Ser.
2026-RTL1,
Class
A1
a,c
868,318
Arroyo
Mortgage
Trust
1,500,000
4.269%, 
12/25/2056,
Ser.
2022-1,
Class
A1B
a
1,402,813
Banc
of
America
Alternative
Loan
Trust
603,179
6.000%, 
11/25/2035,
Ser.
2005-10,
Class
3CB1
535,709
Banc
of
America
Mortgage
Securities
Trust
99,316
5.038%, 
9/25/2035,
Ser.
2005-H,
Class
2A1
b
88,506
158,345
5.592%, 
9/25/2035,
Ser.
2005-H,
Class
3A1
b
151,763
Bellemeade
Re,
Ltd.
1,450,000
6.116%, 
(SOFR30A
+
2.500%),
10/25/2035,
Ser.
2025-1,
Class
M1B
a,b
1,455,318
BRAVO
Residential
Funding
Trust
933,931
5.138%, 
11/25/2065,
Ser.
2026-NQM3,
Class
A2
a,c
922,117
Builder
Circle
Mortgage
Trust
1,700,000
6.014%, 
5/25/2031,
Ser.
2026-RTL1,
Class
A1
a
1,708,349
CFST
Mortgage
Trust
1,600,000
5.882%, 
10/25/2030,
Ser.
2025-RTL1,
Class
A1
a,c
1,602,833
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Collateralized
Mortgage
Obligations
14.7%
-
continued
Chase
Home
Lending
Mortgage
Trust
$
1,225,000
5.500%, 
4/25/2057,
Ser.
2026-6,
Class
A5
a,b
$
1,169,938
CHNGE
Mortgage
Trust
997,105
4.757%, 
3/25/2067,
Ser.
2022-2,
Class
A1
a,b
966,816
213,357
6.525%, 
6/25/2058,
Ser.
2023-2,
Class
A1
a,c
212,639
985,977
5.820%, 
6/25/2067,
Ser.
2022-NQM1,
Class
A3
a,c
982,872
238,397
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
a,c
237,595
CIM
Trust
689,064
7.100%, 
4/25/2058,
Ser.
2023-I1,
Class
A3
a,c
686,755
Citigroup
Mortgage
Loan
Trust,
Inc.
173,977
5.500%, 
8/25/2034,
Ser.
2004-NCM2,
Class
1CB1
171,098
716,094
4.896%, 
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
648,231
CLIP
Trust
1,124,938
5.221%, 
5/25/2071,
Ser.
2026-NQM1,
Class
A1
a,b
1,115,953
COLT
Mortgage
Loan
Trust
913,888
5.924%, 
9/25/2069,
Ser.
2024-INV3,
Class
M1
a,b
910,368
779,707
6.328%, 
12/25/2068,
Ser.
2024-INV1,
Class
A2
a,c
780,481
Countrywide
Alternative
Loan
Trust
205,364
5.000%, 
3/25/2035,
Ser.
2005-3CB,
Class
1A1
165,608
294,390
5.500%, 
5/25/2035,
Ser.
2005-J3,
Class
1A5
225,570
289,150
5.500%, 
10/25/2035,
Ser.
2005-46CB,
Class
A8
192,854
84,089
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
64,688
170,432
7.000%, 
10/25/2037,
Ser.
2007-24,
Class
A10
52,354
Credit
Suisse
Mortgage
Trust
2,050,000
5.000%, 
2/25/2067,
Ser.
2022-NQM2,
Class
A1B
a,b
1,929,589
CSMC
Trust
237,574
2.572%, 
11/25/2066,
Ser.
2022-NQM1,
Class
A2
a,b
203,119
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
396,457
5.250%, 
6/25/2035,
Ser.
2005-3,
Class
4A6
348,522
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
436,250
4.000%, 
1/25/2051,
Ser.
5249,
Class
LA
427,449
1,550,000
5.250%, 
2/25/2055,
Ser.
5508,
Class
AY
1,517,358
8,539,657
1.500%, 
3/25/2051,
Ser.
5092,
Class
IC
g
681,471
1,325,000
5.250%, 
3/25/2055,
Ser.
5519,
Class
CL
1,282,151
1,000,000
5.000%, 
5/25/2055,
Ser.
5537,
Class
KM
954,382
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
180
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Collateralized
Mortgage
Obligations
14.7%
-
continued
$
1,113,876
7.616%, 
(SOFR30A
+
4.000%),
8/25/2026,
Ser.
5567,
Class
MB
b
$
1,127,379
679,501
Zero
Coupon, 
9/25/2053,
Ser.
5334,
Class
BO
551,408
1,161,758
5.000%, 
9/25/2054,
Ser.
5473,
Class
HL
1,142,885
10,872,492
1.500%, 
12/25/2050,
Ser.
5107,
Class
IO
g
1,027,515
2,655,473
2.000%, 
12/25/2050,
Ser.
5051,
Class
WI
g
341,555
21,039
3.000%, 
5/15/2027,
Ser.
4046,
Class
GI
g
93
78,635
3.000%, 
7/15/2027,
Ser.
4084,
Class
NI
g
744
514,343
3.500%, 
10/15/2032,
Ser.
4119,
Class
KI
g
33,640
392,172
3.000%, 
4/15/2033,
Ser.
4203,
Class
DI
g
12,362
871,652
5.500%, 
1/25/2046,
Ser.
5617,
Class
AZ
859,444
Federal
Home
Loan
Mortgage
Corporation
STRIPS
728,028
3.500%, 
8/15/2035,
Ser.
345,
Class
C8
g
61,536
Federal
National
Mortgage
Association
-
REMIC
1,300,000
5.000%, 
1/25/2055,
Ser.
2024-103,
Class
YD
1,269,873
1,850,000
5.000%, 
4/25/2055,
Ser.
2025-15,
Class
BD
1,768,598
1,000,000
5.000%, 
8/25/2055,
Ser.
2025-69,
Class
DL
950,643
1,087,953
5.000%, 
8/25/2055,
Ser.
2025-66,
Class
KZ
1,012,963
1,759,158
2.000%, 
12/25/2050,
Ser.
2020-89,
Class
IM
g
232,537
49,131
3.000%, 
7/25/2027,
Ser.
2012-73,
Class
DI
g
372
41,151
3.000%, 
7/25/2027,
Ser.
2012-74,
Class
AI
g
232
218,770
3.000%, 
11/25/2027,
Ser.
2012-121,
Class
BI
g
2,098
140,444
3.000%, 
12/25/2027,
Ser.
2012-139,
Class
DI
g
1,121
56,749
2.500%, 
1/25/2028,
Ser.
2012-152,
Class
AI
g
525
117,253
3.000%, 
1/25/2028,
Ser.
2012-147,
Class
EI
g
855
61,793
3.000%, 
2/25/2028,
Ser.
2013-2,
Class
GI
g
766
130,969
3.000%, 
3/25/2028,
Ser.
2013-18,
Class
IL
g
1,373
144,986
2.500%, 
6/25/2028,
Ser.
2013-87,
Class
IW
g
2,294
446,192
3.000%, 
2/25/2033,
Ser.
2013-1,
Class
YI
g
29,978
First
Horizon
Alternative
Mortgage
Securities
Trust
79,858
5.001%, 
7/25/2035,
Ser.
2005-AA5,
Class
2A1
b
75,429
Flagstar
Mortgage
Trust
1,204,417
3.000%, 
3/25/2050,
Ser.
2020-1INV,
Class
A3
a,b
1,024,586
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Collateralized
Mortgage
Obligations
14.7%
-
continued
$
1,407,520
2.500%, 
8/25/2051,
Ser.
2021-6INV,
Class
A4
a,b
$
1,133,254
570,674
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
a,b
508,947
GCAT
Trust
1,189,882
6.500%, 
1/25/2054,
Ser.
2024-INV1,
Class
2A2
a,b
1,214,795
1,000,000
5.500%, 
5/25/2055,
Ser.
2025-INV2,
Class
A12
a,b
969,302
710,212
4.250%, 
5/25/2067,
Ser.
2023-NQM4,
Class
A2
a,b
657,463
1,050,106
6.000%, 
9/25/2054,
Ser.
2024-INV3,
Class
A1
a,b
1,054,372
GMAC
Mortgage
Corporation
Loan
Trust
273,104
3.851%, 
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
240,297
39,050
4.339%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,e
17,366
GMACM
Mortgage
Loan
Trust
8,831
3.326%, 
11/19/2035,
Ser.
2005-AR6,
Class
1A1
b
4,372
GS
Mortgage-Backed
Securities
Trust
1,582,845
4.978%, 
5/25/2066,
Ser.
2026-DSC1,
Class
A2
a,c
1,553,381
901,636
5.500%, 
10/27/2053,
Ser.
2023-PJ3,
Class
A16
a,b
897,547
Home
Equity
Asset
Trust
816,874
5.159%, 
(TSFR1M
+
1.434%),
8/25/2033,
Ser.
2003-2,
Class
M1
b
791,351
Home
Re,
Ltd.
695,633
8.216%, 
(SOFR30A
+
4.600%),
10/25/2033,
Ser.
2023-1,
Class
M1B
a,b
707,701
HTAP
Issuer
Trust
1,240,795
6.500%, 
4/25/2042,
Ser.
2024-2,
Class
A
a
1,228,999
1,521,645
6.500%, 
11/25/2042,
Ser.
2025-1,
Class
A
a
1,517,132
IndyMac
IMJA
Mortgage
Loan
Trust
282,011
6.250%, 
11/25/2037,
Ser.
2007-A3,
Class
A1
103,083
IndyMac
INDA
Mortgage
Loan
Trust
1,331,057
3.443%, 
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
1,021,072
J.P.
Morgan
Alternative
Loan
Trust
259,677
4.776%, 
3/25/2036,
Ser.
2006-A1,
Class
2A1
b
191,527
J.P.
Morgan
Mortgage
Trust
360,809
2.774%, 
5/25/2052,
Ser.
2021-LTV2,
Class
A2
a,b
305,571
437,346
5.055%, 
6/25/2056,
Ser.
2025-12MPR,
Class
A1D
a,c
431,820
591,035
5.000%, 
10/25/2053,
Ser.
2023-3,
Class
A4A
a,b
582,462
265,494
5.510%, 
7/25/2035,
Ser.
2007-A1,
Class
2A1
b
262,488
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
181
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Collateralized
Mortgage
Obligations
14.7%
-
continued
LHOME
Mortgage
Trust
$
1,625,000
5.921%, 
7/25/2039,
Ser.
2024-RTL4,
Class
A1
a,c
$
1,627,046
Long
Beach
Mortgage
Loan
Trust
930,617
5.339%, 
(TSFR1M
+
1.614%),
9/25/2034,
Ser.
2004-5,
Class
M3
b
954,710
Merrill
Lynch
Alternative
Note
Asset
Trust
497,420
6.000%, 
3/25/2037,
Ser.
2007-F1,
Class
2A1
142,385
MFA
Trust
1,860,461
6.330%, 
9/25/2054,
Ser.
2024-NPL1,
Class
A1
a,c
1,862,875
198,573
4.875%, 
9/25/2056,
Ser.
2022-CHM1,
Class
A1
a
193,159
Morgan
Stanley
Residential
Mortgage
Loan
Trust
1,608,005
4.988%, 
1/26/2071,
Ser.
2026-NQM2,
Class
A2
a,c
1,577,410
1,372,823
5.432%, 
3/25/2071,
Ser.
2026-NQM3,
Class
A2
a,c
1,362,357
1,512,458
5.456%, 
7/25/2070,
Ser.
2025-NQM6,
Class
A2
a,c
1,501,352
MortgageIT
Securities
Corporation
Mortgage
Loan
Trust
1,319,402
4.299%, 
(TSFR1M
+
0.574%),
6/25/2047,
Ser.
2007-1,
Class
1A1
b
1,166,274
New
Residential
Mortgage
Loan
Trust
1,800,000
3.863%, 
1/25/2064,
Ser.
2024-RPL1,
Class
B2
a,b
1,390,906
NYMT
Loan
Trust
2,115,229
5.456%, 
10/25/2060,
Ser.
2025-INV2,
Class
A3
a,c
2,095,254
PMT
Loan
Trust
1,650,000
5.000%, 
1/25/2057,
Ser.
2026-J1,
Class
A8
a,b
1,538,447
1,392,068
6.000%, 
1/25/2060,
Ser.
2025-INV1,
Class
A1
a,b
1,397,724
1,750,000
6.000%, 
2/25/2056,
Ser.
2025-INV2,
Class
A10
a,b
1,721,348
1,150,000
5.500%, 
5/25/2056,
Ser.
2025-INV5,
Class
A12
a,b
1,114,043
1,000,000
6.000%, 
12/25/2059,
Ser.
2024-INV2,
Class
A10
a,b
981,009
Point
Securitization
Trust
1,185,794
6.250%, 
6/25/2055,
Ser.
2025-1,
Class
A1
a
1,187,533
1,750,000
5.250%, 
7/25/2056,
Ser.
2026-2,
Class
A1
a
1,696,275
1,245,495
5.750%, 
10/25/2055,
Ser.
2025-2,
Class
A1
a
1,231,510
PRET,
LLC
452,649
5.074%, 
2/25/2056,
Ser.
2026-NPL2,
Class
A1
a,c
448,879
1,694,429
5.710%, 
4/25/2056,
Ser.
2026-NPL5,
Class
A1
a,c
1,691,119
1,175,617
5.693%, 
5/25/2056,
Ser.
2026-NPL6,
Class
A1
a,c
1,172,465
590,052
5.744%, 
6/25/2055,
Ser.
2025-NPL6,
Class
A1
a,c
590,452
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Collateralized
Mortgage
Obligations
14.7%
-
continued
$
950,000
7.507%, 
8/25/2055,
Ser.
2025-NPL9,
Class
A2
a,c
$
950,671
PRKCM
Trust
135,835
7.087%, 
6/25/2058,
Ser.
2023-AFC2,
Class
A3
a
135,372
349,235
7.627%, 
11/25/2058,
Ser.
2023-AFC4,
Class
A2
a,c
349,443
PRPM
Trust
1,275,000
5.000%, 
1/25/2068,
Ser.
2026-R1,
Class
A1
a,b
1,253,845
1,350,000
7.250%, 
11/25/2068,
Ser.
2023-NQM3,
Class
M1
a,b
1,355,351
PRPM,
LLC
892,242
4.000%, 
1/25/2054,
Ser.
2024-RCF1,
Class
A1
a,c
878,289
875,000
3.250%, 
4/25/2055,
Ser.
2025-RPL3,
Class
A3
a,c
838,205
1,300,000
3.500%, 
5/25/2054,
Ser.
2024-RPL2,
Class
A2
a,c
1,254,786
1,325,000
3.000%, 
5/25/2055,
Ser.
2025-RPL4,
Class
A2
a,c
1,227,786
1,250,000
5.207%, 
12/25/2055,
Ser.
2025-RCF6,
Class
A2
a,c
1,227,746
1,284,870
5.699%, 
11/25/2029,
Ser.
2024-6,
Class
A1
a,c
1,285,309
1,750,000
8.835%, 
12/25/2029,
Ser.
2024-7,
Class
A2
a,c
1,751,545
853,314
6.255%, 
5/25/2030,
Ser.
2025-3,
Class
A1
a,c
852,578
700,000
8.569%, 
7/25/2030,
Ser.
2025-5,
Class
A2
a,c
696,778
1,250,748
6.299%, 
6/25/2031,
Ser.
2026-4,
Class
A1
a,c
1,250,981
Radnor
Re,
Ltd.
401,525
6.516%, 
(SOFR30A
+
2.900%),
9/25/2034,
Ser.
2024-1,
Class
M1B
a,b
402,254
RCO
IX
Mortgage,
LLC
973,697
5.310%, 
10/25/2030,
Ser.
2025-4,
Class
A1
a,c
973,034
1,272,277
5.765%, 
5/25/2031,
Ser.
2026-2,
Class
A1
a,c
1,267,095
Renaissance
Home
Equity
Loan
Trust
389,900
5.797%, 
8/25/2036,
Ser.
2006-2,
Class
AF3
c
123,616
Residential
Accredit
Loans,
Inc.
Trust
211,877
6.000%, 
8/25/2035,
Ser.
2005-QS10,
Class
2A
186,929
318,213
6.000%, 
1/25/2037,
Ser.
2007-QS1,
Class
1A1
260,837
148,987
6.250%, 
4/25/2037,
Ser.
2007-QS6,
Class
A6
125,632
Residential
Funding
Mortgage
Security
I
Trust
324,078
6.000%, 
7/25/2037,
Ser.
2007-S7,
Class
A20
259,064
Roc
Mortgage
Trust
1,750,000
5.589%, 
10/25/2039,
Ser.
2024-RTL1,
Class
A1
a,c
1,750,536
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
182
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Collateralized
Mortgage
Obligations
14.7%
-
continued
Saluda
Grade
Alternative
Mortgage
Trust
$
859,110
7.762%, 
4/25/2030,
Ser.
2024-RTL5,
Class
A1
a,c
$
856,113
1,464,148
7.439%, 
7/25/2030,
Ser.
2024-RTL6,
Class
A1
a,c
1,461,922
Saxon
Asset
Securities
Trust
335,413
0.590%, 
8/25/2035,
Ser.
2004-2,
Class
MF2
b
306,594
Sequoia
Mortgage
Trust
1,050,000
5.901%, 
3/25/2054,
Ser.
2024-2,
Class
A13
a,b
1,042,345
1,475,000
5.000%, 
5/25/2056,
Ser.
2026-5,
Class
A8
a,b
1,348,521
1,600,000
5.000%, 
12/25/2055,
Ser.
2025-12,
Class
A8
a,b
1,489,776
145,346
3.434%, 
9/20/2046,
Ser.
2007-1,
Class
4A1
b
94,314
SG
Residential
Mortgage
Trust
1,650,000
5.505%, 
8/25/2066,
Ser.
2026-5,
Class
A1
a,b
1,646,424
Splitero
Trust
1,450,000
5.750%, 
6/25/2056,
Ser.
2026-1,
Class
A1
a,c
1,429,419
Structured
Adjustable
Rate
Mortgage
Loan
Trust
70,919
4.431%, 
7/25/2035,
Ser.
2005-15,
Class
4A1
b
62,566
Triangle
Re,
Ltd.
109,927
7.016%, 
(SOFR30A
+
3.400%),
11/25/2033,
Ser.
2023-1,
Class
M1A
a,b
110,258
TVC
Mortgage
Trust
1,695,000
5.545%, 
7/25/2039,
Ser.
2024-RRTL1,
Class
A1
a,c
1,695,788
Unlock
HEA
Trust
1,171,697
7.000%, 
10/25/2038,
Ser.
2023-1,
Class
A
a
1,168,871
1,243,236
7.000%, 
4/25/2039,
Ser.
2024-1,
Class
A
a
1,238,075
1,160,718
6.500%, 
10/25/2039,
Ser.
2024-2,
Class
A
a
1,153,405
Velocity
Commercial
Capital
Loan
Trust
473,116
6.550%, 
1/25/2054,
Ser.
2024-1,
Class
A
a,b
475,983
666,136
6.650%, 
6/25/2054,
Ser.
2024-3,
Class
A
a,b
669,904
480,448
7.670%, 
11/25/2053,
Ser.
2023-4,
Class
A
a,b
486,492
Verus
Securitization
Trust
1,204,072
5.776%, 
5/25/2070,
Ser.
2025-3,
Class
A2
a,c
1,204,727
1,433,873
2.137%, 
10/25/2066,
Ser.
2021-7,
Class
A2
a,b
1,251,540
575,045
2.491%, 
11/25/2066,
Ser.
2021-8,
Class
A3
a,b
505,579
VOLT
C,
LLC
1,293,582
8.826%, 
5/25/2051,
Ser.
2021-NPL9,
Class
A2
a
1,293,980
VOLT
CVI,
LLC
280,082
9.438%, 
12/26/2051,
Ser.
2021-NP12,
Class
A2
a
280,375
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Collateralized
Mortgage
Obligations
14.7%
-
continued
Vontive
Mortgage
Trust
$
1,325,000
6.507%, 
3/25/2030,
Ser.
2025-RTL1,
Class
A1
a,c
$
1,332,063
Washington
Mutual
Mortgage
Pass-Through
Certificates
272,620
6.000%, 
3/25/2035,
Ser.
2005-1,
Class
2A
236,989
Total
128,918,254
Commercial
Mortgage-Backed
Securities
1.4%
AMSR
Trust
1,079,000
2.352%, 
6/17/2038,
Ser.
2021-SFR1,
Class
C
a
1,016,553
BANK
13,310,820
0.410%, 
2/15/2055,
Ser.
2022-BNK39,
Class
XA
b,g
258,649
7,164,344
0.623%, 
3/15/2058,
Ser.
2025-BNK49,
Class
XA
b,g
313,540
1,750,000
4.319%, 
5/15/2061,
Ser.
2018-BN12,
Class
AS
b
1,688,841
BBCMS
Mortgage
Trust
7,073,518
1.149%, 
9/15/2055,
Ser.
2022-C17,
Class
XA
b,g
396,098
1,500,000
5.382%, 
9/15/2058,
Ser.
2025-5C37,
Class
AS
b
1,495,582
BMO
Mortgage
Trust
39,754,260
1.012%, 
10/15/2058,
Ser.
2025-C13,
Class
XA
b,g
2,895,537
Home
Partners
of
America
Trust
1,210,723
2.078%, 
9/17/2041,
Ser.
2021-1,
Class
C
a
1,091,674
PFP,
Ltd.
1,750,000
4.990%, 
(TSFR1M
+
1.320%),
12/18/2043,
Ser.
2026-14,
Class
A
a,b
1,752,003
Tricon
Residential
Trust
1,250,000
5.700%, 
6/20/2040,
Ser.
2024-SFR2,
Class
B
a
1,253,315
Total
12,161,792
Communications
Services
0.2%
Bell
Telephone
Company
of
Canada
153,000
7.000%, 
9/15/2055
b
154,218
Cable
One,
Inc.,
Convertible
97,000
1.125%, 
3/15/2028
42,680
Rogers
Communications,
Inc.
205,000
5.250%, 
3/15/2082
a,b
204,189
153,000
7.125%, 
4/15/2055
b
154,415
Snap,
Inc.,
Convertible
117,000
0.125%, 
3/1/2028
107,500
388,000
0.500%, 
5/1/2030
319,518
TELUS
Corporation
103,000
6.625%, 
10/15/2055
b
102,665
Verizon
Communications,
Inc.
250,000
6.200%, 
5/14/2056
b
244,664
Vodafone
Group
plc
352,000
7.000%, 
4/4/2079
b
361,504
Total
1,691,353
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
183
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Consumer
Cyclical
0.3%
Burlington
Stores,
Inc.,
Convertible
$
102,000
1.250%, 
12/15/2027
$
185,028
Compass,
Inc.,
Convertible
401,000
0.250%, 
4/15/2031
a
417,922
Cracker
Barrel
Old
Country
Store,
Inc.,
Convertible
30,000
1.750%, 
9/15/2030
31,854
DraftKings
Holdings,
Inc.,
Convertible
574,000
Zero
Coupon, 
3/15/2028
531,698
EZCORP,
Inc.,
Convertible
122,000
3.750%, 
12/15/2029
a
332,535
General
Motors
Financial
Company,
Inc.
81,000
5.750%, 
9/30/2027
b,h
80,359
70,000
5.700%, 
9/30/2030
b,h
68,898
Live
Nation
Entertainment,
Inc.,
Convertible
149,000
3.125%, 
1/15/2029
253,523
90,000
2.875%, 
1/15/2030
104,085
185,000
2.875%, 
10/15/2031
a
199,563
Marriott
Vacations
Worldwide
Corporation,
Convertible
191,000
3.250%, 
12/15/2027
187,467
Meritage
Homes
Corporation,
Convertible
63,000
1.750%, 
5/15/2028
62,276
Uber
Technologies,
Inc.,
Convertible
146,000
Zero
Coupon, 
5/15/2028
163,228
187,000
0.875%, 
12/1/2028
220,380
Wayfair,
Inc.,
Convertible
91,000
3.250%, 
9/15/2027
127,264
Total
2,966,080
Consumer
Non-Cyclical
0.3%
Chefs'
Warehouse,
Inc.,
Convertible
120,000
2.375%, 
12/15/2028
319,116
CVS
Health
Corporation
144,000
6.750%, 
12/10/2054
b
148,368
Envista
Holdings
Corporation,
Convertible
56,000
1.750%, 
8/15/2028
55,659
Integer
Holdings
Corporation,
Convertible
145,000
2.125%, 
2/15/2028
205,769
405,000
1.875%, 
3/15/2030
426,141
Jazz
Investments
I,
Ltd.,
Convertible
328,000
3.125%, 
9/15/2030
577,444
LCI
Industries,
Convertible
238,000
3.000%, 
3/1/2030
261,443
Post
Holdings,
Inc.,
Convertible
236,000
2.500%, 
8/15/2027
246,384
Spectrum
Brands,
Inc.,
Convertible
156,000
3.375%, 
6/1/2029
162,443
Winnebago
Industries,
Inc.,
Convertible
147,000
3.250%, 
1/15/2030
135,828
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Consumer
Non-Cyclical
0.3%
-
continued
Zoetis,
Inc.,
Convertible
$
232,000
0.250%, 
6/15/2029
a
$
212,628
Total
2,751,223
Energy
0.3%
BP
Capital
Markets
plc
191,000
4.875%, 
3/22/2030
b,h
186,584
201,000
6.450%, 
12/1/2033
b,h
206,346
Civeo
Corporation,
Convertible
48,000
4.500%, 
8/1/2031
a
49,008
Crescent
Energy
Company,
Convertible
369,000
2.750%, 
3/15/2031
a
390,217
Enbridge,
Inc.
285,000
7.375%, 
1/15/2083
b
290,784
195,000
7.625%, 
1/15/2083
b
209,993
Energy
Transfer,
LP
128,000
8.000%, 
5/15/2054
b
134,331
64,000
7.125%, 
5/15/2030
b,h
65,687
Northern
Oil
and
Gas,
Inc.,
Convertible
352,000
3.625%, 
4/15/2029
349,106
Phillips
66
Company
170,000
6.200%, 
3/15/2056
b
169,153
TransCanada
PipeLines,
Ltd.
210,000
6.375%, 
10/17/2056
b
210,632
TransCanada
Trust
247,000
5.875%, 
8/15/2076
b
246,912
UGI
Corporation,
Convertible
78,000
5.000%, 
6/1/2028
107,180
Venture
Global
LNG,
Inc.
320,000
9.000%, 
9/30/2029
a,b,h
318,714
Total
2,934,647
Financials
1.7%
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
160,000
6.950%, 
3/10/2055
b
163,687
American
Express
Company
320,000
3.550%, 
9/15/2026
b,h
319,199
Arbor
Realty
Trust,
Inc.,
Convertible
17,000
6.250%, 
7/1/2029
a
16,039
Bank
of
America
Corporation
365,000
6.125%, 
4/27/2027
b,h
367,013
Bank
of
New
York
Mellon
Corporation
260,000
5.950%, 
12/20/2030
b,h
260,767
Bank
of
Nova
Scotia
205,000
6.875%, 
10/27/2085
b
203,550
Boston
Properties,
LP,
Convertible
138,000
2.000%, 
10/1/2030
a
134,895
Capital
Automotive
REIT
1,501,333
4.400%, 
10/15/2054,
Ser.
2024-3A,
Class
A1
a
1,425,507
Capital
One
Financial
Corporation
217,000
3.950%, 
9/1/2026
b,h
216,519
Charles
Schwab
Corporation
480,000
6.100%, 
6/1/2031
b,h
473,477
CHL
Mortgage
Pass-Through
Trust
11,950
6.056%, 
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
12,621
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
184
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Financials
1.7%
-
continued
$
204,772
6.000%, 
4/25/2037,
Ser.
2007-3,
Class
A18
$
87,924
136,515
6.000%, 
4/25/2037,
Ser.
2007-3,
Class
A33
58,616
474,009
6.000%, 
11/25/2037,
Ser.
2007-18,
Class
1A2
185,936
Citigroup,
Inc.
148,000
7.625%, 
11/15/2028
b,h
153,593
128,000
7.125%, 
8/15/2029
b,h
130,180
151,000
6.950%, 
2/15/2030
b,h
152,332
340,000
6.625%, 
2/15/2031
b,h
341,543
185,000
7.000%, 
8/15/2034
b,h
189,117
190,000
6.875%, 
12/29/2049
b,h
191,835
Citizens
Financial
Group,
Inc.
197,000
4.000%, 
10/6/2026
b,h
196,374
165,000
6.750%, 
10/6/2031
b,h
163,613
Coinbase
Global,
Inc.,
Convertible
181,000
Zero
Coupon, 
10/1/2029
a
156,023
195,000
0.250%, 
4/1/2030
173,104
278,000
Zero
Coupon, 
10/1/2032
a
213,294
COPT
Defense
Properties,
LP,
Convertible
43,000
5.250%, 
9/15/2028
a
56,505
Core
Scientific,
Inc.,
Convertible
75,000
3.000%, 
9/1/2029
a
153,735
85,000
Zero
Coupon, 
6/15/2031
a
106,438
Corebridge
Financial,
Inc.
115,000
6.375%, 
9/15/2054
b
112,847
133,000
6.875%, 
12/15/2052
b
134,528
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
135,897
4.619%, 
11/25/2035,
Ser.
2005-22,
Class
2A1
b
113,477
Credit
Suisse
Group
AG
138,000
7.250%, 
N/A
*,i
33,120
222,000
7.500%, 
N/A
*,i
53,280
Dai-ichi
Life
Insurance
Company,
Ltd.
170,000
6.200%, 
1/16/2035
a,b,h
171,272
Digital
Realty
Trust,
LP,
Convertible
135,000
1.875%, 
11/15/2029
a
146,678
Encore
Capital
Group,
Inc.,
Convertible
119,000
4.000%, 
3/15/2029
180,880
Federal
Realty
OP,
LP,
Convertible
61,000
3.250%, 
1/15/2029
a
67,131
Goldman
Sachs
Group,
Inc.
330,000
3.650%, 
8/10/2026
b,h
329,623
243,000
6.500%, 
8/10/2031
b,h
241,174
147,000
6.125%, 
11/10/2034
b,f,h
144,955
Hartford
Insurance
Group,
Inc.
136,000
6.038%, 
(TSFR3M
+
2.387%),
2/12/2047
a,b
134,640
HAT
Holdings
I,
LLC/HAT
Holdings
II,
LLC,
Convertible
46,000
3.750%, 
8/15/2028
a,f
66,815
Healthcare
Realty
Holdings,
LP,
Convertible
84,000
3.000%, 
1/15/2032
a
87,696
Hercules
Capital,
Inc.,
Convertible
16,000
4.750%, 
9/1/2028
a
15,720
Huntington
Bancshares,
Inc./OH
146,000
4.450%, 
10/15/2027
b,h
143,711
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Financials
1.7%
-
continued
Huntington
Bank
Auto
Credit-
Linked
Notes
$
591,438
5.442%, 
10/20/2032,
Ser.
2024-2,
Class
B1
a
$
593,448
JPMorgan
Chase
&
Company
145,000
6.500%, 
4/1/2030
b,h
147,225
Kimco
Realty
OP,
LLC,
Convertible
69,000
3.500%, 
6/15/2031
a
70,346
Kite
Realty
Group,
LP,
Convertible
18,000
0.750%, 
4/1/2027
a
21,960
42,000
3.250%, 
4/15/2032
a
41,748
Lincoln
National
Corporation
74,000
6.268%, 
(TSFR3M
+
2.619%),
8/17/2026
b
64,178
M&T
Bank
Corporation
427,000
3.500%, 
9/1/2026
b,h
424,479
MetLife,
Inc.
155,000
6.350%, 
3/15/2055
b
157,233
220,000
5.875%, 
3/15/2028
b,h
221,285
292,000
6.400%, 
12/15/2036
294,574
Nippon
Life
Insurance
Company
415,000
5.950%, 
4/16/2054
a,b
415,469
Pebblebrook
Hotel
Trust,
Convertible
21,000
1.750%, 
12/15/2026
20,796
184,000
1.625%, 
1/15/2030
a,f
242,696
PNC
Financial
Services
Group,
Inc.
196,000
6.200%, 
9/15/2027
b,h
197,373
181,000
6.250%, 
3/15/2030
b,h
182,889
Provident
Financing
Trust
I
108,000
7.405%, 
3/15/2038
111,299
Prudential
Financial,
Inc.
