Green CALIFORNIA TAX FREE INCOME FUND
Portfolio of Investments
May 31, 2024
SECURITY DESCRIPTION | | Par Value | | | Value | |
| | | | | | |
Municipal Bonds (89.47%) | | | | | | | | |
| | | | | | | | |
CALIFORNIA EDUCATIONAL FACILITIES AUTHORITY | | | | | | | | |
California Educational Facilities Authority, 5.000%, 04/01/2051 | | | 1,500,000 | | | | 1,734,582 | |
| | | | | | | | |
CALIFORNIA HEALTH FACILITIES FINANCING AUTHORITY | | | | | | | | |
California Health Facilities Financing Authority, 5.000%, 11/01/2027 | | | 1,700,000 | | | | 1,798,182 | |
| | | | | | | | |
CALIFORNIA HOUSING FINANCE AGENCY | | | | | | | | |
California Housing Finance Agency, 4.000%, 03/20/2033 | | | 347,781 | | | | 341,682 | |
| | | | | | | | |
CALIFORNIA INFRASTRUCTURE & ECONOMIC DEVELOPMENT BANK | | | | | | | | |
California Infrastructure & Economic Development Bank, 5.000%, 10/01/2031 | | | 300,000 | | | | 315,251 | |
California Infrastructure & Economic Development Bank, 5.000%, 10/01/2033 | | | 1,200,000 | | | | 1,231,965 | |
| | | | | | | | |
CALIFORNIA MUNICIPAL FINANCE AUTHORITY | | | | | | | | |
California Municipal Finance Authority, 5.000%, 05/15/2038 | | | 800,000 | | | | 824,367 | |
California Municipal Finance Authority, 5.000%, 10/01/2044 | | | 480,000 | | | | 497,926 | |
| | | | | | | | |
CITY OF LOS ANGELES CA WASTEWATER SYSTEM REVENUE | | | | | | | | |
City of Los Angeles CA Wastewater System Revenue, 5.250%, 06/01/2047 | | | 1,500,000 | | | | 1,564,163 | |
| | | | | | | | |
CITY OF SAN FRANCISCO CA PUBLIC UTILITIES COMMISSION WATER REVENUE | | | | | | | | |
City of San Francisco CA Public Utilities Commission Water Revenue, 5.000%, 11/01/2034 | | | 1,000,000 | | | | 1,050,332 | |
| | | | | | | | |
EAST BAY MUNICIPAL UTILITY DISTRICT WATER SYSTEM REVENUE | | | | | | | | |
East Bay Municipal Utility District Water System Revenue, 5.000%, 06/01/2026 | | | 1,050,000 | | | | 1,066,550 | |
East Bay Municipal Utility District Water System Revenue, 5.000%, 06/01/2032 | | | 150,000 | | | | 157,790 | |
| | | | | | | | |
FOOTHILL-DE ANZA COMMUNITY COLLEGE DISTRICT | | | | | | | | |
Foothill-De Anza Community College District, 0.000%, 08/01/2027 | | | 2,000,000 | | | | 1,797,414 | |
| | | | | | | | |
LOS ANGELES COUNTY METROPOLITAN TRANSPORTATION AUTHORITY SALES TAX REVENUE | | | | | | | | |
Los Angeles County Metropolitan Transportation Authority Sales Tax Revenue, 4.000%, 07/01/2028 | | | 500,000 | | | | 501,022 | |
Los Angeles County Metropolitan Transportation Authority Sales Tax Revenue, 5.000%, 06/01/2033 | | | 590,000 | | | | 651,932 | |
| | | | | | | | |
LOS ANGELES UNIFIED SCHOOL DISTRICT | | | | | | | | |
Los Angeles Unified School District, 5.000%, 07/01/2026 | | | 600,000 | | | | 620,285 | |
| | | | | | | | |
LOS RIOS COMMUNITY COLLEGE DISTRICT | | | | | | | | |
Los Rios Community College District, 5.000%, 08/01/2032 | | | 2,500,000 | | | | 2,501,905 | |
| | | | | | | | |
MILPITAS UNIFIED SCHOOL DISTRICT | | | | | | | | |
Milpitas Unified School District, 3.000%, 08/01/2034 | | | 2,000,000 | | | | 1,824,922 | |
| | | | | | | | |
PENINSULA CORRIDOR JOINT POWERS BOARD MEASURE RR SALES TAX REVENUE | | | | | | | | |
Peninsula Corridor Joint Powers Board Measure RR Sales Tax Revenue, 5.000%, 06/01/2036 | | | 200,000 | | | | 224,645 | |
| | | | | | | | |
SACRAMENTO MUNICIPAL UTILITY DISTRICT | | | | | | | | |
Sacramento Municipal Utility District, 5.250%, 07/01/2024 | | | 270,000 | | | | 270,310 | |
Sacramento Municipal Utility District, 5.000%, 11/15/2033 | | | 500,000 | | | | 579,931 | |
| | | | | | | | |
SAN DIEGO COUNTY REGIONAL TRANSPORTATION COMMISSION | | | | | | | | |
San Diego County Regional Transportation Commission, 5.000%, 04/01/2037 | | | 500,000 | | | | 573,976 | |
| | | | | | | | |
SAN DIEGO PUBLIC FACILITIES FINANCING AUTHORITY | | | | | | | | |
San Diego Public Facilities Financing Authority, 5.000%, 05/15/2052 | | | 1,500,000 | | | | 1,621,668 | |
| | | | | | | | |
SAN FRANCISCO BAY AREA RAPID TRANSIT DISTRICT | | | | | | | | |
San Francisco Bay Area Rapid Transit District, 5.000%, 08/01/2036 | | | 1,300,000 | | | | 1,356,470 | |
| | | | | | | | |
SAN FRANCISCO CITY & COUNTY PUBLIC UTILITIES COMMISSION POWER REVENUE | | | | | | | | |
San Francisco City & County Public Utilities Commission Power Revenue, 5.000%, 11/1/2030 | | | 680,000 | | | | 688,971 | |
San Francisco City & County Public Utilities Commission Power Revenue, 5.000%, 11/1/2036 | | | 1,170,000 | | | | 1,184,596 | |
| | | | | | | | |
SAN JOSE FINANCING AUTHORITY | | | | | | | | |
San Jose Financing Authority, 5.000%, 11/01/2052 | | | 1,500,000 | | | | 1,631,303 | |
| | | | | | | | |
SAN MATEO FOSTER CITY PUBLIC FINANCING AUTHORITY | | | | | | | | |
San Mateo Foster City Public Financing Authority, 4.000%, 08/01/2044 | | | 2,000,000 | | | | 1,997,894 | |
| | | | | | | | |
SANTA MARIA JOINT UNION HIGH SCHOOL DISTRICT | | | | | | | | |
Santa Maria Joint Union High School District, 0.000%, 08/01/2029 | | | 2,500,000 | | | | 2,073,370 | |
| | | | | | | | |
STATE OF CALIFORNIA | | | | | | | | |
State of California, 3.000%, 10/01/2028 | | | 900,000 | | | | 872,053 | |
State of California, 5.250%, 10/01/2045 | | | 500,000 | | | | 558,586 | |
| | | | | | | | |
TURLOCK IRRIGATION DISTRICT | | | | | | | | |
Turlock Irrigation District, 5.000%, 01/01/2036 | | | 300,000 | | | | 329,342 | |
| | | | | | | | |
WALNUT VALLEY UNIFIED SCHOOL DISTRICT | | | | | | | | |
Walnut Valley Unified School District, 5.000%, 08/01/2036 | | | 835,000 | | | | 953,078 | |
| | | | | | | | |
WILLIAM S HART UNION HIGH SCHOOL DISTRICT | | | | | | | | |
William S Hart Union High School District, 0.000%, 09/01/2029 | | | 1,595,000 | | | | 1,316,767 | |
| | | | | | | | |
Total Municipal Bonds (Cost $35,670,989) | | | | | | | 34,713,230 | |
| | | | | | | | |
Variable Rate Demand Notes* (9.79%) | | | | | | | | |
| | | | | | | | |
IRVINE RANCH WATER DISTRICT WATER SERVICE CORP | | | | | | | | |
Irvine Ranch Water District Water Service Corp, 1.950%, 10/01/2041*,**,*** | | | 1,200,000 | | | | 1,200,000 | |
| | | | | | | | |
LOS ANGELES DEPARTMENT OF WATER & POWER WATER SYSTEM REVENUE | | | | | | | | |
Los Angeles Department of Water & Power Water System Revenue, 2.000%, 07/01/2045*,**,*** | | | 400,000 | | | | 400,000 | |
| | | | | | | | |
ORANGE COUNTY WATER DISTRICT | | | | | | | | |
Orange County Water District, 2.050%, 08/01/2042*,**,*** | | | 1,700,000 | | | | 1,700,000 | |
| | | | | | | | |
REGENTS OF THE UNIVERSITY OF CALIFORNIA MEDICAL CENTER POOLED REVENUE | | | | | | | | |
Regents of the University of California Medical Center Pooled Revenue, 2.050%, 05/15/2045*,**,*** | | | 500,000 | | | | 500,000 | |
| | | | | | | | |
Total Variable Rate Demand Notes (Cost $3,800,000) | | | | | | | 3,800,000 | |
| | | | | | | | |
Total Investments (Cost $39,470,989) (99.26%) | | | | | | | 38,513,230 | |
Other Net Assets (0.74%) | | | | | | | 285,749 | |
Net Assets (100.00%) | | | | | | $ | 38,798,979 | |
.
* Stated maturity reflects next reset date.
** In accordance with the offering documents, daily interest rates are determined by the Remarketing Agents.
*** Rate Effective as of May 31, 2024
U.S. GOVERNMENT SECURITIES FUND
Portfolio of Investments
May 31, 2024
Security Description | | Par Value | | | Value | |
| | | | | | |
Government National Mortgage Association (1.85%) | | | | | | | | |
3.500%, 11/20/2044 | | | 90,487 | | | $ | 82,120 | |
5.000%, 03/15/2038 | | | 75,435 | | | | 74,922 | |
5.500%, 01/15/2025 | | | 1,990 | | | | 1,985 | |
5.500%, 04/15/2036 | | | 48,571 | | | | 48,735 | |
6.000%, 01/15/2026 | | | 21,732 | | | | 21,807 | |
6.000%, 06/15/2038 | | | 21,577 | | | | 22,404 | |
Total Government National Mortgage Association (Cost $262,168) | | | | | | | 251,973 | |
| | | | | | | | |
United States Treasury Bonds (42.40%) | | | | | | | | |
2.000%, 11/15/2041 | | | 2,000,000 | | | | 1,351,756 | |
2.250%, 05/15/2041 | | | 1,200,000 | | | | 855,281 | |
2.875%, 08/15/2045 | | | 800,000 | | | | 598,813 | |
3.125%, 08/15/2044 | | | 1,600,000 | | | | 1,261,063 | |
4.000%, 11/15/2052 | | | 1,000,000 | | | | 895,313 | |
6.000%, 02/15/2026 | | | 800,000 | | | | 815,875 | |
Total United States Treasury Bonds (Cost $6,374,986) | | | | | | | 5,778,101 | |
| | | | | | | | |
United States Treasury Notes (53.26%) | | | | | | | | |
0.625%, 03/31/2027 | | | 900,000 | | | | 803,742 | |
2.000%, 02/15/2025 | | | 2,100,000 | | | | 2,052,615 | |
2.125%, 05/15/2025 | | | 1,200,000 | | | | 1,166,069 | |
2.375%, 04/30/2026 | | | 800,000 | | | | 763,344 | |
3.875%, 03/31/2025 | | | 2,500,000 | | | | 2,472,975 | |
Total United States Treasury Notes (Cost $7,387,051) | | | | | | | 7,258,745 | |
| | | | | | | | |
United States Treasury Bills (1.46%) | | | | | | | | |
United States Treasury Bill (Cost $198,835) | | | 200,000 | | | | 198,888 | |
| | | | | | | | |
Total Investments (Cost $14,223,039) (98.97%) | | | | | | | 13,487,707 | |
Other Net Assets (1.03%) | | | | | | | 140,499 | |
Net Assets (100.00%) | | | | | | $ | 13,628,206 | |
THE UNITED STATES TREASURY TRUST
Portfolio of Investments
May 31, 2024
Security Description | | Par Value | | | Value | |
| | | | | | |
United States Treasury Bills, DN(a) (100.17%) | | | | | | | | |
06/06/2024 | | | 4,100,000 | | | $ | 4,097,074 | |
06/13/2024 | | | 2,600,000 | | | | 2,595,458 | |
06/18/2024 | | | 2,000,000 | | | | 1,995,070 | |
06/25/2024 | | | 2,800,000 | | | | 2,790,170 | |
06/27/2024 | | | 1,000,000 | | | | 996,232 | |
07/09/2024 | | | 900,000 | | | | 895,049 | |
07/18/2024 | | | 1,900,000 | | | | 1,886,995 | |
07/25/2024 | | | 2,100,000 | | | | 2,083,545 | |
08/01/2024 | | | 2,500,000 | | | | 2,478,190 | |
08/22/2024 | | | 2,000,000 | | | | 1,976,202 | |
09/10/2024 | | | 1,500,000 | | | | 1,477,990 | |
10/10/2024 | | | 1,400,000 | | | | 1,373,403 | |
Total United States Treasury Bills, DN (Cost $24,645,378) | | | | | | | 24,645,378 | |
| | | | | | | | |
Total Investments (Cost $24,645,378)(100.17%) | | | | | | | 24,645,378 | |
Liabilities in Excess of Other Assets (-0.17%) | | | | | | | (41,347 | ) |
Net Assets (100.00%) | | | | | | $ | 24,604,031 | |
(a) Discount Note. Yield to maturity is between 3.20% - 5.30%.
S&P 500 INDEX FUND
Portfolio of Investments
May 31, 2024
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
Basic Materials (1.85%) | | | | | | | | |
Air Products and Chemicals Inc | | | 1,314 | | | $ | 350,444 | |
Albemarle Corp# | | | 729 | | | | 89,368 | |
Celanese Corp | | | 614 | | | | 93,353 | |
CF Industries Holdings Inc# | | | 1,130 | | | | 90,095 | |
Dow Inc | | | 4,150 | | | | 239,165 | |
DuPont de Nemours Inc | | | 2,544 | | | | 209,015 | |
Eastman Chemical Co | | | 701 | | | | 71,032 | |
Ecolab Inc | | | 1,501 | | | | 348,532 | |
FMC Corp | | | 795 | | | | 48,455 | |
Freeport-McMoRan Inc | | | 8,485 | | | | 447,414 | |
International Flavors & Fragrances Inc | | | 1,613 | | | | 155,138 | |
International Paper Co | | | 2,339 | | | | 105,466 | |
Linde PLC | | | 2,869 | | | | 1,249,507 | |
LyondellBasell Industries NV | | | 1,516 | | | | 150,721 | |
The Mosaic Co | | | 2,068 | | | | 63,963 | |
Newmont Corp | | | 5,010 | | | | 210,119 | |
Nucor Corp# | | | 1,454 | | | | 245,508 | |
PPG Industries Inc | | | 1,395 | | | | 183,317 | |
The Sherwin-Williams Co | | | 1,393 | | | | 423,193 | |
Steel Dynamics Inc | | | 900 | | | | 120,483 | |
Total Basic Materials | | | | | | | 4,894,288 | |
| | | | | | | | |
Communications (14.74%) | | | | | | | | |
Airbnb Inc* | | | 2,571 | | | | 372,615 | |
Alphabet Inc - Class A* | | | 35,020 | | | | 6,040,950 | |
Alphabet Inc - Class C* | | | 29,474 | | | | 5,127,297 | |
Amazon.com Inc(a),* | | | 53,814 | | | | 9,494,942 | |
Arista Networks Inc* | | | 1,464 | | | | 435,760 | |
AT&T Inc | | | 42,310 | | | | 770,888 | |
Booking Holdings Inc# | | | 206 | | | | 777,928 | |
CDW Corp | | | 792 | | | | 177,107 | |
Charter Communications Inc* | | | 591 | | | | 169,688 | |
Cisco Systems Inc | | | 23,969 | | | | 1,114,559 | |
Comcast Corp | | | 23,762 | | | | 951,193 | |
Corning Inc# | | | 4,543 | | | | 169,272 | |
eBay Inc# | | | 3,071 | | | | 166,510 | |
Etsy Inc* | | | 797 | | | | 50,586 | |
Expedia Group Inc* | | | 788 | | | | 88,934 | |
F5 Inc* | | | 353 | | | | 59,646 | |
FactSet Research Systems Inc# | | | 239 | | | | 96,618 | |
Fox Corp - Class B | | | 913 | | | | 29,161 | |
Fox Corp - Class A | | | 1,462 | | | | 50,337 | |
Gen Digital Inc | | | 3,336 | | | | 82,833 | |
The Interpublic Group of Cos Inc | | | 2,266 | | | | 71,084 | |
Juniper Networks Inc | | | 1,886 | | | | 67,274 | |
Match Group Inc* | | | 1,756 | | | | 53,786 | |
Meta Platforms Inc(a) | | | 13,134 | | | | 6,131,345 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
Motorola Solutions Inc | | | 982 | | | | 358,342 | |
Netflix Inc* | | | 2,590 | | | | 1,661,796 | |
News Corp - Class B | | | 910 | | | | 25,371 | |
News Corp - Class A | | | 2,672 | | | | 72,652 | |
Omnicom Group Inc# | | | 1,171 | | | | 108,856 | |
Palo Alto Networks Inc* | | | 1,869 | | | | 551,187 | |
Paramount Global# | | | 3,111 | | | | 37,052 | |
T-Mobile US Inc | | | 3,011 | | | | 526,805 | |
Uber Technologies Inc* | | | 12,177 | | | | 786,147 | |
VeriSign Inc* | | | 525 | | | | 91,518 | |
Verizon Communications Inc | | | 24,878 | | | | 1,023,730 | |
The Walt Disney Co | | | 10,839 | | | | 1,126,280 | |
Warner Bros Discovery Inc* | | | 13,955 | | | | 114,989 | |
Total Communications | | | | | | | 39,035,038 | |
| | | | | | | | |
Consumer, Cyclical (8.00%) | | | | | | | | |
American Airlines Group Inc*,# | | | 3,057 | | | | 35,156 | |
Aptiv PLC* | | | 1,715 | | | | 142,791 | |
AutoZone Inc* | | | 104 | | | | 288,074 | |
Bath & Body Works Inc | | | 1,525 | | | | 79,209 | |
Best Buy Co Inc | | | 1,278 | | | | 108,400 | |
BorgWarner Inc | | | 1,412 | | | | 50,352 | |
Caesars Entertainment Inc*,# | | | 945 | | | | 33,604 | |
CarMax Inc* | | | 1,034 | | | | 72,649 | |
Carnival Corp*,# | | | 5,174 | | | | 78,024 | |
Chipotle Mexican Grill Inc* | | | 162 | | | | 506,982 | |
Copart Inc* | | | 5,170 | | | | 274,320 | |
Costco Wholesale Corp | | | 2,619 | | | | 2,121,102 | |
Cummins Inc | | | 838 | | | | 236,090 | |
Darden Restaurants Inc# | | | 749 | | | | 112,642 | |
Deckers Outdoor Corp* | | | 151 | | | | 165,182 | |
Delta Air Lines Inc | | | 3,807 | | | | 194,233 | |
Dollar General Corp | | | 1,298 | | | | 177,709 | |
Dollar Tree Inc* | | | 1,280 | | | | 150,976 | |
Domino’s Pizza Inc | | | 233 | | | | 118,499 | |
DR Horton Inc | | | 1,783 | | | | 263,527 | |
Fastenal Co | | | 3,381 | | | | 223,078 | |
Ford Motor Co | | | 23,268 | | | | 282,241 | |
General Motors Co | | | 8,104 | | | | 364,599 | |
Genuine Parts Co | | | 908 | | | | 130,879 | |
Hasbro Inc | | | 771 | | | | 46,090 | |
Hilton Worldwide Holdings Inc | | | 1,517 | | | | 304,310 | |
The Home Depot Inc | | | 5,933 | | | | 1,986,784 | |
Las Vegas Sands Corp | | | 2,145 | | | | 96,589 | |
Lennar Corp | | | 1,480 | | | | 237,318 | |
Live Nation Entertainment Inc* | | | 839 | | | | 78,648 | |
LKQ Corp | | | 1,642 | | | | 70,655 | |
Lowe’s Cos Inc | | | 3,415 | | | | 755,705 | |
Lululemon Athletica Inc*,# | | | 697 | | | | 217,457 | |
Marriott International Inc | | | 1,459 | | | | 337,277 | |
McDonald’s Corp | | | 4,292 | | | | 1,111,156 | |
MGM Resorts International* | | | 1,617 | | | | 64,955 | |
NIKE Inc | | | 7,310 | | | | 694,816 | |
