SCHEDULE 14C INFORMATION

Information Statement pursuant to Section

14(c) of the Securities Exchange Act of 1934

 

  Filed by the Registrant

   ☒   

  Filed by a Party other than the Registrant

   ☐   

Check the appropriate box:

☐  Preliminary information statement.

☐  Confidential, for use of the Commission only (as permitted by Rule 14c-5(d)(2)).

☒  Definitive information statement.

GuideStone Funds

 

 

(Name of Registrant as Specified in Its Charter)

Payment of filing fee (check the appropriate box):

 

  ☒

No fee required.

 

  ☐

Fee computed on table below per Exchange Act Rules 14c-5(g) and 0-11.

 

  (1)

Title of each class of securities to which transaction applies:

 

  (2)

Aggregate number of securities to which transaction applies:

 

  (3)

Per unit price or other underlying value of transaction computed pursuant to Exchange Act Rule 0-11 (Set forth the amount on which the filing fee is calculated and state how it was determined):

 

  (4)

Proposed maximum aggregate value of transaction:

 

  (5)

Total fee paid:

 

  ☐

Fee paid previously with preliminary materials.

 

  ☐

Check box if any part of the fee is offset as provided by Exchange Act Rule 0-ll(a)(2) and identify the filing for which the offsetting fee was paid previously. Identify the previous filing by registration statement number, or the form or schedule and the date of its filing.

 

  (1)

Amount previously paid:

 

  (2)

Form, schedule or registration statement no.:

 

  (3)

Filing party:

 

  (4)

Date filed:


GUIDESTONE FUNDS

MyDestination 2015 Fund, MyDestination 2025 Fund, MyDestination 2035

Fund, MyDestination 2045 Fund, MyDestination 2055 Fund, MyDestination 2065 Fund, Conservative Allocation Fund,

Balanced Allocation Fund, Moderately Aggressive Allocation Fund, Aggressive Allocation Fund,

Money Market Fund, Low-Duration Bond Fund, Medium-Duration Bond Fund, Global Bond Fund,

Strategic Alternatives Fund, Defensive Market Strategies® Fund, Impact Bond Fund,

Equity Index Fund, Global Real Estate Securities Fund, Value Equity Index Fund, Value Equity Fund,

Growth Equity Index Fund, Growth Equity Fund, Small Cap Equity Fund, International Equity Index

Fund, International Equity Fund and Emerging Markets Equity Fund

5005 Lyndon B. Johnson Freeway

Suite 2200

Dallas, Texas 75244-6152

 

 

INFORMATION STATEMENT

 

 

October 1, 2026

Dear Shareholder:

The enclosed Information Statement discusses an action that has been taken with respect to all series of GuideStone Funds (Trust). GuideStone Financial Resources of the Southern Baptist Convention, the holder of a majority of the outstanding voting securities of the Trust, has approved amendments to the Trust’s Amended and Restated Trust Instrument (Trust Instrument) in order to incorporate certain provisions specific to the operation of the new exchange-traded funds series of the Trust, which will be effective November 23, 2026. The amendments to the Trust Instrument are effective October 1, 2026.

We are not asking you for a proxy, and you are requested not to send us a proxy. If you have any questions, please call 1-888-GS-FUNDS (1-888-473-8637), and we will be glad to assist you. Thank you for your continued support of GuideStone Funds.

 

Very truly yours,

Isl Brandon Pizzurro

Brandon Pizzurro

Director and President


GUIDESTONE FUNDS

MyDestination 2015 Fund, MyDestination 2025 Fund, MyDestination 2035 Fund, MyDestination 2045

Fund, MyDestination 2055 Fund, MyDestination 2065 Fund, Conservative Allocation Fund,

Balanced Allocation Fund, Moderately Aggressive Allocation Fund, Aggressive Allocation Fund,

Money Market Fund, Low-Duration Bond Fund, Medium-Duration Bond Fund, Global Bond Fund,

Strategic Alternatives Fund, Defensive Market Strategies® Fund, Impact Bond Fund,

Equity Index Fund, Global Real Estate Securities Fund, Value Equity Index Fund, Value Equity Fund,

Growth Equity Index Fund, Growth Equity Fund, Small Cap Equity Fund, International Equity Index

Fund, International Equity Fund and Emerging Markets Equity Fund

5005 Lyndon B. Johnson Freeway

Suite 2200

Dallas, Texas 75244-6152

IMPORTANT NOTICE OF INTERNET AVAILABILITY OF

INFORMATION STATEMENT

October 1, 2026

This notice provides only an overview of the more complete Information Statement that is available to you on the Internet related to all series of GuideStone Funds (Trust) (each, a Fund and collectively, the Funds). We encourage you to access and review all of the important information contained in this Information Statement, available online at GuideStoneFunds.com/Fund-Literature.