217,000
6.750%, 
3/1/2053
b
224,682
170,000
6.250%, 
6/15/2056
b
168,403
100,000
3.700%, 
10/1/2050
b
92,316
Realty
Income
Corporation,
Convertible
105,000
3.500%, 
1/15/2029
a
108,780
Rexford
Industrial
Realty,
LP,
Convertible
56,000
4.375%, 
3/15/2027
a
55,793
70,000
4.125%, 
3/15/2029
a
69,195
Royal
Bank
of
Canada
200,000
6.750%, 
8/24/2085
b
202,712
Shift4
Payments,
Inc.,
Convertible
314,000
0.500%, 
8/1/2027
299,482
Starwood
Property
Trust,
Inc.,
Convertible
174,000
6.750%, 
7/15/2027
175,653
State
Street
Corporation
141,000
6.700%, 
3/15/2029
b,f,h
144,141
Sumisho
Air
Lease
Corporation
222,000
8.256%, 
9/15/2026
b,h
222,547
Sumitomo
Life
Insurance
Company
320,000
3.375%, 
4/15/2081
a,b
290,009
Tanger
Properties,
LP,
Convertible
32,000
2.375%, 
1/15/2031
a,f
34,752
Terawulf,
Inc.,
Convertible
56,000
2.750%, 
2/1/2030
a
127,193
50,000
1.000%, 
9/1/2031
a
82,620
49,000
Zero
Coupon, 
5/1/2032
a
58,409
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
185
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Financials
1.7%
-
continued
Truist
Financial
Corporation
$
161,000
5.100%, 
3/1/2030
b,f,h
$
159,601
165,000
6.250%, 
6/15/2031
b,h
163,430
Wells
Fargo
&
Company
289,000
7.625%, 
9/15/2028
b,h
302,358
Welltower
OP,
LLC,
Convertible
119,000
2.750%, 
5/15/2028
a
290,836
78,000
3.125%, 
7/15/2029
a
143,793
Total
15,104,686
Mortgage-Backed
Securities
11.2%
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
401,954
2.000%, 
1/1/2052
318,259
11,454,939
6.000%, 
1/1/2055
11,844,351
3,048,592
2.500%, 
5/1/2051
2,523,920
1,651,293
3.500%, 
5/1/2052
1,475,120
1,131,559
4.000%, 
5/1/2052
1,042,207
2,758,620
5.000%, 
7/1/2053
2,690,843
190,027
5.000%, 
8/1/2053
186,144
908,374
5.500%, 
9/1/2053
912,079
731,189
3.500%, 
9/1/2047
663,230
Federal
Home
Loan
Mortgage
Corporation
Gold
15-Yr.
Pass
Through
708,428
2.500%, 
7/1/2030
683,977
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
5,575,000
5.000%, 
8/1/2041
d
5,547,534
Federal
National
Mortgage
Association
Conventional
20-Yr.
Pass
Through
786,297
3.500%, 
5/1/2040
736,018
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,554,947
3.000%, 
1/1/2052
2,203,790
205,577
2.000%, 
2/1/2051
162,772
316,741
2.000%, 
2/1/2051
250,790
1,460,055
2.500%, 
2/1/2051
1,196,021
1,535,102
2.000%, 
3/1/2051
1,207,990
3,449,778
4.000%, 
3/1/2051
3,198,701
2,745,089
3.000%, 
3/1/2052
2,368,200
5,350,400
5.500%, 
3/1/2055
d
5,322,737
1,913,119
2.000%, 
4/1/2051
1,506,630
1,764,894
3.000%, 
4/1/2051
1,510,316
2,916,919
5.500%, 
4/1/2054
2,928,821
379,679
2.000%, 
5/1/2051
299,017
170,592
3.000%, 
6/1/2050
149,913
1,071,825
4.000%, 
6/1/2052
983,061
1,169,725
5.000%, 
6/1/2053
1,142,794
2,005,068
2.500%, 
7/1/2051
1,677,647
200,319
3.500%, 
7/1/2051
179,865
697,336
3.500%, 
8/1/2050
629,116
1,483,091
3.500%, 
8/1/2052
1,317,085
3,847,486
4.500%, 
8/1/2052
3,637,890
2,467,045
4.500%, 
8/1/2052
2,331,351
262,719
5.000%, 
8/1/2053
256,589
1,477,436
3.500%, 
9/1/2052
1,327,087
423,864
3.500%, 
9/1/2052
379,452
221,286
5.000%, 
9/1/2052
215,342
1,030,814
4.500%, 
9/1/2053
978,238
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Mortgage-Backed
Securities
11.2%
-
continued
$
3,027,105
4.500%, 
9/1/2053
$
2,867,855
1,944,990
4.000%, 
10/1/2052
1,793,121
384,076
2.000%, 
11/1/2051
304,094
546,774
3.500%, 
11/1/2052
491,951
1,544,579
2.000%, 
12/1/2050
1,224,106
2,790,259
4.500%, 
12/1/2052
2,650,145
1,300,000
6.000%, 
8/1/2041
d
1,314,315
6,500,000
5.500%, 
8/1/2042
d
6,432,434
862,316
3.500%, 
12/1/2047
783,301
4,000,000
4.500%, 
8/1/2048
d
3,755,712
8,500,000
5.000%, 
8/1/2048
d
8,202,211
800,000
3.500%, 
8/1/2049
d
709,594
Federal
National
Mortgage
Association
Conventional
40-Yr.
Pass
Through
929,471
3.500%, 
7/1/2061
814,348
1,009,354
4.000%, 
12/1/2061
909,791
Total
98,237,875
Technology
0.8%
Akamai
Technologies,
Inc.,
Convertible
71,000
0.375%, 
9/1/2027
84,419
87,000
1.125%, 
2/15/2029
102,529
97,000
Zero
Coupon, 
5/15/2030
a
90,549
65,000
Zero
Coupon, 
5/15/2032
a
59,052
146,000
0.250%, 
5/15/2033
208,926
Amkor
Technology,
Inc.,
Convertible
541,000
Zero
Coupon, 
7/15/2031
a
501,236
Applied
Digital
Corporation,
Convertible
94,000
2.750%, 
6/1/2030
280,120
Avnet,
Inc.,
Convertible
82,000
1.750%, 
9/1/2030
a
114,636
Block,
Inc.,
Convertible
60,000
0.250%, 
11/1/2027
56,924
Ciena
Corporation,
Convertible
588,000
Zero
Coupon, 
9/15/2031
a
554,484
CoreWeave,
Inc.,
Convertible
94,000
1.750%, 
12/1/2031
a
88,304
215,000
1.750%, 
10/1/2032
a
188,232
Euronet
Worldwide,
Inc.,
Convertible
119,000
0.625%, 
10/1/2030
a
107,397
Global
Payments,
Inc.,
Convertible
231,000
1.500%, 
3/1/2031
212,982
InterDigital,
Inc.,
Convertible
36,000
3.500%, 
6/1/2027
142,020
Lumentum
Holdings,
Inc.,
Convertible
45,000
0.500%, 
6/15/2028
244,080
71,000
0.375%, 
3/15/2032
a
275,949
Microchip
Technology,
Inc.,
Convertible
103,000
Zero
Coupon, 
2/15/2030
a
109,747
102,000
0.750%, 
6/1/2030
f
105,474
MKS,
Inc.,
Convertible
250,000
1.250%, 
6/1/2030
511,875
ON
Semiconductor
Corporation,
Convertible
123,000
Zero
Coupon, 
5/1/2027
195,349
151,000
0.500%, 
3/1/2029
170,555
171,000
Zero
Coupon, 
5/1/2031
a
159,030
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
186
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Technology
0.8%
-
continued
Progress
Software
Corporation,
Convertible
$
257,000
3.500%, 
3/1/2030
$
255,124
Semtech
Corporation,
Convertible
61,000
1.625%, 
11/1/2027
192,059
184,000
Zero
Coupon, 
10/15/2030
a,f
271,400
Synaptics,
Inc.,
Convertible
237,000
0.750%, 
12/1/2031
f
316,158
Viavi
Solutions,
Inc.,
Convertible
127,000
0.625%, 
3/1/2031
a
355,521
Vishay
Intertechnology,
Inc.,
Convertible
365,000
2.250%, 
9/15/2030
f
515,380
Western
Digital
Corporation,
Convertible
40,000
3.000%, 
11/15/2028
f
574,848
Ziff
Davis,
Inc.,
Convertible
126,000
3.625%, 
3/1/2028
a
126,907
Total
7,171,266
U.S.
Government
&
Agencies
7.8%
U.S.
Treasury
Bonds
1,800,000
4.625%, 
2/15/2046
1,658,250
U.S.
Treasury
Notes
6,850,000
1.250%, 
12/31/2026
6,774,811
2,200,000
3.875%, 
3/31/2027
2,197,766
700,000
3.875%, 
5/31/2027
698,626
2,700,000
3.625%, 
8/31/2027
2,684,180
20,000,000
3.375%, 
12/31/2027
19,764,062
4,600,000
3.750%, 
4/30/2028
4,560,828
4,700,000
4.125%, 
7/31/2028
4,686,414
4,000,000
3.625%, 
9/30/2030
3,882,813
6,000,000
3.625%, 
12/31/2030
5,812,031
2,000,000
3.875%, 
4/30/2031
1,953,594
2,300,000
4.125%, 
6/30/2031
2,269,453
1,750,000
4.125%, 
11/15/2032
1,712,266
2,200,000
3.375%, 
5/15/2033
2,049,523
500,000
4.500%, 
11/15/2033
497,402
8,100,000
4.000%, 
11/15/2035
7,678,547
Total
68,880,566
Utilities
0.9%
AES
Corporation
165,000
7.600%, 
1/15/2055
b
167,749
Algonquin
Power
&
Utilities
Corporation
145,000
4.750%, 
1/18/2082
b
143,652
Alliant
Energy
Corporation,
Convertible
71,000
3.250%, 
5/30/2028
75,026
American
Electric
Power
Company,
Inc.
170,000
6.050%, 
3/15/2056
b
167,064
182,000
6.950%, 
12/15/2054
b
191,370
CenterPoint
Energy,
Inc.
160,000
7.000%, 
2/15/2055
b
164,919
75,000
6.700%, 
5/15/2055
b
76,256
62,000
6.400%, 
8/15/2058
b
61,958
CenterPoint
Energy,
Inc.,
Convertible
112,000
3.000%, 
8/1/2028
a
116,704
82,000
2.875%, 
5/15/2029
a
81,328
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Utilities
0.9%
-
continued
CMS
Energy
Corporation,
Convertible
$
94,000
3.375%, 
5/1/2028
$
101,708
106,000
3.125%, 
5/1/2031
a
105,470
Dominion
Energy,
Inc.
170,000
6.875%, 
2/1/2055
b
173,844
140,000
7.000%, 
6/1/2054
b
146,068
250,000
6.250%, 
12/15/2056
b
247,028
Duke
Energy
Corporation
223,000
3.250%, 
1/15/2082
b
220,314
171,000
6.450%, 
9/1/2054
b,f
175,133
Duke
Energy
Corporation,
Convertible
190,000
3.000%, 
3/15/2029
a
187,530
Edison
International
151,000
7.875%, 
6/15/2054
b
155,826
240,000
5.000%, 
12/15/2026
b,h
236,627
Entergy
Corporation
89,000
5.875%, 
6/15/2056
b
88,009
175,000
6.100%, 
6/15/2056
b
171,977
Evergy,
Inc.,
Convertible
132,000
4.500%, 
12/15/2027
179,494
Exelon
Corporation,
Convertible
123,000
3.250%, 
3/15/2029
a
123,898
FirstEnergy
Corporation,
Convertible
129,000
3.625%, 
1/15/2029
141,835
150,000
3.875%, 
1/15/2031
167,775
NextEra
Energy
Capital
Holdings,
Inc.
180,000
3.800%, 
3/15/2082
b
177,575
256,000
6.750%, 
6/15/2054
b
262,806
175,000
6.625%, 
10/1/2066
b
170,446
NextEra
Energy
Capital
Holdings,
Inc.,
Convertible
107,000
3.000%, 
3/1/2027
138,779
NiSource,
Inc.
73,000
6.375%, 
3/31/2055
b
74,106
175,000
5.750%, 
7/15/2056
b,f
172,363
140,000
6.950%, 
11/30/2054
b
143,872
PacifiCorp
163,000
7.125%, 
8/15/2056
b
160,480
PG&E
Corporation,
Convertible
567,000
4.250%, 
12/1/2027
581,458
Pinnacle
West
Capital
Corporation,
Convertible
49,000
4.750%, 
6/15/2027
55,664
PPL
Capital
Funding,
Inc.,
Convertible
135,000
2.875%, 
3/15/2028
149,648
86,000
3.000%, 
12/1/2030
a
86,099
Puget
Energy,
Inc.
158,000
7.000%, 
9/15/2056
b
158,429
Sempra
148,000
6.550%, 
4/1/2055
b
148,025
148,000
6.625%, 
4/1/2055
b
148,607
146,000
6.400%, 
10/1/2054
b
145,275
163,000
6.875%, 
10/1/2054
b,f
165,479
Southern
Company
230,000
3.750%, 
9/15/2051
b
229,557
Southern
Company,
Convertible
92,000
4.500%, 
6/15/2027
100,096
207,000
3.250%, 
6/15/2028
208,656
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
187
Principal
Amount
Long-Term
Fixed
Income  50.8%
Value
Utilities
0.9%
-
continued
WEC
Energy
Group,
Inc.
$
175,000
5.625%, 
5/15/2056
b
$
172,385
WEC
Energy
Group,
Inc.,
Convertible
121,000
4.375%, 
6/1/2027
138,726
37,000
3.375%, 
6/1/2028
37,592
100,000
4.375%, 
6/1/2029
118,200
Xcel
Energy,
Inc.
160,000
5.750%, 
12/3/2056
b,f
156,913
Total
7,969,798
Total
Long-Term
Fixed
Income
(cost
$452,813,946)
447,404,481
Shares
Registered
Investment
Companies  
46.0%
Value
U.S.
Affiliated  
43.9%  
8,050,503
Thrivent
Core
Emerging
Markets
Debt
Fund
70,441,898
8,177,842
Thrivent
Core
High
Yield
Bond
Fund
161,021,718
8,058,300
Thrivent
Core
Investment
Grade
Corporate
Bond
Fund
155,122,277
Total
386,585,893
U.S.
Unaffiliated  
2.1%  
35,140
abrdn
Asia-Pacific
Income
Fund,
Inc.
509,530
119,443
abrdn
Income
Credit
Strategies
Fund
604,381
27,869
abrdn
Total
Dynamic
Dividend
Fund
293,739
74,209
AllianceBernstein
Global
High
Income
Fund,
Inc.
748,769
94,471
Allspring
Income
Opportunities
Fund
595,167
3,133
Barings
Global
Short
Duration
High
Yield
Fund
43,956
24,446
BlackRock
Capital
Allocation
Term
Trust
385,269
19,716
BlackRock
Core
Bond
Trust
175,472
85,856
BlackRock
Corporate
High
Yield
Fund,
Inc.
716,898
68,378
BlackRock
Credit
Allocation
Income
Trust
681,729
13,930
BlackRock
Debt
Strategies
Fund,
Inc.
131,221
15,128
BlackRock
Enhanced
Equity
Dividend
Trust
147,952
51,606
BlackRock
Enhanced
Global
Dividend
Trust
624,949
40,705
BlackRock
Enhanced
International
Dividend
Trust
235,275
33,715
BlackRock
Income
Trust,
Inc.
343,219
58,903
BlackRock
Multi-Sector
Income
Trust
720,384
42,065
Blackstone
Strategic
Credit
2027
Term
Fund
469,866
54,177
Cornerstone
Strategic
Investment
Fund,
Inc.
403,077
71,462
Eaton
Vance
Limited
Duration
Income
Fund
650,304
31,547
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
308,530
Shares
Registered
Investment
Companies  46.0%
Value
U.S.
Unaffiliated  
2.1%  -
continued
40,000
iShares
Preferred
and
Income
Securities
ETF
f
$
1,218,800
121,978
Nuveen
Credit
Strategies
Income
Fund
580,615
1,032
Nuveen
Global
High
Income
Fund
12,921
43,198
Nuveen
Preferred
Income
Opportunities
Fund
332,193
51,165
PGIM
Global
High
Yield
Fund,
Inc.
596,584
39,492
PGIM
High
Yield
Bond
Fund,
Inc.
491,280
32,580
PIMCO
Dynamic
Income
Fund
521,280
46,672
PIMCO
High
Income
Fund
217,025
48,005
PIMCO
Income
Strategy
Fund
II
339,875
8,107
Tri-Continental
Corporation
282,772
28,874
Vanguard
Short-Term
Corporate
Bond
ETF
2,270,074
10,679
Virtus
Convertible
&
Income
Fund
178,873
38,224
Virtus
Dividend,
Interest
&
Premium
Strategy
Fund
581,769
11,852
Virtus
Equity
&
Convertible
Income
Fund
307,559
87,655
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
574,140
27,685
Western
Asset
Diversified
Income
Fund
362,673
167,083
Western
Asset
High
Income
Opportunity
Fund,
Inc.
589,803
Total
18,247,923
Total
Registered
Investment
Companies
(cost
$414,482,863)
404,833,816
Shares
Preferred
Stock
1.3%
Value
Basic
Materials
<0.1%
5,007
Albemarle
Corporation,
Convertible,
7.250%
249,248
Total
249,248
Capital
Goods
0.1%
12,588
Boeing
Company,
Convertible,
6.000%
841,004
Total
841,004
Communications
Services
<0.1%
15,300
AT&T,
Inc.,
4.750%
h
262,395
5,000
Telephone
and
Data
Systems,
Inc.,
6.000%
h
95,500
Total
357,895
Financials
0.8%
5,825
AEGON
Funding
Company,
LLC,
5.100%
105,724
7,700
Allstate
Corporation,
5.100%
h
149,226
3,606
Ares
Management
Corporation,
Convertible,
6.750%
148,279
5,000
Athene
Holding,
Ltd.,
5.625%
h
93,400
14,600
Bank
of
America
Corporation,
4.250%
h
239,586
14,375
Bank
of
America
Corporation,
4.375%
h
245,237
7,200
Bank
of
America
Corporation,
4.750%
f,h
132,912
12,375
Bank
of
America
Corporation,
5.000%
h
242,302
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
188
Shares
Preferred
Stock  1.3%
Value
Financials
0.8%
-
continued
349
Bank
of
America
Corporation,
Convertible,
7.250%
h
$
450,175
5,900
Brookfield
Finance,
Inc.,
4.625%
89,031
3,500
Capital
One
Financial
Corporation,
4.800%
h
60,690
8,775
Capital
One
Financial
Corporation,
5.000%
f,h
158,564
3,500
Charles
Schwab
Corporation,
4.450%
h
60,655
6,300
Citigroup,
Inc.,
6.250%
h
154,791
2,150
Citizens
Financial
Group,
Inc.,
7.375%
h
55,513
5,800
Corebridge
Financial,
Inc.,
6.375%
128,180
7,000
Fifth
Third
Bancorp,
4.950%
f,h
126,070
7,000
Huntington
Bancshares,
Inc./OH,
4.500%
h
113,400
14,500
JPMorgan
Chase
&
Company,
4.200%
h
249,545
12,375
JPMorgan
Chase
&
Company,
4.625%
h
231,289
12,500
JPMorgan
Chase
&
Company,
4.750%
h
241,750
3,500
KeyCorp,
5.650%
h
75,565
10,650
KeyCorp,
6.200%
b,h
270,190
5,799
KKR
&
Company,
Inc.,
Convertible,
6.250%
251,619
8,300
MetLife,
Inc.,
4.750%
h
151,060
8,650
Morgan
Stanley,
4.250%
f,h
143,936
5,500
Morgan
Stanley,
5.850%
h
127,490
3,900
Morgan
Stanley,
6.625%
h
99,177
13,100
Morgan
Stanley,
7.125%
h
333,133
11,475
Public
Storage,
4.125%
f,h
183,026
2,450
Public
Storage,
4.625%
h
43,561
625
Public
Storage,
4.700%
h
11,363
7,000
Regions
Financial
Corporation,
4.450%
h
113,050
2,650
Regions
Financial
Corporation,
5.700%
b,h
64,872
7,000
Truist
Financial
Corporation,
4.750%
h
128,380
8,600
U.S.
Bancorp,
4.000%
h
130,892
14,375
Wells
Fargo
&
Company,
4.375%
h
242,938
7,000
Wells
Fargo
&
Company,
4.700%
h
126,980
10,000
Wells
Fargo
&
Company,
4.750%
h
183,300
429
Wells
Fargo
&
Company,
Convertible,
7.500%
h
508,640
Total
6,665,491
Technology
0.2%
6,038
Alphabet,
Inc.,
Convertible
6.25%
302,866
6,060
Alphabet,
Inc.,
Convertible
6.25%
304,212
3,362
Hewlett
Packard
Enterprise
Company,
Convertible,
7.625%
418,670
4,476
Microchip
Technology,
Inc.,
Convertible,
7.500%
287,717
7,371
Oracle
Corporation,
Convertible,
6.500%
308,698
Total
1,622,163
Utilities
0.2%
17,600
CMS
Energy
Corporation,
4.200%
h
291,104
7,500
DTE
Energy
Company
6.25%
177,600
6,000
NextEra
Energy
Capital
Holdings,
Inc.
6.5%
143,700
Shares
Preferred
Stock  1.3%
Value
Utilities
0.2%
-
continued
4,210
NextEra
Energy,
Inc.,
Convertible,
7.234%
$
205,995
952
NextEra
Energy,
Inc.,
Convertible,
7.299%
50,647
3,497
NextEra
Energy,
Inc.,
Convertible,
7.375%
166,807
2,387
PPL
Corporation,
Convertible,
7.000%
112,141
12,000
Southern
Company,
4.950%
225,600
4,188
Southern
Company,
Convertible,
7.125%
207,934
Total
1,581,528
Total
Preferred
Stock
(cost
$12,467,387)
11,317,329
Shares
Collateral
Held
for
Securities
Loaned
0.5%
Value
4,518,649
Thrivent
Cash
Management
Trust
4,518,649
Total
Collateral
Held
for
Securities
Loaned
(cost
$4,518,649)
4,518,649
Shares
Common
Stock
<
0.1%
Value
Financials
<0.1%
3,123
AGNC
Investment
Corporation
33,291
1,482
Annaly
Capital
Management,
Inc.
33,671
4,361
Apollo
Commercial
Real
Estate
Finance,
Inc.
28,870
4,095
Chimera
Investment
Corporation
51,105
4,002
Rithm
Capital
Corporation
39,540
Total
186,477
Information
Technology
<0.1%
71
InterDigital,
Inc.
21,643
Total
21,643
Real
Estate
<0.1%
346
Kite
Realty
Group
Trust
9,903
Total
9,903
Total
Common
Stock
(cost
$239,245)
218,023
Shares
or
Principal
Amount
Short-Term
Investments
5.1%
Value
Federal
Home
Loan
Mortgage
Corporation
Discount
Notes
100,000
3.695%,
10/14/2026
j,k
99,232
State
Street
Institutional
U.S.
Government
Money
Market
Fund
19,030,075
3.619%
j
19,030,075
Thrivent
Core
Short-Term
Reserve
Fund
2,598,901
3.970%
25,989,011
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
189
Shares
or
Principal
Amount
Short-Term
Investments  5.1%
Value
U.S.
Treasury
Bills
100,000
3.614%,
8/27/2026
j,l
$
99,760
200,000
3.607%,
9/29/2026
j,l
198,831
Total
Short-Term
Investments
(cost
$45,408,788)
45,416,909
Total
Investments
(cost
$929,930,878)
103.7%
$913,709,207
Other
Assets
and
Liabilities,
Net
(3.7%)
(32,994,829)
Total
Net
Assets
100.0%
$880,714,378
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$216,844,369
or
24.6%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
e
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
f
All
or
a
portion
of
the
security
is
on
loan.
g
Denotes
interest
only
security.  Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets.  The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
h
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
i
Defaulted
security.  Interest
is
not
being
accrued.
j
The
interest
rate
shown
reflects
the
yield.
k
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
l
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Multisector
Bond
Fund
as
of
July
31,
2026
was
$200,993
or
0.02%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
College
Avenue
Student
Loans,
LLC,
8/25/2026
7/11/2017
$
113,453
Credit
Suisse
Group
AG 
5/17/2021
152,981
Credit
Suisse
Group
AG 
2/4/2016
235,124
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Multisector
Bond
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
2,718,070
Common
Stock
1,681,599
Total
lending
$4,399,669
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$4,518,649
Net
amounts
due
to
counterparty
$118,980
Definitions:
CLO
-
Collateralized
Loan
Obligation
DAC
-
Designated
Activity
Company
ETF
-
Exchange-Traded
Fund
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
STRIPS
-
Separate
Trading
of
Registered
Interest
and
Principal
of
Securities
Reference
Rate
Index:
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
190
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Multisector
Bond
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Asset-Backed
Securities
95,912,134
–
95,912,134
–
Basic
Materials
216,088
–
216,088
–
Capital
Goods
2,488,719
–
2,488,719
–
Collateralized
Mortgage
Obligations
128,918,254
–
128,918,254
–
Commercial
Mortgage-Backed
Securities
12,161,792
–
12,161,792
–
Communications
Services
1,691,353
–
1,691,353
–
Consumer
Cyclical
2,966,080
–
2,966,080
–
Consumer
Non-Cyclical
2,751,223
–
2,751,223
–
Energy
2,934,647
–
2,934,647
–
Financials
15,104,686
–
15,104,686
–
Mortgage-Backed
Securities
98,237,875
–
98,237,875
–
Technology
7,171,266
–
7,171,266
–
U.S.
Government
&
Agencies
68,880,566
–
68,880,566
–
Utilities
7,969,798
–
7,969,798
–
Registered
Investment
Companies
U.S.
Affiliated
316,143,995
316,143,995
–
–
U.S.
Unaffiliated
18,247,923
18,247,923
–
–
Preferred
Stock
Basic
Materials
249,248
249,248
–
–
Capital
Goods
841,004
841,004
–
–
Communications
Services
357,895
357,895
–
–
Financials
6,665,491
6,665,491
–
–
Technology
1,622,163
1,622,163
–
–
Utilities
1,581,528
1,581,528
–
–
Common
Stock
Financials
186,477
186,477
–
–
Information
Technology
21,643
21,643
–
–
Real
Estate
9,903
9,903
–
–
Short-Term
Investments
19,427,898
19,030,075
397,823
–
Subtotal
Investments
in
Securities
$812,759,649
$364,957,345
$447,802,304
$–
Other
Investments  *
Total
U.S.
Affiliated
Registered
Investment
Cos.
70,441,898
Affiliated
Short-Term
Investments
25,989,011
Collateral
Held
for
Securities
Loaned
4,518,649
Subtotal
Other
Investments
$100,949,558
Total
Investments
at
Value
$913,709,207
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Multisector
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
191
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Multisector
Bond
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$87,107
$4,085
$20,350
$70,442
8,051
8.0%
Core
High
Yield
Bond
–
163,729
1,280
161,022
8,178
18.3
Core
Investment
Grade
Corporate
Bond
–
160,547
–
155,122
8,058
17.6
Total
Affiliated
Registered
Investment
Companies
87,107
386,586
43.9
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
14,000
27,000
15,000
25,989
2,599
3.0
Total
Affiliated
Short-Term
Investments
14,000
25,989
3.0
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
23,037
116,481
134,999
4,519
4,519
0.5
Total
Collateral
Held
for
Securities
Loaned
23,037
4,519
0.5
Total
Value
$124,144
$417,094
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$(1,530)
$1,130
$–
$3,125
Core
High
Yield
Bond
(3)
(1,424)
–
4,185
Core
Investment
Grade
Corporate
Bond
–
(5,425)
–
3,005
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
(4)
(7)
–
602
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$10,917
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
53
Total
Affiliated
Income
from
Securities
Loaned,
Net
$53
Total
$(1,537)
$(5,726)
$–
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
192
Principal
Amount
Long-Term
Fixed
Income
99.9%
Value
Alabama
2.1%
Black
Belt
Energy
Gas
District,
AL
Gas
Proj.
Rev.
$
5,000,000
5.250%,
10/1/2030,
Ser.
A
a
$
5,232,581
2,250,000
5.000%,
10/1/2033,
Ser.
I
2,354,488
2,700,000
5.250%,
6/1/2036,
Ser.
C
2,838,137
3,500,000
5.000%,
11/1/2036,
Ser.
J
3,611,399
Black
Belt
Energy
Gas
District,
AL
Gas
Proj.
Rev.
Refg.
750,000
5.500%,
6/1/2049,
Ser.
D-1
a
781,804
Jacksonville,
AL
Public
Educational
Building
Auth.
Rev.
(JSU
Foundation)
(AG
Insured)
2,000,000
5.250%,
8/1/2053,
Ser.
A
b
2,017,623
1,000,000
5.500%,
8/1/2058,
Ser.
A
b
1,021,611
2,000,000
5.250%,
8/1/2048,
Ser.
A
b
2,039,657
Jefferson
County,
AL
Sewer
Rev.
Refg.
Warrants
2,750,000
5.500%,
10/1/2053
2,856,720
Mobile
County,
AL
Industrial
Development
Auth.
Solid
Waste
Disposal
Rev.
(AM/NS
Calvert,
LLC)
300,000
5.000%,
6/1/2054,
Ser.
A,
AMT
289,089
Total
23,043,109
Alaska
0.1%
Anchorage,
AK
Port
Rev.
Refg.
800,000
5.500%,
2/1/2056,
Ser.
A,
AMT
833,664
Valdez,
AK
Marine
Terminal
Rev.
Refg.
(Exxon
Pipeline
Company)
125,000
2.950%,
12/1/2033
a
125,000
Total
958,664
Arizona
1.9%
Arizona
Industrial
Development
Auth.
Education
Rev.
(Academies
of
Math
&
Science)
750,000
5.375%,
7/1/2053
c
706,037
275,000
5.250%,
7/1/2043
c
275,690
Arizona
Industrial
Development
Auth.
Education
Rev.
(Doral
Academy
of
Nevada
-
Fire
Mesa
and
Red
Rock
Campus)
800,000
5.000%,
7/15/2039,
Ser.
A
779,422
Arizona
Industrial
Development
Auth.
Education
Rev.
(Doral
Academy
of
Nevada
-
Pebble
Campus)
2,165,000
5.000%,
7/15/2050,
Ser.
A
c
1,917,378
Arizona
Industrial
Development
Auth.
Education
Rev.
(KIPP
Nashville)
300,000
5.000%,
7/1/2047,
Ser.
A
296,171
Arizona
Industrial
Development
Auth.
National
Charter
School
Revolving
Loan
Fund
Rev.
1,000,000
4.250%,
11/1/2052,
Ser.
A
883,553
1,000,000
5.250%,
11/1/2053,
Ser.
A
1,014,343
1,000,000
5.250%,
11/1/2048,
Ser.
A
1,024,535
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Arizona
1.9%
-
continued
Chandler,
AZ
Industrial
Development
Auth.
Rev.
(Intel
Corporation)
$
3,750,000
5.000%,
9/1/2027,
Ser.
2022-
2,
AMT
a
$
3,785,855
Glendale,
AZ
Industrial
Development
Auth.
Senior
Living
Fac.
Rev.
(Royal
Oaks
-
Inspirata
Pointe)
2,000,000
5.000%,
5/15/2056,
Ser.
A
1,755,886
Maricopa
County,
AZ
Industrial
Development
Auth.
Education
Fac.
Rev.
(Valley
Christian
Schools)
1,000,000
6.375%,
7/1/2058,
Ser.
A
c
976,059
Phoenix,
AZ
Industrial
Development
Auth.
Healthcare
Fac.
Rev.
(Mayo
Clinic)
300,000
2.800%,
11/15/2052,
Ser.
A
a
300,000
Phoenix-Mesa,
AZ
Gateway
Airport
Auth.
Special
Fac.
Rev.
(Mesa)
1,450,000
5.000%,
7/1/2038,
AMT
1,450,911
Salt
River
Project
Agricultural
Improvement
&
Power
District,
AZ
Electric
System
Rev.
3,250,000
5.250%,
1/1/2055,
Ser.
C
3,414,081
Yavapai
County,
AZ
Industrial
Development
Auth.
Hospital
Fac.
Rev.
Refg.
(Yavapai
Regional
Medical
Center)
500,000
5.000%,
8/1/2036
500,234
725,000
5.000%,
8/1/2039
742,878
Yuma,
AZ
Industrial
Development
Auth.
Hospital
Rev.
Refg.
(Yuma
Regional
Medical
Center)
1,000,000
5.250%,
8/1/2054,
Ser.
A
1,022,633
Total
20,845,666
Arkansas
0.1%
Arkansas
Development
Finance
Auth.