Norwegian Cruise Line Holdings Ltd* | | | 1,599 | | | | 26,543 | |
NVR Inc*,# | | | 18 | | | | 138,253 | |
O’Reilly Automotive Inc* | | | 350 | | | | 337,141 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
PACCAR Inc | | | 3,095 | | | | 332,713 | |
Pool Corp | | | 228 | | | | 82,889 | |
PulteGroup Inc | | | 1,275 | | | | 149,583 | |
Ralph Lauren Corp | | | 314 | | | | 58,680 | |
Ross Stores Inc | | | 2,003 | | | | 279,939 | |
Royal Caribbean Cruises Ltd*,# | | | 1,236 | | | | 182,532 | |
Southwest Airlines Co | | | 3,416 | | | | 91,685 | |
Starbucks Corp | | | 6,761 | | | | 542,367 | |
Tapestry Inc | | | 1,454 | | | | 63,234 | |
Target Corp | | | 2,731 | | | | 426,473 | |
Tesla Inc* | | | 16,366 | | | | 2,914,457 | |
The TJX Cos Inc | | | 6,770 | | | | 697,987 | |
Tractor Supply Co# | | | 639 | | | | 182,300 | |
Ulta Beauty Inc* | | | 291 | | | | 114,971 | |
United Airlines Holdings Inc*,# | | | 1,732 | | | | 91,779 | |
Walgreens Boots Alliance Inc | | | 4,694 | | | | 76,137 | |
Walmart Inc | | | 25,323 | | | | 1,665,240 | |
WW Grainger Inc# | | | 261 | | | | 240,501 | |
Wynn Resorts Ltd | | | 526 | | | | 49,907 | |
Yum! Brands Inc | | | 1,658 | | | | 227,859 | |
Total Consumer, Cyclical | | | | | | | 21,185,248 | |
| | | | | | | | |
Consumer, Non-Cyclical (17.77%) | | | | | | | | |
Abbott Laboratories | | | 10,269 | | | | 1,049,389 | |
AbbVie Inc | | | 10,447 | | | | 1,684,474 | |
Agilent Technologies Inc# | | | 1,731 | | | | 225,740 | |
Align Technology Inc* | | | 421 | | | | 108,285 | |
Altria Group Inc | | | 10,466 | | | | 484,053 | |
Amgen Inc | | | 3,166 | | | | 968,321 | |
Archer-Daniels-Midland Co | | | 3,156 | | | | 197,061 | |
Automatic Data Processing Inc | | | 2,433 | | | | 595,890 | |
Avery Dennison Corp | | | 514 | | | | 116,981 | |
Baxter International Inc | | | 3,172 | | | | 108,133 | |
Becton Dickinson & Co | | | 1,716 | | | | 398,061 | |
Biogen Inc* | | | 857 | | | | 192,774 | |
Bio-Rad Laboratories Inc* | | | 147 | | | | 42,168 | |
Bio-Techne Corp | | | 984 | | | | 75,955 | |
Boston Scientific Corp* | | | 8,664 | | | | 654,738 | |
Bristol-Myers Squibb Co | | | 12,040 | | | | 494,724 | |
Brown-Forman Corp | | | 1,153 | | | | 52,877 | |
Bunge Global SA | | | 859 | | | | 92,420 | |
Campbell Soup Co | | | 1,162 | | | | 51,570 | |
Cardinal Health Inc | | | 1,458 | | | | 144,736 | |
Catalent Inc* | | | 1,096 | | | | 58,954 | |
Cencora Inc | | | 952 | | | | 215,695 | |
Centene Corp* | | | 3,161 | | | | 226,296 | |
Charles River Laboratories International Inc*,# | | | 322 | | | | 67,118 | |
Church & Dwight Co Inc | | | 1,558 | | | | 166,722 | |
The Cigna Group | | | 1,731 | | | | 596,537 | |
Cintas Corp | | | 512 | | | | 347,121 | |
The Clorox Co# | | | 779 | | | | 102,485 | |
The Coca-Cola Co | | | 23,025 | | | | 1,448,963 | |
Colgate-Palmolive Co | | | 4,872 | | | | 452,901 | |
Conagra Brands Inc | | | 3,029 | | | | 90,507 | |
Constellation Brands Inc | | | 956 | | | | 239,220 | |
The Cooper Cos Inc | | | 1,172 | | | | 110,531 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
Corpay Inc* | | | 427 | | | | 114,295 | |
Corteva Inc | | | 4,170 | | | | 233,270 | |
CoStar Group Inc* | | | 2,529 | | | | 197,692 | |
CVS Health Corp | | | 7,600 | | | | 452,960 | |
Danaher Corp | | | 3,891 | | | | 999,209 | |
DaVita Inc* | | | 318 | | | | 46,784 | |
Dexcom Inc* | | | 2,286 | | | | 271,508 | |
Edwards Lifesciences Corp* | | | 3,589 | | | | 311,848 | |
Elevance Health Inc | | | 1,390 | | | | 748,487 | |
Eli Lilly & Co | | | 4,718 | | | | 3,870,364 | |
Equifax Inc | | | 729 | | | | 168,683 | |
The Estee Lauder Cos Inc | | | 1,427 | | | | 176,035 | |
Gartner Inc* | | | 461 | | | | 193,468 | |
GE HealthCare Technologies Inc | | | 2,309 | | | | 180,102 | |
General Mills Inc | | | 3,439 | | | | 236,431 | |
Gilead Sciences Inc | | | 7,373 | | | | 473,863 | |
Global Payments Inc | | | 1,620 | | | | 164,997 | |
HCA Healthcare Inc | | | 1,172 | | | | 398,187 | |
Henry Schein Inc* | | | 871 | | | | 60,395 | |
The Hershey Co | | | 941 | | | | 186,158 | |
Hologic Inc* | | | 1,449 | | | | 106,907 | |
Hormel Foods Corp# | | | 1,912 | | | | 59,234 | |
Humana Inc | | | 728 | | | | 260,711 | |
IDEXX Laboratories Inc* | | | 491 | | | | 244,002 | |
Illumina Inc* | | | 953 | | | | 99,379 | |
Incyte Corp* | | | 1,229 | | | | 71,024 | |
Insulet Corp* | | | 427 | | | | 75,660 | |
Intuitive Surgical Inc* | | | 2,090 | | | | 840,431 | |
IQVIA Holdings Inc* | | | 1,083 | | | | 237,274 | |
The J M Smucker Co | | | 628 | | | | 70,110 | |
Johnson & Johnson | | | 14,245 | | | | 2,089,314 | |
Kellanova | | | 1,661 | | | | 100,225 | |
Kenvue Inc | | | 10,198 | | | | 196,821 | |
Keurig Dr Pepper Inc | | | 4,656 | | | | 159,468 | |
Kimberly-Clark Corp | | | 1,999 | | | | 266,467 | |
The Kraft Heinz Co | | | 4,282 | | | | 151,454 | |
The Kroger Co | | | 4,012 | | | | 210,108 | |
Labcorp Holdings Inc | | | 502 | | | | 97,845 | |
Lamb Weston Holdings Inc | | | 955 | | | | 84,317 | |
MarketAxess Holdings Inc | | | 260 | | | | 51,722 | |
McCormick & Co Inc | | | 1,581 | | | | 114,180 | |
McKesson Corp | | | 787 | | | | 448,267 | |
Medtronic PLC | | | 7,873 | | | | 640,626 | |
Merck & Co Inc | | | 14,995 | | | | 1,882,472 | |
Moderna Inc* | | | 2,052 | | | | 292,513 | |
Molina Healthcare Inc* | | | 371 | | | | 116,709 | |
Molson Coors Beverage Co | | | 1,200 | | | | 65,772 | |
Mondelez International Inc | | | 8,050 | | | | 551,667 | |
Monster Beverage Corp* | | | 4,371 | | | | 226,942 | |
Moody’s Corp | | | 931 | | | | 369,598 | |
PayPal Holdings Inc* | | | 6,379 | | | | 401,813 | |
PepsiCo Inc | | | 8,135 | | | | 1,406,542 | |
Pfizer Inc | | | 33,673 | | | | 965,068 | |
Philip Morris International Inc | | | 9,186 | | | | 931,277 | |
The Procter & Gamble Co | | | 13,992 | | | | 2,302,244 | |
Quanta Services Inc | | | 883 | | | | 243,655 | |
Quest Diagnostics Inc | | | 665 | | | | 94,410 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
Regeneron Pharmaceuticals Inc* | | | 633 | | | | 620,441 | |
ResMed Inc | | | 870 | | | | 179,507 | |
Revvity Inc | | | 796 | | | | 86,971 | |
Robert Half Inc | | | 626 | | | | 40,208 | |
Rollins Inc | | | 693 | | | | 31,663 | |
S&P Global Inc | | | 1,917 | | | | 819,537 | |
Solventum Corp* | | | 817 | | | | 48,481 | |
STERIS PLC# | | | 603 | | | | 134,397 | |
Stryker Corp | | | 2,000 | | | | 682,180 | |
Sysco Corp | | | 2,983 | | | | 217,222 | |
Teleflex Inc | | | 318 | | | | 66,484 | |
Thermo Fisher Scientific Inc | | | 2,286 | | | | 1,298,402 | |
Tyson Foods Inc | | | 1,687 | | | | 96,581 | |
United Rentals Inc# | | | 401 | | | | 268,433 | |
UnitedHealth Group Inc | | | 5,473 | | | | 2,711,160 | |
Universal Health Services Inc | | | 423 | | | | 80,285 | |
Verisk Analytics Inc | | | 858 | | | | 216,885 | |
Vertex Pharmaceuticals Inc* | | | 1,524 | | | | 693,938 | |
Viatris Inc | | | 4,634 | | | | 49,120 | |
Waters Corp*,# | | | 349 | | | | 107,806 | |
West Pharmaceutical Services Inc | | | 437 | | | | 144,826 | |
Zimmer Biomet Holdings Inc | | | 1,236 | | | | 142,325 | |
Zoetis Inc | | | 2,716 | | | | 460,525 | |
Total Consumer, Non-Cyclical | | | | | | | 47,069,741 | |
| | | | | | | | |
Energy (3.94%) | | | | | | | | |
APA Corp# | | | 1,815 | | | | 55,412 | |
Baker Hughes Co | | | 5,905 | | | | 197,699 | |
Chevron Corp | | | 10,388 | | | | 1,685,972 | |
ConocoPhillips | | | 7,026 | | | | 818,388 | |
Coterra Energy Inc | | | 4,451 | | | | 126,943 | |
Devon Energy Corp | | | 3,875 | | | | 190,185 | |
Diamondback Energy Inc | | | 1,031 | | | | 205,437 | |
Enphase Energy Inc* | | | 825 | | | | 105,518 | |
EOG Resources Inc | | | 3,419 | | | | 425,836 | |
EQT Corp# | | | 2,434 | | | | 100,013 | |
Exxon Mobil Corp | | | 27,002 | | | | 3,166,255 | |
First Solar Inc*,# | | | 610 | | | | 165,774 | |
Halliburton Co | | | 5,296 | | | | 194,363 | |
Hess Corp | | | 1,635 | | | | 251,954 | |
Kinder Morgan Inc | | | 11,443 | | | | 223,024 | |
Marathon Oil Corp | | | 3,463 | | | | 100,288 | |
Marathon Petroleum Corp | | | 2,246 | | | | 396,666 | |
Occidental Petroleum Corp# | | | 4,002 | | | | 250,125 | |
ONEOK Inc | | | 2,916 | | | | 236,196 | |
Phillips 66 | | | 2,603 | | | | 369,912 | |
Schlumberger NV | | | 8,453 | | | | 387,908 | |
Targa Resources Corp | | | 1,319 | | | | 155,945 | |
Valero Energy Corp | | | 2,014 | | | | 316,480 | |
The Williams Cos Inc | | | 7,198 | | | | 298,789 | |
Total Energy | | | | | | | 10,425,082 | |
| | | | | | | | |
Financial (13.65%) | | | | | | | | |
Aflac Inc | | | 3,146 | | | | 282,731 | |
Alexandria Real Estate Equities Inc | | | 937 | | | | 111,503 | |
The Allstate Corp | | | 1,548 | | | | 259,321 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
American Express Co | | | 3,406 | | | | 817,440 | |
American International Group Inc | | | 4,154 | | | | 327,418 | |
American Tower Corp | | | 2,758 | | | | 539,851 | |
Ameriprise Financial Inc | | | 598 | | | | 261,093 | |
Aon PLC | | | 1,184 | | | | 333,462 | |
Arch Capital Group Ltd* | | | 2,278 | | | | 233,791 | |
Arthur J Gallagher & Co | | | 1,256 | | | | 318,182 | |
Assurant Inc | | | 341 | | | | 59,153 | |
AvalonBay Communities Inc | | | 882 | | | | 169,944 | |
Bank of America Corp | | | 40,742 | | | | 1,629,273 | |
The Bank of New York Mellon Corp | | | 4,700 | | | | 280,167 | |
Berkshire Hathaway Inc*,(a) | | | 10,766 | | | | 4,461,430 | |
BlackRock Inc | | | 827 | | | | 638,469 | |
Blackstone Inc | | | 4,204 | | | | 506,582 | |
Boston Properties Inc | | | 925 | | | | 56,120 | |
Brown & Brown Inc | | | 1,483 | | | | 132,743 | |
Camden Property Trust | | | 649 | | | | 66,620 | |
Capital One Financial Corp | | | 2,253 | | | | 310,080 | |
Cboe Global Markets Inc | | | 624 | | | | 107,946 | |
CBRE Group Inc* | | | 1,803 | | | | 158,790 | |
The Charles Schwab Corp | | | 8,791 | | | | 644,204 | |
Chubb Ltd | | | 2,414 | | | | 653,759 | |
Cincinnati Financial Corp# | | | 941 | | | | 110,643 | |
Citigroup Inc | | | 11,404 | | | | 710,583 | |
Citizens Financial Group Inc | | | 2,789 | | | | 98,424 | |
CME Group Inc | | | 2,130 | | | | 432,347 | |
Comerica Inc | | | 908 | | | | 46,526 | |
Crown Castle Inc | | | 2,568 | | | | 263,220 | |
Digital Realty Trust Inc | | | 1,797 | | | | 261,176 | |
Discover Financial Services | | | 1,479 | | | | 181,414 | |
Equinix Inc | | | 555 | | | | 423,454 | |
Equity Residential | | | 2,044 | | | | 132,921 | |
Essex Property Trust Inc | | | 425 | | | | 110,411 | |
Everest Group Ltd | | | 280 | | | | 109,460 | |
Extra Space Storage Inc | | | 844 | | | | 122,186 | |
Federal Realty Investment Trust | | | 449 | | | | 45,327 | |
Fifth Third Bancorp | | | 4,030 | | | | 150,803 | |
Franklin Resources Inc | | | 1,991 | | | | 46,988 | |
Globe Life Inc | | | 506 | | | | 41,877 | |
The Goldman Sachs Group Inc | | | 1,951 | | | | 890,671 | |
The Hartford Financial Services Group Inc | | | 1,779 | | | | 184,038 | |
Healthpeak Properties Inc | | | 3,020 | | | | 60,098 | |
Host Hotels & Resorts Inc | | | 4,539 | | | | 81,430 | |
Huntington Bancshares Inc | | | 7,104 | | | | 98,888 | |
Intercontinental Exchange Inc | | | 3,387 | | | | 453,519 | |
Invesco Ltd | | | 2,486 | | | | 39,055 | |
Invitation Homes Inc | | | 3,404 | | | | 118,425 | |
Iron Mountain Inc | | | 1,369 | | | | 110,465 | |
JPMorgan Chase & Co | | | 17,107 | | | | 3,466,391 | |
KeyCorp | | | 6,069 | | | | 87,212 | |
Kimco Realty Corp | | | 2,994 | | | | 57,964 | |
Loews Corp | | | 1,083 | | | | 83,174 | |
M&T Bank Corp | | | 1,042 | | | | 157,967 | |
Marsh & McLennan Cos Inc | | | 2,917 | | | | 605,511 | |
Mastercard Inc | | | 4,900 | | | | 2,190,643 | |
MetLife Inc | | | 3,679 | | | | 266,249 | |
Mid-America Apartment Communities Inc | | | 732 | | | | 97,876 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
Morgan Stanley | | | 7,547 | | | | 738,399 | |
Nasdaq Inc | | | 2,014 | | | | 118,886 | |
Northern Trust Corp | | | 1,225 | | | | 103,194 | |
The PNC Financial Services Group Inc | | | 2,357 | | | | 370,968 | |
Principal Financial Group Inc | | | 1,297 | | | | 106,406 | |
The Progressive Corp | | | 3,462 | | | | 731,105 | |
Prologis Inc | | | 5,467 | | | | 604,049 | |
Prudential Financial Inc | | | 2,136 | | | | 257,068 | |
Public Storage | | | 964 | | | | 263,972 | |
Raymond James Financial Inc | | | 1,112 | | | | 136,498 | |
Realty Income Corp | | | 3,496 | | | | 185,498 | |
Regency Centers Corp | | | 1,109 | | | | 68,093 | |
Regions Financial Corp | | | 5,503 | | | | 106,483 | |
SBA Communications Corp | | | 680 | | | | 133,742 | |
Simon Property Group Inc | | | 1,930 | | | | 292,028 | |
State Street Corp | | | 1,826 | | | | 138,027 | |
Synchrony Financial | | | 2,448 | | | | 107,222 | |
T Rowe Price Group Inc | | | 1,322 | | | | 155,771 | |
The Travelers Cos Inc | | | 1,351 | | | | 291,411 | |
Truist Financial Corp | | | 7,892 | | | | 297,923 | |
UDR Inc | | | 1,770 | | | | 68,357 | |
US Bancorp | | | 8,502 | | | | 344,756 | |
Ventas Inc | | | 2,564 | | | | 128,867 | |
VICI Properties Inc | | | 6,079 | | | | 174,528 | |
Visa Inc | | | 9,432 | | | | 2,569,843 | |
W R Berkley Corp | | | 1,335 | | | | 108,175 | |
Wells Fargo & Co | | | 21,490 | | | | 1,287,681 | |
Welltower Inc | | | 2,792 | | | | 289,447 | |
Weyerhaeuser Co | | | 4,319 | | | | 129,700 | |
Willis Towers Watson PLC | | | 611 | | | | 155,982 | |
Total Financial | | | | | | | 36,161,487 | |
| | | | | | | | |
Industrial (7.51%) | | | | | | | | |
3M Co | | | 3,268 | | | | 327,258 | |
A O Smith Corp | | | 726 | | | | 60,723 | |
Allegion plc | | | 601 | | | | 73,214 | |
Amcor PLC | | | 9,487 | | | | 96,483 | |
AMETEK Inc | | | 1,365 | | | | 231,477 | |
Amphenol Corp | | | 3,540 | | | | 468,590 | |
Axon Enterprise Inc* | | | 416 | | | | 117,175 | |
Ball Corp | | | 1,865 | | | | 129,487 | |
The Boeing Co* | | | 3,365 | | | | 597,658 | |
Builders FirstSource Inc* | | | 730 | | | | 117,377 | |
Carrier Global Corp# | | | 4,965 | | | | 313,738 | |
Caterpillar Inc | | | 3,018 | | | | 1,021,653 | |
CH Robinson Worldwide Inc# | | | 690 | | | | 59,595 | |
CSX Corp | | | 11,993 | | | | 404,764 | |
Deere & Co | | | 1,584 | | | | 593,620 | |
Dover Corp | | | 827 | | | | 152,019 | |
Eaton Corp PLC | | | 2,382 | | | | 792,849 | |
Emerson Electric Co | | | 3,373 | | | | 378,316 | |
Expeditors International of Washington Inc | | | 860 | | | | 103,974 | |
FedEx Corp | | | 1,368 | | | | 347,417 | |
Fortive Corp | | | 2,032 | | | | 151,262 | |
Garmin Ltd | | | 905 | | | | 148,284 | |
GE Vernova Inc* | | | 1,610 | | | | 283,199 | |
Generac Holdings Inc* | | | 285 | | | | 41,955 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
General Dynamics Corp | | | 1,340 | | | | 401,692 | |
General Electric Co | | | 6,440 | | | | 1,063,502 | |
Honeywell International Inc | | | 3,954 | | | | 799,459 | |
Howmet Aerospace Inc | | | 2,478 | | | | 209,763 | |
Hubbell Inc# | | | 317 | | | | 123,278 | |
Huntington Ingalls Industries Inc | | | 235 | | | | 59,479 | |
IDEX Corp | | | 447 | | | | 93,262 | |
Illinois Tool Works Inc | | | 1,620 | | | | 393,255 | |
Ingersoll Rand Inc# | | | 2,395 | | | | 222,855 | |
Jabil Inc | | | 757 | | | | 90,007 | |
Jacobs Solutions Inc | | | 745 | | | | 103,808 | |
JB Hunt Transport Services Inc | | | 529 | | | | 85,037 | |
Johnson Controls International plc | | | 4,233 | | | | 304,395 | |
Keysight Technologies Inc* | | | 1,050 | | | | 145,404 | |
L3Harris Technologies Inc | | | 1,121 | | | | 252,034 | |
Lockheed Martin Corp | | | 1,306 | | | | 614,264 | |