The Information Statement discusses an action that has been undertaken with respect to the Funds. GuideStone Financial Resources of the Southern Baptist Convention, the holder of a majority of the outstanding voting securities of the Trust, has approved amendments to the Trust’s Amended and Restated Trust Instrument (Trust Instrument) to incorporate certain provisions specific to the operation of the new exchange-traded funds series of the Trust, which will be effective November 23, 2026. The amendments to the Trust Instrument are effective October 1, 2026.

This Notice of Internet Availability of the Information Statement is being mailed on or about October 1, 2026, to the shareholders of record of each Fund as of September 15, 2026. The full Information Statement will be available to view and print on the Trust’s website at GuideStone.com/Fund-Literature until at least 90 days from the date of this Notice and the Information Statement. A paper or email copy of the full Information Statement may be obtained, without charge, by contacting the Trust at 1-888-GS-FUNDS (1-888-473-8637). If you would like to receive a paper or email copy of the full Information Statement, you must request one.

If you are a member of a household in which multiple shareholders of the Funds share the same address, and the Funds or your broker or bank (for “street name” accounts) have received consent to household material, then the Funds or your broker or bank may have sent to your household only one copy of this Notice of Internet Availability of Information Statement, unless the Funds or your broker or bank previously received contrary instructions from a shareholder in your household. If you are part of a household that has received only one copy of this Notice of Internet Availability of Information Statement, the Funds will deliver promptly a separate copy of this Notice of Internet Availability of Information Statement to you upon written or oral request.

To receive a separate copy of this Notice of Internet Availability of Information Statement, or if you would like to receive a separate copy of future notices of internet availability of information statements, information statements, proxy statements, prospectuses or annual and semi-annual reports, please


contact the Trust by writing to the Trust at 5005 Lyndon B. Johnson Freeway, Suite 2200, Dallas, Texas 75244-6152 or by calling 1-888-GS-FUNDS (1-888-473-8637). If you are now receiving multiple copies of these documents and would like to receive a single copy in the future, please contact the Trust at the telephone number or address stated above.

We are not asking you for a proxy, and you are requested not to send us a proxy.

 

ii


GUIDESTONE FUNDS

MyDestination 2015 Fund, MyDestination 2025 Fund, MyDestination 2035 Fund, MyDestination 2045

Fund, MyDestination 2055 Fund, MyDestination 2065 Fund, Conservative Allocation Fund,

Balanced Allocation Fund, Moderately Aggressive Allocation Fund, Aggressive Allocation Fund,

Money Market Fund, Low-Duration Bond Fund, Medium-Duration Bond Fund, Global Bond Fund,

Strategic Alternatives Fund, Defensive Market Strategies® Fund, Impact Bond Fund,

Equity Index Fund, Global Real Estate Securities Fund, Value Equity Index Fund, Value Equity Fund,

Growth Equity Index Fund, Growth Equity Fund, Small Cap Equity Fund, International Equity Index

Fund, International Equity Fund and Emerging Markets Equity Fund

5005 Lyndon B. Johnson Freeway

Suite 2200

Dallas, Texas 75244-6152

 

 

INFORMATION STATEMENT

Important Notice Regarding the

Availability of Information Statement

This Information Statement is also available online at GuideStoneFunds.com/Fund-Literature.

 

 

October 1, 2026

This document is an Information Statement for shareholders of all series (each, a Fund and collectively, the Funds) of GuideStone Funds (Trust).

GuideStone Capital Management, LLC (Adviser) serves as the investment adviser to the Trust and is located at 5005 Lyndon B. Johnson Freeway, Suite 2200, Dallas, Texas 75244-6152. The Trust’s principal underwriter is Foreside Funds Distributors LLC, whose principal office is located at 190 Middle Street, Suite 301, Portland, Maine 04101. BNY Mellon Investment Servicing (US) Inc. serves as the Trust’s transfer agent and is located at 103 Bellevue Parkway, Wilmington, Delaware 19809. The Northern Trust Company serves as the Trust’s fund administration and accounting agent and is located at 333 South Wabash Avenue, Chicago, Illinois 60604. This Information Statement will be mailed on or about October 1, 2026, to the shareholders of record of each Fund as of September 15, 2026 (Record Date).

The Trust has obtained the written consent of GuideStone Financial Resources of the Southern Baptist Convention (GuideStone) in lieu of a shareholder meeting to amend the Trust’s Amended and Restated Trust Instrument (Trust Instrument) to incorporate certain provisions specific to the operation of the new exchange-traded funds (ETFs), which will be effective November 23, 2026. The amendments to the Trust Instrument are effective October 1, 2026. In accordance with the Trust Instrument and as disclosed in the Trust’s prospectus and statement of additional information on file with the U.S. Securities and Exchange Commission, GuideStone at all times directly or indirectly owns, controls or holds with power to vote at least 60% of the outstanding shares of the Trust. The Trust will refuse to accept any


investment that would result in a change of such control. In addition, GuideStone, as of the date of the Trust Instrument approval, directly or indirectly owned, controlled or held with power to vote at least 60% of each Fund’s shares. This means that GuideStone, which is an affiliate of the Adviser, controls the vote on any matter that requires shareholder approval. Therefore, in accordance with the Trust’s governing documents, the amendments to the Trust Instrument have been approved by shareholders.