Environmental
Rev.
(United
States
Steel
Corporation)
750,000
5.700%,
5/1/2053,
AMT
769,653
Pulaski
County,
AR
Hospital
Rev.
(Arkansas
Children's
Hospital)
500,000
5.250%,
3/1/2053
514,063
Total
1,283,716
California
5.8%
Beverly
Hills
Unified
School
District,
Los
Angeles
County,
CA
GO
(2008
Election)
10,000,000
Zero
Coupon,
8/1/2031
8,598,262
Burbank-Glendale-Pasadena,
CA
Airport
Auth.
Rev.
(AG
Insured)
500,000
4.500%,
7/1/2054,
Ser.
B,
AMT
b
472,395
525,000
4.375%,
7/1/2049,
Ser.
B,
AMT
b
499,556
California
Community
Choice
Financing
Auth.
Rev.
(Clean
Energy)
1,750,000
5.000%,
8/1/2029,
Ser.
A-1
a
1,811,275
3,000,000
5.000%,
10/1/2033,
Ser.
C
a
3,088,382
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
193
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
California
5.8%
-
continued
$
5,000,000
5.500%,
11/1/2028,
Ser.
D
a
$
5,180,561
California
County
Tobacco
Securitization
Agency
Rev.
Refg.
(Sonoma
County
Securitization
Corporation)
25,000
5.000%,
6/1/2049,
Ser.
B-1
24,617
California
Educational
Fac.
Auth.
Rev.
(Stanford
University)
5,000,000
5.250%,
4/1/2040
5,916,218
8,300,000
5.000%,
6/1/2046,
Ser.
U-7
9,440,413
California
Municipal
Finance
Auth.
Mobile
Home
Park
Rev.
(Caritas)
900,000
5.250%,
8/15/2053,
Ser.
A
915,552
800,000
5.250%,
8/15/2058,
Ser.
A
811,831
California
Municipal
Finance
Auth.
Rev.
Refg.
(HumanGood
-
CA
Obligated
Group)
1,385,000
5.000%,
10/1/2044,
Ser.
A
1,386,627
California
Municipal
Finance
Auth.
School
Fac.
Rev.
(St.
Mary's
School
-
Aliso
Viejo)
435,000
5.750%,
5/1/2054,
Ser.
A
c
435,542
140,000
5.875%,
5/1/2059,
Ser.
A
c
140,678
California
Pollution
Control
Financing
Auth.
Water
Furnishing
Rev.
(Poseidon
Resources,
LP
Desalination)
1,000,000
5.000%,
7/1/2037,
AMT
c
1,061,305
550,000
5.000%,
7/1/2038,
AMT
c
580,059
500,000
5.000%,
11/21/2045,
AMT
c
520,704
California
Public
Finance
Auth.
Health
Care
Fac.
Rev.
(Hazelden
Betty
Ford
Foundation)
1,000,000
5.000%,
11/1/2054,
Ser.
A
1,001,064
California
Statewide
Communities
Development
Auth.
Rev.
(Enloe
Medical
Center)
(AG
Insured)
500,000
5.250%,
8/15/2052,
Ser.
A
b
502,871
1,000,000
5.375%,
8/15/2057,
Ser.
A
b
1,010,162
California
Various
Purpose
GO
500,000
4.000%,
10/1/2050
474,013
10,000
5.250%,
4/1/2029
10,023
Central
Valley,
CA
Energy
Auth.
Commodity
Supply
Rev.
1,000,000
5.000%,
8/1/2034
1,045,525
San
Diego
County,
CA
Regional
Airport
Auth.
Rev.
2,500,000
5.000%,
7/1/2053,
Ser.
B,
AMT
2,509,785
5,145,000
5.250%,
7/1/2058,
Ser.
B,
AMT
5,249,977
San
Francisco,
CA
City
&
County
Airport
Commission
International
Airport
Rev.
7,500,000
5.500%,
5/1/2055,
Ser.
A,
AMT
7,873,538
Southern
California
Public
Power
Auth.
Rev.
(Clean
Energy
II)
4,000,000
5.000%,
11/1/2033,
Ser.
A
4,188,335
Total
64,749,270
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Colorado
3.7%
Canyons
Metropolitan
District
No.
5,
CO
LTGO
Rev.
Refg.
(BAM
Insured)
$
1,500,000
5.250%,
12/1/2059,
Ser.
A
b
$
1,526,639
CCP
Metropolitan
District
No.
3,
CO
LTGO
Refg.
742,000
5.000%,
12/1/2053
721,055
Centerra
Metropolitan
District
No.
1,
Larimer
County,
CO
Special
Rev.
750,000
6.500%,
12/1/2053
780,393
Colorado
Educational
and
Cultural
Fac.
Auth.
Charter
School
Rev.
Refg.
(Union
Colony
School)
600,000
5.000%,
4/1/2038
605,716
475,000
5.000%,
4/1/2048
467,601
Colorado
Educational
and
Cultural
Fac.
Auth.
Rev.
Refg.
(American
Academy)
2,500,000
5.000%,
12/1/2050
2,435,488
2,500,000
5.000%,
12/1/2055
2,402,634
Colorado
Educational
and
Cultural
Fac.
Auth.
Rev.
Refg.
(Global
Village
Academy
-
Northglenn)
1,155,000
5.000%,
12/1/2050
c
1,033,812
Colorado
Educational
and
Cultural
Fac.
Auth.
Rev.
Refg.
(High
Point
Academy)
2,825,000
4.000%,
7/1/2040,
Ser.
A
2,641,247
Colorado
Health
Fac.
Auth.
Hospital
Rev.
Refg.
(Covenant
Living
Communities
and
Services)
1,340,000
4.000%,
12/1/2050,
Ser.
A
1,132,783
Colorado
Health
Fac.
Auth.
Hospital
Rev.
Refg.
(Intermountain
Healthcare)
5,000,000
4.000%,
5/15/2052,
Ser.
A
4,369,757
Colorado
Health
Fac.
Auth.
Rev.
Refg.
(CommonSpirit
Health)
2,000,000
5.250%,
12/1/2054,
Ser.
A
2,050,824
10,000,000
4.000%,
8/1/2049,
Ser.
A-2
8,612,598
Colorado
High
Performance
Transportation
Enterprise
Rev.
6,300,000
5.000%,
12/31/2047
6,160,432
Denver,
CO
City
&
County
Airport
System
Rev.
Refg.
1,250,000
5.750%,
11/15/2045,
Ser.
D,
AMT
1,343,646
Eagle
County,
CO
Air
Terminal
Corporation
Rev.
(Airport
Terminal)
1,000,000
5.000%,
5/1/2041,
Ser.
B,
AMT
1,001,338
Gunnison
County,
CO
Housing
Auth.
Rev.
(Whetstone
Housing)
(BAM
Insured)
1,300,000
5.125%,
6/1/2055
b
1,322,079
Routt
County,
CO
Airport
Rev.
(Yampa
Valley
Regional
Airport)
250,000
5.500%,
6/1/2051,
AMT
257,663
615,000
5.500%,
6/1/2056,
AMT
629,597
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
194
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Colorado
3.7%
-
continued
Southern
Ute
Indian
Tribe
of
Southern
Ute
Indian
Reservation,
CO
UTGO
$
2,000,000
5.000%,
4/1/2035,
Ser.
A
c
$
2,118,135
Total
41,613,437
Connecticut
1.1%
Connecticut
Health
&
Educational
Fac.
Auth.
Rev.
(Connecticut
Children's
Medical
Center)
850,000
4.250%,
7/15/2053,
Ser.
E
752,375
Connecticut
Health
&
Educational
Fac.
Auth.
Rev.
(Hartford
Healthcare)
2,000,000
4.000%,
7/1/2046,
Ser.
A
1,840,236
Connecticut
Health
&
Educational
Fac.
Auth.
Rev.
(McLean
Issue)
1,000,000
5.000%,
1/1/2045,
Ser.
A
c
912,180
Connecticut
Health
&
Educational
Fac.
Auth.
Rev.
(Quinnipiac
University)
5,000,000
5.250%,
7/1/2053,
Ser.
N
5,140,310
Connecticut
Health
&
Educational
Fac.
Auth.
Rev.
(Sacred
Heart
University)
4,000,000
5.000%,
7/1/2047,
Ser.
L
4,089,406
Total
12,734,507
Delaware
0.4%
Delaware
Economic
Development
Auth.
Charter
School
Rev.
(Newark
Charter
School,
Inc.)
2,000,000
5.000%,
9/1/2050
1,922,147
600,000
4.000%,
9/1/2051
485,693
Delaware
Economic
Development
Auth.
Retirement
Communities
Rev.
(Acts
Retirement-Life
Communities,
Inc.)
1,000,000
5.250%,
11/15/2053,
Ser.
B
1,006,702
Kent
County,
DE
Student
Housing
and
Dining
Fac.
Rev.
(CHF-
Dover,
LLC
-
Delaware
State
University)
870,000
5.000%,
7/1/2040,
Ser.
A
867,400
500,000
5.000%,
7/1/2048,
Ser.
A
471,175
Total
4,753,117
District
Of
Columbia
0.7%
District
of
Columbia
Rev.
(D.C.
Smart
Street
Lighting)
1,000,000
5.500%,
2/29/2036,
Ser.
A,
AMT
1,096,752
1,000,000
5.500%,
8/31/2036,
Ser.
A,
AMT
1,096,486
Metropolitan
Washington
DC
Airports
Auth.
Airport
System
Rev.
Refg.
1,000,000
4.500%,
10/1/2053,
Ser.
A,
AMT
932,877
1,000,000
5.250%,
10/1/2053,
Ser.
A,
AMT
1,018,260
2,000,000
5.500%,
10/1/2054,
Ser.
A,
AMT
2,076,082
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
District
Of
Columbia
0.7%
-
continued
$
1,000,000
5.250%,
10/1/2049,
Ser.
A,
AMT
$
1,024,908
Metropolitan
Washington
DC
Airports
Auth.
Dulles
Toll
Road
Rev.
Refg.
(Dulles
Metrorail
&
Capital
Improvement)
(AG
Insured)
1,000,000
4.000%,
10/1/2049
b
879,056
Total
8,124,421
Florida
5.6%
Alachua
County,
FL
Health
Fac.
Auth.
Rev.
Refg.
(Oak
Hammock
at
the
University
of
Florida,
Inc.)
1,215,000
4.000%,
10/1/2046
1,052,837
500,000
4.000%,
10/1/2046
433,266
Cape
Coral,
FL
Utility
Improvement
Assessment
Refg.
(North
1
West
Area)
(BAM
Insured)
3,715,000
5.650%,
3/1/2054
b
3,891,674
Capital
Projects
Finance
Auth.,
FL
Student
Housing
Rev.
(Provident
Group
-
Continuum
Properties)
600,000
5.000%,
11/1/2053,
Ser.
A-1
539,234
Capital
Trust
Agency,
FL
Educational
Fac.
Rev.
(Liza
Jackson
Preparatory
School,
Inc.)
1,600,000
5.000%,
8/1/2055,
Ser.
A
1,452,186
Capital
Trust
Auth.,
FL
Rev.
(Marie
Selby
Botanical
Gardens,
Inc.)
640,000
4.500%,
6/15/2033
c
637,477
Escambia
County,
FL
Health
Fac.
Auth.
Rev.
Refg.
(Baptist
Health
Care
Corporation
Obligated
Group)
5,000,000
4.000%,
8/15/2045,
Ser.
A
4,346,318
Florida
Development
Finance
Corporation
Educational
Fac.
Lease
Rev.
Refg.
(Seaside
Community
Charter
School)
1,400,000
5.750%,
6/15/2047,
Ser.
A
c
1,416,570
Florida
Development
Finance
Corporation
Educational
Fac.
Rev.
(Mater
Academy)
1,000,000
5.000%,
6/15/2052,
Ser.
A
955,363
Florida
Development
Finance
Corporation
Educational
Fac.
Rev.
(River
City
Science
Academy)
245,000
5.000%,
7/1/2051,
Ser.
A-1
224,922
250,000
4.000%,
7/1/2055,
Ser.
A
188,348
Florida
Development
Finance
Corporation
Healthcare
Fac.
Rev.
(Tampa
General
Hospital)
2,250,000
4.500%,
8/1/2055,
Ser.
A
2,051,243
Florida
Higher
Educational
Fac.
Financing
Auth.
Educational
Rev.
(Ringling
College)
5,000,000
5.000%,
3/1/2042
4,721,407
Greater
Orlando,
FL
Aviation
Auth.
Airport
Fac.
Rev.
3,600,000
5.250%,
10/1/2051,
AMT
3,671,892
3,655,000
4.000%,
10/1/2052,
Ser.
A,
AMT
3,082,709
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
195
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Florida
5.6%
-
continued
Greater
Orlando,
FL
Aviation
Auth.
Special
Purpose
Airport
Fac.
Rev.
(United
Airlines,
Inc.)
$
2,000,000
5.500%,
11/1/2036,
AMT
$
2,142,519
Lee
County,
FL
Airport
Rev.
1,000,000
5.250%,
10/1/2054,
AMT
1,015,621
Lee
County,
FL
Industrial
Development
Auth.
Health
Care
Fac.
Rev.
(Cypress
Cove
at
Healthpark,
FL,
Inc.)
700,000
5.250%,
10/1/2052,
Ser.
A
656,673
Lee
County,
FL
Industrial
Development
Auth.
Hospital
Rev.
Refg.
(Lee
Health
System,
Inc.)
1,000,000
5.000%,
4/1/2044,
Ser.
A-1
1,008,705
Miami-Dade
County,
FL
Industrial
Development
Auth.
Rev.
(Pinecrest
Academy,
Inc.)
1,500,000
5.250%,
9/15/2044
1,444,936
Miami-Dade
County,
FL
Seaport
Rev.
Refg.
1,000,000
5.250%,
10/1/2052,
Ser.
A,
AMT
1,008,288
Okaloosa
County,
FL
Industrial
Development
Rev.
(Air
Force
Enlisted
Village,
Inc.)
1,000,000
5.750%,
5/15/2055
c
1,011,638
750,000
5.750%,
5/15/2060
c
755,872
Orange
County,
FL
Health
Fac.
Auth.
Hospital
Rev.
(Orlando
Health
Obligated
Group)
1,500,000
4.500%,
10/1/2056,
Ser.
A
1,412,968
1,250,000
5.250%,
10/1/2056,
Ser.
A
1,277,961
1,250,000
5.000%,
10/1/2047,
Ser.
A
1,260,349
Orange
County,
FL
Health
Fac.
Auth.
Rev.
Refg.
(Presbyterian
Retirement
Communities
Obligated
Group)
2,750,000
5.000%,
8/1/2054
2,681,198
Osceola
County,
FL
Transportation
Rev.
Refg.
2,450,000
Zero
Coupon,
10/1/2043,
Ser.
A-2
1,021,291
Palm
Beach
County,
FL
Health
Fac.
Auth.
Hospital
Rev.
(Jupiter
Medical
Center,
Inc.)
1,000,000
5.000%,
11/1/2052,
Ser.
A
949,903
500,000
5.000%,
11/1/2047,
Ser.
A
491,545
Palm
Beach
County,
FL
Health
Fac.
Auth.
Rev.
Refg.
(Lifespace
Communities,
Inc.)
3,000,000
5.000%,
5/15/2038,
Ser.
C
3,000,419
Sarasota
County,
FL
Public
Hospital
District
Rev.
(Sarasota
Memorial
Hospital)
8,000,000
4.000%,
7/1/2052
6,817,350
Seminole
County,
FL
Industrial
Development
Auth.
Educational
Fac.
Rev.
(Galileo
Schools
for
Gifted
Learning)
300,000
4.000%,
6/15/2056,
Ser.
A
c
220,613
Tampa,
FL
Hospital
Rev.
Refg.
(H.
Lee
Moffitt
Cancer
Center)
5,000,000
5.000%,
7/1/2037,
Ser.
B
5,002,495
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Florida
5.6%
-
continued
Village
Community
Development
District
No.
15,
Wildwood,
FL
SAB
$
285,000
5.250%,
5/1/2054
c
$
282,488
790,000
4.800%,
5/1/2055
c
732,856
Total
62,861,134
Georgia
2.8%
Atlanta,
GA
Airport
Passenger
Fac.
Charge
Rev.
1,630,000
5.250%,
7/1/2044,
Ser.
E,
AMT
1,710,949
Atlanta,
GA
Airport
Rev.
2,500,000
5.000%,
7/1/2053,
Ser.
C,
AMT
2,514,148
3,500,000
5.000%,
7/1/2047,
Ser.
B,
AMT
3,561,880
2,655,000
5.000%,
7/1/2048,
Ser.
C,
AMT
2,697,776
Columbia
County,
GA
Hospital
Auth.
Rev.
(Wellstar
Health
System,
Inc.)
1,875,000
5.125%,
4/1/2048,
Ser.
A
1,919,510
Fulton
County,
GA
Development
Auth.
Rev.
(Spelman
College)
3,000,000
5.250%,
6/1/2051
3,090,717
2,700,000
5.250%,
6/1/2056
2,759,661
George
L.
Smith
II
GA
World
Congress
Center
Auth.
Rev.
(Convention
Center
Hotel)
250,000
4.000%,
1/1/2054,
Ser.
A
206,294
Main
Street
Energy,
Inc.,
GA
Energy
Proj.
Rev.
2,500,000
5.000%,
12/1/2033,
Ser.
D
2,595,421
Main
Street
Natural
Gas,
Inc.,
GA
Gas
Supply
Rev.
1,750,000
5.000%,
5/15/2028,
Ser.
A
1,797,776
1,920,000
5.000%,
5/15/2033,
Ser.
A
1,965,295
1,900,000
5.000%,
5/15/2034,
Ser.
A
1,940,779
Municipal
Electric
Auth.
of
Georgia
Rev.
Refg.
(Plant
Vogtle
Units
3
&
4)
2,000,000
5.000%,
7/1/2052,
Ser.
A
2,011,480
Private
Colleges
and
Universities
Auth.,
GA
Rev.
Refg.
(Mercer
University)
2,600,000
5.250%,
10/1/2051
2,658,535
Total
31,430,221
Guam
0.1%
Guam
Port
Auth.
Rev.
250,000
5.000%,
7/1/2048,
Ser.
A
251,143
Guam
Power
Auth.
Rev.
Refg.
700,000
5.000%,
10/1/2034,
Ser.
A
736,060
Total
987,203
Hawaii
0.1%
Hawaii
Department
of
Transportation
Airport
Division
Lease
Rev.
COP
1,600,000
5.000%,
8/1/2028,
AMT
1,610,650
Total
1,610,650
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
196
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Idaho
0.5%
College
of
Western
Idaho
Annual
Appropriation
COP
$
3,800,000
5.000%,
8/1/2052
$
3,820,080
Idaho
Health
Fac.
Auth.
Rev.
Refg.
(St.
Luke's
Health
System)
1,000,000
4.000%,
3/1/2051,
Ser.
A
865,437
800,000
4.000%,
3/1/2046,
Ser.
A
719,868
Total
5,405,385
Illinois
4.9%
Chicago,
IL
Metropolitan
Water
Reclamation
District
GO
Refg.
6,550,000
5.250%,
12/1/2032,
Ser.
C
7,328,648
Chicago,
IL
O'Hare
International
Airport
Rev.
2,000,000
5.500%,
1/1/2055,
Ser.
A,
AMT
2,040,643
1,000,000
5.000%,
1/1/2047,
Ser.
G,
AMT
1,001,111
1,000,000
5.000%,
1/1/2047,
Ser.
D,
AMT
1,001,111
Chicago,
IL
O'Hare
International
Airport
Rev.
Refg.
5,000,000
5.000%,
1/1/2048,
Ser.
B
5,034,365
Chicago,
IL
O'Hare
International
Airport
Special
Fac.
Rev.
(TrIPs
Obligated
Group)
780,000
5.500%,
7/1/2040,
AMT
834,907
800,000
5.500%,
7/1/2041,
AMT
851,841
Chicago,
IL
Wastewater
Transmission
Rev.
(AG
Insured)
5,000,000
5.250%,
1/1/2058,
Ser.
A
b
5,132,054
Chicago,
IL
Waterworks
Rev.
(AG
Insured)
1,500,000
5.250%,
11/1/2053,
Ser.
A
b
1,544,240
Illinois
Finance
Auth.
Rev.
(DePaul
University)
1,000,000
5.000%,
10/1/2041
980,618
Illinois
Finance
Auth.
Rev.
(Plymouth
Place,
Inc.)
800,000
6.500%,
5/15/2047,
Ser.
A
846,700
Illinois
Finance
Auth.
Rev.
Refg.
(DePaul
College
Prep
Foundation)
250,000
5.625%,
8/1/2053,
Ser.
A
c
254,135
Illinois
Finance
Auth.
Rev.
Refg.
(Northshore
Edward-Elmhurst
Health
Credit
Group)
5,060,000
2.950%,
8/3/2026,
Ser.
D
a
5,060,000
Illinois
Finance
Auth.
Rev.
Refg.
(Presbyterian
Homes)
2,500,000
4.000%,
5/1/2050,
Ser.
A
2,040,886
Illinois
Finance
Auth.
Rev.
Refg.
(Rosalind
Franklin
University)
1,750,000
5.000%,
8/1/2042,
Ser.
A
1,692,363
2,100,000
5.000%,
8/1/2047,
Ser.
A
1,990,308
Illinois
Finance
Auth.
Student
Housing
and
Academic
Fac.
Rev.
(University
of
Illinois
at
Chicago)
500,000
5.000%,
2/15/2032,
Ser.
A
502,048
2,885,000
5.000%,
2/15/2037,
Ser.
A
2,869,786
1,000,000
5.000%,
2/15/2047,
Ser.
A
925,001
Illinois
GO
1,000,000
5.500%,
5/1/2047,
Ser.
B
1,039,552
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Illinois
4.9%
-
continued
Metropolitan
Pier
and
Exposition
Auth.,
IL
Rev.
(McCormick
Place
Expansion)
(NATL-RE
Insured)
$
10,100,000
Zero
Coupon,
6/15/2035,
Ser.
A
b
$
7,092,910
Metropolitan
Pier
and
Exposition
Auth.,
IL
Rev.
Refg.
(McCormick
Place
Expansion)
500,000
5.000%,
6/15/2042,
Ser.
B
509,384
2,000,000
Zero
Coupon,
12/15/2047,
Ser.
B
d
1,466,559
Peoria,
IL
GO
(AG
Insured)
1,250,000
4.000%,
1/1/2039,
Ser.
A
b
1,205,871
1,750,000
4.375%,
1/1/2042,
Ser.
A
b
1,757,222
Total
55,002,263
Indiana
2.5%
Indiana
Finance
Auth.
Health
Fac.
Rev.
(Margaret
Mary
Health)
1,650,000
5.750%,
3/1/2054,
Ser.
A
1,679,079
Indiana
Finance
Auth.
Health
System
Rev.
Refg.
(Franciscan
Alliance,
Inc.
Obligated
Group)
14,805,000
2.900%,
8/3/2026,
Ser.
B
a
14,805,000
Indiana
Finance
Auth.
Hospital
Rev.
(Reid
Health)
(AG
Insured)
4,750,000
4.250%,
1/1/2047
b
4,452,166
Indiana
Finance
Auth.
Student
Housing
Rev.
(Tippecanoe,
LLC
Student
Housing)
600,000
5.125%,
6/1/2058,
Ser.
A
568,491
2,250,000
5.375%,
6/1/2064,
Ser.
A
2,193,096
Indianapolis,
IN
Local
Public
Improvement
Bank
Convention
Center
Hotel
Rev.
1,000,000
6.000%,
3/1/2053,
Ser.
E
1,028,123
750,000
6.125%,
3/1/2057,
Ser.
E
774,909
Northern
Indiana
Commuter
Transportation
District
Industrial
Rev.
1,000,000
5.000%,
1/1/2054
1,022,902
Valparaiso,
IN
Exempt
Fac.
Rev.
Refg.
(Pratt
Paper,
LLC)
350,000
5.000%,
1/1/2054,
AMT
c
341,439
Whiting,
IN
Environmental
Fac.
Rev.
(BP
Products
North
America,
Inc.)
1,000,000
4.200%,
6/1/2044
a
1,006,801
Total
27,872,006
Iowa
1.0%
Iowa
Finance
Auth.
Rev.
(Lifespace
Communities,
Inc.)
6,350,000
5.000%,
5/15/2043,
Ser.
A
6,340,399
Iowa
Finance
Auth.
Senior
Living
Fac.
Rev.
Refg.
(Presbyterian
Homes
Mill
Pond)
250,000
5.750%,
10/1/2055
254,147
Iowa
Higher
Education
Loan
Auth.
Fac.
Rev.
(Des
Moines
University)
2,500,000
4.000%,
10/1/2050
2,037,166
650,000
5.375%,
10/1/2052
652,334
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
197
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Iowa
1.0%
-
continued
PEFA,
Inc.,
IA
Gas
Proj.
Rev.
Refg.
$
1,850,000
5.000%,
4/1/2035,
Ser.
A
$
1,939,601
Total
11,223,647
Kansas
0.4%
Lenexa,
KS
Health
Care
Fac.
Rev.
Refg.
(Lakeview
Village,
Inc.)
2,750,000
5.000%,
5/15/2039,
Ser.
A
2,748,138
Overland
Park,
KS
Sales
Tax
Special
Obligation
Rev.
(Bluhawk
Sports
Park)
350,000
6.500%,
11/15/2042,
Ser.
A
c
366,240
Wyandotte
County/Kansas
City,
KS
Unified
Government
Special
Obligation
Rev.
(Northwest
Speedway
Star
Bond
District)
1,000,000
5.500%,
3/1/2046
c
992,540
Total
4,106,918
Kentucky
1.7%
Hazard,
KY
Healthcare
Rev.
(Appalachian
Regional
Healthcare)
1,000,000
4.000%,
7/1/2041
896,417
Kenton
County,
KY
Airport
Board
Rev.
1,000,000
5.250%,
1/1/2054,
Ser.
A,
AMT
1,011,368
1,125,000
5.250%,
1/1/2049,
Ser.
A,
AMT
1,145,447
Kentucky
Municipal
Power
Agency
Power
System
Rev.
Refg.
(Prairie
State)
(AG
Insured)
1,500,000
4.000%,
9/1/2042,
Ser.
B
b
1,416,741
Louisville
&
Jefferson
County,
KY
Metropolitan
Government
Hospital
Rev.
(University
of
Louisville
Health)
8,000,000
5.000%,
5/15/2052,
Ser.
A
7,587,185
Paducah,
KY
Electric
Plant
Board
Rev.
(AG
Insured)
750,000
5.000%,
10/1/2035,
Ser.
A
b
752,537
Public
Energy
Auth.
of
Kentucky
Gas
Supply
Rev.
Refg.
5,750,000
5.000%,
5/1/2036,
Ser.
C
5,953,690
Total
18,763,385
Louisiana
0.8%
Louisiana
Local
Government
Environmental
Fac.
and
Community
Development
Auth.
Rev.
(Caddo-Bossier
Parishes
Port
Commission)
(AG
Insured)
850,000
5.000%,
4/1/2053,
Ser.
B
b
860,099
Louisiana
Public
Fac.
Auth.
Rev.
(I-10
Calcasieu
River
Bridge
Public-Private
Partnership)
2,500,000
5.500%,
9/1/2059,
AMT
2,531,300
Louisiana
Stadium
and
Exposition
District
Rev.
Refg.
2,000,000
5.250%,
7/1/2053,
Ser.
A
2,042,011
1,500,000
5.000%,
7/1/2048,
Ser.
A
1,526,717
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Louisiana
0.8%
-
continued
Port
of
New
Orleans,
LA
Board
of
Commissioners
Port
Fac.
Rev.
Refg.
(AG
Insured)
$
1,500,000
5.000%,
4/1/2043,
Ser.
B,
AMT
b
$
1,507,386
Total
8,467,513
Maine
0.1%
Maine
Health
and
Higher
Educational
Fac.
Auth.
Rev.
Refg.
(University
of
New
England)
1,000,000
4.000%,
7/1/2046,
Ser.
A
877,849
Total
877,849
Maryland
1.5%
Baltimore
County,
MD
Rev.
Refg.
(Oak
Crest
Village,
Inc.
Fac.)
2,000,000
4.000%,
1/1/2050
1,711,450
Maryland
Department
of
Transportation
Rev.
(Baltimore/
Washington
International
Thurgood
Marshall
Airport)
(AG
Insured)
5,000,000
5.250%,
8/1/2054,
Ser.
A,
AMT
b
5,110,167
4,250,000
5.250%,
8/1/2049,
Ser.
A,
AMT
b
4,377,653
Maryland
Economic
Development
Corporation
Student
Housing
Rev.
(Morgan
State
University)
1,000,000
5.750%,
7/1/2053,
Ser.
A
1,037,983
1,325,000
6.000%,
7/1/2058,
Ser.
A
1,388,929
Maryland
Economic
Development
Corporation
Student
Housing
Rev.
(University
of
Maryland,
College
Park
-
Leonardtown)
(AG
Insured)
2,000,000
5.125%,
7/1/2059
b
2,004,981
Maryland
Health
and
Higher
Educational
Fac.
Auth.
Rev.
Refg.
(Frederick
Health
System)
200,000
4.000%,
7/1/2050
168,359
600,000
5.250%,
7/1/2053
603,408
200,000
4.000%,
7/1/2045
175,278
Total
16,578,208
Massachusetts
2.6%
Massachusetts
Development
Finance
Agency
Rev.
(Merrimack
College)
800,000
5.000%,
7/1/2052
744,468
Massachusetts
Development
Finance
Agency
Rev.
Refg.
(Boston
Medical
Center)
4,000,000
5.250%,
7/1/2052,
Ser.
G
3,934,646
Massachusetts
Development
Finance
Agency
Rev.
Refg.
(Dana-Farber
Cancer
Institute)
1,750,000
5.500%,
12/1/2056,
Ser.
Q
1,839,557
Massachusetts
Development
Finance
Agency
Rev.
Refg.
(Northeastern
University)
2,750,000
5.000%,
10/1/2044
2,862,918
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
198
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Massachusetts
2.6%
-
continued
Massachusetts
Development
Finance
Agency
Rev.
Refg.
(Southcoast
Health
System
Obligated
Group)
$
500,000
4.000%,
7/1/2046,
Ser.
G
$
426,692
Massachusetts
GO
3,125,000
5.000%,
9/1/2048,
Ser.
E
3,163,509
Massachusetts
Health
&
Educational
Fac.
Auth.
Rev.
(Massachusetts
Institute
of
Technology)
9,295,000
5.250%,
7/1/2033,
Ser.
L
10,604,649
Massachusetts
Health
&
Educational
Fac.
Auth.
Rev.
(Tufts
University)
5,400,000
5.500%,
2/15/2028,
Ser.
M
5,637,493
Total
29,213,932
Michigan
2.2%
Great
Lakes
Water
Auth.,
MI
Sewage
Disposal
System
Rev.
5,000,000
5.500%,
7/1/2052,
Ser.
B
5,226,747
Michigan
Finance
Auth.
Higher
Education
Fac.
Limited
Obligation
Rev.
Refg.
(Calvin
University)
1,300,000
4.000%,
9/1/2050
1,078,628
2,110,000
4.000%,
9/1/2046
1,825,757
Michigan
Strategic
Fund
Limited
Obligation
Rev.
(I-75
Improvement)
535,000
5.000%,
12/31/2033,
AMT
545,394
7,775,000
5.000%,
12/31/2043,
AMT
7,817,218
Saginaw,
MI
City
School
District
UTGO
2,500,000
4.000%,
5/1/2050
2,236,395
Wayne
County,
MI
Airport
Auth.
Rev.
(Detroit
Metropolitan
Wayne
County
Airport)
(AG
Insured)
3,965,000
5.250%,
12/1/2048,
Ser.
A
b
4,142,757
1,750,000
5.500%,
12/1/2048,
Ser.
B,
AMT
b
1,828,834
Total
24,701,730
Minnesota
3.5%
Bethel,
MN
Housing
and
Health
Care
Fac.
Rev.
Refg.
500,000
6.250%,
3/1/2054,
Ser.
A
486,777
Center
City,
MN
Health
Care
Fac.
Rev.
Refg.
(Hazelden
Betty
Ford
Foundation)
795,000
5.000%,
11/1/2047
811,785
Deephaven,
MN
Charter
School
Lease
Rev.
(Eagle
Ridge
Academy)
2,250,000
5.000%,
7/1/2043,
Ser.
A
2,232,073
Duluth,
MN
Economic
Development
Auth.
Health
Care
Fac.
Rev.
(St.