Martin Marietta Materials Inc# | | | 365 | | | | 208,809 | |
Masco Corp | | | 1,328 | | | | 92,854 | |
Mettler-Toledo International Inc* | | | 128 | | | | 179,724 | |
Mohawk Industries Inc* | | | 390 | | | | 47,553 | |
Nordson Corp | | | 343 | | | | 80,509 | |
Norfolk Southern Corp | | | 1,338 | | | | 300,782 | |
Northrop Grumman Corp | | | 838 | | | | 377,745 | |
Old Dominion Freight Line Inc | | | 1,058 | | | | 185,415 | |
Otis Worldwide Corp | | | 2,421 | | | | 240,163 | |
Packaging Corp of America | | | 530 | | | | 97,250 | |
Parker-Hannifin Corp | | | 760 | | | | 403,955 | |
Pentair PLC | | | 978 | | | | 79,590 | |
Republic Services Inc | | | 1,210 | | | | 224,080 | |
Rockwell Automation Inc | | | 678 | | | | 174,605 | |
RTX Corp | | | 8,634 | | | | 930,832 | |
Snap-on Inc | | | 312 | | | | 85,132 | |
Stanley Black & Decker Inc | | | 953 | | | | 83,073 | |
TE Connectivity Ltd | | | 1,839 | | | | 275,298 | |
Teledyne Technologies Inc* | | | 279 | | | | 110,749 | |
Textron Inc | | | 1,159 | | | | 101,540 | |
Trane Technologies PLC | | | 1,351 | | | | 442,398 | |
TransDigm Group Inc | | | 326 | | | | 437,893 | |
Trimble Inc* | | | 1,634 | | | | 90,981 | |
Union Pacific Corp | | | 3,645 | | | | 848,629 | |
United Parcel Service Inc | | | 4,279 | | | | 594,481 | |
Veralto Corp | | | 1,344 | | | | 132,492 | |
Vulcan Materials Co | | | 786 | | | | 201,035 | |
Waste Management Inc | | | 2,168 | | | | 456,863 | |
Westinghouse Air Brake Technologies Corp | | | 1,060 | | | | 179,384 | |
Westrock Co | | | 1,715 | | | | 91,993 | |
Xylem Inc | | | 1,143 | | | | 161,186 | |
Total Industrial | | | | | | | 19,890,574 | |
| | | | | | | | |
Technology (29.21%) | | | | | | | | |
Accenture PLC | | | 3,713 | | | | 1,048,143 | |
Adobe Inc* | | | 2,694 | | | | 1,198,183 | |
Advanced Micro Devices Inc* | | | 9,499 | | | | 1,585,383 | |
Akamai Technologies Inc* | | | 892 | | | | 82,278 | |
Analog Devices Inc | | | 2,934 | | | | 687,994 | |
ANSYS Inc* | | | 513 | | | | 162,852 | |
Apple Inc(a) | | | 85,917 | | | | 16,517,543 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
Applied Materials Inc | | | 4,955 | | | | 1,065,721 | |
Autodesk Inc* | | | 1,264 | | | | 254,822 | |
Broadcom Inc | | | 2,597 | | | | 3,450,244 | |
Broadridge Financial Solutions Inc | | | 696 | | | | 139,736 | |
Cadence Design Systems Inc* | | | 1,627 | | | | 465,826 | |
Cognizant Technology Solutions Corp | | | 2,967 | | | | 196,267 | |
Dayforce Inc*,# | | | 855 | | | | 42,288 | |
Electronic Arts Inc | | | 1,448 | | | | 192,410 | |
EPAM Systems Inc* | | | 359 | | | | 63,877 | |
Fair Isaac Corp* | | | 146 | | | | 188,330 | |
Fidelity National Information Services Inc | | | 3,506 | | | | 266,035 | |
Fiserv Inc* | | | 3,551 | | | | 531,798 | |
Fortinet Inc* | | | 3,771 | | | | 223,696 | |
Hewlett Packard Enterprise Co | | | 7,591 | | | | 133,981 | |
HP Inc | | | 5,146 | | | | 187,829 | |
Intel Corp | | | 24,514 | | | | 756,257 | |
International Business Machines Corp# | | | 5,403 | | | | 901,491 | |
Intuit Inc | | | 1,669 | | | | 962,078 | |
Jack Henry & Associates Inc | | | 460 | | | | 75,753 | |
KLA Corp | | | 810 | | | | 615,219 | |
Lam Research Corp | | | 779 | | | | 726,371 | |
Leidos Holdings Inc | | | 915 | | | | 134,551 | |
Microchip Technology Inc | | | 3,286 | | | | 319,498 | |
Micron Technology Inc | | | 6,497 | | | | 812,125 | |
Microsoft Corp(a) | | | 43,981 | | | | 18,257,833 | |
Monolithic Power Systems Inc | | | 267 | | | | 196,413 | |
MSCI Inc | | | 468 | | | | 231,744 | |
NetApp Inc | | | 1,235 | | | | 148,731 | |
NVIDIA Corp | | | 14,569 | | | | 15,972,432 | |
NXP Semiconductors NV | | | 1,526 | | | | 415,225 | |
ON Semiconductor Corp* | | | 2,548 | | | | 186,106 | |
Oracle Corp | | | 9,402 | | | | 1,101,820 | |
Paychex Inc# | | | 1,895 | | | | 227,703 | |
Paycom Software Inc | | | 305 | | | | 44,323 | |
PTC Inc*,# | | | 681 | | | | 120,019 | |
Qorvo Inc* | | | 576 | | | | 56,673 | |
QUALCOMM Inc | | | 6,501 | | | | 1,326,529 | |
Roper Technologies Inc | | | 632 | | | | 336,704 | |
Salesforce Inc | | | 5,757 | | | | 1,349,671 | |
Seagate Technology Holdings PLC | | | 1,151 | | | | 107,319 | |
ServiceNow Inc* | | | 1,213 | | | | 796,856 | |
Skyworks Solutions Inc | | | 943 | | | | 87,378 | |
Super Micro Computer Inc*,# | | | 288 | | | | 225,939 | |
Synopsys Inc* | | | 899 | | | | 504,159 | |
Take-Two Interactive Software Inc* | | | 778 | | | | 124,760 | |
Teradyne Inc | | | 1,007 | | | | 141,927 | |
Texas Instruments Inc | | | 5,343 | | | | 1,041,938 | |
Tyler Technologies Inc* | | | 246 | | | | 118,169 | |
Western Digital Corp*,# | | | 1,916 | | | | 144,256 | |
Zebra Technologies Corp*,# | | | 303 | | | | 94,639 | |
Total Technology | | | | | | | 77,347,845 | |
| | | | | | | | |
Utilities (2.47%) | | | | | | | | |
The AES Corp | | | 4,344 | | | | 93,787 | |
Alliant Energy Corp | | | 1,583 | | | | 81,509 | |
Ameren Corp | | | 1,682 | | | | 123,408 | |
Security Description | | Shares | | | Value | |
Common Stock (99.14%) | | | | | | | | |
| | | | | | | | |
American Electric Power Co Inc | | | 3,242 | | | | 292,591 | |
American Water Works Co Inc | | | 1,183 | | | | 154,701 | |
Atmos Energy Corp | | | 820 | | | | 95,054 | |
CenterPoint Energy Inc | | | 2,979 | | | | 90,889 | |
CMS Energy Corp# | | | 1,870 | | | | 117,679 | |
Consolidated Edison Inc | | | 2,042 | | | | 193,071 | |
Constellation Energy Corp | | | 1,889 | | | | 410,385 | |
Dominion Energy Inc | | | 5,130 | | | | 276,610 | |
DTE Energy Co | | | 1,258 | | | | 146,595 | |
Duke Energy Corp | | | 4,560 | | | | 472,279 | |
Edison International | | | 2,268 | | | | 174,296 | |
Entergy Corp | | | 1,304 | | | | 146,687 | |
Evergy Inc | | | 1,567 | | | | 85,652 | |
Eversource Energy | | | 2,170 | | | | 128,529 | |
Exelon Corp | | | 6,205 | | | | 232,998 | |
FirstEnergy Corp | | | 3,056 | | | | 123,035 | |
NextEra Energy Inc | | | 12,241 | | | | 979,525 | |
NiSource Inc | | | 2,445 | | | | 71,052 | |
NRG Energy Inc | | | 1,335 | | | | 108,135 | |
PG&E Corp | | | 9,918 | | | | 183,880 | |
Pinnacle West Capital Corp# | | | 806 | | | | 63,561 | |
PPL Corp | | | 4,645 | | | | 136,238 | |
Public Service Enterprise Group Inc | | | 2,948 | | | | 223,340 | |
Sempra | | | 3,724 | | | | 286,860 | |
The Southern Co | | | 6,453 | | | | 517,143 | |
Vistra Corp | | | 1,990 | | | | 197,169 | |
WEC Energy Group Inc | | | 1,866 | | | | 151,202 | |
Xcel Energy Inc | | | 3,432 | | | | 190,304 | |
Total Utilities | | | | | | | 6,548,164 | |
| | | | | | | | |
Total Common Stock (Cost $80,638,489) | | | | | | | 262,557,467 | |
| | | | | | | | |
United States Treasury Bills (0.79%) | | | | | | | | |
United States Treasury Bill (Cost $2,096,312) | | | 2,100,000 | | | | 2,096,929 | |
| | | | | | | | |
Collateral Received for Securities on Loan (2.96%) | | | | | | | | |
Mount Vernon Liquid Assets Portfolio (Cost $7,834,433) | | | | | | | 7,834,433 | |
| | | | | | | | |
Total Investments (Cost $90,569,235) (102.89%) | | | | | | | 272,488,829 | |
Other Net Assets (-2.89%) | | | | | | | (7,645,017 | ) |
Net Assets (100.00%) | | | | | | | 264,843,812 | |
* Non-income producing security.
# Loaned security; a portion of the security is on loan at May 31, 2024.
(a) A portion of these securities, a total of $19,962,982, have been pledged or segregated in connection with obligations for futures contracts.
Futures contracts at May 31, 2024:
Contracts - $50 times premium / delivery month / commitment / exchange S&P 500 E-MINI | | Notional Amount | | | Value | | | Unrealized Appreciation | |
8 / June 2024 / Long / CME | | $ | 2,091,463 | | | $ | 2,118,200 | | | $ | 26,738 | |
S&P MIDCAP INDEX FUND
Portfolio of Investments
May 31, 2024
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Basic Materials (4.60%) | | | | | | | | |
Alcoa Corp | | | 9,686 | | | $ | 428,799 | |
Arcadium Lithium PLC* | | | 43,396 | | | | 192,244 | |
Ashland Inc | | | 2,091 | | | | 209,455 | |
Avient Corp | | | 3,926 | | | | 175,414 | |
Axalta Coating Systems Ltd* | | | 9,297 | | | | 330,880 | |
Cabot Corp | | | 2,314 | | | | 236,722 | |
The Chemours Co | | | 6,382 | | | | 158,401 | |
Cleveland-Cliffs Inc* | | | 20,807 | | | | 359,545 | |
Commercial Metals Co | | | 4,860 | | | | 273,715 | |
MP Materials Corp* | | | 5,921 | | | | 96,039 | |
NewMarket Corp | | | 297 | | | | 158,916 | |
Olin Corp | | | 5,019 | | | | 269,821 | |
Reliance Inc(a) | | | 2,341 | | | | 704,126 | |
Royal Gold Inc | | | 2,676 | | | | 343,036 | |
RPM International Inc | | | 5,250 | | | | 588,525 | |
United States Steel Corp | | | 9,116 | | | | 349,599 | |
Westlake Corp | | | 1,305 | | | | 209,531 | |
Total Basic Materials | | | | | | | 5,084,768 | |
| | | | | | | | |
Communications (2.09%) | | | | | | | | |
Ciena Corp* | | | 6,055 | | | | 291,669 | |
Frontier Communications Parent Inc* | | | 9,013 | | | | 240,287 | |
GoDaddy Inc*,(a) | | | 5,738 | | | | 801,197 | |
Iridium Communications Inc | | | 5,390 | | | | 162,293 | |
The New York Times Co | | | 6,667 | | | | 341,350 | |
Nexstar Media Group Inc | | | 1,313 | | | | 217,551 | |
TEGNA Inc | | | 8,823 | | | | 131,551 | |
Ziff Davis Inc* | | | 2,035 | | | | 117,236 | |
Total Communications | | | | | | | 2,303,134 | |
| | | | | | | | |
Consumer, Cyclical (16.13%) | | | | | | | | |
Adient PLC* | | | 4,039 | | | | 114,061 | |
Aramark | | | 10,693 | | | | 343,780 | |
Autoliv Inc | | | 3,071 | | | | 391,767 | |
AutoNation Inc* | | | 1,118 | | | | 190,340 | |
BJ’s Wholesale Club Holdings Inc* | | | 5,569 | | | | 490,462 | |
Boyd Gaming Corp | | | 2,996 | | | | 159,747 | |
Brunswick Corp | | | 2,803 | | | | 231,332 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Burlington Stores Inc* | | | 2,670 | | | | 640,934 | |
Capri Holdings Ltd* | | | 4,749 | | | | 164,078 | |
Carter’s Inc | | | 1,574 | | | | 107,662 | |
Casey’s General Stores Inc | | | 1,512 | | | | 501,651 | |
Choice Hotels International Inc# | | | 1,056 | | | | 119,529 | |
Churchill Downs Inc | | | 2,765 | | | | 358,068 | |
Columbia Sportswear Co | | | 1,417 | | | | 121,324 | |
Core & Main Inc* | | | 6,950 | | | | 400,042 | |
Crocs Inc* | | | 2,467 | | | | 383,964 | |
Dick’s Sporting Goods Inc | | | 2,370 | | | | 539,507 | |
Dolby Laboratories Inc | | | 2,567 | | | | 207,953 | |
FirstCash Holdings Inc | | | 1,595 | | | | 188,082 | |
Five Below Inc* | | | 2,304 | | | | 318,252 | |
Floor & Decor Holdings Inc* | | | 4,450 | | | | 520,027 | |
GameStop Corp* | | | 11,585 | | | | 268,077 | |
The Gap Inc | | | 9,050 | | | | 262,088 | |
Gentex Corp | | | 9,504 | | | | 332,640 | |
The Goodyear Tire & Rubber Co* | | | 12,122 | | | | 149,222 | |
Harley-Davidson Inc | | | 5,466 | | | | 196,120 | |
Hilton Grand Vacations Inc* | | | 3,130 | | | | 129,363 | |
Hyatt Hotels Corp | | | 1,801 | | | | 265,593 | |
KB Home | | | 3,068 | | | | 216,601 | |
Lear Corp | | | 2,381 | | | | 298,458 | |
Leggett & Platt Inc | | | 5,750 | | | | 66,700 | |
Light & Wonder Inc* | | | 3,669 | | | | 350,316 | |
Lithia Motors Inc | | | 1,121 | | | | 283,770 | |
Macy’s Inc | | | 11,538 | | | | 224,760 | |
Marriott Vacations Worldwide Corp | | | 1,345 | | | | 121,413 | |
Mattel Inc* | | | 14,750 | | | | 262,403 | |
MSC Industrial Direct Co Inc | | | 1,861 | | | | 159,860 | |
Murphy USA Inc | | | 791 | | | | 347,051 | |
Ollie’s Bargain Outlet Holdings Inc* | | | 2,658 | | | | 219,099 | |
Penn Entertainment Inc* | | | 6,404 | | | | 112,070 | |
Penske Automotive Group Inc | | | 840 | | | | 127,764 | |
Planet Fitness Inc* | | | 3,481 | | | | 221,531 | |
Polaris Inc | | | 2,301 | | | | 192,364 | |
PVH Corp | | | 2,490 | | | | 298,825 | |
RH* | | | 623 | | | | 169,412 | |
The Scotts Miracle-Gro Co | | | 1,793 | | | | 124,954 | |
Skechers USA Inc* | | | 5,643 | | | | 403,023 | |
Taylor Morrison Home Corp* | | | 4,486 | | | | 259,425 | |
Tempur Sealy International Inc | | | 7,019 | | | | 360,496 | |
Texas Roadhouse Inc | | | 2,721 | | | | 469,835 | |
Thor Industries Inc | | | 2,172 | | | | 215,549 | |
TKO Group Holdings Inc | | | 2,130 | | | | 232,319 | |
Toll Brothers Inc | | | 4,249 | | | | 516,848 | |
Travel + Leisure Co | | | 3,197 | | | | 140,476 | |
Vail Resorts Inc | | | 1,585 | | | | 299,121 | |
Visteon Corp* | | | 1,218 | | | | 135,649 | |
Watsco Inc(a) | | | 1,274 | | | | 605,022 | |
The Wendy’s Co | | | 7,205 | | | | 125,727 | |
WESCO International Inc | | | 1,855 | | | | 332,954 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Whirlpool Corp | | | 2,351 | | | | 218,714 | |
Williams-Sonoma Inc(a) | | | 2,613 | | | | 766,184 | |
Wingstop Inc | | | 1,228 | | | | 452,702 | |
Wyndham Hotels & Resorts Inc | | | 3,380 | | | | 239,169 | |
YETI Holdings Inc* | | | 3,766 | | | | 153,427 | |
Total Consumer, Cyclical | | | | | | | 17,819,656 | |
| | | | | | | | |
Consumer, Non-Cyclical (14.42%) | | | | | | | | |
Acadia Healthcare Co Inc* | | | 4,932 | | | | 339,765 | |
Amedisys Inc* | | | 1,428 | | | | 130,162 | |
Arrowhead Pharmaceuticals Inc* | | | 4,623 | | | | 106,098 | |
Avis Budget Group Inc | | | 759 | | | | 86,321 | |
Azenta Inc* | | | 2,328 | | | | 117,587 | |
BellRing Brands Inc* | | | 5,336 | | | | 310,395 | |
The Boston Beer Co Inc* | | | 386 | | | | 121,077 | |
The Brink’s Co | | | 1,943 | | | | 200,595 | |
Bruker Corp | | | 3,778 | | | | 247,497 | |
Celsius Holdings Inc* | | | 5,973 | | | | 477,721 | |
Chemed Corp | | | 628 | | | | 348,144 | |
Coca-Cola Consolidated Inc | | | 190 | | | | 186,398 | |
Coty Inc* | | | 15,682 | | | | 162,466 | |
Cytokinetics Inc* | | | 3,995 | | | | 193,797 | |
Darling Ingredients Inc* | | | 6,661 | | | | 269,104 | |
DENTSPLY SIRONA Inc | | | 8,846 | | | | 247,776 | |
elf Beauty Inc* | | | 2,261 | | | | 422,604 | |
Encompass Health Corp | | | 4,185 | | | | 361,542 | |
Enovis Corp* | | | 2,165 | | | | 108,835 | |
Envista Holdings Corp* | | | 7,575 | | | | 146,652 | |
Euronet Worldwide Inc* | | | 1,889 | | | | 220,220 | |
Exelixis Inc* | | | 12,660 | | | | 274,595 | |
Flowers Foods Inc | | | 7,828 | | | | 181,766 | |
FTI Consulting Inc* | | | 1,419 | | | | 304,801 | |
Globus Medical Inc* | | | 3,944 | | | | 264,682 | |
Graham Holdings Co | | | 147 | | | | 110,607 | |
Grand Canyon Education Inc* | | | 1,204 | | | | 171,522 | |
Grocery Outlet Holding Corp* | | | 4,044 | | | | 88,928 | |
GXO Logistics Inc* | | | 5,025 | | | | 252,406 | |
H&R Block Inc | | | 5,826 | | | | 289,203 | |
Haemonetics Corp* | | | 2,069 | | | | 173,962 | |
Halozyme Therapeutics Inc* | | | 5,382 | | | | 238,369 | |
HealthEquity Inc* | | | 3,582 | | | | 292,578 | |
Helen of Troy Ltd* | | | 1,038 | | | | 110,941 | |
Ingredion Inc | | | 2,656 | | | | 312,292 | |
Insperity Inc | | | 1,527 | | | | 144,637 | |
Integra LifeSciences Holdings Corp* | | | 2,933 | | | | 90,630 | |
Jazz Pharmaceuticals PLC* | | | 2,659 | | | | 279,860 | |
Lancaster Colony Corp | | | 881 | | | | 163,426 | |
Lantheus Holdings Inc* | | | 2,790 | | | | 228,306 | |
LivaNova PLC* | | | 2,214 | | | | 135,209 | |
ManpowerGroup Inc | | | 1,988 | | | | 148,345 | |
Masimo Corp* | | | 1,853 | | | | 230,699 | |
Medpace Holdings Inc* | | | 973 | | | | 375,909 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Morningstar Inc | | | 1,100 | | | | 317,075 | |
Neogen Corp* | | | 8,616 | | | | 113,300 | |
Neurocrine Biosciences Inc* | | | 4,054 | | | | 548,952 | |
Option Care Health Inc* | | | 7,340 | | | | 218,879 | |
Paylocity Holding Corp* | | | 1,767 | | | | 251,214 | |
Penumbra Inc* | | | 1,630 | | | | 308,836 | |