This Information Statement is provided solely for information purposes. This is not a proxy statement. We are not asking you for a proxy, and you are requested not to send us a proxy.

The Trust will bear the expenses incurred in connection with preparing this Information Statement. The information in this document should be considered to be an Information Statement for purposes of Schedule 14C under the Securities Exchange Act of 1934, as amended.

You may obtain a copy of the Trust’s annual report to shareholders and the most recent semi-annual report, free of charge, by writing to the Trust at 5005 Lyndon B. Johnson Freeway, Suite 2200, Dallas, Texas 75244-6152, by calling toll free at 1-888-GS-FUNDS (1-888-473-8637) or by going to the Trust’s website at GuideStoneFunds.com/Fund-Literature.

Appendix A lists the shares of each Fund issued and outstanding as of the Record Date. Appendix B lists the shareholders who owned beneficially or of record more than 5% of the shares of each class of the Funds as of the Record Date. To the knowledge of the Adviser, executive officers and directors of the Trust, as a group, owned less than 1% of the outstanding shares of each class of each Fund as of the Record Date.

 

2


I.

All Funds: Amendments to the Trust Instrument

 

  A.

Overview

The Board of Directors of the Trust (Board or Directors) recently approved the addition of the ETFs, and on September 18, 2026, the Board, including all of the Directors who are not “interested persons” of the Trust, as the term “interested person” is defined under Section 2(a)(19) of the Investment Company Act of 1940, as amended (1940 Act), advised by independent legal counsel, considered and unanimously recommended amendments to the Trust Instrument to incorporate certain provisions specific to operate the ETFs, with an effective date of October 1, 2026 (ETF Amendments).

Pursuant to Article VI, Section 1 and Article XI, Section 5 of the Trust Instrument, shareholder approval, by a vote of the majority of the outstanding shares of the Trust, is required to amend the Trust Instrument. On October 1, 2026, GuideStone, the majority shareholder of the Trust, approved the ETF Amendments to the Trust Instrument by written consent. The ETF Amendments to the Trust Instrument are effective October 1, 2026.

 

  B.

Summary of ETF Amendments to the Trust Instrument

Effective October 1, 2026, certain provisions of the Trust Instrument are amended to incorporate the ETF Amendments. The ETF Amendments are as follows, with all capitalized terms used herein but not otherwise defined shall have the meanings set forth in the Trust Instrument:

 

  •  

Article IV, Section 1 of the Trust Instrument is amended to revise the fifth sentence, as reflected in the bold (added) text below:

The Directors may divide the Shares of any Series into Classes in accordance with the 1940 Act, to the extent applicable.

 

  •  

Article IV, Section 1 of the Trust Instrument, which governs the establishment of a series or class, is amended to add the following paragraph:

In furtherance of the foregoing, the Trust may operate one or more of its Series as an “exchange-traded fund” (an “ETF”) and list the Shares of such Series that are ETFs on one or more securities exchanges.

 

  •  

Article IV, Section 2 of the Trust Instrument, which governs the shares of a series and/or class, is amended to add the following paragraph:

Notwithstanding anything to the contrary contained herein, with respect to any Series that operates as an ETF, the Directors may determine that Shares of any ETF shall be issued and/or redeemed only in aggregations of such number of Shares and at such time as may be determined by, or determined pursuant to procedures or methods prescribed or approved by, the Directors from time to time, and as may be revised by the Directors from time to time. The number of Shares comprising an aggregation for purposes of issuance with respect to any Shares of an ETF or redemption with respect to any Shares of an ETF shall be referred to herein as a “Creation Unit” and, collectively, as “Creation Units” or such other term as the Directors shall

 

3


determine. If determined to be appropriate by the Directors, references herein to Shares or holders of Shares or similar language may be deemed to mean Creation Units or holders of Creation Units. Unless expressly otherwise authorized by the Directors, purchases or redemptions of Creation Units of Shares of an ETF shall only be transacted by the ETF or its Principal Underwriter with an “Authorized Participant,” as that term is defined in Section (a)(1) of Rule 6c-11 under the 1940 Act. Without limiting the general authority of the Directors under the Trust Instrument or the Delaware Statutory Trust Act to delegate its authority, the authority of the Directors may be delegated to any officer of the Trust or the Investment Adviser or otherwise as the Directors consider necessary, desirable or appropriate, including without limitation to establish or alter the size of Creation Units and the fees associated with transaction in Creation Units of Shares. Any “Basket,” as that term is defined in Section (a)(1) of Rule 6c-11 under the 1940 Act, that an ETF accepts in exchange for the issuance of, or redeems in exchange for the receipt of, Creation Units of Shares, may be wholly or partly in securities, assets, cash, or other positions, as determined in the sole discretion of the Board of Directors or their delegate, subject to the 1940 Act and any policies or procedures adopted thereby or thereunder.