Luke's
Hospital
of
Duluth
Obligated
Group)
2,500,000
5.250%,
6/15/2052,
Ser.
B
2,560,120
2,500,000
5.250%,
6/15/2047,
Ser.
B
2,582,423
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Minnesota
3.5%
-
continued
Ham
Lake,
MN
Charter
School
Lease
Rev.
(DaVinci
Academy
of
Arts
and
Science)
$
340,000
5.000%,
7/1/2036,
Ser.
A
$
319,468
Minneapolis,
MN
Student
Housing
Rev.
(Riverton
Community
Housing)
500,000
5.000%,
8/1/2053
455,359
Minneapolis-St.
Paul,
MN
Metropolitan
Airports
Commission
Rev.
Refg.
1,500,000
4.250%,
1/1/2052,
Ser.
A
1,394,338
1,045,000
5.250%,
1/1/2047,
Ser.
B,
AMT
1,071,953
Minnesota
Agricultural
&
Economic
Development
Board
Health
Care
System
Rev.
Refg.
(Fairview
Health
Services)
2,970,000
2.950%,
8/3/2026,
Ser.
B
a
2,970,000
Minnesota
Agricultural
and
Economic
Development
Board
Health
Care
Fac.
Rev.
(HealthPartners
Obligated
Group)
2,500,000
5.250%,
1/1/2054
2,543,220
Minnesota
Higher
Education
Fac.
Auth.
Rev.
(University
of
St.
Thomas)
1,500,000
5.000%,
10/1/2052,
Ser.
A
1,502,783
4,000,000
5.000%,
10/1/2052,
Ser.
B
4,007,423
Minnesota
Higher
Education
Fac.
Auth.
Rev.
Refg.
(Gustavus
Adolphus
College)
4,250,000
5.000%,
10/1/2047
4,125,683
Minnesota
Higher
Education
Fac.
Auth.
Rev.
Refg.
(St.
Catherine
University)
1,015,000
5.000%,
10/1/2045,
Ser.
A
988,312
Minnesota
Municipal
Gas
Agency
Gas
Proj.
Rev.
2,800,000
5.000%,
9/1/2035,
Ser.
A
2,866,022
North
Oaks,
MN
Senior
Housing
Rev.
Refg.
(Waverly
Gardens)
4,000,000
5.000%,
10/1/2047
3,717,688
St.
Joseph,
MN
Senior
Housing
&
Healthcare
Rev.
(Woodcrest
of
Country
Manor)
1,275,000
5.000%,
7/1/2055,
Ser.
A
1,157,443
St.
Paul
Park,
MN
Housing
Rev.
Refg.
(Presbyterian
Homes
-
Norris
Square)
1,000,000
5.250%,
6/1/2051
966,485
1,000,000
5.500%,
6/1/2062
971,839
St.
Paul,
MN
Housing
&
Redevelopment
Auth.
Rev.
Refg.
(Rossy
&
Richard
Shaller
Family
Sholom
East
Campus)
1,000,000
5.000%,
10/1/2043
925,353
Wayzata,
MN
Senior
Housing
Rev.
Refg.
(Folkestone
Senior
Living
Community)
500,000
5.000%,
8/1/2049
491,988
Total
39,148,535
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
199
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Mississippi
0.4%
Medical
Center
Educational
Building
Corporation
Rev.
(Colony
Park
Teaching
Campus)
$
5,000,000
4.000%,
6/1/2053,
Ser.
A
$
4,441,528
Mississippi
Business
Finance
Commission
Gulf
Opportunity
Zone
Industrial
Development
Rev.
(Chevron
USA,
Inc.)
100,000
2.950%,
12/1/2030,
Ser.
D
a
100,000
Total
4,541,528
Missouri
1.3%
Kansas
City,
MO
Industrial
Development
Auth.
Airport
Rev.
(Kansas
City
International
Airport)
(AG
Insured)
5,000,000
4.000%,
3/1/2050,
Ser.
A,
AMT
b
4,367,556
Lee's
Summit,
MO
Industrial
Development
Auth.
Senior
Living
Fac.
Rev.
Refg.
(John
Knox
Village)
500,000
5.750%,
8/15/2059,
Ser.
A
508,201
1,200,000
5.000%,
8/15/2042,
Ser.
A
1,200,424
Missouri
Health
and
Educational
Fac.
Auth.
Health
Fac.
Rev.
(Mercy
Health)
2,000,000
5.000%,
12/1/2052
2,034,937
Missouri
Health
and
Educational
Fac.
Auth.
Health
Fac.
Rev.
Refg.
(Lake
Regional
Health
System)
1,200,000
4.000%,
2/15/2051
975,018
Missouri
Joint
Municipal
Electric
Utility
Commission
Power
Proj.
Rev.
(Marshall
Energy
Center)
2,500,000
5.250%,
1/1/2056
2,586,697
Ozark,
MO
R-6
School
District
COP
530,000
5.000%,
4/1/2042
551,139
Taney
County,
MO
Industrial
Development
Auth.
Sales
Tax
Rev.
(Big
Cedar
Infrastructure)
2,750,000
6.000%,
10/1/2049
c
2,740,389
Total
14,964,361
Montana
0.5%
Montana
Fac.
Finance
Auth.
Health
Care
Fac.
Rev.
(Montana
Children's
Home
and
Hospital)
4,000,000
4.000%,
7/1/2050,
Ser.
A
2,772,792
1,000,000
4.000%,
7/1/2044,
Ser.
A
763,513
Montana
Fac.
Finance
Auth.
Health
Fac.
Rev.
Refg.
(Bozeman
Deaconess
Health
Services
Obligated
Group)
2,750,000
4.000%,
6/1/2045,
Ser.
A
2,470,990
Total
6,007,295
Nebraska
2.4%
Boys
Town
Village,
NE
Rev.
(Boys
Town)
5,000,000
5.000%,
7/1/2046
5,141,280
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Nebraska
2.4%
-
continued
Dodge
County,
NE
School
District
No.
1
UTGO
(Fremont
Public
Schools)
(AG
Insured)
$
3,000,000
5.000%,
12/15/2048
b
$
3,123,721
Douglas
County,
NE
Hospital
Auth.
No.
2
Health
Fac.
Rev.
(Children's
Hospital)
2,105,000
5.000%,
11/15/2047
2,110,969
Nebraska
Public
Power
District
Rev.
Refg.
2,000,000
5.250%,
1/1/2055,
Ser.
A
2,083,522
Omaha,
NE
Airport
Auth.
Airport
Fac.
Rev.
(AG
Insured)
3,400,000
5.250%,
12/15/2054,
AMT
b
3,472,865
Omaha,
NE
Public
Power
District
Electric
Rev.
2,500,000
5.250%,
2/1/2055,
Ser.
A
2,601,371
8,275,000
5.000%,
2/1/2046,
Ser.
A
8,542,390
Total
27,076,118
Nevada
0.3%
Las
Vegas,
NV
Convention
and
Visitors
Auth.
Convention
Center
Expansion
and
Renovation
Rev.
1,000,000
5.000%,
7/1/2049,
Ser.
A
1,018,242
Las
Vegas,
NV
Special
Improvement
District
No.
817
SAB
(Summerlin
Village
29)
100,000
6.000%,
6/1/2053
104,260
345,000
6.000%,
6/1/2048
363,303
Reno-Tahoe,
NV
Airport
Auth.
Rev.
(Reno-Tahoe
International
Airport)
750,000
5.250%,
7/1/2054,
Ser.
A,
AMT
758,997
1,000,000
5.250%,
7/1/2049,
Ser.
A,
AMT
1,021,152
Total
3,265,954
New
Hampshire
1.1%
National
Finance
Auth.,
NH
Rev.
(Abilene
Christian
University
Energy)
6,000,000
5.250%,
11/1/2054,
Ser.
A
6,007,096
National
Finance
Auth.,
NH
Rev.
(Presbyterian
Senior
Living)
750,000
5.250%,
7/1/2048,
Ser.
A
757,789
New
Hampshire
Health
and
Education
Fac.
Auth.
Rev.
(BAM
Insured)
5,000,000
5.000%,
8/1/2059,
Ser.
A
b
5,039,036
New
Hampshire
Health
and
Education
Fac.
Auth.
Rev.
Refg.
(Dartmouth
College)
250,000
2.900%,
6/1/2041,
Ser.
B
a
250,000
Total
12,053,921
New
Jersey
2.5%
Camden
County,
NJ
Improvement
Auth.
School
Rev.
(Kipp:
Cooper
Norcross
Academy
-
2022)
400,000
6.000%,
6/15/2052
409,574
750,000
6.000%,
6/15/2047
774,899
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
200
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
New
Jersey
2.5%
-
continued
New
Jersey
Economic
Development
Auth.
Rev.
$
1,485,000
5.000%,
6/15/2043,
Ser.
EEE
e
$
1,559,418
2,515,000
5.000%,
6/15/2043,
Ser.
EEE
2,576,965
New
Jersey
Health
Care
Fac.
Financing
Auth.
Rev.
(RWJ
Barnabas
Health)
3,015,000
4.000%,
7/1/2051,
Ser.
A
2,778,922
New
Jersey
Transportation
Trust
Fund
Auth.
Rev.
10,000,000
4.000%,
6/15/2050,
Ser.
BB
9,113,748
500,000
5.500%,
6/15/2050,
Ser.
CC
e
570,984
New
Jersey
Turnpike
Auth.
Rev.
1,000,000
4.125%,
1/1/2054,
Ser.
B
933,559
Tobacco
Settlement
Financing
Corporation,
NJ
Rev.
Refg.
8,950,000
5.250%,
6/1/2046,
Ser.
A
8,968,414
Total
27,686,483
New
York
9.4%
Buffalo
&
Erie
County,
NY
Industrial
Land
Development
Corporation
Rev.
(Tapestry
Charter
School)
1,500,000
5.000%,
8/1/2047,
Ser.
A
1,463,761
Build
NYC
Resource
Corporation,
NY
Airport
Fac.
Rev.
(TrIPs
Obligated
Group)
1,000,000
5.500%,
7/1/2055,
AMT
1,016,705
Build
NYC
Resource
Corporation,
NY
Rev.
(East
Harlem
Scholars
Academy
Charter
School)
345,000
5.750%,
6/1/2052
c
331,990
Build
NYC
Resource
Corporation,
NY
Rev.
(Global
Community
Charter
School)
1,275,000
5.000%,
6/15/2052,
Ser.
A
1,070,216
Build
NYC
Resource
Corporation,
NY
Rev.
(Unity
Preparatory
Charter
School
of
Brooklyn)
1,075,000
5.500%,
6/15/2053,
Ser.
A
c
1,053,159
Genesee
County,
NY
Funding
Corporation
Rev.
(Rochester
Regional
Health
Energy)
1,000,000
5.250%,
12/1/2050,
Ser.
A
1,017,682
1,500,000
5.500%,
12/1/2055,
Ser.
A
1,544,705
Metropolitan
Transportation
Auth.,
NY
Rev.
2,750,000
5.000%,
11/15/2045,
Ser.
A-2
a
2,909,896
New
York
City,
NY
GO
1,845,000
2.950%,
4/1/2036,
Ser.
L-3
a
1,845,000
2,250,000
4.500%,
5/1/2049,
Ser.
D-1
2,177,847
New
York
City,
NY
Industrial
Development
Agency
Special
Fac.
Rev.
(New
York
Stock
Exchange)
100,000
2.950%,
5/1/2033,
Ser.
B
a
100,000
New
York
City,
NY
Municipal
Water
Finance
Auth.
Water
and
Sewer
System
Rev.
17,000,000
4.000%,
6/15/2051,
Ser.
AA-1
15,225,045
290,000
2.950%,
6/15/2044
a
290,000
4,000,000
4.125%,
6/15/2047,
Ser.
DD
3,715,758
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
New
York
9.4%
-
continued
New
York
City,
NY
Municipal
Water
Finance
Auth.
Water
and
Sewer
System
Rev.
Refg.
$
2,500,000
5.000%,
6/15/2046,
Ser.
DD
$
2,631,533
New
York
City,
NY
Transitional
Finance
Auth.
Building
Aid
Rev.
16,625,000
5.000%,
7/15/2043,
Ser
S-1
16,990,512
New
York
City,
NY
Transitional
Finance
Auth.
Future
Tax
Secured
Rev.
3,000,000
4.000%,
5/1/2053,
Ser.
A-1
2,642,912
780,000
2.950%,
2/1/2045,
Ser.
E-4
a
780,000
New
York
City,
NY
Transitional
Finance
Auth.
Rev.
1,200,000
5.500%,
5/1/2052,
Ser.
D
1,272,005
New
York
Dormitory
Auth.
Personal
Income
Tax
Rev.
Refg.
8,000,000
5.250%,
3/15/2050,
Ser.
C
8,403,075
10,000
5.000%,
2/15/2043,
Ser.
B
e
10,232
10,000
5.000%,
2/15/2043,
Ser.
B
e
10,232
New
York
Dormitory
Auth.
Rev.
Refg.
(Yeshiva
University)
1,500,000
5.000%,
7/15/2050,
Ser.
A
1,451,676
2,200,000
5.000%,
7/15/2042,
Ser.
A
2,211,393
New
York
Transportation
Development
Corporation
Exempt
Fac.
Rev.
(State
Thruway
Service
Areas)
750,000
4.000%,
4/30/2053,
AMT
645,866
New
York
Transportation
Development
Corporation
Special
Fac.
Rev.
(John
F.
Kennedy
International
Airport
New
Terminal
One)
3,000,000
6.000%,
6/30/2054,
AMT
3,094,706
2,000,000
6.000%,
6/30/2059,
AMT
2,094,005
8,500,000
5.500%,
6/30/2060,
AMT
8,560,290
New
York
Transportation
Development
Corporation
Special
Fac.
Rev.
(LaGuardia
Airport
)
775,000
5.000%,
1/1/2036,
AMT
786,134
New
York
Transportation
Development
Corporation
Special
Fac.
Rev.
(LaGuardia
Airport
Terminal
C&D
Redevelopment)
500,000
6.000%,
4/1/2035,
AMT
551,069
750,000
5.625%,
4/1/2040,
AMT
794,906
New
York
Transportation
Development
Corporation
Special
Fac.
Rev.
(Terminal
4
John
F.
Kennedy
International
Airport)
1,000,000
5.000%,
12/1/2039,
AMT
1,032,020
1,000,000
5.000%,
12/1/2040,
AMT
1,028,383
1,000,000
5.000%,
12/1/2041,
AMT
1,025,845
600,000
5.000%,
12/1/2042,
AMT
613,719
New
York
Urban
Development
Corporation
Rev.
15,000,000
4.000%,
3/15/2045,
Ser.
A
13,849,223
Oneida
Indian
Nation,
NY
Tax
Rev.
250,000
6.000%,
9/1/2043,
Ser.
B
c
267,116
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
201
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
New
York
9.4%
-
continued
Troy,
NY
Capital
Resource
Corporation
Rev.
Refg.
(Rensselaer
Polytechnic
Institute)
$
750,000
5.000%,
9/1/2039,
Ser.
A
$
770,903
Total
105,279,519
North
Carolina
1.0%
Appalachian
State
University,
NC
Rev.
2,510,000
5.000%,
5/1/2044
2,555,693
Charlotte,
NC
Airport
Rev.
Refg.
(Charlotte
Douglas
International
Airport)
2,500,000
4.250%,
7/1/2052,
Ser.
B,
AMT
2,242,924
Fuquay-Varina,
NC
Combined
Utilities
Rev.
1,325,000
4.000%,
2/1/2044,
Ser.
B
1,264,554
Greater
Asheville,
NC
Regional
Airport
Auth.
Rev.
(AG
Insured)
750,000
5.250%,
7/1/2053,
AMT
b
762,485
1,000,000
5.250%,
7/1/2048,
AMT
b
1,027,146
Nash
Health
Care
Systems,
NC
Health
Care
Fac.
Rev.
1,000,000
5.250%,
2/1/2055
1,012,715
North
Carolina
Medical
Care
Commission
Health
Care
Fac.
Rev.
(Presbyterian
Homes)
1,250,000
5.000%,
10/1/2050,
Ser.
A
1,196,163
North
Carolina
Medical
Care
Commission
Retirement
Fac.
First
Mortgage
Rev.
(United
Methodist
Retirement
Homes)
750,000
5.125%,
10/1/2054,
Ser.
A
750,048
Total
10,811,728
North
Dakota
0.5%
Grand
Forks,
ND
Health
Care
System
Rev.
(Altru
Health
System)
(AG
Insured)
250,000
5.000%,
12/1/2053,
Ser.
A
b
250,432
250,000
5.000%,
12/1/2048,
Ser.
A
b
251,793
Horace,
ND
Refg.
Improvement
UTGO
1,800,000
5.000%,
5/1/2048,
Ser.
A
1,757,219
University
of
North
Dakota
COP
(Infrastructure
Energy
Improvement)
3,775,000
5.000%,
4/1/2048,
Ser.
A
3,810,504
Total
6,069,948
Ohio
2.5%
Bowling
Green
State
University,
OH
Rev.
Refg.
500,000
4.000%,
6/1/2045,
Ser.
A
453,896
Columbus,
OH
Regional
Airport
Auth.
Rev.
Refg.
(John
Glenn
Columbus
International
Airport)
1,350,000
5.250%,
1/1/2045,
Ser.
A,
AMT
1,408,460
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Ohio
2.5%
-
continued
Dayton-Montgomery
County,
OH
Port
Auth.
Development
Rev.
(Dayton
Regional
STEM
Schools,
Inc.)
$
1,000,000
5.000%,
12/1/2054
$
964,700
500,000
5.000%,
12/1/2044
501,744
Hamilton
County,
OH
Healthcare
Rev.
(Life
Enriching
Communities)
1,000,000
5.750%,
1/1/2053,
Ser.
A
1,027,359
Montgomery
County,
OH
Health
Care
Fac.
Rev.
Refg.
(Solvita)
300,000
5.250%,
9/1/2054
293,883
Montgomery
County,
OH
Hospital
Fac.
Improvement
Rev.
Refg.
(Kettering
Health
Network
Obligated
Group)
800,000
4.000%,
8/1/2051
682,531
Montgomery
County,
OH
Hospital
Fac.
Rev.
Refg.
(Dayton
Children's
Hospital)
1,500,000
4.000%,
8/1/2046
1,346,411
Ohio
Higher
Educational
Fac.
Commission
Rev.
(Cleveland
Clinic
Health
System
Obligated
Group)
800,000
2.950%,
1/1/2039,
Ser.
B-2
a
800,000
Ohio
Higher
Educational
Fac.
Commission
Rev.
(Kenyon
College)
3,025,000
5.000%,
7/1/2042
3,045,109
Ohio
Higher
Educational
Fac.
Commission
Rev.
Refg.
(University
of
Findlay)
2,400,000
5.000%,
3/1/2034
2,399,395
Ohio
Higher
Educational
Fac.
Commission
Rev.
Refg.
(Xavier
University
2024)
1,250,000
5.250%,
5/1/2054
1,204,370
1,400,000
5.250%,
5/1/2049
1,369,453
Ohio
Turnpike
Commission
Rev.
8,945,000
5.700%,
2/15/2034,
Ser.
A-4
9,852,580
Ohio
University
Athens
General
Receipts
Rev.
500,000
5.250%,
12/1/2052
517,692
750,000
5.250%,
12/1/2054
774,769
Port
of
Greater
Cincinnati,
OH
Development
Auth.
Rev.
Refg.
(Duke
Energy
Convention
Center)
750,000
5.000%,
12/1/2053,
Ser.
B
743,908
Port
of
Greater
Cincinnati,
OH
Development
Auth.
Rev.
Refg.
(Duke
Energy
Convention
Center)
(AG
Insured)
750,000
4.375%,
12/1/2058,
Ser.
B
b
692,487
Total
28,078,747
Oklahoma
0.3%
Oklahoma
Municipal
Power
Auth.
Power
Supply
System
Rev.
Refg.
(AG
Insured)
1,000,000
5.250%,
1/1/2051,
Ser.
A
b
1,056,628
1,500,000
5.250%,
1/1/2056,
Ser.
A
b
1,569,730
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
202
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Oklahoma
0.3%
-
continued
Osage
County,
OK
Industrial
Auth.
Use
Tax
Rev.
$
1,000,000
6.500%,
9/1/2040
$
1,064,441
Total
3,690,799
Oregon
1.4%
Albany,
OR
Hospital
Fac.
Auth.
Senior
Living
Rev.
(Mennonite
Village)
1,000,000
5.375%,
5/15/2054,
Ser.
A
1,006,520
Astoria,
OR
Hospital
Fac.
Auth.
Rev.
(Columbia
Memorial
Hospital)
250,000
5.250%,
8/1/2054
249,915
750,000
5.250%,
8/1/2044
769,330
500,000
5.250%,
8/1/2049
501,495
Clackamas
&
Washington
Counties,
OR
Joint
School
District
No.
3
GO
(West
Linn-Wilsonville
Schools)
700,000
Zero
Coupon,
6/15/2040,
Ser.
A
367,220
Multnomah
&
Clackamas
Counties,
OR
School
District
GO
520,000
Zero
Coupon,
6/15/2035,
Ser.
A
365,180
Oregon
Fac.
Auth.
Rev.
(Southern
Oregon
Goodwill)
1,250,000
5.500%,
12/1/2054,
Ser.
A
1,254,759
500,000
5.375%,
12/1/2045,
Ser.
A
511,837
Port
of
Portland,
OR
Airport
Rev.
(Portland
International
Airport)
5,000,000
5.000%,
7/1/2052,
Ser.
28,
AMT
5,012,707
Salem-Keizer
School
District
No.
24J,
Marion
and
Polk
Counties,
OR
GO
5,000,000
Zero
Coupon,
6/15/2028,
Ser.
B
4,729,904
Warm
Springs,
OR
Reservation
Confederated
Tribes
Hydroelectric
Rev.
Refg.
(Pelton-
Round
Butte)
800,000
5.000%,
11/1/2039,
Ser.
B
c
821,564
Total
15,590,431
Pennsylvania
3.3%
Allegheny
County,
PA
Airport
Auth.
Rev.
(Pittsburgh
International
Airport)
1,650,000
5.000%,
1/1/2051,
Ser.
A,
AMT
1,641,048
Allegheny
County,
PA
Airport
Auth.
Rev.
(Pittsburgh
International
Airport)
(AG
Insured)
1,500,000
5.500%,
1/1/2053,
Ser.
A,
AMT
b
1,545,465
2,500,000
5.500%,
1/1/2055,
Ser.
A,
AMT
b
2,590,958
4,500,000
5.500%,
1/1/2048,
Ser.
A,
AMT
b
4,681,097
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Pennsylvania
3.3%
-
continued
Cumberland
County,
PA
Municipal
Auth.
Rev.
Refg.
(Diakon
Lutheran
Social
Ministries)
$
455,000
5.000%,
1/1/2038
$
455,142
Delaware
County,
PA
Industrial
Development
Auth.
Airport
Fac.
Rev.
Refg.
(United
Parcel
Service)
370,000
2.950%,
9/1/2045
a
370,000
Northampton
County,
PA
General
Purpose
Auth.
Hospital
Rev.
Refg.
(St.
Luke's
University
Health
Network)
8,330,000
5.250%,
8/15/2053,
Ser.
A-1
8,503,147
Pennsylvania
Economic
Development
Financing
Auth.
Rev.
(Penndot
Major
Bridges
Package
One)
1,500,000
6.000%,
6/30/2061,
AMT
1,570,704
Pennsylvania
Economic
Development
Financing
Auth.
Rev.
(Presbyterian
Senior
Living)
1,000,000
5.250%,
7/1/2049,
Ser.
B-1
1,008,274
Pennsylvania
Economic
Development
Financing
Auth.
Rev.
(Villanova
University)
2,200,000
4.000%,
8/1/2054
1,964,709
Pennsylvania
Economic
Development
Financing
Auth.
Rev.
Refg.
(Presbyterian
Senior
Living)
1,000,000
4.000%,
7/1/2046
885,072
Pennsylvania
Economic
Development
Financing
Auth.
Rev.
Refg.
(UPMC)
2,000,000
5.000%,
2/15/2047,
Ser.
A
2,029,027
Pennsylvania
Turnpike
Commission
Turnpike
Rev.
(BAM
Insured)
6,090,000
Zero
Coupon,
12/1/2041,
Ser.
A-3
b
2,915,640
Pennsylvania
Turnpike
Commission
Turnpike
Rev.
Refg.
7,000,000
5.250%,
12/1/2053,
Ser.
A
7,256,188
Total
37,416,471
Puerto
Rico
0.6%
Puerto
Rico
Sales
Tax
Financing
Corporation
Rev.
1,000,000
4.750%,
7/1/2053,
Ser.
A-1
949,393
5,296,000
4.550%,
7/1/2040,
Ser.
A-1
5,242,168
Total
6,191,561
Rhode
Island
0.5%
Rhode
Island
Health
and
Educational
Building
Corporation
Rev.
(Central
Falls
Public
School)
5,150,000
5.250%,
5/15/2050
5,350,595
Total
5,350,595
South
Carolina
2.1%
Charleston
County,
SC
Airport
District
Airport
System
Rev.
1,250,000
5.250%,
7/1/2054,
Ser.
A,
AMT
1,269,065
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
203
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
South
Carolina
2.1%
-
continued
$
1,075,000
5.250%,
7/1/2049,
Ser.
A,
AMT
$
1,099,860
South
Carolina
Jobs-Economic
Development
Auth.
Health
Care
Fac.
Rev.
(Novant
Health
Obligated
Group)
5,000,000
4.500%,
11/1/2054,
Ser.
A
4,736,665
South
Carolina
Jobs-Economic
Development
Auth.
Hospital
Rev.
(AnMed
Health)
5,000,000
5.250%,
2/1/2053
5,125,283
4,500,000
4.250%,
2/1/2048
4,204,975
South
Carolina
Jobs-Economic
Development
Auth.
Rev.
(Bishop
Gadsden
Episcopal
Retirement
Community)
2,460,000
5.000%,
4/1/2054,
Ser.
A
2,365,001
South
Carolina
Jobs-Economic
Development
Auth.
Rev.
Refg.
(Life
Communities,
Inc.)
2,000,000
5.000%,
11/15/2047,
Ser.
C
2,000,270
South
Carolina
Public
Service
Auth.
Rev.
Refg.
1,000,000
5.250%,
12/1/2054,
Ser.
B
1,029,797
South
Carolina
Public
Service
Auth.
Rev.
Refg.
(AG
Insured)
1,250,000
5.000%,
12/1/2054,
Ser.
B
b
1,270,303
Total
23,101,219
South
Dakota
0.1%
Lincoln
County,
SD
Economic
Development
Rev.
Refg.
(Augustana
College
Association)
850,000
4.000%,
8/1/2051,
Ser.
A
668,734
Total
668,734
Tennessee
0.3%
Metropolitan
Government
of
Nashville
and
Davidson
County,
TN
Health
and
Educational
Fac.
Rev.
(Trevecca
Nazarene
University)
1,430,000
4.000%,
10/1/2051,
Ser.
B
1,096,944
Metropolitan
Government
of
Nashville
and
Davidson
County,
TN
Water
and
Sewer
Rev.
Refg.
1,000,000
5.250%,
7/1/2055
1,042,456
Metropolitan
Nashville,
TN
Airport
Auth.
Rev.
1,000,000
5.500%,
7/1/2052,
Ser.
B,
AMT
1,029,958
Montgomery
County,
TN
Public
Building
Auth.
Pooled
Financing
Rev.
(Tennessee
County
Loan
Pool)
100,000
3.000%,
4/1/2032
a
100,000
400,000
3.000%,
7/1/2034
a
400,000
Total
3,669,358
Texas
13.5%
Arlington,
TX
Higher
Education
Finance
Corporation
Education
Rev.
(Cypress
Christian
School)
1,000,000
6.000%,
6/1/2053
c
997,739
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Texas
13.5%
-
continued
$
750,000
6.250%,
6/1/2063
c
$
751,020
Arlington,
TX
Higher
Education
Finance
Corporation
Education
Rev.
(Great
Hearts
America)
(PSF-GTD
Insured)
3,180,000
4.000%,
8/15/2055,
Ser.
A
b
2,655,747
Arlington,
TX
Higher
Education
Finance
Corporation
Education
Rev.
(Harmony
Public
Schools)
(PSF-GTD
Insured)
4,000,000
4.000%,
2/15/2054
b
3,389,074
Austin,
TX
Airport
System
Rev.
1,000,000
5.000%,
11/15/2052,
AMT
1,002,115
Central
Texas
Regional
Mobility
Auth.
Rev.
500,000
5.000%,
1/1/2045,
Ser.
E
510,173
Clifton,
TX
Higher
Education
Finance
Corporation
Education
Rev.
(International
Leadership
of
Texas,
Inc.)
(PSF-GTD
Insured)
3,500,000
4.250%,
8/15/2052
b
3,130,759
Clifton,
TX
Higher
Education
Finance
Corporation
Education
Rev.
Refg.
(IDEA
Public
Schools)
(PSF-GTD
Insured)
2,500,000
5.000%,
8/15/2050
b
2,547,815
2,750,000
5.000%,
8/15/2055
b
2,767,393
Dallas
and
Fort
Worth,
TX
International
Airport
Rev.
Refg.
2,000,000
4.000%,
11/1/2045,
Ser.
B
1,869,073
Denton,
TX
Independent
School
District
UTGO
(PSF-GTD
Insured)
2,580,000
5.000%,
8/15/2053
b
2,633,550
FW
Texas
Street
Public
Fac.
Corporation
Residential
Development
Rev.
(River
District)
2,000,000
5.000%,
5/1/2038
2,076,935
Galveston,
TX
Wharves
&
Terminal
Rev.
600,000
5.500%,
8/1/2042,
Ser.
A,
AMT
635,312
400,000
5.500%,
8/1/2043,
Ser.
A,
AMT
421,914
1,000,000
6.000%,
8/1/2043,
AMT
1,088,013
500,000
5.500%,
8/1/2044,
Ser.
A,
AMT
525,577
Georgetown,
TX
Utility
System
Rev.
(AG
Insured)
7,000,000
4.250%,
8/15/2047
b
6,523,562
Greater
Texas
Cultural
Education
Fac.
Finance
Corporation
Rev.
(Texas
Biomedical
Research
Institute)
5,500,000
5.250%,
6/1/2054,
Ser.
A
5,221,229
Greater
Texoma,
TX
Utility
Auth.
Contract
Rev.
(City
of
Sherman)
(AG
Insured)
6,000,000
4.250%,
10/1/2053
b
5,295,499
Harris
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Rev.
(First
Mortgage
Brazos
Presbyterian
Homes,
Inc.)
15,000
5.000%,
1/1/2033,
Ser.
A
15,007
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
204
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Texas
13.5%
-
continued
Harris
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Rev.
Refg.
(Memorial
Hermann
Health
System)
$
7,000,000
4.125%,
7/1/2052,
Ser.
A
$
6,127,903
Harris
County,
TX
Industrial
Development
Corporation
Rev.
(Exxon)
200,000
3.000%,
8/15/2027,
AMT
a
200,000
Harris
County,
TX
Toll
Road
Rev.
5,000,000
4.000%,
8/15/2049,
Ser.
A
4,346,594
Houston,
TX
Airport
System
Rev.
(United
Airlines,
Inc.
Terminal
Improvement)
350,000
5.500%,
7/15/2038,
Ser.
B,
AMT
372,815
Houston,
TX
Airport
System
Rev.
Refg.
3,000,000
5.250%,
7/1/2041,
Ser.
A,
AMT
3,193,565
Houston,
TX
Airport
System
Rev.
Refg.
(AG
Insured)
5,250,000
4.500%,
7/1/2053,
Ser.
A,
AMT
b
4,899,272
3,000,000
5.250%,
7/1/2053,
Ser.
A,
AMT
b
3,060,491
Houston,
TX
Convention
&
Entertainment
Fac.
Department
Hotel
Occupancy
Tax
&
Special
Rev.
Refg.
1,240,000
5.000%,
9/1/2042,
Ser.
C
1,305,415
Houston,
TX
Water
and
Sewer
System
Rev.
Refg.
(AG
Insured)
10,000,000
5.750%,
12/1/2032,
Ser.
A
b,e
11,406,365
Irving,
TX
Rev.
Refg.
2,325,000
5.000%,
8/15/2043
2,263,047
Kerrville,
TX
Public
Utility
Board
Public
Fac.
Corporation
Power
Supply
Rev.
(BAM
Insured)
5,000,000
5.250%,
4/15/2047,
Ser.
A
b
5,285,192
Lower
Colorado
River,
TX
Auth.
Rev.
Refg.