Performance Food Group Co* | | | 6,496 | | | | 452,122 | |
Perrigo Co PLC | | | 5,844 | | | | 160,885 | |
Post Holdings Inc* | | | 2,052 | | | | 218,682 | |
Progyny Inc* | | | 3,648 | | | | 98,314 | |
QuidelOrtho Corp* | | | 2,032 | | | | 89,794 | |
R1 RCM Inc* | | | 8,101 | | | | 104,179 | |
Repligen Corp* | | | 2,115 | | | | 315,325 | |
Roivant Sciences Ltd* | | | 14,099 | | | | 146,066 | |
Service Corp International | | | 6,169 | | | | 442,071 | |
Sprouts Farmers Market Inc* | | | 4,138 | | | | 326,819 | |
Tenet Healthcare Corp* | | | 4,137 | | | | 559,405 | |
United Therapeutics Corp* | | | 1,962 | | | | 539,805 | |
US Foods Holding Corp* | | | 9,445 | | | | 498,979 | |
Valvoline Inc* | | | 5,413 | | | | 219,768 | |
WEX Inc* | | | 1,784 | | | | 334,179 | |
Total Consumer, Non-Cyclical | | | | | | | 15,933,078 | |
| | | | | | | | |
Energy (5.50%) | | | | | | | | |
Antero Midstream Corp | | | 13,877 | | | | 203,298 | |
Antero Resources Corp* | | | 11,511 | | | | 410,137 | |
ChampionX Corp | | | 7,979 | | | | 260,275 | |
Chesapeake Energy Corp | | | 4,642 | | | | 422,097 | |
Chord Energy Corp | | | 1,681 | | | | 311,674 | |
Civitas Resources Inc | | | 3,496 | | | | 257,166 | |
CNX Resources Corp* | | | 6,184 | | | | 162,639 | |
DT Midstream Inc | | | 3,951 | | | | 265,033 | |
Equitrans Midstream Corp | | | 17,653 | | | | 252,085 | |
HF Sinclair Corp | | | 6,167 | | | | 340,603 | |
Matador Resources Co | | | 4,626 | | | | 293,520 | |
Murphy Oil Corp | | | 6,057 | | | | 259,179 | |
NOV Inc | | | 16,641 | | | | 313,184 | |
Ovintiv Inc | | | 10,295 | | | | 531,943 | |
PBF Energy Inc | | | 4,594 | | | | 212,840 | |
Permian Resources Corp | | | 19,220 | | | | 315,016 | |
Range Resources Corp | | | 9,832 | | | | 362,899 | |
Southwestern Energy Co* | | | 44,873 | | | | 337,894 | |
Valaris Ltd* | | | 2,554 | | | | 197,680 | |
Weatherford International PLC* | | | 3,019 | | | | 363,306 | |
Total Energy | | | | | | | 6,072,468 | |
| | | | | | | | |
Financial (22.14%) | | | | | | | | |
Banks (5.12%) | | | | | | | | |
Associated Banc-Corp | | | 6,505 | | | | 139,337 | |
Bank OZK | | | 4,532 | | | | 189,800 | |
Cadence Bank | | | 7,442 | | | | 212,469 | |
Columbia Banking System Inc | | | 8,498 | | | | 163,841 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Commerce Bancshares Inc | | | 4,826 | | | | 268,519 | |
Cullen/Frost Bankers Inc | | | 2,615 | | | | 265,632 | |
East West Bancorp Inc | | | 5,884 | | | | 436,534 | |
First Financial Bankshares Inc | | | 5,506 | | | | 165,070 | |
First Horizon Corp | | | 22,767 | | | | 360,629 | |
FNB Corp | | | 14,620 | | | | 201,317 | |
Glacier Bancorp Inc | | | 4,761 | | | | 177,966 | |
Hancock Whitney Corp | | | 3,715 | | | | 173,602 | |
Home BancShares Inc | | | 8,093 | | | | 190,347 | |
International Bancshares Corp | | | 2,301 | | | | 130,766 | |
Old National Bancorp | | | 12,620 | | | | 215,676 | |
Pinnacle Financial Partners Inc | | | 3,099 | | | | 246,401 | |
Prosperity Bancshares Inc | | | 3,818 | | | | 237,861 | |
SouthState Corp | | | 3,096 | | | | 239,352 | |
Synovus Financial Corp | | | 5,958 | | | | 236,473 | |
Texas Capital Bancshares Inc* | | | 2,071 | | | | 124,840 | |
UMB Financial Corp | | | 1,911 | | | | 157,543 | |
United Bankshares Inc | | | 5,484 | | | | 177,901 | |
Valley National Bancorp | | | 18,393 | | | | 131,142 | |
Webster Financial Corp | | | 7,009 | | | | 309,938 | |
Wintrust Financial Corp | | | 2,495 | | | | 246,032 | |
Zions Bancorp NA | | | 6,036 | | | | 260,695 | |
| | | | | | | 5,659,683 | |
Diversified Financial Service (3.38%) | | | | | | | | |
Affiliated Managers Group Inc | | | 1,377 | | | | 223,900 | |
Ally Financial Inc | | | 11,061 | | | | 431,047 | |
Evercore Inc | | | 1,447 | | | | 293,654 | |
Federated Hermes Inc | | | 3,412 | | | | 113,176 | |
Houlihan Lokey Inc | | | 2,123 | | | | 287,348 | |
Interactive Brokers Group Inc | | | 4,360 | | | | 548,139 | |
Janus Henderson Group PLC | | | 5,724 | | | | 191,754 | |
Jefferies Financial Group Inc | | | 6,908 | | | | 321,360 | |
SEI Investments Co | | | 4,062 | | | | 275,038 | |
SLM Corp | | | 9,199 | | | | 197,411 | |
Stifel Financial Corp | | | 4,155 | | | | 336,347 | |
Voya Financial Inc | | | 4,301 | | | | 326,102 | |
The Western Union Co | | | 14,636 | | | | 187,341 | |
| | | | | | | 3,732,617 | |
Insurance (5.48%) | | | | | | | | |
American Financial Group Inc | | | 2,658 | | | | 345,301 | |
Brighthouse Financial Inc* | | | 2,616 | | | | 116,438 | |
CNO Financial Group Inc | | | 4,457 | | | | 127,871 | |
Equitable Holdings Inc | | | 13,102 | | | | 543,602 | |
Erie Indemnity Co | | | 1,016 | | | | 368,229 | |
Essent Group Ltd | | | 4,343 | | | | 246,248 | |
Fidelity National Financial Inc | | | 10,534 | | | | 530,492 | |
First American Financial Corp | | | 4,204 | | | | 233,658 | |
The Hanover Insurance Group Inc | | | 1,458 | | | | 192,354 | |
Kemper Corp | | | 2,636 | | | | 157,738 | |
Kinsale Capital Group Inc | | | 919 | | | | 352,547 | |
MGIC Investment Corp | | | 11,102 | | | | 233,142 | |
Old Republic International Corp | | | 10,624 | | | | 337,631 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Primerica Inc | | | 1,427 | | | | 322,345 | |
Reinsurance Group of America Inc | | | 2,685 | | | | 563,313 | |
RenaissanceRe Holdings Ltd | | | 2,189 | | | | 498,786 | |
RLI Corp | | | 1,636 | | | | 238,823 | |
Selective Insurance Group Inc | | | 2,470 | | | | 241,097 | |
Unum Group | | | 7,591 | | | | 408,851 | |
| | | | | | | 6,058,466 | |
| | | | | | | | |
Private Equity (0.35%) | | | | | | | | |
The Carlyle Group Inc | | | 9,039 | | | | 388,315 | |
| | | | | | | | |
Real Estate (7.72%) | | | | | | | | |
Agree Realty Corp | | | 4,087 | | | | 248,326 | |
American Homes 4 Rent | | | 12,959 | | | | 467,042 | |
Annaly Capital Management Inc | | | 20,882 | | | | 411,375 | |
Apartment Income REIT Corp | | | 5,887 | | | | 228,121 | |
Brixmor Property Group Inc | | | 12,248 | | | | 275,702 | |
COPT Defense Properties | | | 4,612 | | | | 113,778 | |
Cousins Properties Inc | | | 6,455 | | | | 149,304 | |
CubeSmart | | | 9,162 | | | | 387,644 | |
EastGroup Properties Inc | | | 1,987 | | | | 328,213 | |
EPR Properties | | | 3,298 | | | | 135,350 | |
Equity LifeStyle Properties Inc | | | 7,596 | | | | 476,801 | |
First Industrial Realty Trust Inc | | | 5,389 | | | | 253,930 | |
Gaming and Leisure Properties Inc | | | 11,150 | | | | 500,635 | |
Healthcare Realty Trust Inc | | | 16,216 | | | | 263,186 | |
Independence Realty Trust Inc | | | 9,688 | | | | 161,790 | |
Jones Lang LaSalle Inc* | | | 1,986 | | | | 401,311 | |
Kilroy Realty Corp | | | 4,601 | | | | 154,272 | |
Kite Realty Group Trust | | | 9,456 | | | | 207,276 | |
Lamar Advertising Co | | | 3,657 | | | | 431,928 | |
National Storage Affiliates Trust | | | 3,332 | | | | 121,885 | |
NNN REIT Inc | | | 7,619 | | | | 318,246 | |
Omega Healthcare Investors Inc | | | 9,994 | | | | 323,106 | |
Park Hotels & Resorts Inc | | | 9,056 | | | | 143,628 | |
PotlatchDeltic Corp | | | 3,423 | | | | 146,265 | |
Rayonier Inc | | | 5,558 | | | | 166,851 | |
Rexford Industrial Realty Inc | | | 8,587 | | | | 389,506 | |
Sabra Health Care REIT Inc | | | 10,124 | | | | 147,608 | |
STAG Industrial Inc | | | 7,398 | | | | 259,374 | |
Starwood Property Trust Inc | | | 12,124 | | | | 235,691 | |
Vornado Realty Trust | | | 6,685 | | | | 163,916 | |
WP Carey Inc | | | 8,909 | | | | 502,468 | |
| | | | | | | 8,514,528 | |
| | | | | | | | |
Savings&Loans (0.09%) | | | | | | | | |
New York Community Bancorp Inc | | | 31,633 | | | | 104,073 | |
| | | | | | | | |
Total Financial | | | | | | | 24,457,682 | |
| | | | | | | | |
Industrial (22.77%) | | | | | | | | |
Acuity Brands Inc | | | 1,274 | | | | 330,743 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Advanced Drainage Systems Inc | | | 2,783 | | | | 482,823 | |
AECOM | | | 5,542 | | | | 484,038 | |
AGCO Corp | | | 2,532 | | | | 271,760 | |
Applied Industrial Technologies Inc | | | 1,575 | | | | 303,975 | |
AptarGroup Inc | | | 2,689 | | | | 397,138 | |
Arrow Electronics Inc* | | | 2,192 | | | | 287,832 | |
Avnet Inc | | | 3,902 | | | | 213,049 | |
Belden Inc | | | 1,826 | | | | 174,730 | |
Berry Global Group Inc | | | 4,839 | | | | 289,759 | |
BWX Technologies Inc | | | 3,728 | | | | 343,461 | |
Carlisle Cos Inc | | | 1,978 | | | | 827,378 | |
Chart Industries Inc* | | | 1,710 | | | | 268,521 | |
Clean Harbors Inc* | | | 2,100 | | | | 454,839 | |
Cognex Corp | | | 7,014 | | | | 319,277 | |
Coherent Corp* | | | 5,381 | | | | 307,040 | |
Comfort Systems USA Inc | | | 1,487 | | | | 486,755 | |
Crane Co | | | 2,040 | | | | 304,123 | |
Crown Holdings Inc | | | 4,313 | | | | 363,111 | |
Curtiss-Wright Corp | | | 1,596 | | | | 451,381 | |
Donaldson Co Inc | | | 5,016 | | | | 369,579 | |
Eagle Materials Inc | | | 1,403 | | | | 326,043 | |
EMCOR Group Inc | | | 1,916 | | | | 744,673 | |
EnerSys | | | 1,777 | | | | 191,632 | |
Esab Corp | | | 2,165 | | | | 222,605 | |
Exponent Inc | | | 2,183 | | | | 207,647 | |
Flowserve Corp | | | 5,346 | | | | 265,696 | |
Fluor Corp* | | | 6,277 | | | | 272,422 | |
Fortune Brands Innovations Inc | | | 5,265 | | | | 368,866 | |
GATX Corp | | | 1,528 | | | | 210,803 | |
Graco Inc | | | 6,877 | | | | 555,318 | |
Graphic Packaging Holding Co | | | 12,470 | | | | 353,150 | |
Hexcel Corp | | | 3,438 | | | | 236,775 | |
ITT Inc | | | 3,428 | | | | 455,513 | |
Kirby Corp* | | | 2,467 | | | | 306,327 | |
Knife River Corp* | | | 2,439 | | | | 172,462 | |
Knight-Swift Transportation Holdings Inc | | | 6,813 | | | | 328,727 | |
Landstar System Inc | | | 1,501 | | | | 273,227 | |
Lennox International Inc | | | 1,304 | | | | 655,390 | |
Lincoln Electric Holdings Inc | | | 2,330 | | | | 457,519 | |
Littelfuse Inc | | | 1,014 | | | | 260,192 | |
Louisiana-Pacific Corp | | | 2,615 | | | | 239,743 | |
MasTec Inc* | | | 2,462 | | | | 276,360 | |
MDU Resources Group Inc | | | 8,783 | | | | 221,683 | |
The Middleby Corp* | | | 2,184 | | | | 281,539 | |
MSA Safety Inc | | | 1,505 | | | | 270,900 | |
Novanta Inc* | | | 1,459 | | | | 236,591 | |
nVent Electric PLC | | | 6,760 | | | | 550,129 | |
Oshkosh Corp | | | 2,665 | | | | 303,090 | |
Owens Corning | | | 3,621 | | | | 655,654 | |
RBC Bearings Inc* | | | 1,228 | | | | 362,604 | |
Regal Rexnord Corp | | | 2,768 | | | | 413,927 | |
Ryder System Inc | | | 1,805 | | | | 219,253 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Saia Inc* | | | 1,081 | | | | 442,648 | |
Sensata Technologies Holding PLC | | | 6,167 | | | | 254,820 | |
Silgan Holdings Inc | | | 3,490 | | | | 164,903 | |
Simpson Manufacturing Co Inc | | | 1,802 | | | | 298,988 | |
Sonoco Products Co | | | 3,991 | | | | 244,928 | |
Stericycle Inc* | | | 3,769 | | | | 194,254 | |
TD SYNNEX Corp | | | 2,068 | | | | 270,577 | |
Terex Corp | | | 2,893 | | | | 172,625 | |
Tetra Tech Inc | | | 2,178 | | | | 456,269 | |
The Timken Co | | | 2,644 | | | | 229,737 | |
TopBuild Corp* | | | 1,287 | | | | 537,902 | |
The Toro Co | | | 4,253 | | | | 341,048 | |
Trex Co Inc* | | | 4,534 | | | | 392,100 | |
UFP Industries Inc | | | 2,518 | | | | 300,851 | |
Universal Display Corp | | | 1,840 | | | | 323,288 | |
Valmont Industries Inc | | | 901 | | | | 226,511 | |
Vishay Intertechnology Inc | | | 5,558 | | | | 131,336 | |
Vontier Corp | | | 6,288 | | | | 251,394 | |
Watts Water Technologies Inc | | | 1,115 | | | | 222,030 | |
Werner Enterprises Inc | | | 2,608 | | | | 97,983 | |
Woodward Inc | | | 2,517 | | | | 469,421 | |
XPO Inc* | | | 4,731 | | | | 506,122 | |
Total Industrial | | | | | | | 25,157,507 | |
| | | | | | | | |
Technology (8.17%) | | | | | | | | |
Allegro MicroSystems Inc* | | | 2,937 | | | | 88,521 | |
Amkor Technology Inc | | | 4,448 | | | | 144,960 | |
Appfolio Inc* | | | 853 | | | | 194,757 | |
ASGN Inc* | | | 2,035 | | | | 191,107 | |
Aspen Technology Inc* | | | 1,139 | | | | 239,930 | |
Blackbaud Inc* | | | 1,711 | | | | 133,355 | |
CACI International Inc* | | | 908 | | | | 385,428 | |
Cirrus Logic Inc* | | | 2,197 | | | | 251,996 | |
CommVault Systems Inc* | | | 1,888 | | | | 203,120 | |
Concentrix Corp | | | 1,881 | | | | 115,362 | |
Crane NXT Co | | | 2,064 | | | | 130,486 | |
Doximity Inc* | | | 5,223 | | | | 144,834 | |
Dropbox Inc* | | | 10,438 | | | | 235,168 | |
Duolingo Inc* | | | 1,458 | | | | 279,061 | |
Dynatrace Inc* | | | 9,769 | | | | 446,736 | |
ExlService Holdings Inc* | | | 6,719 | | | | 200,629 | |
Genpact Ltd | | | 6,895 | | | | 227,949 | |
IPG Photonics Corp* | | | 674 | | | | 58,456 | |
KBR Inc | | | 5,637 | | | | 370,125 | |
Kyndryl Holdings Inc* | | | 9,501 | | | | 252,822 | |
Lattice Semiconductor Corp* | | | 5,624 | | | | 417,526 | |
Lumentum Holdings Inc* | | | 2,957 | | | | 128,630 | |
MACOM Technology Solutions Holdings Inc* | | | 2,324 | | | | 235,049 | |
Manhattan Associates Inc* | | | 2,508 | | | | 550,606 | |
Maximus Inc | | | 2,620 | | | | 225,582 | |
MKS Instruments Inc | | | 2,561 | | | | 324,197 | |
Onto Innovation Inc* | | | 1,999 | | | | 433,183 | |
Security Description | | Shares | | | Value | |
Common Stock (98.50%) | | | | | | | | |
| | | | | | | | |
Power Integrations Inc | | | 2,316 | | | | 176,039 | |
Pure Storage Inc* | | | 12,102 | | | | 729,630 | |
Qualys Inc* | | | 1,539 | | | | 216,414 | |
Rambus Inc* | | | 4,380 | | | | 242,039 | |
Science Applications International Corp | | | 2,174 | | | | 292,729 | |
Silicon Laboratories Inc* | | | 1,370 | | | | 172,853 | |
Synaptics Inc* | | | 1,730 | | | | 162,118 | |
Teradata Corp* | | | 4,218 | | | | 137,549 | |
Wolfspeed Inc* | | | 5,129 | | | | 131,815 | |
ZoomInfo Technologies Inc* | | | 12,776 | | | | 156,889 | |
Total Technology | | | | | | | 9,027,650 | |
| | | | | | | | |
Utilities (2.68%) | | | | | | | | |
ALLETE Inc | | | 2,479 | | | | 156,549 | |
Black Hills Corp | | | 2,892 | | | | 163,253 | |
Essential Utilities Inc | | | 10,544 | | | | 397,825 | |
IDACORP Inc | | | 2,062 | | | | 196,859 | |
National Fuel Gas Co | | | 3,957 | | | | 226,182 | |
New Jersey Resources Corp | | | 4,207 | | | | 182,836 | |
Northwestern Energy Group Inc | | | 2,732 | | | | 141,955 | |
OGE Energy Corp | | | 8,160 | | | | 296,208 | |
ONE Gas Inc | | | 2,382 | | | | 146,803 | |
Ormat Technologies Inc | | | 2,357 | | | | 177,718 | |
PNM Resources Inc | | | 3,758 | | | | 144,082 | |
Portland General Electric Co | | | 4,120 | | | | 183,587 | |
Southwest Gas Holdings Inc | | | 2,447 | | | | 189,863 | |
Spire Inc | | | 2,256 | | | | 138,270 | |
UGI Corp | | | 8,538 | | | | 217,377 | |
Total Utilities | | | | | | | 2,959,367 | |
| | | | | | | | |
Total Common Stock (Cost $71,040,587) | | | | | | | 108,815,310 | |
| | | | | | | | |
United States Treasury Bills (0.99%) | | | | | | | | |
United States Treasury Bill (Cost $1,098,069) | | | 1,100,000 | | | | 1,098,391 | |
| | | | | | | | |
Collateral Received for Securities on Loan (0.49%) | | | | | | | | |
Mount Vernon Liquid Assets Portfolio (Cost $539,676) | | | | | | | 539,676 | |
| | | | | | | | |
Total Investments (Cost $72,678,333) (99.98%) | | | | | | | 110,453,377 | |
Other Net Assets (0.02%) | | | | | | | 20,186 | |
Net Assets (100.00%) | | | | | | $ | 110,473,563 | |
* Non-income producing security.
# Loaned security; a portion of the security is on loan at May 31, 2024.
(a) A portion of these securities, a total of $6,489,254, have been pledged or segregated in connection with obligations for futures contracts.