 

  •  

Article V, Section 2 of the Trust Instrument, which governs redemptions, is amended to add the following sentence to the end of the section:

Notwithstanding the foregoing, the Directors may postpone payment of the redemption price and may suspend the right of the Shareholders to require any Series or Class to redeem Shares during any period of time when and to the extent permissible under the 1940 Act.

 

  •  

Article V of the Trust Instrument is amended to add a new Section 3, which governs the redemptions of ETF shares:

Section 3. Redemptions of ETF Shares. Notwithstanding anything to the contrary contained herein, subject to compliance with the requirements of the 1940 Act, the redemption of Shares of any Series or Class which is an ETF shall be subject to such requirements and procedures as may be established by the Board of Directors from time to time, which may include that only Shares comprising a Creation Unit shall be redeemable. The Board of Directors may from time to time specify additional conditions, not inconsistent with the 1940 Act, regarding redemption of ETF Shares in the Trust’s then effective prospectus under the Securities Act of 1933. Any ETF Shares redeemed shall be redeemed at the ETF Shares’ net asset value (or such other amount not more than net asset value as may be determined by the Board of Directors and accepted by the redeeming Shareholder) less such fees and/or charges, if any, as may be established by the Board of Directors from time to time.

 

  •  

Article XI, Section 4 of the Trust Instrument with respect to applicable law is amended to add the following sentence to the end of the section:

References in this Trust Instrument to “applicable law” as applied to an ETF shall be deemed to include, as the context requires, applicable rules of the securities exchange on which Shares of the ETF are listed.

 

4


II.

Additional Information

Shareholder Communications. The Board has provided a process by which shareholders may send communications to the Board. If a shareholder wishes to send a communication to the Board, or to a specified Director, the communication should be submitted in writing to Melanie Childers, Vice President - Fund Operations and Secretary, GuideStone Funds, 5005 Lyndon B. Johnson Freeway, Suite 2200, Dallas, Texas 75244-6152, who will forward such communication to the Board or the specified Director(s).

Multiple Shareholders in a Household. If you are a member of a household in which multiple shareholders of the Funds share the same address, and the Trust or your broker or bank (for “street name” accounts) have received consent to household material, then the Trust or your broker or bank may have sent to your household only one copy of the Notice of Internet Availability of Information Statement, unless the Trust or your broker or bank previously received contrary instructions from a shareholder in your household. If you are part of a household that has received only one copy of the Notice of Internet Availability of Information Statement, the Trust will deliver promptly a separate copy of the Notice of Internet Availability of Information Statement to you upon written or oral request.

To receive a separate copy of the Notice of Internet Availability of Information Statement, or if you would like to receive a separate copy of future notices of internet availability of information statements, information statements, proxy statements, prospectuses or annual and semi-annual reports, please contact the Trust by writing to the Trust at 5005 Lyndon B. Johnson Freeway, Suite 2200, Dallas, Texas 75244-6152 or by calling 1-888-GS-FUNDS (1-888-473-8637). If you are now receiving multiple copies of these documents and would like to receive a single copy in the future, please contact the Trust at the telephone number or address stated above.

 

      By Order of the Board of Directors,
      /s/ Melanie Childers
      Melanie Childers
      Vice President – Fund Operations and Secretary
of the Trust

October 1, 2026

 

5


APPENDIX A

ISSUED AND OUTSTANDING SHARES AS OF SEPTEMBER 15, 2026

 