(LCRA
Transmission
Services
Corporation)
(AG
Insured)
6,000,000
5.500%,
5/15/2053
b
6,266,892
2,000,000
5.500%,
5/15/2048
b
2,108,784
Lower
Neches
Valley,
TX
Auth.
Industrial
Development
Corporation
Rev.
(ExxonMobil)
530,000
2.950%,
8/3/2026
a
530,000
Lower
Neches
Valley,
TX
Auth.
Industrial
Development
Corporation
Rev.
Refg.
(ExxonMobil)
225,000
2.950%,
11/1/2029,
Ser.
A
a
225,000
Magnolia,
TX
Independent
School
District
UTGO
(PSF-GTD
Insured)
6,000,000
4.500%,
8/15/2055
b,f
5,726,139
5,590,000
4.250%,
8/15/2045
b,f
5,508,270
Midland
County,
TX
Hospital
District
Rev.
(BAM
Insured)
1,250,000
5.250%,
5/15/2054,
Ser.
A
b
1,289,202
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Texas
13.5%
-
continued
New
Hope
Cultural
Education
Fac.
Finance
Corporation,
TX
Retirement
Fac.
Rev.
(Army
Retirement
Residence
Foundation)
$
1,500,000
5.750%,
7/15/2052
$
1,504,980
New
Hope
Cultural
Education
Fac.
Finance
Corporation,
TX
Student
Housing
Rev.
(Collegiate
Housing
College
Station
I,
LLC
-
Texas
A&M
University)
630,000
5.000%,
4/1/2029,
Ser.
A
630,065
North
East
Independent
School
District,
Bexar
County,
TX
UTGO
Refg.
(PSF-GTD
Insured)
5,000,000
5.250%,
2/1/2028
b
5,185,995
2,000,000
5.250%,
2/1/2029
b
2,120,851
North
Texas
Tollway
Auth.
System
Rev.
Refg.
(AG
Insured)
5,000,000
Zero
Coupon,
1/1/2028,
Ser.
D
b
4,796,223
Red
River
Education
Finance
Corporation,
TX
Higher
Education
Rev.
Refg.
(St.
Edwards
University)
2,130,000
5.000%,
6/1/2046
1,971,190
San
Antonio,
TX
Electric
and
Gas
Systems
Rev.
3,000,000
5.500%,
2/1/2050,
Ser.
A
3,173,622
1,500,000
5.250%,
2/1/2049,
Ser.
A
1,570,484
Tarrant
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Hospital
Rev.
(Baylor
Scott
and
White
Health)
500,000
5.000%,
11/15/2051,
Ser.
D
507,482
750,000
5.500%,
11/15/2047,
Ser.
D
790,301
Tarrant
County,
TX
Cultural
Education
Fac.
Finance
Corporation
Rev.
Refg.
(Trinity
Terrace)
1,000,000
5.000%,
10/1/2049
993,730
Texas
Municipal
Gas
Acquisition
&
Supply
Corporation
V
Rev.
3,750,000
5.000%,
4/1/2036
3,870,594
Texas
Municipal
Gas
Acquisition
and
Supply
Corporation
III
Rev.
Refg.
1,000,000
5.000%,
12/15/2031
1,043,218
Texas
Private
Activity
Bond
Surface
Transportation
Corporation
Rev.
(North
Tarrant
Express)
3,000,000
5.500%,
12/31/2058,
AMT
3,071,873
Texas
Private
Activity
Bond
Surface
Transportation
Corporation
Rev.
Refg.
(LBJ
Infrastructure
Group,
LLC)
500,000
4.000%,
12/31/2039,
Ser.
A
466,845
4,275,000
4.000%,
6/30/2040,
Ser.
A
3,983,235
Texas
Technical
College
System
Rev.
(Financing
System
Improvement)
(AG
Insured)
3,000,000
6.000%,
8/1/2054,
Ser.
A
b
3,219,474
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
205
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Texas
13.5%
-
continued
Upper
Trinity,
TX
Regional
Water
District
Water
Rev.
Refg.
(BAM
Insured)
$
2,500,000
4.375%,
8/1/2054
b
$
2,337,741
Waco,
TX
Educational
Finance
Corporation
Rev.
(Baylor
University)
2,605,000
4.000%,
3/1/2051
2,248,407
Total
151,658,762
Utah
1.6%
Black
Desert
Public
Infrastructure
District,
UT
SAB
(Black
Desert
Assessment
Area
No.1)
974,315
5.625%,
12/1/2053
c
986,816
Downtown
Revitalization
Public
Infrastructure
District,
UT
Sales
Tax
Rev.
(SEG
Redevelopment)
(AG
Insured)
500,000
5.500%,
6/1/2055,
Ser.
A
b
528,926
250,000
5.500%,
6/1/2055,
Ser.
B
b
263,908
Intermountain
Power
Agency,
UT
Power
Supply
Rev.
Refg.
250,000
5.000%,
7/1/2044,
Ser.
A
259,445
2,000,000
5.000%,
7/1/2045,
Ser.
A
2,070,718
Jordan
Valley,
UT
Water
Conservancy
District
Rev.
3,000,000
5.000%,
10/1/2049,
Ser.
A
3,026,936
Lehi,
UT
Franchise
and
Sales
Tax
Rev.
(Broadband)
(AG
Insured)
1,825,000
4.000%,
2/1/2048
b
1,618,908
Orem,
UT
GO
6,880,000
5.000%,
12/1/2046
6,998,269
Salt
Lake
City,
UT
Airport
Rev.
1,125,000
5.250%,
7/1/2048,
Ser.
A,
AMT
1,152,878
Utah
Charter
School
Finance
Auth.
Rev.
(Utah
Charter
Academies)
800,000
5.000%,
10/15/2048
791,550
Utah
Infrastructure
Agency
Telecommunication
Rev.
350,000
6.000%,
10/15/2047
375,852
Total
18,074,206
Virginia
2.7%
Fairfax
County,
VA
Industrial
Development
Auth.
Health
Care
Rev.
Refg.
(Inova
Health
System)
5,000,000
4.000%,
5/15/2042
4,776,651
James
City
County,
VA
Economic
Development
Auth.
Residential
Care
Fac.
Rev.
(Williamsburg
Landing)
650,000
6.875%,
12/1/2058,
Ser.
A
705,823
Roanoke,
VA
Economic
Development
Auth.
Hospital
Rev.
Refg.
(Carilion
Clinic
Obligated
Group)
5,000,000
4.000%,
7/1/2051,
Ser.
A
4,464,138
Virginia
Small
Business
Financing
Auth.
Residential
Care
Fac.
Rev.
(LifeSpire
of
Virginia)
1,000,000
5.500%,
12/1/2054,
Ser.
A
1,023,885
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Virginia
2.7%
-
continued
Virginia
Small
Business
Financing
Auth.
Rev.
(Transform
66
P3)
$
610,000
5.000%,
12/31/2047,
AMT
$
611,249
6,575,000
5.000%,
12/31/2049,
AMT
6,580,384
10,610,000
5.000%,
12/31/2052,
AMT
10,474,596
Virginia
Small
Business
Financing
Auth.
Rev.
Refg.
(95
Express
Lanes,
LLC)
500,000
4.000%,
1/1/2048,
AMT
440,619
Virginia
Small
Business
Financing
Auth.
Rev.
Refg.
(Elizabeth
River
Crossings
OpCo,
LLC)
500,000
4.000%,
1/1/2039,
AMT
468,785
1,000,000
4.000%,
1/1/2040,
AMT
939,389
Total
30,485,519
Washington
1.7%
Energy
Northwest,
WA
Electric
Rev.
Refg.
(Columbia
Generating
Station)
1,000,000
5.000%,
7/1/2043,
Ser.
A
1,066,857
Grant
County,
WA
Public
Hospital
District
No.
2
UTGO
(Quincy
Valley
Medical
Center)
3,250,000
5.000%,
12/1/2044
3,182,469
Kalispel
Tribe
of
Indians,
WA
Rev.
750,000
5.250%,
1/1/2038,
Ser.
A
*
756,349
Port
of
Seattle,
WA
Rev.
Refg.
2,250,000
5.250%,
7/1/2049,
Ser.
B,
AMT
2,316,013
Snohomish
County,
WA
Housing
Auth.
Rev.
3,005,000
5.000%,
4/1/2041
3,052,694
Washington
Health
Care
Fac.
Auth.
Rev.
(Seattle
Cancer
Care
Alliance)
650,000
4.000%,
12/1/2045
c
592,857
Washington
Health
Care
Fac.
Auth.
Rev.
Refg.
(Seattle
Cancer
Care
Alliance)
2,000,000
4.000%,
9/1/2050
1,693,454
Washington
Higher
Education
Fac.
Auth.
Rev.
(Seattle
University)
500,000
4.000%,
5/1/2050
415,842
450,000
4.000%,
5/1/2045
402,750
Washington
Housing
Finance
Commission
Certificates
Rev.
984,931
4.085%,
3/20/2040,
Ser.
A
a
939,209
Washington
Housing
Finance
Commission
Nonprofit
Housing
Rev.
Refg.
(Emerald
Heights)
1,200,000
5.000%,
7/1/2048,
Ser.
A
1,213,177
Washington
Housing
Finance
Commission
Nonprofit
Rev.
(Radford
Court
and
Nordheim
Court
Portfolio)
1,000,000
5.500%,
7/1/2059
976,941
Washington
Housing
Finance
Commission
Nonprofit
Rev.
Refg.
(Seattle
Academy
of
Arts
and
Sciences)
1,340,000
6.125%,
7/1/2053
c
1,403,328
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
206
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Washington
1.7%
-
continued
$
1,250,000
6.250%,
7/1/2059
c
$
1,313,158
Total
19,325,098
West
Virginia
1.2%
Ohio
County,
WV
Commission
TIF
Rev.
Refg.
(Highlands)
750,000
5.250%,
6/1/2053
728,941
500,000
5.250%,
6/1/2044
505,871
West
Virginia
Hospital
Finance
Auth.
Rev.
(West
Virginia
University
Health
System
Obligated
Group)
2,000,000
4.375%,
6/1/2053,
Ser.
A
1,835,525
2,000,000
4.250%,
6/1/2047,
Ser.
A
1,863,219
West
Virginia
Parkways
Auth.
Turnpike
Toll
Rev.
10,000,000
4.000%,
6/1/2051
8,939,736
Total
13,873,292
Wisconsin
2.5%
Public
Finance
Auth.,
WI
Charter
School
Rev.
(Quality
Education
Academy)
475,000
6.250%,
7/15/2053,
Ser.
A
c
478,477
750,000
6.500%,
7/15/2063,
Ser.
A
c
759,785
Public
Finance
Auth.,
WI
Education
Rev.
(Unity
Classical
Charter
School;
A
Challenge
Foundation
Academy)
500,000
6.875%,
7/1/2053
c
506,210
750,000
7.000%,
7/1/2058
c
758,983
Public
Finance
Auth.,
WI
Proj.
Rev.
(CFP3
-
Eastern
Michigan
University
Student
Housing)
(BAM
Insured)
1,000,000
5.500%,
7/1/2052,
Ser.
A-1
b
1,030,622
Public
Finance
Auth.,
WI
Retirement
Communities
Rev.
(Acts
Retirement
-
Life
Communities,
Inc.)
3,000,000
5.000%,
11/15/2041,
Ser.
A
3,051,381
Public
Finance
Auth.,
WI
Rev.
(AFCO
Airport
Real
Estate
Group)
400,000
5.250%,
7/1/2053,
AMT
380,694
920,000
5.500%,
7/1/2043,
AMT
926,525
Public
Finance
Auth.,
WI
Rev.
(Fargo-Moorhead
Metropolitan
Area
Flood
Risk
Management)
2,500,000
4.000%,
3/31/2056,
AMT
2,014,796
4,000,000
4.000%,
9/30/2051,
AMT
3,332,404
Public
Finance
Auth.,
WI
Student
Housing
Fac.
Rev.
(Aggie
Apartment
Life
Holding
Corporation
II,
LLC)
575,000
5.250%,
6/1/2054,
Ser.
A
561,759
Public
Finance
Auth.,
WI
Student
Housing
Rev.
(CHF-Manoa,
LLC)
2,000,000
5.750%,
7/1/2063,
Ser.
A
c
1,865,923
Public
Finance
Auth.,
WI
Toll
Rev.
(Georgia
SR
400
Express
Lanes)
2,000,000
6.500%,
6/30/2060,
AMT
2,188,356
2,250,000
5.750%,
12/31/2065,
AMT
2,321,569
Principal
Amount
Long-Term
Fixed
Income  99.9%
Value
Wisconsin
2.5%
-
continued
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
(Bellin
Memorial
Hospital,
Inc.)
$
1,250,000
5.500%,
12/1/2052,
Ser.
A
$
1,310,776
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
(Dickson
Hollow
Phase
II)
750,000
6.000%,
10/1/2049
779,035
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
(Marshfield
Clinic
Health
System,
Inc.)
1,000,000
5.500%,
2/15/2054,
Ser.
A
1,028,878
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
(Three
Pillars
Senior
Living
Communities)
1,000,000
4.000%,
8/15/2055,
Ser.
A
790,737
500,000
5.750%,
8/15/2059,
Ser.
A
513,096
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
Refg.
(Benevolent
Corporation
Cedar
Community)
1,000,000
5.375%,
6/1/2050
996,439
Wisconsin
Health
&
Educational
Fac.
Auth.
Rev.
Refg.
(Marshfield
Clinic
Health
Systems,
Inc.)
2,000,000
5.000%,
2/15/2047,
Ser.
C
2,001,788
Total
27,598,233
Wyoming
<
0.1%
Lincoln
County,
WY
Pollution
Control
Rev.
Refg.
(ExxonMobil)
200,000
2.950%,
10/1/2044
a
200,000
Total
200,000
Total
Long-Term
Fixed
Income
(cost
$1,154,091,180)
1,119,086,366
Principal
Amount
Short-Term
Investments
0.1%
g
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
3.600%,
8/14/2026
h
299,580
300,000
3.613%,
8/21/2026
h
299,371
Total
Short-Term
Investments
(cost
$599,008)
598,951
Total
Investments
(cost
$1,154,690,188)
100.0%
$1,119,685,317
Other
Assets
and
Liabilities,
Net
<0.1%
27,715
Total
Net
Assets
100.0%
$1,119,713,032
a
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
207
b
To
reduce
certain
risks
associated
with
securities
issued
by
municipalities,
which
may
include
but
are
not
limited
to
economic
development
in
a
specific
industry
or
municipality,
the
principal
and/or
interest
payments
are
guaranteed
by
the
bond
insurance
company
or
government
agency
identified.
c
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$33,317,961
or
3.0%
of
total
net
assets.
d
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
e
Denotes
securities
that
have
been
pre-refunded
or
escrowed
to
maturity.
Under
such
an
arrangement,
money
is
deposited
into
an
irrevocable
escrow
account
and
is
used
to
purchase
U.S.
Treasury
securities
or
government
agency
securities
with
maturing
principal
and
interest
earnings
sufficient
to
pay
all
debt
service
requirements
of
the
pre-
refunded
bonds.
f
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
g
The
interest
rate
shown
reflects
the
yield.
h
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Municipal
Bond
Fund
as
of
July
31,
2026
was
$756,349
or
0.07%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
Kalispel
Tribe
of
Indians,
WA
Rev.,
1/1/2038
5/17/2018
$
739,221
Definitions:
AG
-
Assured
Guaranty,
Inc.
AMT
-
Subject
to
Alternative
Minimum
Tax
Auth.
-
Authority
BAM
-
Build
America
Mutual
COP
-
Certificate
of
Participation
Fac.
-
Facility/Facilities
GO
-
General
Obligation
LTGO
-
Limited
Tax
General
Obligation
NATL-RE
-
National
Public
Finance
Guarantee
Corporation
Proj.
-
Project
PSF-GTD
-
Permanent
School
Fund
Guarantee
Program
Refg.
-
Refunding
Rev.
-
Revenue
SAB
-
Special
Assessment
Bonds
Ser.
-
Series
TIF
-
Tax
Increment
Financing
UTGO
-
Unlimited
Tax
General
Obligation
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Municipal
Bond
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Education
228,890,461
–
228,890,461
–
Health
Care
233,924,895
–
233,924,895
–
Housing
32,492,462
–
32,492,462
–
Industrial
Revenue
76,208,762
–
76,208,762
–
Local/State
Government
23,611,101
–
23,611,101
–
Miscellaneous
25,939,225
–
25,939,225
–
Pre-refunded
13,557,231
–
13,557,231
–
Tax
Revenue
128,934,692
–
128,934,692
–
Tobacco
Settlement
8,993,031
–
8,993,031
–
Transportation
234,835,092
–
234,835,092
–
Utilities
111,699,414
–
111,699,414
–
Short-Term
Investments
598,951
–
598,951
–
Total
Investments
at
Value
$1,119,685,317
$–
$1,119,685,317
$–
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Municipal
Bond
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
187,209
187,209
–
–
Total
Asset
Derivatives
$187,209
$187,209
$–
$–
Municipal
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
208
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
The
following
table
presents
Municipal
Bond
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$598,951
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Amount
Value
and
Unrealized
CME
Ultra
Long
Term
U.S.
Treasury
Bond
(100)
September
2026
(
$
11,155,959)
$
187,209
Total
Futures
Short
Contracts
(
$
11,155,959)
$187,209
Total
Futures
Contracts
(
$
11,155,959)
$187,209
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
209
Principal
Amount
Long-Term
Fixed
Income
99.4%
Value
Asset-Backed
Securities
12.3%
Acacia,
LLC
$
3,750,000
5.440%, 
7/15/2041,
Ser.
2026-1,
Class
A
a
$
3,748,342
ACHV
ABS
Trust
100,922
5.900%, 
4/25/2031,
Ser.
2024-1PL,
Class
A
a
101,068
363,275
5.070%, 
10/27/2031,
Ser.
2024-2PL,
Class
A
a
363,791
Affirm
Master
Trust
3,250,000
4.780%, 
8/15/2034,
Ser.
2026-3A,
Class
A
a
3,251,930
Avis
Budget
Rental
Car
Funding
AESOP,
LLC
1,440,000
5.240%, 
8/20/2029,
Ser.
2025-1A,
Class
B
a
1,441,315
6,600,000
4.400%, 
2/20/2032,
Ser.
2025-4A,
Class
A
a
6,421,713
Carlyle
US
CLO,
Ltd.
1,950,000
5.129%, 
(TSFR3M
+
1.400%),
4/20/2031,
Ser.
2019-1A,
Class
A2R2
a,b
1,951,829
CarVal
CLO
I,
Ltd.
4,200,000
5.643%, 
(TSFR3M
+
1.850%),
7/16/2031,
Ser.
2018-1A,
Class
BR
a,b
4,209,887
CarVal
CLO
III,
Ltd.
5,500,000
5.129%, 
(TSFR3M
+
1.400%),
7/20/2032,
Ser.
2019-2A,
Class
BR2
a,b
5,510,301
CarVal
CLO
IX-C,
Ltd.
1,750,000
5.049%, 
(TSFR3M
+
1.320%),
4/20/2037,
Ser.
2024-1A,
Class
AR
a,b
1,758,241
Cedar
Funding
IX
CLO,
Ltd.
3,250,000
4.988%, 
(TSFR3M
+
1.230%),
7/20/2037,
Ser.
2018-9AR,
Class
ARR
a,b,c
3,250,016
Chenango
Park
CLO,
Ltd.
2,602,093
5.553%, 
(TSFR3M
+
1.800%),
4/15/2030,
Ser.
2018-1A,
Class
BR
a,b
2,606,545
Commonbond
Student
Loan
Trust
72,382
2.550%, 
5/25/2041,
Ser.
2017-AGS,
Class
A1
a
69,349
292,837
4.339%, 
(TSFR1M
+
0.614%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
a,b
290,643
Dryden
72
CLO,
Ltd.
1,900,000
5.301%, 
(TSFR3M
+
1.650%),
5/15/2032,
Ser.
2019-72A,
Class
BRR
a,b
1,900,895
Education
Funding
Trust
673,528
2.790%, 
7/25/2041,
Ser.
2020-A,
Class
A
a
641,865
Elmwood
CLO
18,
Ltd.
3,500,000
4.850%, 
(TSFR3M
+
1.210%),
7/17/2037,
Ser.
2022-5A,
Class
AR3
a,b
3,506,559
Foundation
Finance
Trust
624,411
1.270%, 
5/15/2041,
Ser.
2021-1A,
Class
A
a
596,152
2,361,291
6.530%, 
6/15/2049,
Ser.
2023-2A,
Class
A
a
2,420,738
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Asset-Backed
Securities
12.3%
-
continued
$
213,460
5.500%, 
12/15/2049,
Ser.
2024-1A,
Class
A
a
$
214,954
Hertz
Vehicle
Financing
III,
LLC
4,135,000
4.910%, 
9/25/2029,
Ser.
2025-1A,
Class
A
a
4,125,984
2,400,000
5.590%, 
12/26/2029,
Ser.
2025-3A,
Class
B
a
2,395,991
HOMES
Trust
4,051,802
5.077%, 
8/25/2060,
Ser.
2026-INV1,
Class
A1D
a,d
4,002,143
957,636
5.053%, 
9/25/2070,
Ser.
2026-NQM1,
Class
A2
a,d
943,220
KKR
CLO,
Ltd.
934,485
5.415%, 
(TSFR3M
+
1.662%),
4/15/2031,
Ser.
21,
Class
B
a,b
938,947
KKR
Static
CLO
I,
Ltd.
472,252
4.709%, 
(TSFR3M
+
0.980%),
7/20/2031,
Ser.
2022-1A,
Class
AR2
a,b
472,110
3,250,000
5.179%, 
(TSFR3M
+
1.450%),
7/20/2031,
Ser.
2022-1A,
Class
BR2
a,b
3,248,420
Lendbuzz
Securitization
Trust
783,935
5.100%, 
10/15/2030,
Ser.
2025-1A,
Class
A2
a
784,909
Marathon
CLO,
Ltd.
3,750,000
5.303%, 
(TSFR3M
+
1.550%),
4/15/2034,
Ser.
2021-16A,
Class
A2R
a,b
3,750,416
National
Collegiate
Trust
253,353
4.058%, 
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
a,b
248,467
Navient
Refinance
Loan
Trust
3,922,247
4.500%, 
1/18/2056,
Ser.
2026-A,
Class
A
a
3,842,188
Navient
Student
Loan
Trust
1,724,001
4.160%, 
10/15/2070,
Ser.
2022-BA,
Class
A
a
1,662,957
Neuberger
Berman
Loan
Advisers
LaSalle
Street
Lending
CLO
II,
Ltd.
4,500,000
5.069%, 
(TSFR3M
+
1.340%),
4/20/2038,
Ser.
2024-2A,
Class
A1R
a,b
4,506,359
Pagaya
AI
Debt
Grantor
Trust
444,567
5.331%, 
1/15/2032,
Ser.
2024-8,
Class
A
a
444,664
1,714,932
5.092%, 
7/15/2032,
Ser.
2024-11,
Class
A
a
1,717,553
2,320,026
5.365%, 
12/15/2032,
Ser.
2025-3,
Class
A2
a
2,323,007
1,899,268
4.497%, 
4/15/2033,
Ser.
2025-6,
Class
A2
a
1,885,549
3,250,000
5.241%, 
12/15/2033,
Ser.
2026-3,
Class
A2
a
3,246,276
2,725,000
5.245%, 
1/16/2034,
Ser.
2026-4,
Class
A2
a
2,722,420
Pagaya
AI
Debt
Grantor
Trust
and
Pagaya
AI
Debt
Trust
1,583,471
6.093%, 
11/15/2031,
Ser.
2024-6,
Class
A
a
1,584,154
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
210
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Asset-Backed
Securities
12.3%
-
continued
Palmer
Square
Loan
Funding,
Ltd.
$
2,550,000
5.100%, 
(TSFR3M
+
1.450%),
8/8/2032,
Ser.
2024-
3A,
Class
BR
a,b
$
2,548,794
1,246,528
4.573%, 
(TSFR3M
+
0.820%),
10/15/2032,
Ser.
2024-1A,
Class
A1R
a,b
1,245,537
2,250,000
4.903%, 
(TSFR3M
+
1.150%),
10/15/2032,
Ser.
2024-1A,
Class
A2R
a,b
2,245,055
5,000,000
4.903%, 
(TSFR3M
+
1.150%),
1/15/2033,
Ser.
2024-2A,
Class
A2R
a,b
5,000,500
3,000,000
4.851%, 
(TSFR3M
+
1.200%),
2/15/2033,
Ser.
2025-1A,
Class
A2
a,b
2,997,075
3,500,000
5.153%, 
(TSFR3M
+
1.400%),
7/15/2033,
Ser.
2025-2A,
Class
A2
a,b
3,500,693
4,280,868
4.703%, 
(TSFR3M
+
0.950%),
1/15/2034,
Ser.
2025-3A,
Class
A1
a,b
4,282,375
PPM
CLO
2,
Ltd.
6,250,000
4.943%, 
(TSFR3M
+
1.150%),
4/16/2037,
Ser.
2019-2A,
Class
AR3
a,b
6,256,775
PPM
CLO
6-R,
Ltd.
4,500,000
5.119%, 
(TSFR3M
+
1.390%),
1/20/2037,
Ser.
2022-6RA,
Class
A1RR
a,b
4,500,995
Research-Driven
Pagaya
Motor
AssetTrust
2,930,000
4.918%, 
5/25/2035,
Ser.
2026-4A,
Class
A2
a
2,929,762
Silver
Point
CLO
4,
Ltd.
3,250,000
5.063%, 
(TSFR3M
+
1.310%),
4/15/2037,
Ser.
2024-4A,
Class
A1R
a,b
3,253,575
SoFi
Consumer
Loan
Program
Trust
446,587
4.240%, 
8/25/2035,
Ser.
2025-4,
Class
A
a
446,215
Sycamore
Tree
CLO,
Ltd.
3,500,000
4.989%, 
(TSFR3M
+
1.260%),
4/20/2037,
Ser.
2023-3A,
Class
A1R2
a,b
3,501,943
Towd
Point
Asset
Trust
523,630
1.050%, 
11/20/2061,
Ser.
2021-SL1,
Class
A1
a
511,355
Tricon
Trust
3,250,000
4.980%, 
(TSFR1M
+
1.300%),
6/17/2043,
Ser.
2026-SFR2,
Class
A
a,b
3,252,000
Trinitas
CLO,
Ltd.
3,800,000
4.859%, 
(TSFR3M
+
1.130%),
7/20/2034,
Ser.
2021-16A,
Class
A1R
a,b
3,800,604
Total
139,375,120
Basic
Materials
1.5%
Anglo
American
Capital
plc
2,000,000
4.625%, 
3/19/2031
a
1,955,966
Eastman
Chemical
Company
700,000
5.000%, 
8/1/2029
700,946
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Basic
Materials
1.5%
-
continued
$
1,775,000
4.500%, 
2/20/2031
$
1,725,003
Georgia-Pacific,
LLC
1,425,000
4.400%, 
6/30/2028
a,e
1,418,498
2,300,000
4.600%, 
5/15/2031
a
2,259,071
Glencore
Funding,
LLC
1,500,000
6.125%, 
10/6/2028
a
1,538,320
International
Flavors
&
Fragrances,
Inc.
326,000
1.832%, 
10/15/2027
a
315,361
Mosaic
Company
1,450,000
4.350%, 
1/15/2029
1,432,528
Nutrien,
Ltd.
2,000,000
4.850%, 
5/29/2031
1,984,235
SNF
Group
SACA
1,000,000
5.626%, 
3/31/2031
a
1,003,470
United
States
Steel
Corporation
2,300,000
5.200%, 
8/1/2031
a
2,274,121
Total
16,607,519
Capital
Goods
1.7%
AGCO
Corporation
1,900,000
5.450%, 
3/21/2027
1,907,919
Amcor
Flexibles
North
America,
Inc.
1,950,000
4.250%, 
3/8/2029
1,922,627
Amrize
Finance
US,
LLC
965,000
4.700%, 
4/7/2028
964,846
Booz
Allen
Hamilton,
Inc.
650,000
5.375%, 
1/30/2030
c
649,962
Deere
Funding
Canada
Corporation
2,600,000
4.150%, 
10/9/2030
2,535,769
Honeywell
Aerospace,
Inc.
2,650,000
4.000%, 
3/16/2029
a
2,601,246
Howmet
Aerospace,
Inc.
1,900,000
3.000%, 
1/15/2029
1,824,988
Ingersoll
Rand,
Inc.
500,000
5.400%, 
8/14/2028
506,752
Spirit
AeroSystems,
Inc.
3,575,000
4.600%, 
6/15/2028
3,554,017
Sunbelt
Rentals
Holdings,
Inc.
2,650,000
4.950%, 
8/12/2030
a
2,628,591
Total
19,096,717
Collateralized
Mortgage
Obligations
16.6%
A&D
Mortgage
Trust
1,839,723
6.733%, 
7/25/2068,
Ser.
2023-NQM3,
Class
A1
a,d
1,833,894
2,304,755
5.464%, 
8/25/2069,
Ser.
2024-NQM4,
Class
A1
a
2,298,133
ACRA
Trust
3,891,217
5.573%, 
6/25/2066,
Ser.
2026-NQM1,
Class
A1
a,b
3,878,199
3,298,485
5.912%, 
10/25/2064,
Ser.
2024-NQM1,
Class
A2
a,d
3,295,419
Archwest
Mortgage
Trust
3,400,000
5.196%, 
10/25/2040,
Ser.
2025-RTL1,
Class
A1
a,d
3,373,991
3,875,000
5.435%, 
4/25/2041,
Ser.
2026-RTL1,
Class
A1
a,d
3,845,408
Aspire
Mortgage
Trust
2,213,533
5.459%, 
5/25/2066,
Ser.
2026-3,
Class
A1
a
2,205,137
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
211
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Collateralized
Mortgage
Obligations
16.6%
-
continued
$
3,900,000
5.724%, 
7/26/2066,
Ser.
2026-4,
Class
A1
a,b
$
3,904,473
Banc
of
America
Funding
Trust
64,029
6.240%, 
1/25/2035,
Ser.
2004-D,
Class
4A1
b
64,969
481,316
5.750%, 
3/25/2036,
Ser.
2006-3,
Class
3A1
473,822
Bear
Stearns
ARM
Trust
76,614
6.420%, 
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
73,569
Bellemeade
Re,
Ltd.
705,607
5.166%, 
(SOFR30A
+
1.550%),
10/25/2035,
Ser.
2025-1,
Class
M1A
a,b
705,736
BRAVO
Residential
Funding
Trust
3,035,276
5.138%, 
11/25/2065,
Ser.
2026-NQM3,
Class
A2
a,d
2,996,880
Builder
Circle
Mortgage
Trust
3,250,000
6.014%, 
5/25/2031,
Ser.
2026-RTL1,
Class
A1
a
3,265,962
CFST
Mortgage
Trust
1,525,000
5.882%, 
10/25/2030,
Ser.
2025-RTL1,
Class
A1
a,d
1,527,700
Chase
Home
Lending
Mortgage
Trust
2,424,980
5.500%, 
10/25/2055,
Ser.
2024-10,
Class
A3
a,b
2,386,711
Chase
Mortgage
Finance
Trust
Series
1,047,426
6.283%, 
7/25/2037,
Ser.
2007-A2,
Class
1M
b
1,063,630
CHNGE
Mortgage
Trust
3,053,594
4.007%, 
1/25/2067,
Ser.
2022-1,
Class
A1
a,b
2,876,558
1,142,338
7.065%, 
3/25/2058,
Ser.
2023-1,
Class
A1
a,b
1,138,516
4,224,201
4.757%, 
3/25/2067,
Ser.
2022-2,
Class
A1
a,b
4,095,883
1,822,518
6.525%, 
6/25/2058,
Ser.
2023-2,
Class
A1
a,d
1,816,386
1,501,903
7.100%, 
7/25/2058,
Ser.
2023-3,
Class
A1
a,d
1,496,846
Citigroup
Mortgage
Loan
Trust,
Inc.
403,807
4.876%, 
(CMT
1Y
+
2.400%),
3/25/2036,
Ser.
2006-AR1,
Class
3A1
b
386,033
CLIP
Trust
2,499,862
5.221%, 
5/25/2071,
Ser.
2026-NQM1,
Class
A1
a,b
2,479,896
COLT
Mortgage
Loan
Trust
3,363,580
1.726%, 
11/25/2066,
Ser.
2021-5,
Class
A1
a,b
3,029,081
Countrywide
Alternative
Loan
Trust
81,880
5.500%, 
11/25/2035,
Ser.
2005-49CB,
Class
A1
48,996
78,738
5.500%, 
2/25/2036,
Ser.