Futures contracts at May 31, 2024:
Contracts - $100 times premium / delivery month / commitment / exchange S&P MidCap E-MINI | | Notional Amount | | | Value | | | Unrealized Appreciation | |
5 / JUNE 2024 / Long / CME | | $ | 1,484,920 | | | $ | 1,495,950 | | | $ | 11,030 | |
S&P SMALLCAP INDEX FUND
Portfolio of Investments
May 31, 2024
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
Basic Materials (4.35%) | | | | | | | | |
AdvanSix Inc | | | 1,501 | | | $ | 35,574 | |
ATI Inc*,(a) | | | 5,624 | | | | 344,976 | |
Balchem Corp | | | 1,452 | | | | 223,027 | |
Carpenter Technology Corp | | | 2,296 | | | | 254,558 | |
Compass Minerals International Inc | | | 1,858 | | | | 24,080 | |
Hawkins Inc | | | 913 | | | | 79,723 | |
Haynes International Inc | | | 687 | | | | 40,409 | |
HB Fuller Co | | | 2,433 | | | | 193,740 | |
Ingevity Corp* | | | 1,569 | | | | 76,646 | |
Innospec Inc | | | 1,120 | | | | 146,496 | |
Kaiser Aluminum Corp | | | 721 | | | | 70,514 | |
Koppers Holdings Inc | | | 938 | | | | 41,582 | |
Mativ Holdings Inc | | | 2,389 | | | | 42,930 | |
Mercer International Inc | | | 2,519 | | | | 23,931 | |
Minerals Technologies Inc | | | 1,515 | | | | 131,426 | |
Quaker Chemical Corp | | | 623 | | | | 112,981 | |
Rogers Corp* | | | 738 | | | | 87,084 | |
Sensient Technologies Corp | | | 1,903 | | | | 147,806 | |
Stepan Co | | | 936 | | | | 81,591 | |
Sylvamo Corp | | | 1,557 | | | | 111,045 | |
Total Basic Materials | | | | | | | 2,270,119 | |
| | | | | | | | |
| | | | | | | | |
Communications (3.51%) | | | | | | | | |
A10 Networks Inc | | | 3,081 | | | | 46,677 | |
ADTRAN Holdings Inc | | | 3,950 | | | | 21,923 | |
AMC Networks Inc* | | | 1,418 | | | | 24,588 | |
ATN International Inc | | | 488 | | | | 11,878 | |
Calix Inc* | | | 1,292 | | | | 46,124 | |
Cargurus Inc* | | | 3,990 | | | | 96,598 | |
Cars.com Inc* | | | 2,775 | | | | 56,138 | |
Cogent Communications Holdings Inc | | | 1,853 | | | | 109,735 | |
Consolidated Communications Holdings Inc* | | | 5,162 | | | | 22,713 | |
EchoStar Corp* | | | 2,315 | | | | 44,448 | |
ePlus Inc* | | | 1,254 | | | | 93,849 | |
Extreme Networks Inc* | | | 5,839 | | | | 65,105 | |
Gogo Inc* | | | 2,880 | | | | 30,485 | |
Harmonic Inc* | | | 5,054 | | | | 61,810 | |
HealthStream Inc | | | 1,114 | | | | 30,401 | |
IAC Inc* | | | 3,048 | | | | 151,760 | |
InterDigital Inc | | | 1,158 | | | | 131,861 | |
Lumen Technologies Inc* | | | 45,455 | | | | 58,637 | |
Perficient Inc* | | | 1,619 | | | | 120,049 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
Scholastic Corp | | | 1,271 | | | | 46,112 | |
Shenandoah Telecommunications Co | | | 2,264 | | | | 42,586 | |
Shutterstock Inc | | | 1,114 | | | | 45,262 | |
Sprinklr Inc* | | | 2,607 | | | | 29,224 | |
TechTarget Inc* | | | 1,202 | | | | 36,324 | |
Telephone and Data Systems Inc | | | 4,590 | | | | 91,295 | |
Thryv Holdings Inc* | | | 1,075 | | | | 22,650 | |
TripAdvisor Inc* | | | 5,034 | | | | 92,374 | |
Viasat Inc* | | | 3,449 | | | | 58,254 | |
Viavi Solutions Inc* | | | 9,811 | | | | 73,779 | |
Yelp Inc* | | | 1,856 | | | | 68,616 | |
Total Communications | | | | | | | 1,831,255 | |
| | | | | | | | |
Consumer, Cyclical (16.96%) | | | | | | | | |
Abercrombie & Fitch Co*,(a) | | | 2,208 | | | | 381,697 | |
Academy Sports & Outdoors Inc | | | 3,268 | | | | 188,531 | |
Advance Auto Parts Inc | | | 2,605 | | | | 184,017 | |
Alaska Air Group Inc* | | | 5,558 | | | | 233,547 | |
Allegiant Travel Co | | | 702 | | | | 37,346 | |
American Axle & Manufacturing Holdings Inc* | | | 6,241 | | | | 47,681 | |
American Eagle Outfitters Inc | | | 7,329 | | | | 161,018 | |
Asbury Automotive Group Inc* | | | 927 | | | | 217,910 | |
BJ’s Restaurants Inc* | | | 1,046 | | | | 36,652 | |
Bloomin’ Brands Inc | | | 4,042 | | | | 88,116 | |
Boot Barn Holdings Inc* | | | 1,335 | | | | 158,772 | |
Brinker International Inc* | | | 2,057 | | | | 145,286 | |
The Buckle Inc | | | 1,340 | | | | 51,644 | |
Caleres Inc | | | 1,555 | | | | 53,927 | |
Cavco Industries Inc* | | | 348 | | | | 124,306 | |
Century Communities Inc | | | 1,316 | | | | 111,084 | |
The Cheesecake Factory Inc | | | 2,230 | | | | 85,810 | |
Chuy’s Holdings Inc* | | | 764 | | | | 20,406 | |
Cinemark Holdings Inc* | | | 4,940 | | | | 85,314 | |
Cracker Barrel Old Country Store Inc | | | 1,039 | | | | 50,682 | |
Dana Inc | | | 3,349 | | | | 47,087 | |
Dave & Buster’s Entertainment Inc* | | | 1,417 | | | | 72,395 | |
Designer Brands Inc | | | 1,884 | | | | 18,934 | |
Dine Brands Global Inc | | | 700 | | | | 27,615 | |
Dorman Products Inc* | | | 1,276 | | | | 117,354 | |
Ethan Allen Interiors Inc | | | 1,064 | | | | 30,973 | |
Foot Locker Inc | | | 3,814 | | | | 105,762 | |
Fox Factory Holding Corp* | | | 1,847 | | | | 86,107 | |
Gentherm Inc* | | | 1,552 | | | | 83,715 | |
G-III Apparel Group Ltd* | | | 1,895 | | | | 56,964 | |
GMS Inc* | | | 1,828 | | | | 171,759 | |
Golden Entertainment Inc | | | 999 | | | | 30,240 | |
Green Brick Partners Inc* | | | 1,183 | | | | 64,592 | |
Group 1 Automotive Inc | | | 585 | | | | 181,923 | |
Guess? Inc | | | 1,272 | | | | 29,599 | |
Hanesbrands Inc* | | | 16,301 | | | | 83,461 | |
Hibbett Inc | | | 577 | | | | 49,957 | |
HNI Corp | | | 2,169 | | | | 102,051 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
Installed Building Products Inc | | | 1,033 | | | | 218,831 | |
Interface Inc | | | 2,706 | | | | 43,594 | |
Jack in the Box Inc | | | 936 | | | | 51,817 | |
JetBlue Airways Corp* | | | 15,521 | | | | 86,762 | |
Kohl’s Corp | | | 4,710 | | | | 105,457 | |
Kontoor Brands Inc | | | 2,204 | | | | 161,641 | |
La-Z-Boy Inc | | | 2,004 | | | | 75,190 | |
LCI Industries | | | 1,141 | | | | 125,373 | |
Leslie’s Inc* | | | 8,731 | | | | 49,941 | |
LGI Homes Inc* | | | 975 | | | | 93,600 | |
M/I Homes Inc* | | | 1,254 | | | | 156,650 | |
Madison Square Garden Sports Corp* | | | 751 | | | | 138,672 | |
MarineMax Inc* | | | 928 | | | | 26,429 | |
Meritage Homes Corp(a) | | | 1,656 | | | | 292,036 | |
Methode Electronics Inc | | | 1,622 | | | | 19,107 | |
MillerKnoll Inc | | | 3,310 | | | | 91,290 | |
Monarch Casino & Resort Inc | | | 588 | | | | 39,378 | |
Movado Group Inc | | | 729 | | | | 19,319 | |
National Vision Holdings Inc* | | | 3,715 | | | | 56,059 | |
Newell Brands Inc | | | 17,168 | | | | 132,537 | |
Nu Skin Enterprises Inc | | | 2,300 | | | | 30,705 | |
The ODP Corp* | | | 1,549 | | | | 60,659 | |
OPENLANE Inc* | | | 4,761 | | | | 82,127 | |
Oxford Industries Inc | | | 702 | | | | 77,704 | |
Papa John’s International Inc | | | 1,475 | | | | 68,529 | |
Patrick Industries Inc | | | 983 | | | | 112,652 | |
PC Connection Inc | | | 526 | | | | 35,579 | |
Phinia Inc | | | 2,174 | | | | 97,308 | |
PriceSmart Inc | | | 1,165 | | | | 98,035 | |
Resideo Technologies Inc* | | | 6,440 | | | | 139,104 | |
Rush Enterprises Inc | | | 2,775 | | | | 125,236 | |
Sally Beauty Holdings Inc* | | | 5,018 | | | | 61,119 | |
ScanSource Inc* | | | 1,162 | | | | 55,114 | |
Shake Shack Inc* | | | 1,689 | | | | 160,269 | |
Shoe Carnival Inc | | | 840 | | | | 31,710 | |
Signet Jewelers Ltd | | | 1,953 | | | | 213,834 | |
Six Flags Entertainment Corp* | | | 3,345 | | | | 85,130 | |
SkyWest Inc* | | | 1,906 | | | | 142,321 | |
Sonic Automotive Inc | | | 692 | | | | 39,216 | |
Sonos Inc* | | | 5,459 | | | | 86,252 | |
Standard Motor Products Inc | | | 1,022 | | | | 31,386 | |
Steven Madden Ltd | | | 3,159 | | | | 140,418 | |
Titan International Inc* | | | 2,356 | | | | 19,484 | |
Topgolf Callaway Brands Corp* | | | 6,616 | | | | 103,540 | |
Tri Pointe Homes Inc* | | | 4,278 | | | | 165,687 | |
UniFirst Corp | | | 680 | | | | 107,848 | |
Urban Outfitters Inc* | | | 2,495 | | | | 104,066 | |
VF Corp | | | 14,409 | | | | 191,352 | |
Victoria’s Secret & Co* | | | 2,043 | | | | 46,560 | |
Vista Outdoor Inc* | | | 2,704 | | | | 94,316 | |
Wabash National Corp | | | 2,146 | | | | 48,521 | |
Winnebago Industries Inc | | | 1,347 | | | | 83,581 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
Wolverine World Wide Inc | | | 3,506 | | | | 47,752 | |
XPEL Inc* | | | 1,041 | | | | 39,558 | |
Xperi Inc* | | | 2,616 | | | | 23,047 | |
Total Consumer, Cyclical | | | | | | | 8,857,636 | |
| | | | | | | | |
Consumer, Non-Cyclical (16.87%) | | | | | | | | |
ABM Industries Inc | | | 2,771 | | | | 130,985 | |
AdaptHealth Corp* | | | 3,607 | | | | 34,194 | |
Addus HomeCare Corp* | | | 755 | | | | 86,682 | |
Adtalem Global Education Inc* | | | 1,854 | | | | 119,379 | |
Alarm.com Holdings Inc* | | | 2,252 | | | | 147,303 | |
Alkermes PLC* | | | 7,356 | | | | 172,130 | |
AMN Healthcare Services Inc* | | | 1,702 | | | | 95,210 | |
Amphastar Pharmaceuticals Inc* | | | 1,683 | | | | 71,241 | |
The Andersons Inc | | | 1,477 | | | | 77,306 | |
ANI Pharmaceuticals Inc* | | | 753 | | | | 48,870 | |
Arcus Biosciences Inc* | | | 2,383 | | | | 35,912 | |
Arlo Technologies Inc* | | | 4,263 | | | | 60,577 | |
Artivion Inc* | | | 1,816 | | | | 42,858 | |
Astrana Health Inc* | | | 1,871 | | | | 77,516 | |
Avanos Medical Inc* | | | 2,108 | | | | 41,970 | |
B&G Foods Inc | | | 3,466 | | | | 33,066 | |
BioLife Solutions Inc* | | | 1,847 | | | | 39,674 | |
Calavo Growers Inc | | | 784 | | | | 21,144 | |
Cal-Maine Foods Inc | | | 1,892 | | | | 116,680 | |
Catalyst Pharmaceuticals Inc* | | | 4,666 | | | | 75,449 | |
Central Garden & Pet Co* | | | 2,238 | | | | 83,589 | |
Certara Inc* | | | 4,987 | | | | 84,530 | |
The Chefs’ Warehouse Inc* | | | 1,556 | | | | 61,338 | |
Collegium Pharmaceutical Inc* | | | 719 | | | | 23,828 | |
CONMED Corp | | | 1,432 | | | | 109,462 | |
Corcept Therapeutics Inc* | | | 3,998 | | | | 120,620 | |
CoreCivic Inc* | | | 5,290 | | | | 84,905 | |
CorVel Corp* | | | 399 | | | | 95,700 | |
Cross Country Healthcare Inc* | | | 1,488 | | | | 22,499 | |
Cytek Biosciences Inc* | | | 4,334 | | | | 24,400 | |
Deluxe Corp | | | 2,034 | | | | 46,233 | |
Dynavax Technologies Corp* | | | 5,823 | | | | 69,818 | |
Edgewell Personal Care Co | | | 2,201 | | | | 84,915 | |
Embecta Corp | | | 2,581 | | | | 31,927 | |
The Ensign Group Inc(a) | | | 2,543 | | | | 308,313 | |
EVERTEC Inc | | | 3,064 | | | | 107,148 | |
Fortrea Holdings Inc* | | | 3,914 | | | | 99,376 | |
Fresh Del Monte Produce Inc | | | 1,517 | | | | 35,437 | |
Fulgent Genetics Inc* | | | 907 | | | | 18,730 | |
The GEO Group Inc* | | | 5,380 | | | | 78,225 | |
Glaukos Corp* | | | 2,195 | | | | 247,420 | |
Green Dot Corp* | | | 2,665 | | | | 26,410 | |
The Hain Celestial Group Inc* | | | 2,548 | | | | 19,518 | |
Harmony Biosciences Holdings Inc* | | | 1,410 | | | | 41,454 | |
Healthcare Services Group Inc* | | | 3,255 | | | | 35,089 | |
Heidrick & Struggles International Inc | | | 937 | | | | 32,120 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
ICU Medical Inc* | | | 944 | | | | 100,385 | |
Inari Medical Inc* | | | 2,234 | | | | 111,700 | |
Innoviva Inc* | | | 2,626 | | | | 41,465 | |
Integer Holdings Corp* | | | 1,501 | | | | 181,981 | |
Inter Parfums Inc | | | 806 | | | | 96,543 | |
Ironwood Pharmaceuticals Inc* | | | 6,398 | | | | 40,307 | |
J & J Snack Foods Corp | | | 695 | | | | 113,083 | |
John B Sanfilippo & Son Inc | | | 404 | | | | 40,735 | |
John Wiley & Sons Inc | | | 1,978 | | | | 72,098 | |
Kelly Services Inc | | | 1,553 | | | | 33,762 | |
Korn Ferry | | | 2,316 | | | | 152,717 | |
LeMaitre Vascular Inc | | | 922 | | | | 72,727 | |
Ligand Pharmaceuticals Inc* | | | 738 | | | | 62,767 | |
LiveRamp Holdings Inc* | | | 3,140 | | | | 98,251 | |
Marathon Digital Holdings Inc* | | | 9,762 | | | | 190,554 | |
Matthews International Corp | | | 1,418 | | | | 40,172 | |
Medifast Inc | | | 595 | | | | 15,315 | |
Merit Medical Systems Inc* | | | 2,601 | | | | 211,071 | |
MGP Ingredients Inc | | | 782 | | | | 60,699 | |
Monro Inc | | | 1,416 | | | | 33,488 | |
Myriad Genetics Inc* | | | 3,903 | | | | 88,832 | |
National Beverage Corp*,# | | | 1,051 | | | | 48,556 | |
National HealthCare Corp | | | 628 | | | | 66,411 | |
NeoGenomics Inc* | | | 5,619 | | | | 77,036 | |
Omnicell Inc* | | | 2,117 | | | | 68,993 | |
Organon & Co | | | 11,516 | | | | 245,636 | |
Owens & Minor Inc* | | | 3,656 | | | | 63,724 | |
Pacira BioSciences Inc* | | | 2,162 | | | | 65,573 | |
Patterson Cos Inc | | | 3,833 | | | | 94,253 | |
Payoneer Global Inc* | | | 11,786 | | | | 70,598 | |
Pediatrix Medical Group Inc* | | | 3,731 | | | | 27,274 | |
Perdoceo Education Corp | | | 2,959 | | | | 66,578 | |
Premier Inc | | | 5,391 | | | | 101,998 | |
Prestige Consumer Healthcare Inc* | | | 2,235 | | | | 143,733 | |
PROG Holdings Inc | | | 2,082 | | | | 78,679 | |
Quanex Building Products Corp | | | 1,564 | | | | 51,549 | |
RadNet Inc* | | | 2,656 | | | | 155,748 | |
REGENXBIO Inc* | | | 1,997 | | | | 28,657 | |
Resources Connection Inc | | | 1,442 | | | | 16,511 | |
Sabre Corp* | | | 17,097 | | | | 53,514 | |
Select Medical Holdings Corp | | | 4,736 | | | | 163,629 | |
The Simply Good Foods Co* | | | 4,221 | | | | 162,466 | |
SpartanNash Co | | | 1,612 | | | | 31,676 | |
STAAR Surgical Co* | | | 2,199 | | | | 91,324 | |
Strategic Education Inc | | | 959 | | | | 108,770 | |
Stride Inc* | | | 1,790 | | | | 122,901 | |
Supernus Pharmaceuticals Inc* | | | 2,544 | | | | 68,993 | |
Tandem Diabetes Care Inc* | | | 3,030 | | | | 155,227 | |
Tootsie Roll Industries Inc | | | 828 | | | | 24,227 | |
TreeHouse Foods Inc* | | | 2,343 | | | | 85,074 | |
UFP Technologies Inc* | | | 327 | | | | 85,138 | |
United Natural Foods Inc* | | | 2,676 | | | | 32,139 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
Universal Corp | | | 1,143 | | | | 54,818 | |
Upbound Group Inc | | | 1,962 | | | | 64,393 | |
US Physical Therapy Inc | | | 708 | | | | 72,620 | |
USANA Health Sciences Inc* | | | 516 | | | | 24,562 | |
Varex Imaging Corp* | | | 2,184 | | | | 33,743 | |
Vector Group Ltd | | | 6,172 | | | | 67,707 | |
Vericel Corp* | | | 2,222 | | | | 105,989 | |
Vestis Corp | | | 6,087 | | | | 74,992 | |
Viad Corp* | | | 974 | | | | 34,041 | |
Vir Biotechnology Inc* | | | 4,133 | | | | 42,446 | |
WD-40 Co | | | 597 | | | | 134,140 | |
Xencor Inc* | | | 2,742 | | | | 65,150 | |
Total Consumer, Non-Cyclical | | | | | | | 8,810,988 | |
| | | | | | | | |
Energy (5.89%) | | | | | | | | |
Alpha Metallurgical Resources Inc | | | 521 | | | | 164,329 | |
Arch Resources Inc | | | 405 | | | | 70,442 | |
Archrock Inc | | | 6,395 | | | | 129,435 | |
Bristow Group Inc* | | | 1,081 | | | | 38,819 | |
California Resources Corp | | | 2,767 | | | | 131,017 | |
Comstock Resources Inc | | | 2,610 | | | | 30,563 | |
CONSOL Energy Inc | | | 1,257 | | | | 130,313 | |
Core Laboratories Inc | | | 2,054 | | | | 38,492 | |
DNOW Inc* | | | 4,687 | | | | 68,383 | |
Dril-Quip Inc* | | | 1,506 | | | | 29,126 | |
Green Plains Inc* | | | 2,907 | | | | 49,913 | |
Helix Energy Solutions Group Inc* | | | 6,597 | | | | 75,931 | |
Helmerich & Payne Inc | | | 4,479 | | | | 170,471 | |
Liberty Energy Inc | | | 6,912 | | | | 170,657 | |
Magnolia Oil & Gas Corp | | | 8,165 | | | | 211,882 | |
Nabors Industries Ltd* | | | 420 | | | | 31,399 | |
Northern Oil & Gas Inc | | | 3,000 | | | | 122,790 | |
Oceaneering International Inc* | | | 4,440 | | | | 105,139 | |
Par Pacific Holdings Inc* | | | 2,639 | | | | 71,622 | |
Patterson-UTI Energy Inc | | | 14,311 | | | | 157,707 | |
Peabody Energy Corp | | | 4,959 | | | | 122,884 | |
ProPetro Holding Corp* | | | 3,952 | | | | 37,860 | |
REX American Resources Corp* | | | 709 | | | | 35,443 | |
SM Energy Co(a) | | | 5,100 | | | | 257,193 | |
SolarEdge Technologies Inc* | | | 2,504 | | | | 122,671 | |
SunCoke Energy Inc | | | 3,900 | | | | 41,145 | |
Sunrun Inc* | | | 9,499 | | | | 137,356 | |
Talos Energy Inc* | | | 5,906 | | | | 70,931 | |
US Silica Holdings Inc* | | | 3,593 | | | | 55,656 | |
Vital Energy Inc* | | | 645 | | | | 31,508 | |
Warrior Met Coal Inc | | | 2,422 | | | | 165,737 | |
Total Energy | | | | | | | 3,076,814 | |
| | | | | | | | |
Financial (24.64%) | | | | | | | | |
Banks (7.45%) | | | | | | | | |
Ameris Bancorp | | | 3,022 | | | | 150,949 | |
Atlantic Union Bankshares Corp | | | 3,379 | | | | 110,257 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
BancFirst Corp | | | 707 | | | | 60,908 | |
The Bancorp Inc* | | | 2,417 | | | | 81,187 | |
Bank of Hawaii Corp | | | 1,851 | | | | 106,877 | |
BankUnited Inc | | | 3,465 | | | | 99,411 | |
Banner Corp | | | 1,599 | | | | 74,881 | |
Cathay General Bancorp | | | 3,273 | | | | 120,577 | |
Central Pacific Financial Corp | | | 1,218 | | | | 24,701 | |
City Holding Co | | | 690 | | | | 70,532 | |