Fund    Select Class    Institutional Class    Investor Class
       
MyDestination 2015 Fund    8,706,198.887     24,243,329.118     37,946,521.203 
MyDestination 2025 Fund    30,011,495.616     61,690,409.959     103,027,492.668 
MyDestination 2035 Fund    45,070,811.824     64,081,502.577     106,438,728.975 
MyDestination 2045 Fund    37,557,273.715     52,237,773.829     84,925,936.951 
MyDestination 2055 Fund    17,504,611.034     17,407,484.308     27,980,254.631 
MyDestination 2065 Fund    3,400,234.334     6,128,536.922     9,273,767.020 
Conservative Allocation Fund    N/A     9,271,161.777     24,931,029.027 
Balanced Allocation Fund    N/A     26,039,690.613     78,283,662.657 
Moderately Aggressive Allocation Fund    N/A     28,672,302.150     60,266,124.989 
Aggressive Allocation Fund    N/A     22,233,980.095     62,338,534.990 
Money Market Fund    N/A     1,385,700,039.290     548,530,682.250 
Low-Duration Bond Fund    N/A     57,327,183.225     12,276,656.164 
Medium-Duration Bond Fund    N/A     259,817,877.868     48,787,487.039 
Global Bond Fund    N/A     74,864,433.122     10,974,455.673 
Strategic Alternatives Fund    N/A     25,757,589.757     5,630,619.109 
Defensive Market Strategies Fund    N/A     79,813,182.722     23,949,378.402 
Impact Bond Fund    N/A     8,155,652.179     1,674,625.807 
Equity Index Fund    N/A     62,512,940.457     25.756,590.587 
Global Real Estate Securities Fund    N/A     24,310,488.257     9,655,449.206 
Value Equity Index Fund    N/A     45,541,382.499     5,037,712.705 
Value Equity Fund    N/A     24,363,266.920     19,375,338.945 
Growth Equity Index Fund    N/A     39,383,682.971     7,371,279.587 
Growth Equity Fund    N/A     26,696,763.413     29,176,070.955 
Small Cap Equity Fund    N/A     35,980,817.509     15,154,031.676 
International Equity Index Fund    N/A     114.228,202.215     18,422,806.409 
International Equity Fund    N/A     51,569,995.113     20,357,918.021 
Emerging Markets Equity Fund    N/A     66,543,543.013     17,962,582.119 

 

 

A-1


APPENDIX B

SHAREHOLDERS OWNING BENEFICIALLY OR OF RECORD MORE THAN 5% OF

GUIDESTONE FUNDS

 

Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

MyDestination 2015 Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  24,949,978.145    66%

MyDestination 2015 Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  8,314,789.034    22%

MyDestination 2025 Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  71,375,279.672    69%

MyDestination 2025 Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  23,490,396.010    23%

MyDestination 2035 Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  75,291,850.034    71%

MyDestination 2035 Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  25,017,264.252    24%

MyDestination 2045 Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  61,632,896.680    73%

MyDestination 2045 Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  19,406,531.127    23%

MyDestination 2055 Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  19,396,870.284    69%

MyDestination 2055 Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  7,097,826.486    25%

MyDestination 2065 Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  6,100,382.745    66%

MyDestination 2065 Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  2,674,945.400    29%

Conservative Allocation Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  15,011,081.392    60%

Conservative Allocation Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  4,335,539.966    17%

Balanced Allocation Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  58,720,048.712    75%

Balanced Allocation Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  9,581,903.808    12%

 

B-1


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Moderately Aggressive Allocation Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  43,674,831.615    72%

Moderately Aggressive Allocation Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  11,154,969.059    19%

Aggressive Allocation Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  50,397,241.279    81%

Aggressive Allocation Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  7,661,522.944    12%

Money Market Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  308,868,781.480    56%

Money Market Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  72,902,835.740    13%

Low-Duration Bond Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  6,289,495.251    51%

Low-Duration Bond Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  1,581,356.641    13%

Low-Duration Bond Fund

Investor Class

 

Charles Schwab & Co Inc

Special Custody Acct FBO Customers

Attn: Mutual Funds

101 Montgomery Street

San Francisco, CA 94104-4122

  1,470,299.683    12%

Medium-Duration Bond Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  26,915,850.121    55%

Medium-Duration Bond Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  5,047,633.647    10%

Medium-Duration Bond Fund

Investor Class

 

LPL Financial (FBO) Customer Accounts

Attn: Mutual Fund Operations

PO Box 509046

San Diego, CA 92150-9046

  3,834,262.476    8%

Global Bond Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  5,363,107.048    49%

Global Bond Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  1,138,646.573    10%

Global Bond Fund

Investor Class

 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07310-2010

  805,765.023    7%

Strategic Alternatives Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  3,419,965.192    61%

Strategic Alternatives Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  652,240.534    12%

 

B-2


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Strategic Alternatives Fund

Investor Class

 

Charles Schwab & Co Inc

Special Custody Acct FBO Customers

Attn: Mutual Funds

101 Montgomery Street

San Francisco, CA 94104-4122

  467,937.967    8%

Strategic Alternatives Fund

Investor Class

 

GuideStone Financial Resources

Voluntary Annuity Plan (VAP)

PO Box 819109

Dallas, TX 75381-9109

  341,809.021    6%

Defensive Market Strategies Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  14,400,907.358    60%

Defensive Market Strategies Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  3,012,269.944    13%

Defensive Market Strategies Fund

Investor Class

 

LPL Financial (FBO) Customer Accounts

Attn: Mutual Fund Operations

PO Box 509046

San Diego, CA 92150-9046

  1,253,450.731    5%

Impact Bond Fund

Investor Class

 