2005-85CB,
Class
2A2
60,571
Credit
Suisse
Mortgage
Capital
Certificates
3,620,371
2.303%, 
10/25/2066,
Ser.
2021-NQM8,
Class
A2
a,b
3,156,964
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Collateralized
Mortgage
Obligations
16.6%
-
continued
Cross
Mortgage
Trust
$
4,178,100
4.699%, 
2/25/2061,
Ser.
2026-NQM1,
Class
A1
a,b
$
4,114,624
3,664,958
5.087%, 
3/25/2061,
Ser.
2026-NQM2,
Class
A2
a,d
3,613,788
Deephaven
Residential
Mortgage
Trust
3,696,394
2.205%, 
1/25/2067,
Ser.
2022-1,
Class
A1
a,b
3,387,837
3,740,338
2.085%, 
11/25/2066,
Ser.
2021-4,
Class
A2
a,b
3,288,599
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
1,424,215
4.500%, 
8/25/2052,
Ser.
5582,
Class
LA
1,399,455
155,907
5.500%, 
7/25/2049,
Ser.
5417,
Class
D
155,713
Federal
National
Mortgage
Association
-
REMIC
4,397,647
5.000%, 
6/25/2051,
Ser.
2025-69,
Class
E
4,366,356
1,493,979
4.000%, 
7/25/2053,
Ser.
2024-76,
Class
DA
1,470,193
740,938
4.381%, 
(SOFR30A
+
0.764%),
3/25/2033,
Ser.
2013-16,
Class
FG
b
742,767
Flagstar
Mortgage
Trust
1,793,547
2.500%, 
9/25/2041,
Ser.
2021-9INV,
Class
A1
a,b
1,599,547
GCAT
Trust
3,201,324
1.855%, 
8/25/2066,
Ser.
2021-NQM6,
Class
A1
a,b
2,914,410
1,656,385
5.500%, 
12/25/2054,
Ser.
2024-INV4,
Class
A6
a,b
1,649,010
GMAC
Mortgage
Corporation
Loan
Trust
11,715
4.339%, 
(TSFR1M
+
0.614%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,f
5,210
GS
Mortgage-Backed
Securities
Trust
2,871,536
5.038%, 
1/25/2066,
Ser.
2025-DSC2,
Class
A1
a,d
2,838,126
1,942,445
5.000%, 
4/25/2056,
Ser.
2025-PJ10,
Class
A5
a,b
1,913,074
167,000
1.791%, 
9/27/2060,
Ser.
2020-NQM1,
Class
A2
a,b
162,340
GSAA
Home
Equity
Trust
64,960
5.789%, 
(TSFR1M
+
2.064%),
5/25/2034,
Ser.
2004-4,
Class
M2
b
123,269
888,363
4.013%, 
8/25/2034,
Ser.
2004-10,
Class
M2
b
834,542
J.P.
Morgan
Alternative
Loan
Trust
211,377
4.776%, 
3/25/2036,
Ser.
2006-A1,
Class
2A1
b
155,903
J.P.
Morgan
Mortgage
Trust
354,810
4.938%, 
6/25/2056,
Ser.
2025-12MPR,
Class
A1B
a,d
352,886
103,827
4.943%, 
2/25/2036,
Ser.
2006-A1,
Class
2A2
b
68,120
MFA
Trust
3,238,170
5.229%, 
8/25/2070,
Ser.
2025-NQM4,
Class
A1
a,b
3,211,340
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
212
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Collateralized
Mortgage
Obligations
16.6%
-
continued
$
1,758,839
6.330%, 
9/25/2054,
Ser.
2024-NPL1,
Class
A1
a,d
$
1,761,122
3,270,617
4.875%, 
9/25/2056,
Ser.
2022-CHM1,
Class
A1
a
3,181,440
Morgan
Stanley
Residential
Mortgage
Loan
Trust
5,065,244
5.432%, 
3/25/2071,
Ser.
2026-NQM3,
Class
A2
a,d
5,026,629
1,674,269
5.530%, 
5/25/2070,
Ser.
2025-NQM3,
Class
A1
a,b
1,669,408
2,508,315
6.000%, 
6/25/2053,
Ser.
2023-2,
Class
A4
a,b
2,504,835
2,428,356
5.456%, 
7/25/2070,
Ser.
2025-NQM6,
Class
A2
a,d
2,410,524
2,137,331
5.216%, 
9/25/2070,
Ser.
2025-NQM8,
Class
A2
a,d
2,105,794
2,308,230
4.809%, 
12/25/2070,
Ser.
2026-NQM1,
Class
A1
a,b
2,271,152
NYMT
Loan
Trust
2,644,036
5.254%, 
10/25/2060,
Ser.
2025-INV2,
Class
A2
a,d
2,616,608
OBX
Trust
3,856,767
5.470%, 
4/25/2066,
Ser.
2026-NQM9,
Class
A1
a,b
3,850,131
1,014,063
5.396%, 
7/27/2065,
Ser.
2025-NQM15,
Class
A2
a,d
1,007,061
3,150,354
5.000%, 
10/25/2055,
Ser.
2025-J3,
Class
A5
a,b
3,105,063
PRET
Trust
2,603,439
4.000%, 
8/25/2064,
Ser.
2025-RPL2,
Class
A1
a,d
2,511,803
PRET,
LLC
3,417,497
5.074%, 
2/25/2056,
Ser.
2026-NPL2,
Class
A1
a,d
3,389,036
3,694,362
5.710%, 
4/25/2056,
Ser.
2026-NPL5,
Class
A1
a,d
3,687,145
2,694,122
5.693%, 
5/25/2056,
Ser.
2026-NPL6,
Class
A1
a,d
2,686,899
PRPM
Trust
2,450,000
5.206%, 
1/25/2056,
Ser.
2026-RCF1,
Class
A2
a,d
2,414,036
PRPM,
LLC
2,491,904
4.000%, 
1/25/2054,
Ser.
2024-RCF1,
Class
A1
a,d
2,452,936
1,606,087
5.699%, 
11/25/2029,
Ser.
2024-6,
Class
A1
a,d
1,606,636
3,391,292
5.729%, 
7/25/2030,
Ser.
2025-5,
Class
A1
a,d
3,377,865
1,725,802
5.385%, 
10/25/2030,
Ser.
2025-8,
Class
A1
a,d
1,712,800
4,169,159
6.299%, 
6/25/2031,
Ser.
2026-4,
Class
A1
a,d
4,169,936
RCO
IX
Mortgage,
LLC
2,758,807
5.310%, 
10/25/2030,
Ser.
2025-4,
Class
A1
a,d
2,756,929
2,450,312
5.765%, 
5/25/2031,
Ser.
2026-2,
Class
A1
a,d
2,440,331
Roc
Mortgage
Trust
4,135,000
5.589%, 
10/25/2039,
Ser.
2024-RTL1,
Class
A1
a,d
4,136,266
2,700,000
5.625%, 
2/25/2040,
Ser.
2025-RTL1,
Class
A1
a,d
2,699,339
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Collateralized
Mortgage
Obligations
16.6%
-
continued
SG
Residential
Mortgage
Trust
$
3,062,212
4.782%, 
1/25/2066,
Ser.
2026-1,
Class
A1
a,b
$
3,019,775
3,000,000
5.505%, 
8/25/2066,
Ser.
2026-5,
Class
A1
a,b
2,993,497
Terwin
Mortgage
Trust
206,126
5.339%, 
(TSFR1M
+
1.614%),
12/25/2034,
Ser.
2004-21HE,
Class
2M2
a,b
205,711
Toorak
Mortgage
Trust
2,025,000
5.524%, 
2/25/2040,
Ser.
2025-RRTL1,
Class
A1
a,d
2,025,720
Triangle
Re,
Ltd.
329,780
7.016%, 
(SOFR30A
+
3.400%),
11/25/2033,
Ser.
2023-1,
Class
M1A
a,b
330,775
TRK
Trust
3,355,165
2.577%, 
2/25/2057,
Ser.
2022-INV1,
Class
A1
a,b
3,117,021
3,405,513
1.966%, 
11/25/2056,
Ser.
2021-INV2,
Class
A1
a,b
3,024,836
Verus
Securitization
Trust
3,711,065
5.580%, 
6/25/2070,
Ser.
2025-5,
Class
A2
a,d
3,704,308
1,306,921
2.286%, 
11/25/2066,
Ser.
2021-8,
Class
A2
a,b
1,147,953
Visio
Trust
119,607
1.567%, 
11/25/2055,
Ser.
2020-1R,
Class
A2
a
116,619
VOLT
CII,
LLC
125,764
5.868%, 
8/25/2051,
Ser.
2021-NP11,
Class
A1
a
125,763
Total
187,510,174
Commercial
Mortgage-Backed
Securities
1.7%
BANK
1,691,215
3.623%, 
4/15/2052,
Ser.
2019-BN17,
Class
ASB
1,667,259
2,500,000
4.467%, 
8/15/2061,
Ser.
2018-BN13,
Class
AS
b
2,450,386
BBCMS
Mortgage
Trust
3,250,000
5.659%, 
5/15/2058,
Ser.
2025-5C34,
Class
A3
3,306,747
CoreVest
American
Finance
Trust
1,773,404
5.364%, 
6/15/2059,
Ser.
2026-1,
Class
A
a
1,760,570
FirstKey
Homes
Trust
450,000
1.788%, 
8/17/2038,
Ser.
2021-SFR1,
Class
B
a
449,057
Home
Partners
of
America
Trust
3,389,832
2.302%, 
12/17/2026,
Ser.
2021-2,
Class
B
a
3,353,032
Progress
Residential
Trust
3,750,000
1.942%, 
8/17/2040,
Ser.
2021-SFR7,
Class
B
a
3,510,833
Tricon
Residential
Trust
2,250,000
5.700%, 
6/20/2040,
Ser.
2024-SFR2,
Class
B
a
2,255,966
Total
18,753,850
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
213
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Communications
Services
2.7%
American
Tower
Corporation
$
2,050,000
5.500%, 
3/15/2028
$
2,073,204
AppLovin
Corporation
2,650,000
5.375%, 
12/1/2031
2,652,962
CCO
Holdings,
LLC/CCO
Holdings
Capital
Corporation
3,250,000
4.750%, 
3/1/2030
a
3,036,558
Charter
Communications
Operating,
LLC/Charter
Communications
Operating
Capital
Corporation
1,725,000
6.100%, 
6/1/2029
1,750,677
Crown
Castle,
Inc.
1,260,000
4.800%, 
9/1/2028
1,260,157
1,750,000
4.900%, 
9/1/2029
1,745,109
Discovery
Global
Holdings,
Inc.
1,011,000
3.755%, 
3/15/2027
1,003,418
Meta
Platforms,
Inc.
2,650,000
4.550%, 
5/15/2031
2,586,064
NTT
Finance
Corporation
1,650,000
4.741%, 
3/31/2028
a
1,648,593
Orange
SA
950,000
4.000%, 
1/13/2029
a
932,616
SBA
Communications
Corporation
1,400,000
3.875%, 
2/15/2027
1,390,757
Space
Exploration
Technologies
Corporation
2,950,000
5.350%, 
7/15/2031
a
2,871,322
Sprint
Capital
Corporation
4,730,000
6.875%, 
11/15/2028
4,936,999
T-Mobile
USA,
Inc.
3,125,000
4.850%, 
1/15/2029
3,128,631
Total
31,017,067
Consumer
Cyclical
5.0%
Amazon.com,
Inc.
3,300,000
4.800%, 
7/9/2031
3,268,695
American
Honda
Finance
Corporation
2,000,000
4.450%, 
10/22/2027
1,996,330
2,050,000
5.650%, 
11/15/2028
2,091,560
Carnival
Corporation,
Ltd.
2,000,000
5.750%, 
3/15/2030
a
2,003,686
Daimler
Truck
Finance
North
America,
LLC
1,275,000
4.300%, 
8/12/2027
a
1,272,118
Darden
Restaurants,
Inc.
2,000,000
4.350%, 
10/15/2027
1,993,954
Denso
Corporation
2,250,000
4.282%, 
9/17/2030
a
2,195,308
Ford
Motor
Credit
Company,
LLC
1,150,000
5.125%, 
11/5/2026
1,151,335
1,875,000
5.800%, 
3/5/2027
1,884,554
2,500,000
5.113%, 
5/3/2029
2,474,443
2,700,000
7.200%, 
6/10/2030
2,825,218
General
Motors
Company
1,400,000
5.350%, 
4/15/2028
1,412,095
General
Motors
Financial
Company,
Inc.
950,000
5.400%, 
5/8/2027
955,975
1,900,000
5.350%, 
7/15/2027
1,915,143
1,900,000
5.050%, 
4/4/2028
1,907,884
2,500,000
5.800%, 
1/7/2029
2,550,874
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Consumer
Cyclical
5.0%
-
continued
Hyundai
Capital
America
$
1,900,000
5.300%, 
3/19/2027
a
$
1,909,553
2,225,000
4.875%, 
6/23/2027
a
2,232,749
Las
Vegas
Sands
Corporation
1,565,000
5.900%, 
6/1/2027
1,577,913
1,600,000
5.625%, 
6/15/2028
1,614,507
Royal
Caribbean
Cruises,
Ltd.
3,200,000
5.500%, 
4/1/2028
a
3,225,997
Stellantis
Finance
US,
Inc.
3,050,000
5.350%, 
3/17/2028
a
3,055,564
Stellantis
Financial
Services
US
Corporation
825,000
5.400%, 
9/15/2030
a
802,713
Toyota
Motor
Credit
Corporation
2,000,000
4.500%, 
7/9/2029
e
1,989,479
1,360,000
4.950%, 
1/9/2030
1,365,768
Uber
Technologies,
Inc.
2,600,000
4.150%, 
1/15/2031
2,507,687
Volkswagen
Group
of
America
Finance,
LLC
1,900,000
5.300%, 
3/22/2027
a
1,907,949
2,250,000
4.450%, 
9/11/2027
a
2,242,075
Total
56,331,126
Consumer
Non-Cyclical
5.2%
Abbott
Laboratories
1,775,000
4.000%, 
3/15/2031
1,715,399
AbbVie,
Inc.
1,950,000
4.125%, 
3/15/2031
1,890,358
Altria
Group,
Inc.
635,000
4.875%, 
2/4/2028
637,491
1,900,000
6.200%, 
11/1/2028
1,958,627
Amgen,
Inc.
1,425,000
5.150%, 
3/2/2028
1,435,968
BAT
International
Finance
plc
1,900,000
5.931%, 
2/2/2029
1,950,123
Becton,
Dickinson
and
Company
2,250,000
4.693%, 
2/13/2028
2,251,406
Bunge,
Ltd.
Finance
Corporation
2,700,000
4.100%, 
1/7/2028
2,682,133
2,250,000
3.200%, 
4/21/2031
2,081,415
Cargill,
Inc.
1,150,000
4.125%, 
10/23/2030
a
1,116,898
Cencora,
Inc.
1,600,000
3.950%, 
2/13/2029
1,570,392
1,925,000
4.250%, 
11/15/2030
1,870,477
Cigna
Group
2,575,000
4.500%, 
9/15/2030
2,537,327
Constellation
Brands,
Inc.
2,000,000
4.850%, 
5/6/2031
1,981,275
CVS
Health
Corporation
2,500,000
5.400%, 
6/1/2029
2,539,723
General
Mills,
Inc.
1,900,000
5.500%, 
10/17/2028
1,933,165
Gilead
Sciences,
Inc.
1,650,000
4.600%, 
5/20/2031
1,630,091
Hasbro,
Inc.
825,000
4.650%, 
3/12/2031
808,432
HCA,
Inc.
2,400,000
5.000%, 
3/1/2028
2,410,576
Illumina,
Inc.
1,000,000
4.650%, 
9/9/2026
1,000,311
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
214
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Consumer
Non-Cyclical
5.2%
-
continued
Imperial
Brands
Finance
plc
$
1,425,000
4.500%, 
6/30/2028
a
$
1,417,649
Keurig
Dr
Pepper,
Inc.
2,500,000
5.100%, 
3/15/2027
2,508,050
Medline
Borrower,
LP/Medline
Co-
Issuer,
Inc.
2,650,000
5.000%, 
6/15/2031
a
2,613,174
Novartis
Capital
Corporation
1,350,000
4.400%, 
3/18/2031
1,327,256
Philip
Morris
International,
Inc.
625,000
4.875%, 
2/13/2029
627,750
Roche
Holdings,
Inc.
2,250,000
4.075%, 
12/2/2030
a
2,185,029
Royalty
Pharma
plc
3,225,000
4.450%, 
3/25/2031
3,146,990
Stryker
Corporation
1,900,000
4.700%, 
2/10/2028
1,902,919
Teva
Pharmaceutical
Finance
Netherlands
III
BV
2,650,000
5.125%, 
5/9/2029
2,641,611
Thermo
Fisher
Scientific,
Inc.
3,850,000
4.215%, 
2/12/2031
3,746,694
Total
58,118,709
Energy
2.6%
Cheniere
Energy
Partners,
LP
3,500,000
4.500%, 
10/1/2029
3,461,933
Columbia
Pipelines
Holding
Company,
LLC
1,260,000
6.042%, 
8/15/2028
a
1,288,447
Continental
Resources,
Inc.
4,850,000
2.268%, 
11/15/2026
a
4,815,986
Energy
Transfer,
LP
1,900,000
5.250%, 
7/1/2029
1,922,048
Helmerich
&
Payne,
Inc.
2,700,000
4.650%, 
12/1/2027
2,694,148
Kinder
Morgan,
Inc.
1,300,000
5.100%, 
8/1/2029
1,312,351
1,750,000
5.150%, 
6/1/2030
1,764,962
National
Fuel
Gas
Company
1,000,000
4.750%, 
5/15/2029
992,732
1,600,000
5.500%, 
3/15/2030
1,615,520
ONEOK,
Inc.
2,000,000
4.250%, 
9/24/2027
1,992,670
1,000,000
5.650%, 
11/1/2028
1,017,069
Repsol
E&P
Capital
Markets
US,
LLC
975,000
4.805%, 
9/16/2028
a
974,284
Shell
Finance
US,
Inc.
1,750,000
4.125%, 
11/6/2030
1,707,784
South
Bow
USA
Infrastructure
Holdings,
LLC
1,300,000
4.911%, 
9/1/2027
1,302,108
TransCanada
PipeLines,
Ltd.
850,000
6.125%, 
10/17/2056
b,e
849,366
Williams
Companies,
Inc.
1,900,000
4.625%, 
6/30/2030
1,873,868
Total
29,585,276
Financials
33.8%
ABN
AMRO
Bank
NV
1,900,000
6.339%, 
9/18/2027
a,b
1,904,053
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Financials
33.8%
-
continued
AEGON
Funding
Company,
LLC
$
1,875,000
5.500%, 
4/16/2027
a
$
1,885,350
AerCap
Ireland
Capital
DAC/
AerCap
Global
Aviation
Trust
1,550,000
6.100%, 
1/15/2027
1,559,704
1,665,000
6.450%, 
4/15/2027
1,684,874
1,150,000
4.125%, 
2/28/2029
1,129,119
1,925,000
4.625%, 
9/10/2029
1,907,975
Aircastle,
Ltd./Aircastle
Ireland
DAC
2,150,000
5.000%, 
5/15/2031
a
2,113,466
Ally
Financial,
Inc.
1,050,000
5.737%, 
5/15/2029
b
1,061,836
American
Express
Company
2,000,000
5.098%, 
2/16/2028
b
2,006,776
1,000,000
5.043%, 
7/26/2028
b
1,004,575
1,900,000
4.731%, 
4/25/2029
b
1,901,296
635,000
5.085%, 
1/30/2031
b
637,980
American
Homes
4
Rent,
LP
725,000
4.950%, 
6/15/2030
720,305
American
International
Group,
Inc.
1,250,000
4.850%, 
5/7/2030
1,248,225
ANZ
New
Zealand
International,
Ltd./London
1,250,000
4.000%, 
1/22/2029
a
1,230,133
Apollo
Debt
Solutions
BDC
2,630,000
6.900%, 
4/13/2029
2,689,133
Ares
Capital
Corporation
2,000,000
5.550%, 
1/15/2030
1,979,253
Ares
Strategic
Income
Fund
1,400,000
5.700%, 
3/15/2028
1,400,286
1,625,000
5.600%, 
2/15/2030
1,593,609
Arthur
J.
Gallagher
&
Company
1,050,000
4.600%, 
12/15/2027
1,050,174
1,050,000
4.850%, 
12/15/2029
1,049,978
Associated
Banc-Corp
1,300,000
6.455%, 
8/29/2030
b
1,330,414
Atlas
Warehouse
Lending
Company,
LP
2,675,000
4.625%, 
11/15/2028
a
2,637,623
AvalonBay
Communities,
Inc.
2,750,000
4.350%, 
12/1/2030
2,696,268
Aviation
Capital
Group,
LLC
1,275,000
4.750%, 
4/14/2027
a
1,277,024
1,900,000
4.800%, 
10/24/2030
a
1,866,332
Avolon
Holdings
Funding,
Ltd.
1,200,000
4.950%, 
1/15/2028
a
1,202,175
1,900,000
5.375%, 
5/30/2030
a
1,904,515
Banco
Bilbao
Vizcaya
Argentaria
SA
1,200,000
4.150%, 
3/3/2029
1,180,153
Banco
Santander
SA
1,000,000
4.175%, 
3/24/2028
b
996,706
2,000,000
5.365%, 
7/15/2028
b
2,013,257
1,400,000
4.551%, 
11/6/2030
1,368,072
Bank
of
America
Corporation
4,000,000
4.477%, 
4/23/2030
b
3,956,201
Bank
of
New
York
Mellon
Corporation
1,250,000
6.317%, 
10/25/2029
b
1,293,436
1,100,000
4.026%, 
1/22/2030
b
1,081,719
2,200,000
5.625%, 
3/20/2031
b,e,g
2,173,225
Bank
of
New
Zealand
3,200,000
4.846%, 
2/7/2028
a
3,215,408
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
215
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Financials
33.8%
-
continued
Bank
of
Nova
Scotia
$
2,000,000
4.404%, 
9/8/2028
b
$
1,994,744
1,950,000
4.043%, 
9/15/2028
b,e
1,937,963
950,000
4.247%, 
2/2/2030
b,e
935,339
Banque
Federative
du
Credit
Mutuel
SA
2,500,000
4.541%, 
1/15/2031
a
2,432,747
Barclays
plc
2,000,000
2.279%, 
11/24/2027
b
1,986,334
950,000
5.674%, 
3/12/2028
b
955,518
1,900,000
4.837%, 
9/10/2028
b
1,900,750
1,900,000
5.086%, 
2/25/2029
b
1,905,386
1,900,000
4.219%, 
5/24/2030
b
1,857,651
BBVA
Mexico
SA,
Institucion
de
Banca
Multiple,
Grupo
Financiero
BBVA
Mexico/TX
1,175,000
5.400%, 
6/3/2031
a
1,166,540
Blackstone
Private
Credit
Fund
1,150,000
4.950%, 
9/26/2027
1,146,295
1,950,000
5.050%, 
9/10/2030
1,864,141
Blackstone
Reg
Finance
Company,
LLC
1,400,000
4.300%, 
11/3/2030
e
1,364,786
Blackstone
Secured
Lending
Fund
2,100,000
5.350%, 
4/13/2028
2,089,004
2,000,000
5.125%, 
1/31/2031
1,899,169
Blue
Owl
Credit
Income
Corporation
1,100,000
4.700%, 
2/8/2027
1,095,791
1,900,000
6.600%, 
9/15/2029
1,906,121
Blue
Owl
Technology
Finance
Corporation
1,725,000
6.750%, 
4/4/2029
e
1,722,395
BNP
Paribas
SA
3,250,000
4.892%, 
6/30/2030
a,b
3,234,264
Brookfield
Asset
Management,
Ltd.
1,350,000
4.832%, 
4/15/2031
1,323,151
CaixaBank
SA
1,900,000
4.634%, 
7/3/2029
a,b
1,893,930
Canadian
Imperial
Bank
of
Commerce
1,900,000
4.857%, 
3/30/2029
b
1,902,638
1,900,000
4.283%, 
1/29/2030
b
1,872,436
Capital
One
Financial
Corporation
1,950,000
4.493%, 
9/11/2031
b
1,900,527
Capital
One
NA
2,175,000
5.974%, 
(USISOA05
+
1.730%),
8/9/2028
b
2,207,009
Centene
Corporation
1,628,000
4.250%, 
12/15/2027
1,621,836
1,800,000
4.625%, 
12/15/2029
1,746,247
Charles
Schwab
Corporation
2,500,000
6.100%, 
6/1/2031
b,g
2,466,024
3,500,000
4.343%, 
11/14/2031
b
3,414,138
Citadel
Finance,
LLC
1,150,000
4.750%, 
2/14/2029
a
1,127,557
Citadel
Securities
Global
Holdings,
LLC
635,000
5.500%, 
6/18/2030
a
637,853
Citadel,
LP
2,550,000
6.000%, 
1/23/2030
a
2,605,636
Citigroup,
Inc.
1,725,000
4.643%, 
5/7/2028
b
1,725,208
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Financials
33.8%
-
continued
$
1,100,000
5.174%, 
2/13/2030
b
$
1,106,296
2,600,000
4.503%, 
9/11/2031
b
2,540,557
Citizens
Bank
NA/Providence,
RI
1,250,000
4.192%, 
1/29/2029
b
1,238,762
Citizens
Financial
Group,
Inc.
1,550,000
5.253%, 
3/5/2031
b
1,554,527
Corebridge
Financial,
Inc.
2,000,000
3.650%, 
4/5/2027
1,988,359
Corebridge
Global
Funding
2,575,000
4.650%, 
8/20/2027
a,e
2,576,924
2,000,000
4.800%, 
5/29/2029
a
1,993,905
Cousins
Properties,
LP
1,750,000
5.250%, 
7/15/2030
1,752,877
Credit
Agricole
SA
2,000,000
4.631%, 
9/11/2028
a,b
1,998,065
1,200,000
5.230%, 
1/9/2029
a,b
1,206,364
1,275,000
6.316%, 
10/3/2029
a,b
1,312,890
Credit
Suisse
Group
AG
810,000
7.500%, 
N/A
*,h
194,400
Deutsche
Bank
AG/New
York,
NY
1,300,000
4.999%, 
9/11/2030
b
1,295,484
1,450,000
4.950%, 
8/4/2031
b
1,432,105
DNB
Bank
ASA
2,000,000
4.832%, 
3/30/2032
a,b
1,972,946
Drawbridge
Special
Opportunities
Fund,
LP/Drawbridge
Special
Opportunities
Finance
Corporation
2,800,000
5.950%, 
9/17/2030
a
2,685,050
EPR
Properties
3,125,000
4.950%, 
4/15/2028
3,115,804
First
Horizon
Bank
2,499,000
5.750%, 
5/1/2030
2,513,424
First-Citizens
Bank
&
Trust
Company
2,050,000
6.125%, 
3/9/2028
2,084,710
2,150,000
5.097%, 
7/13/2029
b
2,144,628
Fortitude
Group
Holdings,
LLC
2,500,000
6.250%, 
4/1/2030
a
2,546,343
Franklin
BSP
Capital
Corporation
2,000,000
6.000%, 
10/2/2030
a
1,937,437
GATX
Corporation
1,250,000
5.400%, 
3/15/2027
1,255,873
Goldman
Sachs
BDC,
Inc.
950,000
6.375%, 
3/11/2027
e
960,131
Goldman
Sachs
Group,
Inc.
2,500,000
3.615%, 
3/15/2028
b
2,485,663
1,900,000
4.482%, 
8/23/2028
b
1,895,428
1,900,000
4.148%, 
1/21/2029
b
1,881,975
2,050,000
4.153%, 
10/21/2029
b
2,017,459
1,900,000
6.484%, 
10/24/2029
b
1,960,678
1,100,000
5.218%, 
4/23/2031
b
1,101,797
2,000,000
6.500%, 
8/10/2031
b,g
1,984,972
Goldman
Sachs
Private
Credit
Corporation
500,000
5.050%, 
2/23/2028
496,970
750,000
5.875%, 
5/6/2028
e
754,346
Guardian
Life
Global
Funding
2,300,000
4.748%, 
7/16/2029
a
2,294,060
Healthcare
Realty
Holdings,
LP
1,125,000
3.100%, 
2/15/2030
1,051,947
Highwoods
Realty,
LP
1,770,000
4.200%, 
4/15/2029
1,727,109
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
216
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Financials
33.8%
-
continued
Host
Hotels
&
Resorts,
LP
$
1,600,000
4.250%, 
12/15/2028
$
1,575,760
HPS
Corporate
Lending
Fund
1,425,000
5.300%, 
6/5/2027
e
1,425,216
1,800,000
4.900%, 
9/11/2028
1,764,090
HSBC
Holdings
plc
2,150,000
5.130%, 
11/19/2028
b
2,159,451
1,250,000
4.899%, 
3/3/2029
b
1,252,304
1,950,000
4.398%, 
3/10/2030
b
1,922,569
2,600,000
4.711%, 
5/12/2030
b
2,578,115
Huntington
Bank
Auto
Credit-
Linked
Notes
295,719
5.442%, 
10/20/2032,
Ser.
2024-2,
Class
B1
a
296,724
ING
Groep
NV
2,000,000
4.017%, 
3/28/2028
b
1,993,023
1,900,000
4.858%, 
3/25/2029
b
1,903,097
JPMorgan
Chase
&
Company
1,850,000
5.571%, 
4/22/2028
b
1,862,698
2,750,000
4.979%, 
7/22/2028
b
2,758,871
1,700,000
4.851%, 
7/25/2028
b
1,703,189
2,000,000
6.100%, 
7/1/2031
b,g
1,991,722
750,000
4.347%, 
1/22/2032
b
726,977
KeyCorp
2,500,000
5.121%, 
4/4/2031
b
2,499,326
KeyCorp
Capital
I
2,750,000
4.727%, 
(TSFR3M
+
1.002%),
7/1/2028
b
2,699,452
Kilroy
Realty,
LP
2,650,000
3.050%, 
2/15/2030
2,432,931
Lincoln
Financial
Global
Funding
1,000,000
5.300%, 
1/13/2030
a
1,003,722
Lloyds
Banking
Group
plc
1,875,000
5.462%, 
1/5/2028
b
1,882,761
2,000,000
3.750%, 
3/18/2028
b
1,989,679
1,500,000
5.087%, 
11/26/2028
b
1,507,000
LPL
Holdings,
Inc.
1,600,000
5.200%, 
3/15/2030
1,597,959
M&T
Bank
Corporation
1,750,000
3.500%, 
9/1/2026
b,g
1,739,666
Macquarie
AirFinance
Holdings,
Ltd.
1,829,000
6.400%, 
3/26/2029
a
1,877,429
1,300,000
5.150%, 
3/17/2030
a
1,287,946
Manufacturers
&
Traders
Trust
Company
2,000,000
4.548%, 
4/18/2030
b
1,978,179
MassMutual
Global
Funding
II
1,900,000
4.850%, 
1/17/2029
a
1,903,760
Met
Tower
Global
Funding
2,000,000
4.000%, 
10/1/2027
a
1,988,251
Metropolitan
Life
Global
Funding
I
1,900,000
5.400%, 
9/12/2028
a
1,927,529
Mitsubishi
UFJ
Financial
Group,
Inc.
1,925,000
4.527%, 
9/12/2031
b
1,881,770
Mizuho
Financial
Group,
Inc.
2,225,000
4.711%, 
7/8/2031
b
2,193,590
Morgan
Stanley
1,875,000
5.652%, 
4/13/2028
b
1,889,291
3,000,000
5.164%, 
4/20/2029
b
3,015,263
2,000,000
4.868%, 
7/12/2029
b
1,999,632
785,000
5.449%, 
7/20/2029
b
793,243
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Financials
33.8%
-
continued
$
2,700,000
4.133%, 
10/18/2029
b
$
2,658,112
Morgan
Stanley
Bank
NA
1,900,000
5.016%, 
1/12/2029
b
1,908,832
2,000,000
4.788%, 
5/10/2030
b
1,991,834
Morgan
Stanley
Direct
Lending
Fund
2,825,000
6.150%, 
5/17/2029
2,844,128
National
Bank
of
Canada
1,400,000
4.166%, 
1/20/2029
b
1,389,006
NatWest
Markets
plc
1,750,000
4.174%, 
11/6/2028
a
1,728,073
New
York
Life
Global
Funding
1,900,000
4.900%, 
6/13/2028
a
1,908,940
2,500,000
5.000%, 
6/6/2029
a,e
2,516,348
Nippon
Life
Insurance
Company
3,300,000
4.748%, 
4/2/2031
a
3,258,392
Nomura
Holdings,
Inc.