Community Financial System Inc | | | 2,405 | | | | 109,331 | |
Customers Bancorp Inc* | | | 1,375 | | | | 62,288 | |
CVB Financial Corp | | | 6,238 | | | | 103,177 | |
Dime Community Bancshares Inc | | | 1,639 | | | | 30,272 | |
Eagle Bancorp Inc | | | 1,393 | | | | 25,116 | |
FB Financial Corp | | | 1,636 | | | | 60,532 | |
First BanCorp/Puerto Rico | | | 7,424 | | | | 131,628 | |
First Bancorp/Southern Pines NC | | | 1,913 | | | | 60,355 | |
First Commonwealth Financial Corp | | | 4,755 | | | | 64,240 | |
First Financial Bancorp | | | 4,148 | | | | 92,500 | |
First Hawaiian Inc | | | 5,626 | | | | 114,377 | |
Fulton Financial Corp | | | 7,759 | | | | 130,662 | |
Hanmi Financial Corp# | | | 1,369 | | | | 21,575 | |
Heritage Financial Corp | | | 1,625 | | | | 29,461 | |
Hilltop Holdings Inc | | | 2,154 | | | | 65,891 | |
Hope Bancorp Inc | | | 5,861 | | | | 61,716 | |
Independent Bank Corp | | | 1,975 | | | | 100,310 | |
Independent Bank Group Inc | | | 1,672 | | | | 76,979 | |
Lakeland Financial Corp | | | 1,184 | | | | 73,444 | |
National Bank Holdings Corp | | | 1,877 | | | | 68,454 | |
NBT Bancorp Inc | | | 2,075 | | | | 77,149 | |
OFG Bancorp | | | 2,237 | | | | 83,127 | |
Park National Corp | | | 682 | | | | 93,748 | |
Pathward Financial Inc | | | 1,219 | | | | 64,985 | |
Preferred Bank | | | 622 | | | | 46,476 | |
Renasant Corp | | | 2,614 | | | | 78,734 | |
S&T Bancorp Inc | | | 1,780 | | | | 56,800 | |
Seacoast Banking Corp of Florida | | | 3,573 | | | | 84,573 | |
ServisFirst Bancshares Inc | | | 2,207 | | | | 136,393 | |
Simmons First National Corp | | | 5,639 | | | | 98,006 | |
Southside Bancshares Inc | | | 1,335 | | | | 35,791 | |
Stellar Bancorp Inc | | | 1,704 | | | | 38,493 | |
Tompkins Financial Corp | | | 581 | | | | 27,255 | |
Triumph Financial Inc* | | | 1,008 | | | | 74,894 | |
TrustCo Bank Corp NY | | | 857 | | | | 23,825 | |
Trustmark Corp | | | 2,844 | | | | 82,903 | |
United Community Banks Inc | | | 5,540 | | | | 142,156 | |
Veritex Holdings Inc | | | 2,529 | | | | 51,592 | |
Walker & Dunlop Inc | | | 1,557 | | | | 149,456 | |
Westamerica BanCorp | | | 1,301 | | | | 63,515 | |
| | | | | | | 3,892,459 | |
Diversified Financial Service (3.79%) | | | | | | | | |
Air Lease Corp | | | 4,551 | | | | 216,810 | |
Artisan Partners Asset Management Inc | | | 3,189 | | | | 140,412 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
B Riley Financial Inc | | | 1,016 | | | | 24,343 | |
BGC Group Inc | | | 17,051 | | | | 147,832 | |
Bread Financial Holdings Inc | | | 2,174 | | | | 90,786 | |
Brightsphere Investment Group Inc | | | 1,760 | | | | 39,019 | |
Encore Capital Group Inc* | | | 1,060 | | | | 46,894 | |
Enova International Inc* | | | 1,345 | | | | 82,919 | |
Moelis & Co | | | 3,003 | | | | 170,000 | |
Mr Cooper Group Inc* | | | 2,847 | | | | 237,440 | |
Navient Corp | | | 3,942 | | | | 59,406 | |
Piper Sandler Cos | | | 700 | | | | 148,246 | |
PJT Partners Inc | | | 1,038 | | | | 110,723 | |
PRA Group Inc* | | | 1,730 | | | | 37,333 | |
Radian Group Inc | | | 6,752 | | | | 210,932 | |
StoneX Group Inc* | | | 1,249 | | | | 93,762 | |
Virtus Investment Partners Inc | | | 314 | | | | 71,777 | |
WisdomTree Inc | | | 5,142 | | | | 51,266 | |
| | | | | | | 1,979,900 | |
Insurance (3.02%) | | | | | | | | |
Ambac Financial Group Inc* | | | 2,104 | | | | 37,283 | |
AMERISAFE Inc | | | 845 | | | | 37,036 | |
Assured Guaranty Ltd | | | 2,396 | | | | 186,217 | |
Employers Holdings Inc | | | 1,197 | | | | 50,489 | |
Genworth Financial Inc* | | | 21,003 | | | | 132,109 | |
Goosehead Insurance Inc* | | | 1,138 | | | | 73,401 | |
Horace Mann Educators Corp | | | 1,901 | | | | 64,957 | |
Jackson Financial Inc | | | 3,018 | | | | 229,398 | |
Lincoln National Corp | | | 7,479 | | | | 246,732 | |
NMI Holdings Inc* | | | 3,653 | | | | 121,207 | |
Palomar Holdings Inc* | | | 1,114 | | | | 94,512 | |
ProAssurance Corp* | | | 2,246 | | | | 32,275 | |
Safety Insurance Group Inc | | | 688 | | | | 53,217 | |
SiriusPoint Ltd* | | | 4,628 | | | | 60,858 | |
Stewart Information Services Corp | | | 1,274 | | | | 80,657 | |
Trupanion Inc* | | | 1,663 | | | | 49,674 | |
United Fire Group Inc | | | 1,180 | | | | 26,255 | |
| | | | | | | 1,576,277 | |
| | | | | | | | |
Private Equity (0.31%) | | | | | | | | |
Hannon Armstrong Sustainable Infrastructure Capital Inc | | | 4,900 | | | | 163,121 | |
| | | | | | | | |
Real Estate (8.64%) | | | | | | | | |
Acadia Realty Trust | | | 4,649 | | | | 80,149 | |
Alexander & Baldwin Inc | | | 3,378 | | | | 56,750 | |
American Assets Trust Inc | | | 2,372 | | | | 51,591 | |
Anywhere Real Estate Inc* | | | 5,964 | | | | 24,273 | |
Apollo Commercial Real Estate Finance Inc | | | 6,056 | | | | 61,166 | |
Apple Hospitality REIT Inc | | | 9,587 | | | | 138,436 | |
Arbor Realty Trust Inc# | | | 8,778 | | | | 120,083 | |
Armada Hoffler Properties Inc | | | 3,138 | | | | 35,585 | |
ARMOUR Residential REIT Inc | | | 843 | | | | 16,304 | |
Blackstone Mortgage Trust Inc# | | | 7,762 | | | | 135,369 | |
Brandywine Realty Trust | | | 8,014 | | | | 36,945 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
CareTrust REIT Inc | | | 5,421 | | | | 138,615 | |
Centerspace | | | 663 | | | | 45,256 | |
Chatham Lodging Trust | | | 2,275 | | | | 19,247 | |
Community Healthcare Trust Inc | | | 1,068 | | | | 25,055 | |
Cushman & Wakefield PLC* | | | 7,831 | | | | 87,002 | |
DiamondRock Hospitality Co | | | 9,911 | | | | 83,946 | |
Douglas Emmett Inc | | | 7,512 | | | | 104,792 | |
Easterly Government Properties Inc | | | 4,433 | | | | 52,487 | |
Ellington Financial Inc | | | 3,507 | | | | 42,505 | |
Elme Communities | | | 3,957 | | | | 60,977 | |
Essential Properties Realty Trust Inc | | | 6,878 | | | | 184,193 | |
eXp World Holdings Inc | | | 894 | | | | 10,022 | |
Four Corners Property Trust Inc | | | 4,080 | | | | 99,593 | |
Franklin BSP Realty Trust Inc | | | 3,736 | | | | 47,597 | |
Getty Realty Corp | | | 2,449 | | | | 67,617 | |
Global Net Lease Inc | | | 5,985 | | | | 44,768 | |
Highwoods Properties Inc | | | 4,761 | | | | 123,643 | |
Hudson Pacific Properties Inc | | | 5,907 | | | | 29,003 | |
Innovative Industrial Properties Inc | | | 1,305 | | | | 140,653 | |
JBG SMITH Properties | | | 2,821 | | | | 40,622 | |
Kennedy-Wilson Holdings Inc | | | 5,517 | | | | 56,384 | |
KKR Real Estate Finance Trust Inc | | | 2,854 | | | | 26,999 | |
LTC Properties Inc | | | 1,865 | | | | 64,156 | |
LXP Industrial Trust | | | 13,628 | | | | 115,838 | |
The Macerich Co | | | 9,521 | | | | 143,958 | |
Marcus & Millichap Inc | | | 1,072 | | | | 34,658 | |
Medical Properties Trust Inc | | | 26,341 | | | | 141,188 | |
New York Mortgage Trust Inc | | | 5,054 | | | | 30,071 | |
NexPoint Residential Trust Inc | | | 1,238 | | | | 45,397 | |
Outfront Media Inc | | | 6,764 | | | | 97,740 | |
Pebblebrook Hotel Trust | | | 3,747 | | | | 53,020 | |
PennyMac Mortgage Investment Trust | | | 4,040 | | | | 55,267 | |
Phillips Edison & Co Inc | | | 5,569 | | | | 177,874 | |
Ready Capital Corp | | | 7,374 | | | | 61,204 | |
Redwood Trust Inc | | | 5,524 | | | | 35,022 | |
Retail Opportunity Investments Corp | | | 5,867 | | | | 73,455 | |
Safehold Inc | | | 1,980 | | | | 38,174 | |
Saul Centers Inc | | | 582 | | | | 21,179 | |
Service Properties Trust | | | 7,719 | | | | 41,528 | |
SITE Centers Corp | | | 8,110 | | | | 116,946 | |
SL Green Realty Corp | | | 2,999 | | | | 158,857 | |
The St Joe Co | | | 1,658 | | | | 93,843 | |
Summit Hotel Properties Inc | | | 5,009 | | | | 30,655 | |
Sunstone Hotel Investors Inc | | | 9,256 | | | | 95,152 | |
Tanger Inc | | | 4,971 | | | | 137,945 | |
Two Harbors Investment Corp | | | 4,333 | | | | 55,679 | |
Uniti Group Inc | | | 11,564 | | | | 36,542 | |
Universal Health Realty Income Trust | | | 572 | | | | 21,496 | |
Urban Edge Properties | | | 5,186 | | | | 91,948 | |
Veris Residential Inc | | | 3,614 | | | | 55,258 | |
Whitestone REIT | | | 2,122 | | | | 27,671 | |
Xenia Hotels & Resorts Inc | | | 4,938 | | | | 71,552 | |
| | | | | | | 4,510,900 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
Savings & Loans (1.43%) | | | | | | | | |
Axos Financial Inc* | | | 2,314 | | | | 124,655 | |
Banc of California Inc | | | 5,416 | | | | 75,066 | |
Berkshire Hills Bancorp Inc | | | 1,996 | | | | 44,371 | |
Brookline Bancorp Inc | | | 4,138 | | | | 35,794 | |
Capitol Federal Financial Inc | | | 5,887 | | | | 30,436 | |
Northfield Bancorp Inc | | | 1,782 | | | | 15,789 | |
Northwest Bancshares Inc | | | 5,919 | | | | 64,813 | |
Pacific Premier Bancorp Inc | | | 4,466 | | | | 99,324 | |
Provident Financial Services Inc | | | 3,517 | | | | 50,645 | |
WaFd Inc | | | 3,136 | | | | 87,839 | |
WSFS Financial Corp | | | 2,736 | | | | 120,548 | |
| | | | | | | 749,280 | |
| | | | | | | | |
Total Financial | | | | | | | 12,871,937 | |
| | | | | | | | |
Industrial (17.04%) | | | | | | | | |
AAR Corp* | | | 1,462 | | | | 103,787 | |
Advanced Energy Industries Inc | | | 1,643 | | | | 176,507 | |
AeroVironment Inc* | | | 1,224 | | | | 247,432 | |
Alamo Group Inc | | | 490 | | | | 93,095 | |
Albany International Corp | | | 1,405 | | | | 123,247 | |
American Woodmark Corp* | | | 764 | | | | 65,788 | |
Apogee Enterprises Inc | | | 1,027 | | | | 66,724 | |
ArcBest Corp | | | 1,066 | | | | 112,484 | |
Arcosa Inc | | | 2,196 | | | | 193,050 | |
Armstrong World Industries Inc | | | 1,947 | | | | 225,463 | |
Astec Industries Inc | | | 1,002 | | | | 32,555 | |
AZZ Inc | | | 1,105 | | | | 92,687 | |
Badger Meter Inc(a) | | | 1,322 | | | | 255,093 | |
Barnes Group Inc | | | 2,233 | | | | 85,948 | |
Benchmark Electronics Inc | | | 1,661 | | | | 71,539 | |
Boise Cascade Co | | | 1,745 | | | | 239,571 | |
Brady Corp | | | 2,019 | | | | 137,837 | |
CTS Corp | | | 1,451 | | | | 76,830 | |
Dorian LPG Ltd | | | 1,593 | | | | 80,622 | |
DXP Enterprises Inc* | | | 669 | | | | 33,236 | |
Dycom Industries Inc* | | | 1,293 | | | | 232,688 | |
Encore Wire Corp | | | 695 | | | | 200,667 | |
Energizer Holdings Inc | | | 2,942 | | | | 84,200 | |
Enerpac Tool Group Corp | | | 2,448 | | | | 96,255 | |
Enpro Inc | | | 921 | | | | 141,152 | |
Enviri Corp* | | | 4,329 | | | | 38,312 | |
ESCO Technologies Inc | | | 1,161 | | | | 126,700 | |
Fabrinet*,(a) | | | 1,636 | | | | 391,871 | |
Federal Signal Corp | | | 2,745 | | | | 252,595 | |
Forward Air Corp | | | 1,195 | | | | 20,076 | |
Franklin Electric Co Inc | | | 1,787 | | | | 177,771 | |
Frontdoor Inc* | | | 3,587 | | | | 126,872 | |
Gibraltar Industries Inc* | | | 1,417 | | | | 106,927 | |
Granite Construction Inc | | | 1,936 | | | | 120,593 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
The Greenbrier Cos Inc | | | 1,448 | | | | 80,002 | |
Griffon Corp | | | 1,684 | | | | 113,737 | |
Hayward Holdings Inc* | | | 5,871 | | | | 85,071 | |
Heartland Express Inc | | | 2,065 | | | | 23,376 | |
Hillenbrand Inc | | | 3,149 | | | | 146,397 | |
Hub Group Inc | | | 2,810 | | | | 121,252 | |
Ichor Holdings Ltd* | | | 1,323 | | | | 50,261 | |
Insteel Industries Inc | | | 905 | | | | 29,747 | |
Itron Inc* | | | 2,049 | | | | 220,370 | |
John Bean Technologies Corp | | | 1,482 | | | | 141,575 | |
Kennametal Inc | | | 3,494 | | | | 89,971 | |
Knowles Corp* | | | 4,203 | | | | 73,637 | |
Marten Transport Ltd | | | 2,600 | | | | 46,020 | |
Masterbrand Inc* | | | 5,903 | | | | 98,639 | |
Materion Corp | | | 929 | | | | 106,259 | |
Matson Inc | | | 1,573 | | | | 201,659 | |
Mercury Systems Inc* | | | 2,501 | | | | 77,406 | |
Mesa Laboratories Inc | | | 287 | | | | 27,466 | |
Metallus Inc* | | | 1,730 | | | | 41,537 | |
Moog Inc | | | 1,267 | | | | 214,668 | |
Mueller Industries Inc(a) | | | 5,004 | | | | 294,786 | |
Myers Industries Inc | | | 1,988 | | | | 31,410 | |
MYR Group Inc* | | | 752 | | | | 116,605 | |
NV5 Global Inc* | | | 592 | | | | 55,636 | |
O-I Glass Inc* | | | 7,221 | | | | 91,634 | |
OSI Systems Inc* | | | 751 | | | | 107,949 | |
Plexus Corp* | | | 1,238 | | | | 136,353 | |
Powell Industries Inc | | | 203 | | | | 36,512 | |
Proto Labs Inc* | | | 1,200 | | | | 37,164 | |
RXO Inc* | | | 5,000 | | | | 102,050 | |
Sanmina Corp* | | | 2,578 | | | | 176,696 | |
Sealed Air Corp | | | 6,367 | | | | 247,485 | |
SPX Technologies Inc*,(a) | | | 2,056 | | | | 286,648 | |
Standex International Corp | | | 523 | | | | 87,974 | |
Sturm Ruger & Co Inc | | | 781 | | | | 34,708 | |
Tennant Co | | | 869 | | | | 89,212 | |
Trinity Industries Inc | | | 3,812 | | | | 119,887 | |
TTM Technologies Inc* | | | 4,761 | | | | 88,555 | |
World Kinect Corp | | | 2,803 | | | | 73,831 | |
Worthington Enterprises Inc | | | 1,419 | | | | 80,926 | |
Total Industrial | | | | | | | 8,915,245 | |
| | | | | | | | |
Technology (7.63%) | | | | | | | | |
3D Systems Corp* | | | 7,145 | | | | 25,150 | |
ACI Worldwide Inc* | | | 4,898 | | | | 176,377 | |
Adeia Inc | | | 4,991 | | | | 59,044 | |
Agilysys Inc* | | | 945 | | | | 90,219 | |
Alpha & Omega Semiconductor Ltd* | | | 1,334 | | | | 39,100 | |
Axcelis Technologies Inc* | | | 1,440 | | | | 161,986 | |
BlackLine Inc* | | | 2,241 | | | | 106,941 | |
Box Inc* | | | 6,330 | | | | 172,493 | |
Cerence Inc* | | | 1,817 | | | | 6,250 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
CEVA Inc* | | | 1,061 | | | | 21,135 | |
Cohu Inc* | | | 2,324 | | | | 74,926 | |
Corsair Gaming Inc* | | | 2,073 | | | | 24,026 | |
CSG Systems International Inc | | | 1,322 | | | | 57,044 | |
Digi International Inc* | | | 1,620 | | | | 39,463 | |
Diodes Inc* | | | 2,069 | | | | 153,375 | |
Donnelley Financial Solutions Inc* | | | 1,151 | | | | 70,165 | |
DoubleVerify Holdings Inc*,# | | | 6,144 | | | | 111,821 | |
DXC Technology Co* | | | 8,061 | | | | 125,349 | |
Envestnet Inc* | | | 2,316 | | | | 151,721 | |
FormFactor Inc* | | | 3,507 | | | | 191,903 | |
Insight Enterprises Inc*,(a) | | | 1,220 | | | | 238,510 | |
Kulicke & Soffa Industries Inc | | | 2,544 | | | | 116,184 | |
MaxLinear Inc* | | | 3,456 | | | | 61,413 | |
NCR Atleos Corp* | | | 3,115 | | | | 86,690 | |
NCR Voyix Corp* | | | 6,043 | | | | 79,647 | |
NetScout Systems Inc* | | | 3,198 | | | | 65,687 | |
PDF Solutions Inc* | | | 1,379 | | | | 48,293 | |
Photronics Inc* | | | 2,912 | | | | 79,643 | |
Pitney Bowes Inc | | | 7,144 | | | | 38,720 | |
Privia Health Group Inc* | | | 4,783 | | | | 83,081 | |
Progress Software Corp | | | 1,934 | | | | 97,957 | |
Schrodinger Inc* | | | 2,104 | | | | 45,278 | |
Semtech Corp* | | | 3,123 | | | | 121,453 | |
Simulations Plus Inc | | | 871 | | | | 42,017 | |
SiTime Corp* | | | 646 | | | | 78,696 | |
SMART Global Holdings Inc* | | | 2,339 | | | | 48,137 | |
SPS Commerce Inc*,(a) | | | 1,653 | | | | 310,913 | |
TTEC Holdings Inc | | | 1,178 | | | | 7,398 | |
Ultra Clean Holdings Inc* | | | 2,087 | | | | 96,795 | |
Veeco Instruments Inc* | | | 2,623 | | | | 106,625 | |
Verra Mobility Corp* | | | 7,493 | | | | 199,614 | |
Xerox Holdings Corp | | | 5,265 | | | | 74,026 | |
Total Technology | | | | | | | 3,985,265 | |
| | | | | | | | |
Utilities (2.04%) | | | | | | | | |
American States Water Co | | | 1,722 | | | | 126,722 | |
Avista Corp | | | 3,485 | | | | 128,875 | |
California Water Service Group | | | 2,687 | | | | 134,054 | |
Chesapeake Utilities Corp | | | 1,010 | | | | 113,130 | |
Clearway Energy Inc | | | 3,836 | | | | 107,408 | |
MGE Energy Inc | | | 797 | | | | 63,864 | |
Middlesex Water Co | | | 802 | | | | 43,212 | |
Northwest Natural Holding Co | | | 1,712 | | | | 64,063 | |
Otter Tail Corp | | | 1,879 | | | | 169,993 | |
SJW Group | | | 1,353 | | | | 74,023 | |
Unitil Corp | | | 709 | | | | 37,924 | |
Total Utilities | | | | | | | 1,063,268 | |
| | | | | | | | |
Total Common Stock (Cost $38,029,388) | | | | | | | 51,682,527 | |
Security Description | | Shares | | | Value | |
Common Stock (98.93%) | | | | | | | | |
| | | | | | | | |
United States Treasury Bills (0.96%) | | | | | | | | |
United States Treasury Bill (Cost $499,122) | | | 500,000 | | | | 499,269 | |
| | | | | | | | |
Right (0.00%) | | | | | | | | |
OmniAb Operations Inc - 15*,(b) | | | 401 | | | | — | |
OmniAb Operations Inc - 12.5*,(b) | | | 401 | | | | — | |
| | | | | | | | |
Collateral Received for Securities on Loan (0.51%) | | | | | | | | |
Mount Vernon Liquid Assets Portfolio (Cost $263,917) | | | | | | | 263,917 | |
| | | | | | | | |
Total Investments (Cost $38,792,427)(100.40%) | | | | | | | 52,445,713 | |
Liabilities in Excess of Other Assets (-0.40%) | | | | | | | (208,292 | ) |
Net Assets (100.00%) | | | | | | $ | 52,237,421 | |
* Non-income producing security.