Northern Trust as Custodian

FBO GSFR Impact Operating Reserves

PO Box 92956

Chicago, IL 60675

  397,815.369    24%

Impact Bond Fund

Investor Class

 

Northern Trust as Custodian

FBO GSFR Restricted Insurance Reserves

PO Box 92956

Chicago, IL 60675

  382,589.120    23%

Impact Bond Fund

Investor Class

 

Northern Trust as Custodian

FBO GSFR Protection Benefit

PO Box 92956

Chicago, IL 60675

  284,357.712    17%

Impact Bond Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  263,234.968    16%

Impact Bond Fund

Investor Class

 

Northern Trust as Custodian

FBO GSFR Endowed Mission Dignity

PO Box 92956

Chicago, IL 60675

  204,494.531    12%

Equity Index Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  13,780,475.764    54%

Equity Index Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  3,181,480.960    12%

Equity Index Fund

Investor Class

 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07310-2010

  1,339,168.866    5%

Global Real Estate Securities Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  6,039,423.660    63%

Global Real Estate Securities Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  1,225,459.323    13%

 

B-3


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Value Equity Index Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  3,678,601.778    73%

Value Equity Index Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  572,088.648    11%

Value Equity Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  12,017,614.561    62%

Value Equity Fund

Investor Class

 

LPL Financial (FBO) Customer Accounts

Attn: Mutual Fund Operations

PO Box 509046

San Diego, CA 92150-9046

  2,810,807.482    15%

Value Equity Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  2,436,118.578    13%

Growth Equity Index Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  5,144,593.064    70%

Growth Equity Index Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  975,325.749    13%

Growth Equity Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  20,473,305.723    70%

Growth Equity Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  3,816,147.424    13%

Growth Equity Fund

Investor Class

 

LPL Financial (FBO) Customer Accounts

Attn: Mutual Fund Operations

PO Box 509046

San Diego, CA 92150-9046

  2,022,975.193    7%

Small Cap Equity Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  10,806,733.476    71%

Small Cap Equity Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  2,112,079.197    14%

International Equity Index Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  11,456,818.657    62%

International Equity Index Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  2,039,760.003    11%

International Equity Index Fund

Investor Class

 

Charles Schwab & Co Inc

Special Custody Acct FBO Customers

Attn: Mutual Funds

101 Montgomery Street

San Francisco, CA 94104-4122

  1,394,036.730    8%

International Equity Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  9,419,378.088    46%

 

B-4


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

International Equity Fund

Investor Class

 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07310-2010

  3,244,313.429    16%

International Equity Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  2,099,591.640    10%

Emerging Markets Equity Fund

Investor Class

 

GuideStone Church Retirement Plan

PO Box 819109

Dallas, TX 75381-9109

  9,848,505.020    55%

Emerging Markets Equity Fund

Investor Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  1,988,974.538    11%

Emerging Markets Equity Fund

Investor Class

 

National Financial Services LLC

For the Exclusive Benefit of Our Customers

Attn: Mutual Funds Dept 4th Floor

499 Washington Blvd

Jersey City, NJ 07310-2010

  1,601,129.262    9%

MyDestination 2015 Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  20,707,148.082    85%

MyDestination 2015 Fund

Institutional Class

 

TIAA Trust, N.A. as Cust/Ttee of

Retirement Plans Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd

Charlotte, NC 28262-8500

  2,937,381.209    12%

MyDestination 2025 Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  55,360,861.181    90%

MyDestination 2035 Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  57,245,463.662    89%

MyDestination 2035 Fund

Institutional Class

 

TIAA Trust, N.A. as Cust/Ttee of

Retirement Plans Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd

Charlotte, NC 28262-8500

  3,382,195.092    5%

MyDestination 2045 Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  46,675,322.103    89%

MyDestination 2045 Fund

Institutional Class

 

TIAA Trust, N.A. as Cust/Ttee of

Retirement Plans Recordkept by TIAA

Attn: Fund Operations

8500 Andrew Carnegie Blvd

Charlotte, NC 28262-8500

  3,055,211.104    6%

MyDestination 2055 Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  16,021,512.970    92%

MyDestination 2065 Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  5,707,091.414    93%

Conservative Allocation Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  7,558,845.480    82%

 

B-5


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Conservative Allocation Fund

Institutional Class

 

GuideStone 403(b)(7) Employer Plans-XM

PO Box 819109

Dallas, TX 75381-9109

  616,149.069    7%

Balanced Allocation Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  21,654,766.137    83%

Moderately Aggressive Allocation Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  22,083,857.028    77%

Moderately Aggressive Allocation Fund

Institutional Class

 

North American Mission Board

of the Southern Baptist Convention

Attn: Financial Services Team

4200 N Point Pkwy

Alpharetta, GA 30022-4176

  4,941,354.816    17%

Aggressive Allocation Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  19,483,458.579    88%