2,700,000
5.594%, 
7/2/2027
2,726,055
2,650,000
4.996%, 
6/29/2029
e
2,649,318
Northwestern
Mutual
Global
Funding
1,900,000
4.900%, 
6/12/2028
a
1,909,533
Omega
Healthcare
Investors,
Inc.
1,250,000
5.200%, 
7/1/2030
1,243,091
Pinnacle
Bank/Nashville,
TN
3,155,000
5.625%, 
2/15/2028
3,175,843
PNC
Bank
NA
1,900,000
4.429%, 
7/21/2028
b
1,896,549
PNC
Financial
Services
Group,
Inc.
2,500,000
3.400%, 
9/15/2026
b,g
2,490,439
1,250,000
6.615%, 
10/20/2027
b
1,255,308
1,650,000
4.831%, 
7/19/2030
b
1,646,892
Principal
Life
Global
Funding
II
2,000,000
4.800%, 
1/9/2028
a
2,004,125
Protective
Life
Global
Funding
2,000,000
4.827%, 
4/14/2031
a
1,976,586
Prudential
Financial,
Inc.
3,800,000
4.500%, 
9/15/2047
b,e
3,752,180
Public
Storage
Operating
Company
1,950,000
4.700%, 
2/1/2032
1,924,661
Regions
Financial
Corporation
1,200,000
5.722%, 
6/6/2030
b
1,224,546
RGA
Global
Funding
2,500,000
5.448%, 
5/24/2029
a
2,532,388
Rocket
Mortgage,
LLC/Rocket
Mortgage
Co-Issuer,
Inc.
2,700,000
3.625%, 
3/1/2029
a
2,582,499
Royal
Bank
of
Canada
2,050,000
3.995%, 
11/3/2028
b
2,034,397
1,925,000
4.498%, 
8/6/2029
b
1,915,706
Santander
Holdings
USA,
Inc.
1,750,000
2.490%, 
1/6/2028
b
1,733,426
1,250,000
5.473%, 
3/20/2029
b
1,259,900
1,650,000
5.040%, 
6/5/2030
b
1,641,810
Skandinaviska
Enskilda
Banken
AB
3,250,000
4.500%, 
9/3/2030
a
3,187,983
SMBC
Aviation
Capital
Finance
DAC
1,950,000
4.950%, 
7/23/2029
a
1,945,760
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
217
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Financials
33.8%
-
continued
Societe
Generale
SA
$
2,000,000
5.500%, 
4/13/2029
a,b
$
2,016,354
2,200,000
4.857%, 
7/7/2029
a,b
2,191,327
Standard
Chartered
plc
2,100,000
2.608%, 
1/12/2028
a,b
2,081,284
1,250,000
5.688%, 
5/14/2028
a,b
1,259,186
1,600,000
5.545%, 
1/21/2029
a,b
1,615,502
State
Street
Corporation
2,200,000
5.684%, 
11/21/2029
b
2,247,232
1,500,000
4.558%, 
4/23/2032
b
1,469,533
Sumitomo
Mitsui
Financial
Group,
Inc.
1,900,000
5.716%, 
9/14/2028
1,936,458
Swedbank
AB
2,700,000
4.898%, 
3/30/2031
a
2,680,961
Toronto-Dominion
Bank
2,550,000
4.861%, 
1/31/2028
2,559,644
1,000,000
4.109%, 
10/13/2028
987,781
TPG
Operating
Group
II,
LP
2,086,000
4.875%, 
5/15/2031
2,038,720
Travelers
Companies,
Inc.
2,150,000
4.950%, 
7/24/2031
2,147,980
Truist
Bank
2,750,000
4.420%, 
7/24/2028
b
2,743,450
Truist
Financial
Corporation
2,650,000
4.957%, 
7/23/2030
b
2,646,002
1,250,000
4.597%, 
1/27/2032
b
1,220,335
U.S.
Bancorp
1,000,000
6.787%, 
10/26/2027
b
1,005,362
1,750,000
4.548%, 
7/22/2028
b
1,749,227
950,000
5.384%, 
1/23/2030
b
961,779
2,000,000
4.857%, 
7/27/2030
b
1,996,118
1,250,000
5.046%, 
2/12/2031
b
1,250,509
UBS
Group
AG
1,900,000
6.327%, 
12/22/2027
a,b
1,912,292
1,625,000
6.850%, 
9/10/2029
a,b,g
1,653,148
2,200,000
5.428%, 
2/8/2030
a,b
2,222,918
Voya
Global
Funding
2,100,000
4.600%, 
11/24/2030
a,e
2,054,637
Wells
Fargo
&
Company
1,650,000
3.526%, 
3/24/2028
b
1,638,895
1,500,000
5.707%, 
4/22/2028
b
1,511,456
3,000,000
4.970%, 
4/23/2029
b
3,011,199
1,900,000
5.574%, 
7/25/2029
b
1,928,683
1,950,000
4.078%, 
9/15/2029
b
1,921,097
Westpac
New
Zealand,
Ltd.
1,900,000
4.902%, 
2/15/2028
a,e
1,907,809
Zions
Bancorp
NA
2,100,000
4.704%, 
8/18/2028
b
2,092,708
1,400,000
4.483%, 
2/9/2029
b
1,388,843
Total
381,813,295
Foreign
Government
0.4%
Eagle
Funding
Luxco
SARL
1,575,000
5.500%, 
8/17/2030
a
1,572,244
NBN
Company,
Ltd.
1,300,000
4.000%, 
10/1/2027
a
1,290,497
1,450,000
4.150%, 
9/16/2030
a
1,410,774
Total
4,273,515
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Mortgage-Backed
Securities
0.2%
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
$
2,725,000
5.000%, 
8/1/2041
c
$
2,711,575
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
36,501
6.001%, 
(RFUCCT1Y
+
1.501%),
1/1/2043
b
37,423
Total
2,748,998
Technology
5.7%
Accenture
Capital,
Inc.
2,150,000
4.750%, 
7/10/2029
2,149,369
Block,
Inc.
2,700,000
5.625%, 
8/15/2030
a
2,686,187
Broadcom,
Inc.
2,350,000
4.200%, 
10/15/2030
2,267,880
Dell
International,
LLC/EMC
Corporation
1,900,000
4.750%, 
4/1/2028
1,901,920
2,300,000
4.750%, 
7/15/2031
2,261,494
Equifax,
Inc.
1,000,000
5.000%, 
8/15/2029
1,001,335
Equinix
Europe
2
Financing
Corporation,
LLC
3,500,000
4.600%, 
11/15/2030
3,417,591
Fidelity
National
Information
Services,
Inc.
840,000
4.550%, 
3/10/2029
832,442
400,000
4.800%, 
3/10/2031
392,937
Fiserv,
Inc.
1,900,000
5.450%, 
3/2/2028
1,915,057
3,200,000
4.550%, 
2/15/2031
3,098,534
Foundry
JV
Holdco,
LLC
4,000,000
5.500%, 
1/25/2031
a
4,034,815
Global
Payments,
Inc.
1,300,000
4.550%, 
3/15/2028
1,291,237
Hewlett
Packard
Enterprise
Company
2,000,000
4.600%, 
3/23/2029
1,988,287
2,600,000
4.400%, 
10/15/2030
2,534,540
Jabil,
Inc.
1,500,000
4.250%, 
5/15/2027
1,495,472
Mastercard,
Inc.
2,600,000
4.425%, 
6/8/2029
2,584,978
Microchip
Technology,
Inc.
650,000
5.050%, 
3/15/2029
652,086
Mobility
Global,
Inc.
2,650,000
5.050%, 
6/15/2029
a
2,639,786
Molex
Electronic
Technologies,
LLC
1,650,000
4.750%, 
4/30/2028
a
1,654,458
NVIDIA
Corporation
2,600,000
4.500%, 
6/15/2031
2,544,581
Oracle
Corporation
1,900,000
4.500%, 
5/6/2028
1,876,935
1,600,000
4.800%, 
8/3/2028
1,585,445
1,850,000
4.550%, 
2/4/2029
1,803,547
1,625,000
4.200%, 
9/27/2029
1,556,932
1,300,000
4.450%, 
9/26/2030
1,227,146
PayPal
Holdings,
Inc.
2,600,000
4.950%, 
6/1/2031
2,574,251
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
218
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Technology
5.7%
-
continued
Qorvo,
Inc.
$
3,700,000
4.375%, 
10/15/2029
e
$
3,565,247
Roper
Technologies,
Inc.
1,925,000
4.500%, 
10/15/2029
1,903,733
Salesforce,
Inc.
3,300,000
4.650%, 
3/15/2029
3,285,365
Seagate
Data
Storage
Technology,
Private
Ltd.
1,000,000
4.091%, 
6/1/2029
970,650
Verisk
Analytics,
Inc.
643,000
4.450%, 
3/15/2031
624,452
Total
64,318,689
Transportation
1.5%
Air
Canada
3,125,000
3.875%, 
8/15/2026
a
3,121,282
American
Airlines,
Inc./
AAdvantage
Loyalty
IP,
Ltd.
2,154,167
5.750%, 
4/20/2029
a
2,142,321
Delta
Air
Lines,
Inc.
1,900,000
4.950%, 
7/10/2028
1,902,301
630,000
5.250%, 
7/10/2030
633,530
ERAC
USA
Finance,
LLC
1,250,000
5.000%, 
2/15/2029
a
1,257,681
2,000,000
4.700%, 
4/30/2031
a
1,974,484
FedEx
Freight
Holding
Company,
Inc.
3,150,000
4.650%, 
3/15/2031
a
3,067,005
Ryder
System,
Inc.
1,575,000
4.850%, 
6/15/2030
1,569,201
United
Airlines
Holdings,
Inc.
750,000
4.875%, 
3/1/2029
738,517
Total
16,406,322
U.S.
Government
&
Agencies
4.4%
U.S.
Treasury
Notes
49,960,000
4.000%, 
10/31/2029
49,423,320
Total
49,423,320
Utilities
4.1%
American
Electric
Power
Company,
Inc.
1,950,000
5.800%, 
3/15/2056
b
1,915,172
1,255,000
5.200%, 
1/15/2029
1,268,041
American
Water
Capital
Corporation
2,650,000
4.625%, 
6/1/2029
2,641,460
Constellation
Energy
Generation,
LLC
1,900,000
5.600%, 
3/1/2028
1,925,580
850,000
4.400%, 
1/15/2031
e
827,552
Dominion
Energy,
Inc.
2,650,000
6.000%, 
2/15/2056
b
2,623,045
DTE
Energy
Company
1,550,000
5.100%, 
3/1/2029
1,561,705
Enel
Finance
International
NV
2,000,000
4.625%, 
7/13/2029
a
1,984,550
Evergy
Kansas
Central,
Inc.
1,100,000
4.700%, 
3/13/2028
1,099,612
Evergy,
Inc.
2,600,000
4.250%, 
3/15/2029
2,562,933
Eversource
Energy
1,900,000
5.450%, 
3/1/2028
1,919,841
Principal
Amount
Long-Term
Fixed
Income  99.4%
Value
Utilities
4.1%
-
continued
Exelon
Corporation
$
1,275,000
5.150%, 
3/15/2028
$
1,283,635
Hydro
One,
Inc.
1,300,000
4.750%, 
5/30/2031
1,285,155
ITC
Holdings
Corporation
2,700,000
4.875%, 
4/15/2031
a
2,667,519
National
Rural
Utilities
Cooperative
Finance
Corporation
1,900,000
4.750%, 
2/7/2028
1,904,744
1,900,000
4.800%, 
3/15/2028
1,906,300
Nevada
Power
Company
1,275,000
6.250%, 
5/15/2055
b
1,270,051
NextEra
Energy
Capital
Holdings,
Inc.
1,275,000
4.685%, 
9/1/2027
1,277,030
1,600,000
5.050%, 
3/15/2030
1,609,986
NiSource,
Inc.
1,500,000
5.750%, 
7/15/2056
b,e
1,477,396
Southern
Company
1,250,000
3.750%, 
9/15/2051
b
1,247,594
Southern
Power
Company
725,000
4.250%, 
10/1/2030
706,298
2,600,000
4.800%, 
6/15/2031
2,570,471
Vistra
Operations
Company,
LLC
1,400,000
5.050%, 
12/30/2026
a
1,401,406
1,700,000
4.700%, 
1/31/2031
a
1,654,823
1,000,000
5.000%, 
4/30/2031
a
984,642
WEC
Energy
Group,
Inc.
1,300,000
4.750%, 
1/15/2028
1,302,836
Xcel
Energy,
Inc.
1,900,000
4.750%, 
3/21/2028
1,902,177
Total
46,781,554
Total
Long-Term
Fixed
Income
(cost
$1,129,983,316)
1,122,161,251
Shares
Collateral
Held
for
Securities
Loaned
2.1%
Value
23,315,584
Thrivent
Cash
Management
Trust
23,315,584
Total
Collateral
Held
for
Securities
Loaned
(cost
$23,315,584)
23,315,584
Shares
Preferred
Stock
0.1%
Value
Financials
0.1%
54,000
Citigroup
Capital
XIII,
10.4746%
b
1,475,820
Total
1,475,820
Total
Preferred
Stock
(cost
$1,490,400)
1,475,820
Shares
or
Principal
Amount
Short-Term
Investments
0.1%
Value
Federal
Home
Loan
Bank
Discount
Notes
400,000
3.621%,
8/26/2026
i,j
398,962
Federal
Home
Loan
Mortgage
Corporation
Discount
Notes
100,000
3.695%,
10/14/2026
i,j
99,232
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
219
Shares
or
Principal
Amount
Short-Term
Investments  0.1%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
1,062,640
3.619%
i
$
1,062,640
Total
Short-Term
Investments
(cost
$1,560,875)
1,560,834
Total
Investments
(cost
$1,156,350,175)
101.7%
$1,148,513,489
Other
Assets
and
Liabilities,
Net
(1.7%)
(19,738,958)
Total
Net
Assets
100.0%
$1,128,774,531
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
July
31,
2026,
the
value
of
these
investments
was
$532,299,016
or
47.2%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
July
31,
2026.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description.  The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.  
c
Denotes
investments
purchased
on
a
when-issued
or
delayed-delivery
basis.
d
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
July
31,
2026.
e
All
or
a
portion
of
the
security
is
on
loan.
f
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
g
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
h
Defaulted
security.  Interest
is
not
being
accrued.
i
The
interest
rate
shown
reflects
the
yield.
j
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Short-Term
Bond
Fund
as
of
July
31,
2026
was
$194,400
or
0.02%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
July
31,
2026.
Security
Acquisition
Date
Cost
Credit
Suisse
Group
AG 
12/4/2013
$
810,000
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Short-Term
Bond
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
22,549,042
Total
lending
$22,549,042
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$23,315,584
Net
amounts
due
to
counterparty
$766,542
Definitions:
CLO
-
Collateralized
Loan
Obligation
DAC
-
Designated
Activity
Company
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
plc
-
Public
Limited
Company
Ser.
-
Series
Reference
Rate
Index:
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
RFUCCT1Y
-
Refinitiv
USD
IBOR
Consumer
Cash
Fallbacks
Term
1
Year
SOFR30A
-
Secured
Overnight
Financing
Rate
30
Year
Average
TSFR1M
-
CME
Term
SOFR
1
Month
TSFR3M
-
CME
Term
SOFR
3
Month
USISOA05
-
USD
SOFR
Spread-Adjusted
ICE
Swap
Rate
5
Year
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
220
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Short-Term
Bond
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Asset-Backed
Securities
139,375,120
–
139,375,120
–
Basic
Materials
16,607,519
–
16,607,519
–
Capital
Goods
19,096,717
–
19,096,717
–
Collateralized
Mortgage
Obligations
187,510,174
–
187,510,174
–
Commercial
Mortgage-Backed
Securities
18,753,850
–
18,753,850
–
Communications
Services
31,017,067
–
31,017,067
–
Consumer
Cyclical
56,331,126
–
56,331,126
–
Consumer
Non-Cyclical
58,118,709
–
58,118,709
–
Energy
29,585,276
–
29,585,276
–
Financials
381,813,295
–
381,813,295
–
Foreign
Government
4,273,515
–
4,273,515
–
Mortgage-Backed
Securities
2,748,998
–
2,748,998
–
Technology
64,318,689
–
64,318,689
–
Transportation
16,406,322
–
16,406,322
–
U.S.
Government
&
Agencies
49,423,320
–
49,423,320
–
Utilities
46,781,554
–
46,781,554
–
Preferred
Stock
Financials
1,475,820
1,475,820
–
–
Short-Term
Investments
1,560,834
1,062,640
498,194
–
Subtotal
Investments
in
Securities
$1,125,197,905
$2,538,460
$1,122,659,445
$–
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
23,315,584
Subtotal
Other
Investments
$23,315,584
Total
Investments
at
Value
$1,148,513,489
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Short-Term
Bond
Fund's
other
financial
instrument
assets
carried
at
fair
value.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
178,843
178,843
–
–
Total
Liability
Derivatives
$178,843
$178,843
$–
$–
The
following
table
presents
Short-Term
Bond
Fund's
futures
contracts
held
as
of
July
31,
2026.
Investments
and/or
cash
totaling
$498,194
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
335
September
2026
$
69,057,985
(
$
178,843)
Total
Futures
Long
Contracts
$
69,057,985
(
$
178,843)
Total
Futures
Contracts
$
69,057,985
($178,843)
Short-Term
Bond
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
221
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Short-Term
Bond
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970
%
$6,000
$–
$6,000
$–
–
–%
Total
Affiliated
Short-Term
Investments
6,000
–
–
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
10,386
110,458
97,528
23,316
23,316
2.1
Total
Collateral
Held
for
Securities
Loaned
10,386
23,316
2.1
Total
Value
$16,386
$23,316
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
3.970%
$–
$–
$–
$25
Total
Income/Non
Cash
Income
from
Affiliated
Investments
$25
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
–
–
–
85
Total
Affiliated
Income
from
Securities
Loaned,
Net
$85
Total
$–
$–
$–
Small
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
222
Shares
Common
Stock
96.5%
Value
Consumer
Discretionary
9.4%
7,575
Boot
Barn
Holdings,
Inc.
a
$
1,128,599
6,258
Installed
Building
Products,
Inc.
1,395,158
19,332
Life
Time
Group
Holdings,
Inc.
a
871,873
1,209
Murphy
USA,
Inc.
734,782
15,316
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
1,125,267
4,809
Texas
Roadhouse,
Inc.
987,961
17,925
Universal
Technical
Institute,
Inc.
a
704,632
4,982
Wynn
Resorts,
Ltd.
494,762
Total
7,443,034
Consumer
Staples
3.5%
14,468
Chefs'
Warehouse,
Inc.
a
1,668,884
14,097
Turning
Point
Brands,
Inc.
1,051,777
Total
2,720,661
Energy
2.2%
3,009
Gulfport
Energy
Corporation
a
485,562
11,031
Matador
Resources
Company
550,337
67,360
Patterson-UTI
Energy,
Inc.
705,933
Total
1,741,832
Financials
7.7%
3,273
Enova
International,
Inc.
a
831,800
4,115
Houlihan
Lokey,
Inc.
516,391
6,112
Marex
Group,
Ltd.
396,791
33,521
Old
National
Bancorp
892,999
14,918
Old
Republic
International
Corporation
644,607
12,235
Stock
Yards
Bancorp,
Inc.
1,041,199
22,606
Triumph
Financial,
Inc.
a
1,716,474
Total
6,040,261
Health
Care
20.6%
37,656
Alignment
Healthcare,
Inc.
a
559,192
24,798
BioLife
Solutions,
Inc.
a
775,682
9,607
BridgeBio
Pharma,
Inc.
a
769,425
21,824
BrightSpring
Health
Services,
Inc.
a
1,303,111
17,652
Elanco
Animal
Health,
Inc.
a
465,483
12,590
Encompass
Health
Corporation
1,398,371
7,835
GeneDx
Holdings
Corporation
a
510,137
6,132
Guardant
Health,
Inc.
a
993,323
8,811
Ionis
Pharmaceuticals,
Inc.
a
456,146
1,467
Medpace
Holdings,
Inc.
a
846,620
6,155
Mirum
Pharmaceuticals,
Inc.
a
652,122
4,424
Neurocrine
Biosciences,
Inc.
a
737,923
17,300
RadNet,
Inc.
a
1,103,394
4,983
Repligen
Corporation
a
702,653
13,150
Twist
Bioscience
Corporation
a
1,203,883
5,712
UFP
Technologies,
Inc.
a
1,455,303
1,306
United
Therapeutics
Corporation
a
676,129
15,914
Vericel
Corporation
a
731,407
44,501
Waystar
Holding
Corporation
a
939,416
Total
16,279,720
Industrials
27.5%
2,006
Acuity,
Inc.
658,750
6,264
Advanced
Drainage
Systems,
Inc.
867,439
4,852
Applied
Industrial
Technologies,
Inc.
1,674,959
7,535
Atmus
Filtration
Technologies,
Inc.
389,032
2,134
Bloom
Energy
Corporation
a
439,198
2,876
BWX
Technologies,
Inc.
485,181
13,938
CECO
Environmental
Corporation
a
918,375
6,401
Construction
Partners,
Inc.
a
661,543
Shares
Common
Stock  96.5%
Value
Industrials
27.5%
-
continued
3,917
CRA
International,
Inc.
$
701,260
3,715
Crane
Company
793,004
2,532
CSW
Industrials,
Inc.
807,531
4,146
EnPro,
Inc.
1,301,512
5,749
Federal
Signal
Corporation
718,338
2,336
FTAI
Aviation,
Ltd.
481,216
6,021
Herc
Holdings,
Inc.
903,993
8,530
Limbach
Holdings,
Inc.
a
611,601
6,028
Louisiana-Pacific
Corporation
436,608
12,783
Mercury
Systems,
Inc.
a
1,241,229
3,747
Modine
Manufacturing
Company
a
753,372
2,862
Moog,
Inc.
1,115,751
26,379
Mueller
Water
Products,
Inc.
665,806
39,723
NPK
International,
Inc.
a
496,140
2,844
Powell
Industries,
Inc.
593,486
899
RBC
Bearings,
Inc.
a
495,628
3,418
Standex
International
Corporation
1,013,437
426
Sterling
Construction
Company,
Inc.
a
254,224
9,994
Transcat,
Inc.
a
853,188
1,999
Valmont
Industries,
Inc.
962,918
6,520
Willdan
Group,
Inc.
a
446,816
Total
21,741,535
Information
Technology
21.4%
12,344
Cognex
Corporation
805,323
7,102
Credo
Technology
Group
Holding,
Ltd.
a
1,470,043
10,405
DigitalOcean
Holdings,
Inc.
a
1,222,587
2,700
Fabrinet
a
1,175,607
9,343
Guidewire
Software,
Inc.
a
1,419,575
2,526
InterDigital,
Inc.
769,988
6,379
IPG
Photonics
Corporation
a
542,598
15,258
JFrog,
Ltd.
a
1,217,436
19,907
Knowles
Corporation
a
728,397
5,745
Lattice
Semiconductor
Corporation
a
713,931
3,163
Littelfuse,
Inc.
1,398,457
689
Lumentum
Holdings,
Inc.
a
491,905
1,614
MACOM
Technology
Solutions
Holdings,
Inc.
a
405,824
4,283
Novanta,
Inc.
a,b
610,542
4,076
Onto
Innovation,
Inc.
a
1,053,972
6,469
Rambus,
Inc.
a
588,873
82,749
SailPoint,
Inc.
a,b
1,387,701
1,684
SiTime
Corporation
a
901,277
Total
16,904,036
Materials
2.5%
4,604
Balchem
Corporation
771,423
13,352
Constellium
SE
a
370,919
14,377
Element
Solutions,
Inc.
528,067
40,626
Ivanhoe
Mines,
Ltd.
a
291,831
Total
1,962,240
Real
Estate
0.8%
9,012
Terreno
Realty
Corporation
645,710
Total
645,710
Small
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
223
Shares
Common
Stock  96.5%
Value
Utilities
0.9%
6,859
Pinnacle
West
Capital
Corporation
$
692,690
Total
692,690
Total
Common
Stock
(cost
$63,868,765)
76,171,719
Shares
Registered
Investment
Companies  
2.6%
Value
U.S.
Unaffiliated  
2.6%  
2,127
iShares
Biotechnology
ETF
396,494
1,068
iShares
Russell
2000
Growth
ETF
395,876
3,520
State
Street
SPDR
S&P
600
Small
Cap
Growth
ETF
405,574
5,564
State
Street
SPDR
S&P
Biotech
ETF
817,964
Total
2,015,908
Total
Registered
Investment
Companies
(cost
$2,052,900)
2,015,908
Shares
Collateral
Held
for
Securities
Loaned
1.9%
Value
1,533,525
Thrivent
Cash
Management
Trust
1,533,525
Total
Collateral
Held
for
Securities
Loaned
(cost
$1,533,525)
1,533,525
Shares
or
Principal
Amount
Short-Term
Investments
1.6%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
1,284,765
3.619%
c
1,284,765
Total
Short-Term
Investments
(cost
$1,284,765)
1,284,765
Total
Investments
(cost
$68,739,955)
102.6%
$81,005,917
Other
Assets
and
Liabilities,
Net
(2.6%)
(2,032,027)
Total
Net
Assets
100.0%
$78,973,890
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Small
Cap
Growth
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
1,555,428
Total
lending
$1,555,428
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$1,533,525
Net
amounts
due
from
counterparty
$(21,903)
Definitions:
ETF
-
Exchange-Traded
Fund
S&P
-
Standard
&
Poor's
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Small
Cap
Growth
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
224
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Small
Cap
Growth
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Consumer
Discretionary
7,443,034
7,443,034
–
–
Consumer
Staples
2,720,661
2,720,661
–
–
Energy
1,741,832
1,741,832
–
–
Financials
6,040,261
6,040,261
–
–
Health
Care
16,279,720
16,279,720
–
–
Industrials
21,741,535
21,741,535
–
–
Information
Technology
16,904,036
16,904,036
–
–
Materials
1,962,240
1,962,240
–
–
Real
Estate
645,710
645,710
–
–
Utilities
692,690
692,690
–
–
Registered
Investment
Companies
U.S.
Unaffiliated
2,015,908
2,015,908
–
–
Short-Term
Investments
1,284,765
1,284,765
–
–
Subtotal
Investments
in
Securities
$79,472,392
$79,472,392
$–
$–
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
1,533,525
Subtotal
Other
Investments
$1,533,525
Total
Investments
at
Value
$81,005,917
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Small
Cap
Growth
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$9,870
$8,336
$1,534
1,534
1.9%
Total
Collateral
Held
for
Securities
Loaned
–
1,534
1.9
Total
Value
$–
$1,534
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$–
$1
Total
Affiliated
Income
from
Securities
Loaned,
Net
$1
Total
$–
$–
$–
Small
Cap
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
225
Shares
Common
Stock
97.2%
Value
Consumer
Discretionary
11.4%
759,550
Advance
Auto
Parts,
Inc.
$
42,185,407
281,978
Boot
Barn
Holdings,
Inc.
a
42,011,902
1,049,933
Life
Time
Group
Holdings,
Inc.
a
47,351,978
63,940
Murphy
USA,
Inc.
38,860,175
314,861
SharkNinja,
Inc.
a
50,935,064
204,971
Texas
Roadhouse,
Inc.
42,109,242
805,357
Universal
Technical
Institute,
Inc.
a
31,658,584
356,320
Wynn
Resorts,
Ltd.
35,386,139
Total
330,498,491
Consumer
Staples
4.1%
270,345
Chefs'
Warehouse,
Inc.
a
31,184,296
572,348
John
B.
Sanfilippo
&
Son,
Inc.
47,367,520
522,483
Turning
Point
Brands,
Inc.
38,982,457
Total
117,534,273
Energy
3.9%
224,268
Expand
Energy
Corporation
21,087,920
665,032
Matador
Resources
Company
33,178,446
2,641,079
Patterson-UTI
Energy,
Inc.
27,678,508
420,616
TechnipFMC
plc
30,141,343
Total
112,086,217
Financials
14.5%
820,478
Ally
Financial,
Inc.
35,551,312
853,389
Atlantic
Union
Bankshares
Corporation
36,209,295
1,552,733
Bridgewater
Bancshares,
Inc.
a
31,799,972
257,216
Federal
Agricultural
Mortgage
Corporation
58,542,361
203,084
Houlihan
Lokey,
Inc.
25,485,011
1,422,934
Old
National
Bancorp
37,906,962
915,566
Old
Republic
International
Corporation
39,561,607
295,226
SouthState
Bank
Corporation
31,025,300
622,589
Triumph
Financial,
Inc.
a
47,273,183
2,219,316
Valley
National
Bancorp
31,714,026
292,726
Wintrust
Financial
Corporation
46,701,506
Total
421,770,535
Health
Care
11.7%
926,491
BrightSpring
Health
Services,
Inc.
a
55,320,777
1,351,003
Concentra
Group
Holdings
Parent,
Inc.
42,759,245
385,467
Encompass
Health
Corporation
42,813,820
257,476
ICU
Medical,
Inc.
a
43,387,281
61,752
Medpace
Holdings,
Inc.
a
35,637,697
222,312
Repligen
Corporation
a
31,348,215
442,538
Twist
Bioscience
Corporation
a
40,514,354
130,812
UFP
Technologies,
Inc.
a
33,328,281
774,531
Waystar
Holding
Corporation
a
16,350,349
Total
341,460,019
Industrials
20.7%
83,129
Acuity,
Inc.
27,298,732
146,306
Advanced
Drainage
Systems,
Inc.
20,260,455
128,026
Applied
Industrial
Technologies,
Inc.
44,195,855
696,494
Badger
Infrastructure
Solutions,
Ltd.
44,149,129
1,207,633
Barrett
Business
Services,
Inc.
47,145,992
131,064
CECO
Environmental
Corporation
a
8,635,807
105,318
CSW
Industrials,
Inc.
33,589,070
639,229
Helios
Technologies,
Inc.
49,802,331
85,085
IES
Holdings,
Inc.
a
63,349,186
Shares
Common
Stock  97.2%
Value
Industrials
20.7%
-
continued
528,411
Korn
Ferry
$
43,472,373
354,789
Limbach
Holdings,
Inc.
a
25,438,371
319,036
Louisiana-Pacific
Corporation
23,107,778
132,699
Modine
Manufacturing
Company
a
26,680,461
135,275
Moog,
Inc.
52,736,959
325,322
Terex
Corporation
20,443,235
75,125
Valmont
Industries,
Inc.
36,187,713
105,219
WESCO
International,
Inc.
36,141,674
Total
602,635,121
Information
Technology
16.6%
501,583
Cohu,
Inc.
a
24,070,968
614,823
Crane
NXT
Company
31,940,055
50,122
Fabrinet
a
21,823,620
1,139,758
GPGI,
Inc.
15,044,806
173,403
Guidewire
Software,
Inc.
a
26,346,852
218,749
IPG
Photonics
Corporation
a
18,606,790
577,515
JFrog,
Ltd.
a
46,079,922
708,422
Knowles
Corporation
a
25,921,161
148,100
Littelfuse,
Inc.
65,479,453
76,864
Onto
Innovation,
Inc.
a
19,875,493
1,032,317
Pegasystems,
Inc.
31,537,284
184,532
Plexus
Corporation
a
46,380,273
226,174
Rogers
Corporation
a
27,925,704
2,349,451
SailPoint,
Inc.
a
39,400,293
372,116
TTM
Technologies,
Inc.
a
42,957,071
Total
483,389,745
Materials
7.1%
158,687
AptarGroup,
Inc.
21,257,710
665,905
Ashland,
Inc.
48,351,362
135,050
Balchem
Corporation
22,628,303
1,164,116
Element
Solutions,
Inc.
42,757,981
573,709
Greif,
Inc.
49,654,514
3,097,714
Ivanhoe
Mines,
Ltd.
a
22,252,010
Total
206,901,880
Real
Estate
4.0%
411,389
Agree
Realty
Corporation
32,006,064
539,920
Equity
Lifestyle
Properties,
Inc.
35,132,594
1,002,274
Independence
Realty
Trust,
Inc.
16,667,817
467,422
Terreno
Realty
Corporation
33,490,786
Total
117,297,261
Utilities
3.2%
407,447
Pinnacle
West
Capital
Corporation
b
41,148,073
563,870
Portland
General
Electric
Company
27,815,707
316,343
Spire,
Inc.
25,263,152
Total
94,226,932
Total
Common
Stock
(cost
$2,147,259,985)
2,827,800,474
Shares
Registered
Investment
Companies  
2.1%
Value
U.S.