# Loaned security; a portion of the security is on loan at May 31, 2024.
(a) A portion of these securities, a total of $3,362,035 have been pledged or segregated in connection with obligations for futures contracts.
(b) Level 3 security fair valued under procedures established by the Board of Trustees, represents 0% of net assets. The total value of the fair value securities is $0.
Futures contracts at May 31, 2024:
Contracts - $50 times premium / delivery month / commitment / exchange Russell 2000 MINI | | Notional Amount | | | Value | | | Unrealized Appreciation | |
5 / JUN 2024 / Long / CME | | $ | 507,450 | | | $ | 518,950 | | | $ | 11,500 | |
SHELTON EQUITY INCOME FUND
Portfolio of Investments
May 31, 2024
Security Description | | Shares | | | Value | |
Common Stock (91.01%) | | | | | | | | |
| | | | | | | | |
Basic Materials (1.97%) | | | | | | | | |
CF Industries Holdings Inc(a) | | | 57,400 | | | $ | 4,576,502 | |
Dow Inc(a) | | | 34,400 | | | | 1,982,472 | |
Ecolab Inc(a) | | | 8,800 | | | | 2,043,360 | |
Linde PLC(a) | | | 8,500 | | | | 3,701,920 | |
Newmont Corp(a) | | | 29,200 | | | | 1,224,648 | |
Total Basic Materials | | | | | | | 13,528,902 | |
| | | | | | | | |
Communications (15.05%) | | | | | | | | |
Alphabet Inc*,(a) | | | 80,800 | | | | 13,938,000 | |
Amazon.com Inc*,(a) | | | 55,900 | | | | 9,862,996 | |
Arista Networks Inc*,(a) | | | 32,600 | | | | 9,703,390 | |
AT&T Inc(a) | | | 316,900 | | | | 5,773,918 | |
Booking Holdings Inc(a) | | | 1,700 | | | | 6,419,795 | |
Cisco Systems Inc(a) | | | 81,200 | | | | 3,775,800 | |
Comcast Corp(a) | | | 259,400 | | | | 10,383,782 | |
Corning Inc(a) | | | 87,600 | | | | 3,263,976 | |
Expedia Group Inc*,(a) | | | 21,100 | | | | 2,381,346 | |
Meta Platforms Inc(a) | | | 31,700 | | | | 14,798,511 | |
Netflix Inc*,(a) | | | 13,700 | | | | 8,790,194 | |
Palo Alto Networks Inc*,(a) | | | 23,800 | | | | 7,018,858 | |
T-Mobile US Inc(a) | | | 200 | | | | 34,992 | |
Uber Technologies Inc*,(a) | | | 29,000 | | | | 1,872,240 | |
Verizon Communications Inc(a) | | | 47,300 | | | | 1,946,395 | |
The Walt Disney Co(a) | | | 32,900 | | | | 3,418,639 | |
Warner Bros Discovery Inc*,(a) | | | 30,191 | | | | 248,774 | |
Total Communications | | | | | | | 103,631,606 | |
| | | | | | | | |
Consumer, Cyclical (8.83%) | | | | | | | | |
Amerityre Corp* | | | 20,000,000 | | | | 830,000 | |
AutoZone Inc*,(a) | | | 1,100 | | | | 3,046,934 | |
Chipotle Mexican Grill Inc*,(a) | | | 3,100 | | | | 9,701,512 | |
Costco Wholesale Corp(a) | | | 11,000 | | | | 8,908,790 | |
Domino’s Pizza Inc(a) | | | 7,300 | | | | 3,712,634 | |
Hilton Worldwide Holdings Inc(a) | | | 24,000 | | | | 4,814,400 | |
The Home Depot Inc(a) | | | 21,300 | | | | 7,132,731 | |
Lennar Corp(a) | | | 15,000 | | | | 2,405,250 | |
Lowe’s Cos Inc(a) | | | 10,000 | | | | 2,212,900 | |
Marriott International Inc(a) | | | 15,400 | | | | 3,560,018 | |
NIKE Inc(a) | | | 10,100 | | | | 960,005 | |
PulteGroup Inc(a) | | | 18,300 | | | | 2,146,956 | |
Starbucks Corp(a) | | | 18,800 | | | | 1,508,136 | |
Target Corp(a) | | | 6,400 | | | | 999,424 | |
The TJX Cos Inc(a) | | | 15,500 | | | | 1,598,050 | |
Ulta Beauty Inc*,(a) | | | 10,900 | | | | 4,306,481 | |
Yum! Brands Inc(a) | | | 21,200 | | | | 2,913,516 | |
Total Consumer, Cyclical | | | | | | | 60,757,737 | |
| | | | | | | | |
Consumer, Non-Cyclical (17.93%) | | | | | | | | |
Abbott Laboratories(a) | | | 11,700 | | | | 1,195,623 | |
AbbVie Inc(a) | | | 55,600 | | | | 8,964,944 | |
Amgen Inc(a) | | | 7,100 | | | | 2,171,535 | |
Archer-Daniels-Midland Co(a) | | | 3,000 | | | | 187,320 | |
Security Description | | Shares | | | Value | |
Common Stock (91.01%) | | | | | | | | |
| | | | | | | | |
Biogen Inc*,(a) | | | 2,500 | | | | 562,350 | |
Bristol-Myers Squibb Co(a) | | | 77,100 | | | | 3,168,039 | |
Cardinal Health Inc(a) | | | 22,600 | | | | 2,243,502 | |
Centene Corp*,(a) | | | 30,000 | | | | 2,147,700 | |
The Coca-Cola Co(a) | | | 93,500 | | | | 5,883,955 | |
Colgate-Palmolive Co(a) | | | 34,600 | | | | 3,216,416 | |
Conagra Brands Inc(a) | | | 42,200 | | | | 1,260,936 | |
Constellation Brands Inc(a) | | | 3,600 | | | | 900,828 | |
CVS Health Corp(a) | | | 48,700 | | | | 2,902,520 | |
Eli Lilly & Co(a) | | | 15,100 | | | | 12,387,134 | |
Gartner Inc*,(a) | | | 7,300 | | | | 3,063,591 | |
Gilead Sciences Inc(a) | | | 1,700 | | | | 109,259 | |
Global Payments Inc(a) | | | 19,500 | | | | 1,986,075 | |
HCA Healthcare Inc(a) | | | 11,500 | | | | 3,907,125 | |
The Hershey Co(a) | | | 7,800 | | | | 1,543,074 | |
Humana Inc(a) | | | 4,100 | | | | 1,468,292 | |
Intuitive Surgical Inc*,(a) | | | 10,500 | | | | 4,222,260 | |
Johnson & Johnson(a) | | | 34,100 | | | | 5,001,447 | |
McKesson Corp(a) | | | 6,600 | | | | 3,759,294 | |
Merck & Co Inc(a) | | | 24,500 | | | | 3,075,730 | |
Molson Coors Beverage Co(a) | | | 17,200 | | | | 942,732 | |
Monster Beverage Corp*,(a) | | | 77,900 | | | | 4,044,568 | |
PayPal Holdings Inc*,(a) | | | 30,100 | | | | 1,895,999 | |
Pfizer Inc(a) | | | 119,900 | | | | 3,436,334 | |
The Procter & Gamble Co(a) | | | 64,700 | | | | 10,645,738 | |
Regeneron Pharmaceuticals Inc*,(a) | | | 7,500 | | | | 7,351,200 | |
S&P Global Inc(a) | | | 5,300 | | | | 2,265,803 | |
Thermo Fisher Scientific Inc(a) | | | 1,700 | | | | 965,566 | |
UnitedHealth Group Inc(a) | | | 20,600 | | | | 10,204,622 | |
Vertex Pharmaceuticals Inc*,(a) | | | 14,000 | | | | 6,374,760 | |
Total Consumer, Non-Cyclical | | | | | | | 123,456,271 | |
| | | | | | | | |
Energy (3.52%) | | | | | | | | |
Chevron Corp(a) | | | 37,400 | | | | 6,070,020 | |
ConocoPhillips(a) | | | 55,800 | | | | 6,499,584 | |
Devon Energy Corp(a) | | | 78,500 | | | | 3,852,780 | |
Exxon Mobil Corp(a) | | | 35,100 | | | | 4,115,826 | |
Marathon Petroleum Corp(a) | | | 11,600 | | | | 2,048,676 | |
Schlumberger NV(a) | | | 35,700 | | | | 1,638,273 | |
Total Energy | | | | | | | 24,225,159 | |
| | | | | | | | |
Financial (13.16%) | | | | | | | | |
Banks (4.72%) | | | | | | | | |
Bank of America Corp(a) | | | 169,900 | | | | 6,794,301 | |
Citigroup Inc(a) | | | 55,500 | | | | 3,458,205 | |
JPMorgan Chase & Co(a) | | | 35,000 | | | | 7,092,050 | |
Morgan Stanley(a) | | | 24,300 | | | | 2,377,512 | |
Truist Financial Corp(a) | | | 53,000 | | | | 2,000,750 | |
US Bancorp(a) | | | 45,600 | | | | 1,849,080 | |
Wells Fargo & Co(a) | | | 148,400 | | | | 8,892,128 | |
| | | | | | | 32,464,026 | |
Diversified Financial Service (2.84%) | | | | | | | | |
American Express Co(a) | | | 13,300 | | | | 3,192,000 | |
The Charles Schwab Corp(a) | | | 67,000 | | | | 4,909,760 | |
CME Group Inc(a) | | | 14,200 | | | | 2,882,316 | |
Intercontinental Exchange Inc(a) | | | 34,100 | | | | 4,565,990 | |
Mastercard Inc(a) | | | 8,900 | | | | 3,978,923 | |
| | | | | | | 19,528,989 | |
Insurance (3.56%) | | | | | | | | |
Aon PLC(a) | | | 16,300 | | | | 4,590,732 | |
Berkshire Hathaway Inc*,(a) | | | 15,100 | | | | 6,257,440 | |
Security Description | | Shares | | | Value | |
Common Stock (91.01%) | | | | | | | | |
| | | | | | | | |
Marsh & McLennan Cos Inc(a) | | | 10,300 | | | | 2,138,074 | |
The Progressive Corp(a) | | | 45,000 | | | | 9,503,100 | |
The Travelers Cos Inc(a) | | | 9,400 | | | | 2,027,580 | |
| | | | | | | 24,516,926 | |
| | | | | | | | |
Real Estate (2.04%) | | | | | | | | |
American Tower Corp(a) | | | 5,800 | | | | 1,135,292 | |
CBRE Group Inc*,(a) | | | 28,100 | | | | 2,474,767 | |
Digital Realty Trust Inc(a) | | | 23,100 | | | | 3,357,354 | |
Equinix Inc(a) | | | 2,400 | | | | 1,831,152 | |
Extra Space Storage Inc(a) | | | 10,500 | | | | 1,520,085 | |
Iron Mountain Inc(a) | | | 26,000 | | | | 2,097,940 | |
Prologis Inc(a) | | | 15,000 | | | | 1,657,350 | |
| | | | | | | 14,073,940 | |
| | | | | | | | |
Total Financial | | | | | | | 90,583,881 | |
| | | | | | | | |
Industrial (7.96%) | | | | | | | | |
The Boeing Co*,(a) | | | 10,800 | | | | 1,918,188 | |
Carrier Global Corp(a) | | | 50,000 | | | | 3,159,500 | |
Caterpillar Inc(a) | | | 24,600 | | | | 8,327,592 | |
Deere & Co(a) | | | 3,800 | | | | 1,424,088 | |
Eaton Corp PLC(a) | | | 9,400 | | | | 3,128,790 | |
General Dynamics Corp(a) | | | 9,300 | | | | 2,787,861 | |
Lockheed Martin Corp(a) | | | 14,000 | | | | 6,584,760 | |
Packaging Corp of America(a) | | | 1,300 | | | | 238,537 | |
RTX Corp(a) | | | 38,700 | | | | 4,172,247 | |
Trane Technologies PLC(a) | | | 17,000 | | | | 5,566,820 | |
Union Pacific Corp(a) | | | 32,600 | | | | 7,589,932 | |
United Parcel Service Inc(a) | | | 49,500 | | | | 6,877,035 | |
Waste Management Inc(a) | | | 14,200 | | | | 2,992,366 | |
Total Industrial | | | | | | | 54,767,716 | |
| | | | | | | | |
Technology (20.37%) | | | | | | | | |
Accenture PLC(a) | | | 12,700 | | | | 3,585,083 | |
Adobe Inc*,(a) | | | 12,700 | | | | 5,648,452 | |
Apple Inc(a) | | | 66,500 | | | | 12,784,625 | |
Applied Materials Inc(a) | | | 7,000 | | | | 1,505,560 | |
Broadcom Inc(a) | | | 4,000 | | | | 5,314,200 | |
Cadence Design Systems Inc*,(a) | | | 22,800 | | | | 6,527,868 | |
Cognizant Technology Solutions Corp(a) | | | 22,900 | | | | 1,514,835 | |
Fidelity National Information Services Inc(a) | | | 50,400 | | | | 3,824,352 | |
Fortinet Inc*,(a) | | | 58,700 | | | | 3,482,084 | |
Hewlett Packard Enterprise Co(a) | | | 166,100 | | | | 2,931,665 | |
Intel Corp(a) | | | 30,500 | | | | 940,925 | |
International Business Machines Corp(a) | | | 36,600 | | | | 6,106,710 | |
Intuit Inc(a) | | | 10,600 | | | | 6,110,264 | |
Jack Henry & Associates Inc(a) | | | 3,000 | | | | 494,040 | |
Microchip Technology Inc(a) | | | 5,000 | | | | 486,150 | |
Microsoft Corp(a) | | | 37,800 | | | | 15,691,914 | |
MSCI Inc(a) | | | 7,100 | | | | 3,515,778 | |
NetApp Inc(a) | | | 44,700 | | | | 5,383,221 | |
NVIDIA Corp(a) | | | 14,200 | | | | 15,567,886 | |
NXP Semiconductors NV(a) | | | 28,500 | | | | 7,754,850 | |
ON Semiconductor Corp*,(a) | | | 14,300 | | | | 1,044,472 | |
Oracle Corp(a) | | | 17,100 | | | | 2,003,949 | |
Salesforce Inc(a) | | | 31,100 | | | | 7,291,084 | |
Seagate Technology Holdings PLC(a) | | | 4,300 | | | | 400,932 | |
ServiceNow Inc*,(a) | | | 10,600 | | | | 6,963,458 | |
Skyworks Solutions Inc(a) | | | 10,100 | | | | 935,866 | |
Security Description | | Shares | | | Value | |
Common Stock (91.01%) | | | | | | | | |
| | | | | | | | |
Synopsys Inc*,(a) | | | 6,800 | | | | 3,813,440 | |
Texas Instruments Inc(a) | | | 44,200 | | | | 8,619,442 | |
Total Technology | | | | | | | 140,243,105 | |
| | | | | | | | |
Utilities (2.23%) | | | | | | | | |
American Water Works Co Inc(a) | | | 11,700 | | | | 1,530,009 | |
Constellation Energy Corp(a) | | | 29,700 | | | | 6,452,325 | |
NextEra Energy Inc(a) | | | 83,000 | | | | 6,641,660 | |
The Southern Co(a) | | | 8,700 | | | | 697,218 | |
Total Utilities | | | | | | | 15,321,212 | |
| | | | | | | | |
Total Common Stock (Cost $606,368,195) | | | | | | | 626,515,589 | |
| | | | | | | | |
United States Treasury Bills (9.57%) | | | | | | | | |
United States Treasury Bill (Cost $65,884,252) | | | 66,000,000 | | | | 65,903,484 | |
| | | | | | | | |
Total Investments (Cost $672,252,447)(100.58%) | | | | | | | 692,419,073 | |
Liabilities in Excess of Other Assets (-0.58%) | | | | | | | (4,016,016 | ) |
Net Assets (100.00%) | | | | | | $ | 688,403,057 | |
* Non-income producing security.
(a) A portion of these securities, a total of $624,516,009, have been pledged or segregated in connection with written call options.