Money Market Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  217,749,369.330    16%

Money Market Fund

Institutional Class

 

GuideStone Financial Resources

Money Market Liquidity

Equity Index Fund

PO Box 819109

Dallas, TX 75381-9109

  139,849,660.500    10%

Money Market Fund

Institutional Class

 

GuideStone Financial Resources

Money Market Liquidity

Medium-Duration Bond Fund

PO Box 819109

Dallas, TX 75381-9109

  114,222,531.060    8%

Money Market Fund

Institutional Class

 

GuideStone Financial Resources

Money Market Liquidity

Strategic Alternatives Fund

PO Box 819109

Dallas, TX 75381-9109

  94,919,055.660    7%

Money Market Fund

Institutional Class

 

GuideStone Financial Resources

Money Market Liquidity

Defensive Market Strategies Fund

PO Box 819109

Dallas, TX 75381-9109

  83,130,307.100    6%

Money Market Fund

Institutional Class

 

GuideStone Financial Resources

Money Market Liquidity

International Equity Fund

PO Box 819109

Dallas, TX 75381-9109

  73,065,767.190    5%

Low-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  9,631,115.943    17%

Low-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2015 Fund

PO Box 819109

Dallas, TX 75381-9109

  6,174,660.138    11%

 

B-6


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Low-Duration Bond Fund

Institutional Class

 

Northern Trust as Custodian

FBO In Touch Ministries Inc Operations

PO Box 92956

Chicago, IL 60675

  6,090,125.918    11%

Low-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

Conservative Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  4,758,072.579    8%

Low-Duration Bond Fund

Institutional Class

 

Northern Trust as Custodian

FBO In Touch Foundation Inc Operations

PO Box 92956

Chicago, IL 60675

  4,755,514.455    8%

Low-Duration Bond Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  4,311,961.423    8%

Low-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  4,126,693.519    7%

Medium-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  53,837,115.212    21%

Medium-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  50,633,200.958    19%

Medium-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  30,576,791.962    12%

Medium-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2015 Fund

PO Box 819109

Dallas, TX 75381-9109

  20,321,048.643    8%

Medium-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045 Fund

PO Box 819109

Dallas, TX 75381-9109

  20,293,085.497    8%

Medium-Duration Bond Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  17,983,244.920    7%

Medium-Duration Bond Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  13,402,534.475    5%

Global Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  17,172,947.954    23%

Global Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  13,724,279.546    18%

 

B-7


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Global Bond Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  12,244,313.745    16%

Global Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045

PO Box 819109

Dallas, TX 75381-9109

  7,542,459.539    10%

Global Bond Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2015 Fund

PO Box 819109

Dallas, TX 75381-9109

  5,028,373.961    7%

Global Bond Fund

Institutional Class

 

Edward D. Jones & Co

For the Benefit of Customers

12555 Manchester Rd

Saint Louis, MO 63131-3729

  4,309,024.757    6%

Strategic Alternatives Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  5,850,433.473    23%

Strategic Alternatives Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  2,788,947.403    11%

Strategic Alternatives Fund

Institutional Class

 

Northern Trust as Custodian

FBO GSFR Fixed Benefit

PO Box 92956

Chicago, IL 60675

  2,422,313.710    9%

Strategic Alternatives Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  2,377,784.468    9%

Strategic Alternatives Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  2,365,538.452    9%

Strategic Alternatives Fund

Institutional Class

 

GuideStone Financial Resources

Conservative Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,260,761.273    9%

Strategic Alternatives Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,027,410.085    8%

Defensive Market Strategies Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  17,140,515.818    21%

Defensive Market Strategies Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  16,257,278.266    20%

Defensive Market Strategies Fund

Institutional Class

 

GuideStone Financial Resources

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  10,729,048.730    13%

 

B-8


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Defensive Market Strategies Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  9,261,361.340    12%

Defensive Market Strategies Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045 Fund

PO Box 819109

Dallas, TX 75381-9109

  7,573,192.794    9%

Defensive Market Strategies Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2015 Fund

PO Box 819109

Dallas, TX 75381-9109

  4,406,975.833    6%

Impact Bond Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,184,670.316    27%

Impact Bond Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,088,667.325    26%

Impact Bond Fund

Institutional Class

 

GuideStone Financial Resources

Conservative Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  1,717,039.869    21%

Impact Bond Fund

Institutional Class

 

Northern Trust as Custodian

FBO In Touch Ministries Inc Operations

PO Box 92956

Chicago, IL 60675

  620,934.380    8%

Impact Bond Fund

Institutional Class

 

Northern Trust as Custodian

FBO In Touch Foundation Inc Operations

PO Box 92956

Chicago, IL 60675

  430,925.817    5%

Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045 Fund

PO Box 819109

Dallas, TX 75381-9109

  14,032,202.182    22%

Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  11,146,824.760    18%

Equity Index Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  9,176,269.964    15%

Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2055 Fund

PO Box 819109

Dallas, TX 75381-9109

  7,621,931.823    12%

Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  6,258,037.891    10%

Global Real Estate Securities Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045 Fund

PO Box 819109

Dallas, TX 75381-9109

  3,953,811.712    16%

 

B-9


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Global Real Estate Securities Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  3,924,447.340    16%

Global Real Estate Securities Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  3,394,034.042    14%

Global Real Estate Securities Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,763,563.857    11%

Global Real Estate Securities Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,686,808.396    !!%

Global Real Estate Securities Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2055 Fund

PO Box 819109

Dallas, TX 75381-9109

  2,109,906.067    9%

Global Real Estate Securities Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  2,097,782.321    9%

Value Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  14,991,156.057    33%

Value Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  12,146,043.557    27%

Value Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  5,758,877.417    13%

Value Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  2,552,648.373    6%

Value Equity Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  7,018,242.391    29%

Value Equity Fund

Institutional Class

 

GuideStone Financial Resources

Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  6,310,305.766    26%

Value Equity Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  4,653,454.390    19%

Value Equity Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,723,795.370    11%

 

B-10


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Value Equity Fund

Institutional Class

 

Edward D. Jones & Co

For the Benefit of Customers

12555 Manchester Rd

Saint Louis, MO 63131-3729

  1,533,549.625    6%

Growth Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  13,307,890.166    34%

Growth Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  10,504,923.749    27%

Growth Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  5,498,129.005    14%

Growth Equity Index Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  2,880,454.199    7%

Growth Equity Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  11,024,376.103    41%

Growth Equity Fund

Institutional Class

 

GuideStone Financial Resources

Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  5,702,292.709    21%

Growth Equity Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  4,125,687.606    15%

Growth Equity Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  2,624,795.334    10%

Small Cap Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045 Fund

PO Box 819109

Dallas, TX 75381-9109

  6,317,212.489    18%

Small Cap Equity Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  5,694,788.737    16%

Small Cap Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  4,946,657.782    14%

Small Cap Equity Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  3,767,532.870    10%

Small Cap Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2055 Fund

PO Box 819109

Dallas, TX 75381-9109

  3,505,153.582    10%

 

B-11


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Small Cap Equity Fund

Institutional Class

 

GuideStone Financial Resources

Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  3,259,502.746    9%

Small Cap Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  2,700,830.244    8%

International Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045 Fund

PO Box 819109

Dallas, TX 75381-9109

  32,397,339.190    28%

International Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  25,894,949.762    23%

International Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2055 Fund

PO Box 819109

Dallas, TX 75381-9109

  17,554,235.510    15%

International Equity Index Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  14,500,529.998    13%

International Equity Index Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  6,807,508.000    6%

International Equity Fund

Institutional Class

 

GuideStone Financial Resources

Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  15,961,922.427    31%

International Equity Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  12,660,687.786    25%

International Equity Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  7,967.043.011    15%

International Equity Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  5,548,421.556    11%

Emerging Markets Equity Fund

Institutional Class

 

GuideStone Financial Resources

Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  11,254,183.696    17%

Emerging Markets Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2045 Fund

PO Box 819109

Dallas, TX 75381-9109

  9,053,484.985    14%

Emerging Markets Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2035 Fund

PO Box 819109

Dallas, TX 75381-9109

  7,451,538.407    11%

 

B-12


Name of Fund   Shareholder Name and Address  

Number and Percentage of Shares Owned

as of September 15, 2026

(Percentage of shares owned rounded to the
nearest whole percentage)

Emerging Markets Equity Fund

Institutional Class

 

GuideStone Financial Resources

Moderately Aggressive Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  6,755,389.304    10%

Emerging Markets Equity Fund

Institutional Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  5,196,514.457    8%

Emerging Markets Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2055 Fund

PO Box 819109

Dallas, TX 75381-9109

  4,869,298.126    7%

Emerging Markets Equity Fund

Institutional Class

 

GuideStone Financial Resources

MyDestination 2025 Fund

PO Box 819109

Dallas, TX 75381-9109

  4,495,859.967    7%

Emerging Markets Equity Fund

Institutional Class

 

GuideStone Financial Resources

Balanced Allocation Fund

PO Box 819109

Dallas, TX 75381-9109

  3,735,378.009    6%

MyDestination 2015 Fund

Select Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  8,441,283.002    97%

MyDestination 2025 Fund

Select Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  29,295,293.299    98%

MyDestination 2035 Fund

Select Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  43,968,711.369    98%

MyDestination 2045 Fund

Select Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  36,606,909.705    97%

MyDestination 2055 Fund

Select Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  17,222,092.028    98%

MyDestination 2065 Fund

Select Class

 

GuideStone 403(b)(9) Employer Plan

PO Box 819109

Dallas, TX 75381-9109

  3,399,905.686    100%

 

B-13