Unaffiliated  
2.1%  
65,695
iShares
Semiconductor
ETF
33,168,749
Small
Cap
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
226
Definitions:
ETF
-
Exchange-Traded
Fund
plc
-
Public
Limited
Company
S&P
-
Standard
&
Poor's
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Shares
Registered
Investment
Companies  2.1%
Value
U.S.
Unaffiliated  
2.1%  -
continued
191,948
State
Street
SPDR
S&P
Biotech
ETF
$
28,218,275
Total
61,387,024
Total
Registered
Investment
Companies
(cost
$58,346,168)
61,387,024
Shares
Collateral
Held
for
Securities
Loaned
1.3%
Value
38,212,200
Thrivent
Cash
Management
Trust
38,212,200
Total
Collateral
Held
for
Securities
Loaned
(cost
$38,212,200)
38,212,200
Shares
or
Principal
Amount
Short-Term
Investments
0.8%
Value
State
Street
Institutional
U.S.
Government
Money
Market
Fund
21,388,580
3.619%
c
21,388,579
Total
Short-Term
Investments
(cost
$21,388,579)
21,388,579
Total
Investments
(cost
$2,265,206,932)
101.4%
$2,948,788,277
Other
Assets
and
Liabilities,
Net
(1.4%)
(40,484,491)
Total
Net
Assets
100.0%
$2,908,303,786
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Small
Cap
Stock
Fund
as
of
July
31,
2026:
Securities
Lending
Transactions
Common
Stock
$
37,285,508
Total
lending
$37,285,508
Gross
amount
payable
upon
return
of              
collateral
for
securities
loaned
$38,212,200
Net
amounts
due
to
counterparty
$926,692
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
July
31,
2026,
in
valuing
Small
Cap
Stock
Fund's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Consumer
Discretionary
330,498,491
330,498,491
–
–
Consumer
Staples
117,534,273
117,534,273
–
–
Energy
112,086,217
112,086,217
–
–
Financials
421,770,535
421,770,535
–
–
Health
Care
341,460,019
341,460,019
–
–
Industrials
602,635,121
602,635,121
–
–
Information
Technology
483,389,745
483,389,745
–
–
Materials
206,901,880
206,901,880
–
–
Real
Estate
117,297,261
117,297,261
–
–
Utilities
94,226,932
94,226,932
–
–
Registered
Investment
Companies
U.S.
Unaffiliated
61,387,024
61,387,024
–
–
Short-Term
Investments
21,388,579
21,388,579
–
–
Subtotal
Investments
in
Securities
$2,910,576,077
$2,910,576,077
$–
$–
Other
Investments  *
Total
Collateral
Held
for
Securities
Loaned
38,212,200
Subtotal
Other
Investments
$38,212,200
Total
Investments
at
Value
$2,948,788,277
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient).  According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
classified
in
the
fair
value
hierarchy.  The
fair
value
amounts
presented
in
the
table
above
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statement
of
Assets
and
Liabilities.  
Small
Cap
Stock
Fund
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
227
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Fund's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Fund.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Small
Cap
Stock
Fund,
is
as
follows:
Fund
Value
10/31/2025
Gross
Purchases
Gross
Sales
Value
7/31/2026
Shares
Held
at
7/31/2026
%
of
Net
Assets
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$49,406
$724,374
$735,568
$38,212
38,212
1.3%
Total
Collateral
Held
for
Securities
Loaned
49,406
38,212
1.3
Total
Value
$49,406
$38,212
Fund
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
11/1/2025
-
7/31/2026
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment  
$–
$–
$
–
$71
Total
Affiliated
Income
from
Securities
Loaned,
Net
$71
Total
$–
$–
$–
Notes
to
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
228
SIGNIFICANT
ACCOUNTING
POLICIES
Valuation
of
Investments 
—
The
Funds
record
their
investments
at
fair
value
using
market
quotations
when
they
are
readily
available
pursuant
to
Rule
2a-5. 
The
Funds'
investments
are
recorded
at
fair
value
determined
in
good
faith
when
market
quotations
are
not
readily
available. 
Securities
traded
on
U.S.
or
foreign
securities
exchanges
or
included
in
a
national
market
system,
which
includes
exchange-traded
funds, are
valued
at
the
last
sale
price
on
the
principal
exchange
as
of
the
close
of
regular
trading
on
such
exchange
or
the
official
closing
price
of
the
national
market
system.  Over-the-counter
securities
and
listed
securities
for
which
no
price
is
readily
available
are
valued
at
the
current
bid
price
considered
best
to
represent
the
value
at
that
time.
Security
prices
are
based
on
quotes
that
are
obtained
from
an
independent
pricing
service
approved
by
the
Trust’s
Board
of
Trustees
(the
“Board”).
The
pricing
service,
in
determining
values
of
fixed-income
securities,
takes
into
consideration
such
factors
as
current
quotations
by
broker/dealers,
coupon,
maturity,
quality,
type
of
issue,
trading
characteristics,
and
other
yield
and
risk
factors
it
deems
relevant
in
determining
valuations.
Securities
which
cannot
be
valued
by
the
approved
pricing
service
are
valued
using
valuations
obtained
from
dealers
that
make
markets
in
the
securities.
Exchange-listed
options and
futures
contracts
are
valued
at
the
primary
exchange
settle
price. 
Exchange
cleared
swap
agreements are
valued at the
clearinghouse
end
of
day
price. 
Swap
agreements
not
cleared
on
exchanges will
be
valued at
the
mid-price
from
the
primary
approved pricing
service. 
Forward
foreign
currency
exchange
contracts
are
marked-to-
market
based
upon
foreign
currency
exchange
rates
provided
by
the
pricing
service.
Investments
in
open-ended
mutual
funds
are
valued
at
the
net
asset
value
at
the
close
of
each
business
day
or
fair valued
pursuant
to
our valuation
procedures if
net
asset
value
at the
close
of
business
day
is
not
readily
available.
Thrivent
Money
Market
seeks
to
maintain
a stable
net
asset
value
of
$1.00
per
share,
pursuant
to
procedures
established
by
the
Board,
and
generally
utilizes
the
amortized
cost
method. 
Valuing securities
held
by
Money
Market
on
the
basis
of
amortized
cost
(which
approximates fair
value)
involves
a constant
amortization
of
premium
or
accretion
of discount
to
maturity.
Money
Market
will
not
value
a
security
at
amortized
cost,
but
will
instead
make
a
fair
value
determination
of
each
security,
if
it
determines
that
amortized
cost
is
not
approximately
the
same
as
the
fair
value
of
the
security. 
The
Board
has
chosen
the
Funds'
investment
Adviser
as
the
valuation
designee,
responsible
for daily
valuation
of
the
Funds'
securities.
The
Adviser
has
formed
a
Valuation
Committee
(the
“Committee”)
that
is
responsible
for
overseeing
the
Funds'
valuation
policies
in
accordance
with
Valuation
Policies
and
Procedures.
The
Committee
meets
on
a
monthly
and
on
an
as-
needed
basis
to
review
price
challenges,
price
overrides,
stale
prices,
shadow
prices,
manual
prices,
money
market
pricing,
international
fair
valuation,
and
other
securities
requiring
fair
valuation. 
Certain
Funds
may
invest
in
funds
that
invest
in
private
equity
securities
("Private
Equity Funds"),
which
are
fair
valued
by
the
Funds
pursuant
to
valuation
procedures
designed
by
the
Committee.  Private
Equity
Funds
are
typically
valued
at
an
amount
equal
to
the
Net
Asset
Value
(NAV)
of
a
Fund's
investment
in
the Private
Equity
Fund
when
this
information
is
readily
available
to
the
Fund. 
This
is
commonly
referred
to
as
using
the
NAV
as
a
practical
expedient,
which
allows
for
the
estimation
of
the
fair
value
of
an
investment
in
an investment
company
based
on
the
NAV
of
the
investment
company,
if
it
is
calculated
in
a
manner
consistent
with
ASC
946. 
The
Committee
has
determined
that
for
the
Private
Equity
Funds
held
by
the
Funds,
if
the
NAV
of
the
Private Equity Fund
is
not
readily
available
for
the
daily
pricing
needs
of
the
Funds,
the
Committee,
pursuant
to
the
valuation
procedures,
will
adjust
the
daily
value
of
the Private
Equity
Fund
via
a
model
utilizing
unobservable
inputs. 
The
Committee
monitors
for
significant
events
occurring
prior
to
the
close
of
trading
on
the
New
York
Stock
Exchange
that
could
have
a
material
impact
on
the
value
of
any
securities
that
are
held
by
the
Funds.
Examples
of
such
events
include
trading
halts,
national
news/events,
and
issuer-specific
developments.
If
the
Committee
decides
that
such
events
warrant
using
fair
value
estimates,
the
Committee
will
take
such
events
into
consideration
in
determining
the
fair
value
of
such
securities.
If
market
quotations
or
prices
are
not
readily
available
or
determined
to
be
unreliable,
the
securities
will
be
valued
at
fair
value
using
an
appropriate
methodology
as
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
In
accordance
with
U.S.
Generally
Accepted
Accounting
Principles
("GAAP"),
the
various
inputs
used
to
determine
the
fair
value
of
the
Funds’
investments
are
summarized
in
three
broad
levels.  Level
1
includes
quoted
prices
in
active
markets
for
identical
securities;
typically
included
in
this
level
are
U.S.
equity
securities,
futures,
options
and
registered
investment
company
funds.  Level
2
includes
other
significant
observable
inputs
such
as
quoted
prices
for
similar
securities,
interest
rates,
prepayment
speeds
and
credit
risk;
typically
included
in
this
level
are
fixed
income
securities,
international
securities,
swaps
and
forward
contracts.  Level
3
includes
significant
unobservable
inputs
such
as
the
Adviser’s
own
assumptions
and
broker
evaluations
in
determining
the
fair
value
of
investments.
The
valuation
levels
are
not
necessarily
an
indication
of
the
risk
associated
with
investing
in
these
securities
or
other
investments. Investments
measured
using
net
asset
value
per
share
as
a
practical
expedient
for
fair
value
and
that
are
not
publicly
available
for
sale
are
not
categorized
within
the
fair
value
hierarchy.
Valuation
of
International
Securities
—
The
Funds
value
certain
foreign
securities
traded
on
foreign
exchanges
that
close
prior
to
the
close of
the
New
York
Stock
Exchange
using
a
fair
value
pricing
service. 
The
fair
value
pricing
service
uses
a
multi-factor
model
that
may
take
into
account
the
local
close,
relevant
general
and
sector
indices,
currency
fluctuation,
prices
of
other
securities
(including
ADRs,
New
York
registered
shares,
and
ETFs),
and
futures,
as
applicable,
to
determine
price
adjustments
for
each
Notes
to
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
229
security
in
order
to
reflect
the
effects
of
post-closing
events. 
The
Board
has
authorized
the
Adviser
to
make
fair
valuation
determinations
pursuant
to
policies
approved
by
the
Board.
Derivatives 
—
Each Fund,
with
the
exception
of the
Money
Market
Fund,
may
invest
in
derivatives, a
category
that
includes
options,
futures,
swaps,
foreign
currency
forward
contracts
and
hybrid
instruments. Derivatives are
financial
instruments
whose
value
is
derived
from
another
security,
an
index
or
a
currency.
Each applicable
Fund
may
use
derivatives
for
hedging
(attempting
to
offset
a
potential
loss
in
one
position
by
establishing
an
interest
in
an
opposite
position).
This
includes
the
use
of
currency-based
derivatives to
manage
the
risk
of its
positions
in
foreign
securities.
Each applicable
Fund
may
also
use
derivatives
for
replication
of
a
certain
asset
class
or
speculation
(investing
for
potential
income
or
capital
gain).
These
contracts
may
be
transacted
on
an
exchange
or
over-the-counter
("OTC").
A
derivative
may
incur
a loss
if
the
value
of
the
derivative
decreases
due
to
an
unfavorable
change
in
the
market
rates
or
values
of
the
underlying
derivative.
Losses
can
also
occur
if
the
counterparty
does
not
perform
under
the
derivative
contract.
A
Fund’s
risk
of
loss
from
the
counterparty
credit
risk
on
OTC
derivatives
is
generally
limited
to
the
aggregate
unrealized
gain
netted
against
any
collateral
held
by
such
Fund.
With
exchange
traded
futures
and
centrally
cleared
swaps,
there
is
minimal
counterparty
credit
risk
to
the
Funds
because
the
exchange’s
clearinghouse,
as
counterparty
to
such
derivatives,
guarantees
against
a
possible
default.
The
clearinghouse
stands
between
the
buyer
and
the
seller
of
the
derivative;
thus,
the
credit
risk
is
limited
to
the
failure
of
the
clearinghouse.
However,
credit
risk
still
exists
in
exchange
traded
futures
and
centrally
cleared
swaps
with
respect
to
initial
and
variation
margin
that
is
held
in
a
broker’s
customer
accounts.
While
brokers
are
required
to
segregate
customer
margin
from
their
own
assets,
in
the
event
that
a
broker
becomes
insolvent
or
goes
into
bankruptcy
and
at
that
time
there
is
a
shortfall
in
the
aggregate
amount
of
margin
held
by
the
broker
for
all
its
clients,
U.S.
bankruptcy
laws
will
typically
allocate
that
shortfall
on
a
pro-rata
basis
across
all
of
the
broker’s
customers,
potentially
resulting
in
losses to
the
Funds.
Using
derivatives
to
hedge
can
guard
against
potential
risks,
but
it
also
adds
to
the
Funds'
expenses
and
can
eliminate
some
opportunities
for
gains.
In
addition,
a
derivative
used
for mitigating
exposure or
replication
may
not
accurately
track
the
value
of
the
underlying
asset.
Another
risk
with
derivatives
is
that
some
types
can
amplify
a
gain
or
loss,
potentially
earning
or
losing
substantially
more
money
than
the
actual
cost
of
the
derivative.
 In
order
to
define
their
contractual
rights
and
to
secure
rights
that
will
help
the
Funds
mitigate
their
counterparty
risk,
the
Funds
may
enter
into
an
International
Swaps
and
Derivatives
Association,
Inc.
Master
Agreement
(“ISDA
Master
Agreement”)
or
similar
agreement
with derivative
contract
counterparties.
An
ISDA
Master
Agreement
is
a
bilateral
agreement
between
a
Fund
and
a
counterparty
that
governs
OTC
derivatives
and
foreign
exchange
contracts
and
typically
includes,
among
other
things,
collateral
posting
terms
and
netting
provisions
in
the
event
of
a
default
and/or
termination
event.
Under
an
ISDA
Master
Agreement,
each
Fund
may,
under
certain
circumstances,
offset
with
the
counterparty
certain
derivatives'
payables
and/or
receivables
with
collateral
held
and/or
posted
and
create
one
single
net
payment.
The
provisions
of
the
ISDA
Master
Agreement
typically
permit
a
single
net
payment
in
the
event
of
a
default
(close-out
netting)
including
the
bankruptcy
or
insolvency
of
the
counterparty.
Note,
however,
that
bankruptcy
and
insolvency
laws
of
a
particular
jurisdiction
may
impose
restrictions
on
or
prohibitions
against
the
right
of
offset
in
bankruptcy,
insolvency
or
other
events.
Collateral
and
margin
requirements
vary
by
type
of
derivative.
Margin
requirements
are
established
by
the
broker
or
clearinghouse
for
exchange
traded
and
centrally
cleared
derivatives
(futures,
options,
and
centrally
cleared
swaps).
Brokers
can
ask
for
margining
in
excess
of
the
minimum requirements in
certain
situations.
Collateral
terms
are
contract
specific
for
OTC
derivatives
(foreign
currency
exchange
contracts,
options
and
swaps).
For
derivatives
traded
under
an
ISDA
Master
Agreement,
the
collateral
requirements
are
typically
calculated
by
netting
the
mark
to
market
amount
for
each
transaction
under
such
agreement
and
comparing
that
amount
to
the
value
of
any
collateral
currently
pledged
by
the
Fund
and
the
counterparty.
For
financial
reporting
purposes,
non-cash
collateral
that
has
been
pledged
to
cover
obligations
of
the
Fund
has
been
noted
in
the
Schedule
of
Investments.
To
the
extent
amounts
due
to a
Fund
from
its
counterparties
are
not
fully
collateralized,
contractually
or
otherwise,
the
Fund
bears
the
risk
of
loss
from
counterparty
nonperformance.
The
Funds
attempt
to
mitigate
counterparty
risk
by
only
entering
into
agreements
with
counterparties
that
they
believe
have
the
financial
resources
to
honor
their
obligations
and
by
monitoring
the
financial
stability
of
those
counterparties.
For
any
Fund
that
invested
in
the
following
derivative
types,
more
detailed
information
can
be
found
in
the
Schedule
of
Investments.
Options 
—
All
Funds,
with
the
exception
of the
Money
Market
Fund, may
buy
put
and
call
options
and
write
put
and
covered
call
options.
The
Funds
intend
to
use
such
derivative
instruments
as
hedges
to
facilitate
buying
or
selling
securities
or
to
provide
protection
against
adverse
movements
in
security
prices
or
interest
rates.
The
Funds
may
also
enter
into
options
contracts
to
protect
against
adverse
foreign
exchange
rate
fluctuations.
Option
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded.
A
Fund
will
realize
a
gain
or
loss
upon
expiration
or
closing
of
the
option
transaction.
When
an
option
is
exercised,
the
proceeds
upon
sale
for
a
written
call
option
or
the
cost
of
a
security
for
purchased
put
and
call
options
is
adjusted
by
the
amount
of
premium
received
or
paid.
Buying
put
options
tends
to
decrease
a
Fund’s
exposure
to
the
underlying
security
while
buying
call
options
tends
to
increase
a
Fund’s
exposure
to
the
underlying
security.
The
risk
associated
with
purchasing
put
and
call
options
is
limited
to
the
premium
paid.
There
is
no
significant
counterparty
risk
on
exchange-traded
options
as
the
exchange
guarantees
the
contract
against
default.
Writing
put
options
tends
to
increase
a
Fund’s
exposure
to
the
Notes
to
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
230
underlying
security
while
writing
call
options
tends
to
decrease
a
Fund’s
exposure
to
the
underlying
security.
The
writer
of
an
option
has
no
control
over
whether
the
underlying
security
may
be
bought
or
sold,
and
therefore
bears
the
market
risk
of
an
unfavorable
change
in
the
price
of
the
underlying
security.
The
counterparty
risk
for
purchased
options
arises
when
a
Fund
has
purchased
an
option,
exercises
that
option,
and
the
counterparty
doesn’t
buy
from
the
Fund
or
sell
to
the
Fund
the
underlying
asset
as
required.
In
the
case
where
a
Fund
has
written
an
option,
the
Fund
doesn’t
have
counterparty
risk.
Counterparty
risk
on
purchased
over-
the-counter
options
is
partially
mitigated
by
the
Fund’s
collateral
posting
requirements.
As
the
option
increases
in
value
to
the
Fund,
the
Fund
receives
collateral
from
the
counterparty.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
During
the
period
covered
within
this
report,
none
of
the
Funds
invested
in
options.
Futures
Contracts 
—
All
Funds,
with
the
exception
of
the
Money
Market
Fund, may
use
futures
contracts
to
manage
the
exposure
to
interest
rate
and
market
or
currency
fluctuations.
Gains
or
losses
on
futures
contracts
can
offset
changes
in
the
yield
of
securities.
When
a
futures
contract
is
opened,
cash
or
other
investments
equal
to
the
required
“initial
margin
deposit”
are
held
on
deposit
with
and
pledged
to
the
broker.
Additional
securities
held
by
the
Funds
may
be
earmarked
to
cover
open
futures
contracts. A
futures
contract’s
daily
change
in
value
(“variation
margin”)
is
either
paid
to
or
received
from
the
broker,
and
is
recorded
as
an
unrealized
gain
or
loss.
When
the
contract
is
closed,
realized
gain
or
loss
is
recorded
equal
to
the
difference
between
the
value
of
the
contract
when
opened
and
the
value
of
the
contract
when
closed.
Futures
contracts
involve,
to
varying
degrees,
risk
of
loss
in
excess
of
the
variation
margin
disclosed
in
the
Statement
of
Assets
and
Liabilities.
Exchange-traded
futures
have
no
significant
counterparty
risk
as
the
exchange
guarantees
the
contracts
against
default.
Swap
Agreements 
—
All
Funds,
with
the
exception
of
the
Money
Market
Fund, may enter
into
swap
transactions,
which
involve
swapping
one
or
more
investment
characteristics
of
a
security
or
a
basket
of
securities
with
another
party.
Such
transactions
include
market
risk,
risk
of
default
by
the
other
party
to
the
transaction,
risk
of
imperfect
correlation
and
manager
risk
and
may
involve
commissions
or
other
costs.
Swap
transactions
generally
do
not
involve
delivery
of
securities,
other
underlying
assets
or
principal.
Accordingly,
the
risk
of
loss
with
respect
to
swap
transactions
is
generally
limited
to
the
net
amount
of
payments
that
the
Fund
is
contractually
obligated
to
make,
or
in
the
case
of
the
counterparty
defaulting,
the
net
amount
of
payments
that
the
Fund
is
contractually
entitled
to
receive.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
If
there
is
a
default
by
the
counterparty,
the
Fund
may
have
contractual
remedies
pursuant
to
the
agreements
related
to
the
transaction.
The
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded.
Swap
agreements
are
valued
at
the
clearinghouse
end
of
day
prices
as
furnished by
an
independent
pricing
service.
The
pricing
service
takes
into
account
such
factors
as
swap
curves,
default
probabilities,
recent
trades,
recovery
rates
and
other
factors
it
deems
relevant
in
determining
valuations.
Daily
fluctuations
in
the
value
of
the
centrally
cleared
credit
default
contracts
are
recorded
in
variation
margin
in
the
Statement
of
Assets
and
Liabilities
and
recorded
as
unrealized
gain
or
loss.
The
Fund
accrues
for
the
periodic
payment
and
amortizes
upfront
payments,
if
any,
on
swap
agreements
on
a
daily
basis
with
the
net
amount
recorded
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Receipts
and
payments
received
or
made
as
a
result
of
a
credit
event
or
termination
of
the
contract
are
also
recognized
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Collateral,
in
the
form
of
cash
or
securities,
may
be
required
to
be
held
with
the
Fund’s
custodian,
or
a
third
party,
in
connection
with
these
agreements.
Certain swap
agreements
are
over-the-counter. In
these
types
of
transactions,
the
Fund
is
exposed
to
counterparty
risk,
which
is
the
discounted
net
amount
of
payments
owed
to
the
Fund.
This
risk
is
partially
mitigated
by
the
Fund’s
collateral
posting
requirements.
As
the
swap
increases
in
value
to
the
Fund,
the
Fund
receives
collateral
from
the
counterparty.  Certain
interest
rate
and
credit
default
index
swaps
must
be
cleared
through
a
clearinghouse
or
central
counterparty.
Credit
Default
Swaps 
—
A
credit
default
swap
is
a
swap
agreement
between
two
parties
to
exchange
the
credit
risk
of
a
particular
issuer,
basket
of
securities
or
reference
entity.
In
a
credit
default
swap
transaction,
a
buyer
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
The
seller
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
A
buyer
of
a
credit
default
swap
is
said
to
buy
protection
whereas
a
seller
of
a
credit
default
swap
is
said
to
sell
protection.
The
Funds
may
be
either
the
protection
seller
or
the
protection
buyer.
Certain
Funds
enter
into
credit
default
derivative
contracts
directly
through
credit
default
swaps
("CDS")
or
through
credit
default
swap
indices
("CDX
Indices").
CDX
Indices
are
static
pools
of
equally
weighted
credit
default
swaps
referencing
corporate
bonds
and/or
loans
designed
to increase
or
decrease diversified
credit
exposure
to
these
asset
classes.
Funds
sell
default
protection
and
assume
long-risk
positions
in
individual
credits
or
indices.
Index
positions
are
entered
into
to
gain
exposure
to
the
corporate
bond
and/or
loan
markets
in
a
cost-efficient
and
diversified
structure.
In
the
event
that
a
position
defaults,
by
going
into
bankruptcy
and
failing
to
pay
interest
or
principal
on
borrowed
money,
within
any CDX
Indices
held,
the
maximum
potential
amount
of
future
payments
required
would
be
equal
to
the
pro-rata
share
of
that
position
within
the
index
based
on
the
notional
amount
of
the
index.
In
the
event
of
a
default
under
Notes
to
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
231
a
CDS
contract,
the
maximum
potential
amount
of
future
payments
would
be
the
notional
amount.
Funds
buy
default
protection
in
order
to
reduce
their
overall
credit
exposure
to
the
corporate
bond
and/or
loan
markets
in
a
cost-efficient
and
diversified
structure. 
If
a
default
event
as
specified
in
the
CDS
reference
entity
agreement
occurs,
the
Fund
has
the
option
to
receive
a
cash
payment
in
exchange
for
the
credit
loss
of
the
reference
entity
obligation
as
of
the
date
of
the
credit
event. 
A
realized
gain
or
loss
is
recorded
upon
a
default
event
or
the
maturity
or
termination
of
the
CDS
agreement. 
For
CDS,
the
default
events
could
be
bankruptcy
and
failing
to
pay
interest
or
principal
on
borrowed
money
or
a
restructuring.
A
restructuring
is
a
change
in
the
underlying
obligations
which
could
include
a
reduction
in
interest
or
principal,
maturity
extension and
subordination
to
other
obligations.
Total Return
Swaps
—
A
total return
swap
is
a
swap
agreement
between
two
parties
to
exchange
the
total
return
of
a
particular
reference
asset.
A
total
return
swap
involves
commitments
to
pay
interest
in
exchange
for
a
market
linked
return
based
on
a
notional
amount.
To
the
extent
that
the
total
return
of
the
security,
group
of
securities,
or
index
underlying
the
transactions
exceeds
or
falls
short
of
the
offsetting
interest
obligation,
the
Funds
will
receive
a
payment
from
or
make
a
payment
to
the
counterparty.
The
Funds
may
take
a
"long"
or
"short"
position
with
respect
to
the
underlying
referenced
asset.
For
financial
reporting
purposes,
the
Funds
do
not
offset
derivative
assets
and
derivative
liabilities
that
are
subject
to
netting
arrangements
in
the
Statement
of
Assets
and
Liabilities.
Securities
Lending 
— The
Trust
has
entered
into
a
Securities
Lending
Agreement
(the
“Agreement”)
with
Goldman
Sachs
Bank
USA,
doing
business
as
Goldman
Sachs
Agency
Lending
("GSAL").
The
Agreement
authorizes
GSAL
to
lend
securities
to
authorized
borrowers
on
behalf
of
the
Funds.
Pursuant
to
the
Agreement, loaned
securities
are
typically
initially
collateralized equal
to
at
least
102%
of
the
market
value
of
U.S.
securities
and
105% of
the
market
value
of non-U.S.
securities.
Daily
market
fluctuations
could
cause
the
value
of
loaned
securities
to
be
more
or
less
than
the
value
of
the
collateral
received.
Any
additional
collateral
is
adjusted
and
settled
on
the
next
business
day.
The
Trust
has
the
ability
to
recall
the
loans
at
any
time
and
could
do
so
in
order
to
vote
proxies
or
sell
the
loaned
securities.
All
cash
collateral
received
is
invested
in
Thrivent Cash Management Trust.
The
Funds
receive
dividends
and
interest
that
would
have
been
earned
on
the
securities
loaned
while
simultaneously
seeking
to
earn
income
on
the
investment
of
cash
collateral.
Amounts
earned
on
investments
in
Thrivent Cash
Management Trust,
net
of
rebates,
fees
paid
to
GSAL
for
services
provided
and
any
other
securities
lending
expenses,
are
included
in
affiliated income
from
securities
loaned,
net on
the
Statement
of
Operations.
By
investing
any
cash
collateral
it
receives
in
these
transactions,
a
Fund
could
realize
additional
gains
or
losses.
If
the
borrower
fails
to
return
the
securities
or
the
invested
collateral
has
declined
in
value, a
Fund
could
lose
money. 
Generally,
in
the
event
of
borrower
default, a Fund
has
the
right
to
use
the
collateral
to
offset
any
losses
incurred.
However,
in
the
event a
Fund
is
delayed
or
prevented
from
exercising
its
right
to
dispose
of
the
collateral,
there
may
be
a
potential
loss.
Some
of
these
losses
may
be
indemnified
by
the
lending
agent.
Bank Loans
(Leveraged Loans) 
—
Certain
Funds
may
invest
in
bank
loans,
which
are
senior
secured
loans
that
are
made
by
banks
or
other
lending
institutions
to
companies
that
are
typically
rated
below
investment
grade. 
A Fund
may
invest
in
multiple
series
or
tranches
of
a
bank
loan,
with
varying
terms
and
different
associated
risks. 
Transactions
in
bank
loan
securities
may
settle
on
a
delayed
basis,
which
may
result
in
the
proceeds
of
the
sale
to
not
be
readily
available
for
a Fund
to
make
additional
investments. 
Interest
rates
of
bank
loan
securities
typically
reset
periodically,
as
the
rates
are
tied
to
a
reference
index
rate,
plus
a
premium. 
Income
is
recorded
daily
on
bank
loan
securities. 
On
an
ongoing
basis,
a Fund
may
receive
a
commitment
fee
based
on
the
undrawn
portion
of
the
underlying
line
of
credit
of
the
bank
loan. 
This
commitment
fee
is
accrued
as
income
over
the
term
of
the
bank
loan. 
A Fund
may
receive
consent
and
amendment
fees
for
accepting
an
amendment
to
the
current
terms
of
a
bank
loan. 
Consent
and
amendment
fees
are
accrued
as
income
when
the
changes
to
the
bank
loan
are
immaterial
and
to
capital
when
the
changes
are
material.
All
or
a
portion
of
these
bank
loan
commitments
may
be
unfunded.
A
Fund
is
obligated
to
fund
these
commitments
at
the
borrower’s
discretion.
Therefore,
the
Fund
must
have
funds
sufficient
to
cover
its
contractual
obligation.
These
unfunded
bank
loan
commitments,
which
are
marked-to-market
daily,
are
presented
in
the
Schedule
of
Investments
and
included
in
Payable
for
investments
purchased
on
a
delayed-delivery
basis
on
the
Statement
of
Assets
and
Liabilities.
As
of
July
31,
2026,
the
Funds
have
the
following
unfunded
bank
loan
commitments:
Private
Equity
Funds
—
Typically,
when
a
Fund
invests
in
a
Private
Equity Fund, it
makes
a
commitment
to
invest
a
specified
amount
of
capital
in
the
applicable
Private Equity
Fund.
The
capital
commitment
may
be
drawn
by
the
general
partner
of
the
Private
Equity Fund
either
all
at
once
or
through
a
series
of
capital
calls
at
the
discretion
of
the
general
partner.
Thus,
an
unfunded
capital
commitment
represents
the
portion
of
the
Fund’s
overall
capital
commitment
that
has
not
yet
been
called
by
the
general
partner.
Unfunded
commitments
may
subject
the
Fund
to
certain
risks.
For
example,
the
Fund
may
be
required
to:
liquidate
other
Fund/Borrower
Unfunded
Loan
Commitments
Thrivent
High
Yield
Fund
Caesars
Entertainment,
Inc.,
Term
Loan
$401,625
Playtika
Holding
Corporation,
Term
Loan
$964,075
Total
$1,365,700
Notes
to
Schedule
of
Investments
as
of
July
31,
2026
(unaudited)
232
portfolio
investments,
potentially
at
inopportune
times,
to
obtain
the
cash
needed
to
satisfy
its
obligations
with
respect
to
a
capital
call
or
borrow
under
a
credit
facility
which
may
result
in
additional
expenses
to
the
Fund.
Management
recognizes
these
risks
as
potentially
detrimental
to
the
overall
strategy
and
so
the
Fund
will
generally
maintain
with
its
custodian
cash
and/or,
liquid
investments
having
an
aggregate
value
at
least
equal
to
the
par
value
of
unfunded
capital
commitments. 
As
of
July
31,
2026, private equity capital
commitments
were
as
follows:
 Additional
information
for
the
Funds’
policy
regarding
valuation
of
investments
and
other
significant
accounting
policies
can
be
obtained
by
referring
to
the
Funds’
most
recent
annual
or
semiannual
shareholder
report.
Fund
Total
Commitments
Unfunded
Commitments
Percent
Funded
Aggressive
Allocation
$153,500,000
$88,596,237
42.28%
Moderate
Allocation
155,000,000
89,056,469
42.54%
Moderately
Aggressive
Allocation
190,500,000
109,811,341
42.36%
Moderately
Conservative
Allocation
29,000,000
16,845,736
41.91%