Written Call Options | | | | | | | | | | | |
| | Expiration Date | | Contracts | | | Strike Price | | | Value | |
Abbott Laboratories | | 6/21/2024 | | | (50 | ) | | | 105.00 | | | $ | (3,150 | ) |
AbbVie Inc | | 7/19/2024 | | | (130 | ) | | | 165.00 | | | | (34,840 | ) |
Accenture PLC | | 6/21/2024 | | | (67 | ) | | | 310.00 | | | | (8,777 | ) |
Adobe Inc | | 6/21/2024 | | | (20 | ) | | | 490.00 | | | | (11,300 | ) |
Alphabet Inc | | 7/19/2024 | | | (260 | ) | | | 175.00 | | | | (132,600 | ) |
Amazon.com Inc | | 7/19/2024 | | | (150 | ) | | | 185.00 | | | | (50,250 | ) |
American Express Co | | 7/19/2024 | | | (50 | ) | | | 250.00 | | | | (21,500 | ) |
American Tower Corp | | 7/19/2024 | | | (30 | ) | | | 195.00 | | | | (21,900 | ) |
American Water Works Co Inc | | 7/19/2024 | | | (87 | ) | | | 140.00 | | | | (8,048 | ) |
Amgen Inc | | 7/19/2024 | | | (30 | ) | | | 330.00 | | | | (5,640 | ) |
Aon PLC | | 7/19/2024 | | | (100 | ) | | | 310.00 | | | | (8,200 | ) |
Apple Inc | | 6/21/2024 | | | (250 | ) | | | 185.00 | | | | (227,000 | ) |
Applied Materials Inc | | 6/21/2024 | | | (70 | ) | | | 220.00 | | | | (28,210 | ) |
Archer-Daniels-Midland Co | | 7/19/2024 | | | (30 | ) | | | 62.50 | | | | (6,450 | ) |
Arista Networks Inc | | 7/19/2024 | | | (295 | ) | | | 300.00 | | | | (430,700 | ) |
AT&T Inc | | 7/19/2024 | | | (620 | ) | | | 18.00 | | | | (36,580 | ) |
AutoZone Inc | | 7/19/2024 | | | (4 | ) | | | 2950.00 | | | | (7,380 | ) |
Bank of America Corp | | 7/19/2024 | | | (1,444 | ) | | | 38.00 | | | | (378,328 | ) |
Berkshire Hathaway Inc | | 7/19/2024 | | | (90 | ) | | | 430.00 | | | | (23,130 | ) |
Biogen Inc | | 7/19/2024 | | | (25 | ) | | | 230.00 | | | | (19,000 | ) |
The Boeing Co | | 6/21/2024 | | | (20 | ) | | | 190.00 | | | | (2,580 | ) |
Booking Holdings Inc | | 7/19/2024 | | | (5 | ) | | | 3900.00 | | | | (29,900 | ) |
Bristol-Myers Squibb Co | | 8/16/2024 | | | (300 | ) | | | 45.00 | | | | (19,800 | ) |
Broadcom Inc | | 6/21/2024 | | | (2 | ) | | | 1400.00 | | | | (5,116 | ) |
Cadence Design Systems Inc | | 7/19/2024 | | | (55 | ) | | | 300.00 | | | | (30,525 | ) |
Cardinal Health Inc | | 7/19/2024 | | | (80 | ) | | | 100.00 | | | | (20,400 | ) |
Carrier Global Corp | | 6/21/2024 | | | (250 | ) | | | 65.00 | | | | (20,000 | ) |
Caterpillar Inc | | 7/19/2024 | | | (129 | ) | | | 370.00 | | | | (30,831 | ) |
CBRE Group Inc | | 8/16/2024 | | | (140 | ) | | | 100.00 | | | | (39,550 | ) |
Centene Corp | | 6/21/2024 | | | (90 | ) | | | 77.50 | | | | (1,800 | ) |
CF Industries Holdings Inc | | 8/16/2024 | | | (240 | ) | | | 85.00 | | | | (52,800 | ) |
| | Expiration Date | | Contracts | | | Strike Price | | | Value | |
The Charles Schwab Corp | | 6/21/2024 | | | (410 | ) | | | 75.00 | | | | (40,180 | ) |
Chevron Corp | | 6/21/2024 | | | (70 | ) | | | 170.00 | | | | (3,780 | ) |
Chevron Corp | | 7/19/2024 | | | (55 | ) | | | 165.00 | | | | (18,700 | ) |
Chipotle Mexican Grill Inc | | 7/19/2024 | | | (13 | ) | | | 3200.00 | | | | (85,293 | ) |
Cisco Systems Inc | | 6/21/2024 | | | (200 | ) | | | 50.00 | | | | (1,600 | ) |
Citigroup Inc | | 6/21/2024 | | | (80 | ) | | | 67.50 | | | | (1,280 | ) |
Citigroup Inc | | 6/21/2024 | | | (100 | ) | | | 65.00 | | | | (4,900 | ) |
Citigroup Inc | | 6/21/2024 | | | (68 | ) | | | 57.50 | | | | (33,796 | ) |
CME Group Inc | | 7/19/2024 | | | (49 | ) | | | 210.00 | | | | (12,887 | ) |
The Coca-Cola Co | | 8/16/2024 | | | (430 | ) | | | 65.00 | | | | (30,100 | ) |
Cognizant Technology Solutions Corp | | 7/19/2024 | | | (88 | ) | | | 70.00 | | | | (6,600 | ) |
Colgate-Palmolive Co | | 8/16/2024 | | | (246 | ) | | | 95.00 | | | | (34,440 | ) |
Comcast Corp | | 7/19/2024 | | | (400 | ) | | | 40.00 | | | | (51,200 | ) |
Conagra Brands Inc | | 6/21/2024 | | | (130 | ) | | | 31.00 | | | | (1,820 | ) |
ConocoPhillips | | 6/21/2024 | | | (100 | ) | | | 135.00 | | | | (300 | ) |
ConocoPhillips | | 5/31/2024 | | | (98 | ) | | | 120.00 | | | | (98 | ) |
Constellation Brands Inc | | 6/21/2024 | | | (36 | ) | | | 270.00 | | | | (1,224 | ) |
Constellation Energy Corp | | 7/19/2024 | | | (75 | ) | | | 230.00 | | | | (42,750 | ) |
Corning Inc | | 7/19/2024 | | | (200 | ) | | | 37.00 | | | | (25,200 | ) |
Costco Wholesale Corp | | 7/19/2024 | | | (6 | ) | | | 790.00 | | | | (20,940 | ) |
CVS Health Corp | | 8/16/2024 | | | (250 | ) | | | 65.00 | | | | (33,000 | ) |
Deere & Co | | 6/21/2024 | | | (15 | ) | | | 390.00 | | | | (1,875 | ) |
Devon Energy Corp | | 7/19/2024 | | | (200 | ) | | | 50.00 | | | | (24,000 | ) |
Devon Energy Corp | | 6/21/2024 | | | (300 | ) | | | 50.00 | | | | (18,600 | ) |
Digital Realty Trust Inc | | 7/19/2024 | | | (158 | ) | | | 145.00 | | | | (74,260 | ) |
Domino’s Pizza Inc | | 9/20/2024 | | | (40 | ) | | | 520.00 | | | | (101,400 | ) |
Dow Inc | | 7/19/2024 | | | (170 | ) | | | 60.00 | | | | (10,710 | ) |
Eaton Corp PLC | | 7/19/2024 | | | (45 | ) | | | 350.00 | | | | (21,150 | ) |
Ecolab Inc | | 7/19/2024 | | | (30 | ) | | | 240.00 | | | | (4,050 | ) |
Eli Lilly & Co | | 7/19/2024 | | | (20 | ) | | | 800.00 | | | | (86,600 | ) |
Equinix Inc | | 7/19/2024 | | | (12 | ) | | | 820.00 | | | | (10,320 | ) |
Expedia Group Inc | | 6/21/2024 | | | (100 | ) | | | 150.00 | | | | (650 | ) |
Extra Space Storage Inc | | 6/21/2024 | | | (50 | ) | | | 155.00 | | | | (2,375 | ) |
Exxon Mobil Corp | | 7/19/2024 | | | (100 | ) | | | 125.00 | | | | (8,900 | ) |
Fidelity National Information Services Inc | | 7/19/2024 | | | (325 | ) | | | 77.50 | | | | (46,475 | ) |
Fortinet Inc | | 7/19/2024 | | | (317 | ) | | | 65.00 | | | | (22,190 | ) |
Gartner Inc | | 6/21/2024 | | | (20 | ) | | | 450.00 | | | | (2,800 | ) |
General Dynamics Corp | | 6/21/2024 | | | (45 | ) | | | 300.00 | | | | (20,250 | ) |
Gilead Sciences Inc | | 8/16/2024 | | | (17 | ) | | | 70.00 | | | | (1,173 | ) |
Global Payments Inc | | 8/16/2024 | | | (110 | ) | | | 120.00 | | | | (7,150 | ) |
HCA Healthcare Inc | | 6/21/2024 | | | (67 | ) | | | 325.00 | | | | (98,356 | ) |
The Hershey Co | | 8/16/2024 | | | (58 | ) | | | 230.00 | | | | (4,930 | ) |
Hewlett Packard Enterprise Co | | 6/21/2024 | | | (310 | ) | | | 18.00 | | | | (29,450 | ) |
Hilton Worldwide Holdings Inc | | 7/19/2024 | | | (150 | ) | | | 210.00 | | | | (42,000 | ) |
The Home Depot Inc | | 7/19/2024 | | | (56 | ) | | | 355.00 | | | | (12,208 | ) |
Humana Inc | | 8/16/2024 | | | (8 | ) | | | 370.00 | | | | (11,200 | ) |
Intel Corp | | 8/16/2024 | | | (150 | ) | | | 35.00 | | | | (13,200 | ) |
Intercontinental Exchange Inc | | 6/21/2024 | | | (120 | ) | | | 140.00 | | | | (3,120 | ) |
International Business Machines Corp | | 8/16/2024 | | | (104 | ) | | | 180.00 | | | | (26,312 | ) |
Intuit Inc | | 7/19/2024 | | | (40 | ) | | | 670.00 | | | | (4,600 | ) |
Intuitive Surgical Inc | | 7/19/2024 | | | (15 | ) | | | 410.00 | | | | (20,490 | ) |
Iron Mountain Inc | | 7/19/2024 | | | (100 | ) | | | 85.00 | | | | (8,300 | ) |
Jack Henry & Associates Inc | | 6/21/2024 | | | (12 | ) | | | 170.00 | | | | (2,760 | ) |
Johnson & Johnson | | 7/19/2024 | | | (200 | ) | | | 155.00 | | | | (18,000 | ) |
JPMorgan Chase & Co | | 6/21/2024 | | | (160 | ) | | | 200.00 | | | | (87,200 | ) |
Lennar Corp | | 7/19/2024 | | | (60 | ) | | | 170.00 | | | | (19,020 | ) |
| | Expiration Date | | Contracts | | | Strike Price | | | Value | |
Linde PLC | | 8/16/2024 | | | (55 | ) | | | 465.00 | | | | (29,150 | ) |
Lockheed Martin Corp | | 7/19/2024 | | | (60 | ) | | | 480.00 | | | | (29,400 | ) |
Lowe’s Cos Inc | | 7/19/2024 | | | (86 | ) | | | 240.00 | | | | (8,600 | ) |
Marathon Petroleum Corp | | 7/19/2024 | | | (50 | ) | | | 185.00 | | | | (18,400 | ) |
Marriott International Inc | | 7/19/2024 | | | (74 | ) | | | 250.00 | | | | (8,806 | ) |
Marsh & McLennan Cos Inc | | 7/19/2024 | | | (50 | ) | | | 210.00 | | | | (16,550 | ) |
Mastercard Inc | | 6/21/2024 | | | (20 | ) | | | 460.00 | | | | (4,420 | ) |
McKesson Corp | | 8/16/2024 | | | (66 | ) | | | 550.00 | | | | (236,940 | ) |
Merck & Co Inc | | 7/19/2024 | | | (93 | ) | | | 135.00 | | | | (5,301 | ) |
Merck & Co Inc | | 6/21/2024 | | | (75 | ) | | | 135.00 | | | | (1,200 | ) |
Meta Platforms Inc | | 6/21/2024 | | | (70 | ) | | | 460.00 | | | | (114,100 | ) |
Microchip Technology Inc | | 6/21/2024 | | | (50 | ) | | | 95.00 | | | | (20,000 | ) |
Microsoft Corp | | 6/21/2024 | | | (27 | ) | | | 430.00 | | | | (6,615 | ) |
Molson Coors Beverage Co | | 6/21/2024 | | | (60 | ) | | | 67.50 | | | | (300 | ) |
Monster Beverage Corp | | 7/19/2024 | | | (150 | ) | | | 55.00 | | | | (14,250 | ) |
Morgan Stanley | | 7/19/2024 | | | (213 | ) | | | 100.00 | | | | (55,806 | ) |
MSCI Inc | | 8/16/2024 | | | (38 | ) | | | 540.00 | | | | (30,400 | ) |
NetApp Inc | | 7/19/2024 | | | (257 | ) | | | 110.00 | | | | (235,669 | ) |
Netflix Inc | | 7/19/2024 | | | (25 | ) | | | 720.00 | | | | (21,850 | ) |
Newmont Corp | | 7/19/2024 | | | (120 | ) | | | 45.00 | | | | (9,480 | ) |
NextEra Energy Inc | | 7/19/2024 | | | (250 | ) | | | 80.00 | | | | (75,000 | ) |
NIKE Inc | | 7/19/2024 | | | (50 | ) | | | 100.00 | | | | (12,200 | ) |
NVIDIA Corp | | 7/19/2024 | | | (20 | ) | | | 1000.00 | | | | (262,100 | ) |
NXP Semiconductors NV | | 7/19/2024 | | | (60 | ) | | | 270.00 | | | | (75,600 | ) |
ON Semiconductor Corp | | 7/19/2024 | | | (35 | ) | | | 80.00 | | | | (6,230 | ) |
Oracle Corp | | 6/21/2024 | | | (85 | ) | | | 125.00 | | | | (16,575 | ) |
Packaging Corp of America | | 7/19/2024 | | | (10 | ) | | | 190.00 | | | | (1,800 | ) |
Palo Alto Networks Inc | | 7/19/2024 | | | (35 | ) | | | 330.00 | | | | (9,800 | ) |
PayPal Holdings Inc | | 7/19/2024 | | | (100 | ) | | | 70.00 | | | | (6,200 | ) |
Pfizer Inc | | 7/19/2024 | | | (300 | ) | | | 30.00 | | | | (15,300 | ) |
The Procter & Gamble Co | | 7/19/2024 | | | (400 | ) | | | 170.00 | | | | (39,200 | ) |
The Progressive Corp | | 8/16/2024 | | | (300 | ) | | | 210.00 | | | | (295,500 | ) |
Prologis Inc | | 8/16/2024 | | | (30 | ) | | | 120.00 | | | | (5,100 | ) |
PulteGroup Inc | | 7/19/2024 | | | (100 | ) | | | 125.00 | | | | (19,000 | ) |
Regeneron Pharmaceuticals Inc | | 8/16/2024 | | | (20 | ) | | | 1000.00 | | | | (65,400 | ) |
RTX Corp | | 7/19/2024 | | | (200 | ) | | | 105.00 | | | | (92,000 | ) |
S&P Global Inc | | 7/19/2024 | | | (47 | ) | | | 430.00 | | | | (38,070 | ) |
Salesforce Inc | | 6/21/2024 | | | (60 | ) | | | 310.00 | | | | (840 | ) |
Schlumberger NV | | 8/16/2024 | | | (100 | ) | | | 52.50 | | | | (3,800 | ) |
Seagate Technology Holdings PLC | | 8/16/2024 | | | (43 | ) | | | 105.00 | | | | (11,288 | ) |
ServiceNow Inc | | 6/21/2024 | | | (20 | ) | | | 780.00 | | | | (1,460 | ) |
Skyworks Solutions Inc | | 8/16/2024 | | | (89 | ) | | | 105.00 | | | | (13,795 | ) |
The Southern Co | | 8/16/2024 | | | (40 | ) | | | 82.50 | | | | (6,600 | ) |
Starbucks Corp | | 8/16/2024 | | | (100 | ) | | | 85.00 | | | | (25,000 | ) |
Synopsys Inc | | 6/21/2024 | | | (13 | ) | | | 570.00 | | | | (9,269 | ) |
Target Corp | | 7/19/2024 | | | (30 | ) | | | 175.00 | | | | (900 | ) |
Texas Instruments Inc | | 6/21/2024 | | | (90 | ) | | | 180.00 | | | | (120,510 | ) |
Thermo Fisher Scientific Inc | | 7/19/2024 | | | (8 | ) | | | 610.00 | | | | (2,280 | ) |
The TJX Cos Inc | | 7/19/2024 | | | (70 | ) | | | 100.00 | | | | (36,750 | ) |
Trane Technologies PLC | | 7/19/2024 | | | (50 | ) | | | 330.00 | | | | (50,000 | ) |
Trane Technologies PLC | | 6/21/2024 | | | (40 | ) | | | 330.00 | | | | (13,240 | ) |
The Travelers Cos Inc | | 7/19/2024 | | | (35 | ) | | | 220.00 | | | | (11,235 | ) |
Truist Financial Corp | | 6/21/2024 | | | (250 | ) | | | 40.00 | | | | (4,750 | ) |
Uber Technologies Inc | | 8/16/2024 | | | (150 | ) | | | 72.50 | | | | (25,650 | ) |
Ulta Beauty Inc | | 7/19/2024 | | | (50 | ) | | | 430.00 | | | | (20,000 | ) |
Union Pacific Corp | | 7/19/2024 | | | (75 | ) | | | 250.00 | | | | (5,025 | ) |
| | Expiration Date | | Contracts | | | Strike Price | | | Value | |
Union Pacific Corp | | 6/21/2024 | | | (50 | ) | | | 250.00 | | | | (2,875 | ) |
United Parcel Service Inc | | 9/20/2024 | | | (200 | ) | | | 165.00 | | | | (14,200 | ) |
UnitedHealth Group Inc | | 7/19/2024 | | | (50 | ) | | | 520.00 | | | | (44,500 | ) |
UnitedHealth Group Inc | | 6/21/2024 | | | (10 | ) | | | 510.00 | | | | (4,600 | ) |
US Bancorp | | 9/20/2024 | | | (456 | ) | | | 45.00 | | | | (32,832 | ) |
Verizon Communications Inc | | 7/19/2024 | | | (150 | ) | | | 41.00 | | | | (17,100 | ) |
Vertex Pharmaceuticals Inc | | 7/19/2024 | | | (70 | ) | | | 430.00 | | | | (229,600 | ) |
The Walt Disney Co | | 8/16/2024 | | | (200 | ) | | | 115.00 | | | | (25,200 | ) |
Warner Bros Discovery Inc | | 9/20/2024 | | | (300 | ) | | | 10.00 | | | | (10,500 | ) |
Waste Management Inc | | 6/21/2024 | | | (70 | ) | | | 220.00 | | | | (2,100 | ) |
Wells Fargo & Co | | 6/21/2024 | | | (1,250 | ) | | | 60.00 | | | | (158,750 | ) |
Yum! Brands Inc | | 6/21/2024 | | | (200 | ) | | | 145.00 | | | | (3,800 | ) |
Total Written Call Options | | | | | | | | | | | | $ | (5,843,208 | ) |
(Premiums Received $7,642,350) | | | | | | | | | | | | | | |
NASDAQ 100 INDEX FUND
Portfolio of Investments
May 31, 2024
Security Description | | Shares | | | Value | |
Common Stock (98.59%) | | | | | | | | |
| | | | | | | | |
Basic Materials (1.48%) | | | | | | | | |
Linde PLC | | | 57,626 | | | $ | 25,097,276 | |
| | | | | | | | |
Communications (25.37%) | | | | | | | | |
Advertising (0.29%) | | | | | | | | |
The Trade Desk Inc* | | | 53,608 | | | | 4,973,750 | |
| | | | | | | | |
Internet (20.67%) | | | | | | | | |
Airbnb Inc* | | | 51,770 | | | | 7,503,026 | |
Alphabet Inc - Class A* | | | 273,018 | | | | 47,095,605 | |
Alphabet Inc - Class C* | | | 262,732 | | | | 45,704,859 | |
Amazon.com Inc*,(a) | | | 481,239 | | | | 84,909,809 | |
Booking Holdings Inc | | | 4,053 | | | | 15,305,547 | |
CDW Corp | | | 15,700 | | | | 3,510,834 | |
DoorDash Inc*,# | | | 44,536 | | | | 4,903,859 | |
MercadoLibre Inc* | | | 6,073 | | | | 10,479,447 | |
Meta Platforms Inc(a) | | | 162,154 | | | | 75,698,352 | |
Netflix Inc* | | | 51,784 | | | | 33,225,650 | |
Palo Alto Networks Inc* | | | 38,330 | | | | 11,303,900 | |
PDD Holdings Inc*,# | | | 80,236 | | | | 12,017,748 | |
| | | | | | | 351,658,636 | |
Media (1.63%) | | | | | | | | |
Charter Communications Inc*,# | | | 17,614 | | | | 5,057,332 | |
Comcast Corp | | | 474,150 | | | | 18,980,224 | |
Sirius XM Holdings Inc# | | | 454,388 | | | | 1,281,374 | |
Warner Bros Discovery Inc*,# | | | 285,803 | | | | 2,355,017 | |
| | | | | | | 27,673,947 | |
Telecommunications (2.78%) | | | | | | | | |
Cisco Systems Inc | | | 484,533 | | | | 22,530,785 | |
T-Mobile US Inc | | | 142,022 | | | | 24,848,169 | |
| | | | | | | 47,378,954 | |
| | | | | | | | |
Total Communications | | | | | | | 431,685,287 | |
| | | | | | | | |
Consumer, Cyclical (8.26%) | | | | | | | | |
Copart Inc* | | | 114,346 | | | | 6,067,199 | |
Costco Wholesale Corp | | | 53,097 | | | | 43,002,729 | |
Dollar Tree Inc* | | | 25,788 | | | | 3,041,695 | |
Fastenal Co | | | 68,044 | | | | 4,489,543 | |
Lululemon Athletica Inc*,# | | | 14,459 | | | | 4,511,063 | |
Marriott International Inc | | | 34,973 | | | | 8,084,708 | |
O’Reilly Automotive Inc* | | | 7,106 | | | | 6,844,926 | |
PACCAR Inc | | | 62,288 | | | | 6,695,960 | |
Ross Stores Inc | | | 40,325 | | | | 5,635,822 | |
Starbucks Corp | | | 134,318 | | | | 10,774,990 | |
Tesla Inc* | | | 223,338 | | | | 39,772,031 | |
Walgreens Boots Alliance Inc | | | 101,251 | | | | 1,642,291 | |
Total Consumer, Cyclical | | | | | | | 140,562,957 | |
| | | | | | | | |
Consumer, Non-Cyclical (11.87%) | | | | | | | | |
Amgen Inc | | | 63,578 | | | | 19,445,331 | |
AstraZeneca PLC | | | 69,341 | | | | 5,409,985 | |
Security Description | | Shares | | | Value | |
Common Stock (98.59%) | | | | | | | | |
| | | | | | | | |
Automatic Data Processing Inc | | | 48,733 | | | | 11,935,686 | |
Biogen Inc* | | | 16,982 | | | | 3,819,931 | |
Cintas Corp | | | 12,128 | | | | 8,222,420 | |
Coca-Cola Europacific Partners PLC | | | 53,536 | | | | 3,946,139 | |
CoStar Group Inc* | | | 49,055 | | | | 3,834,629 | |
Dexcom Inc* | | | 46,010 | | | | 5,464,608 | |
GE HealthCare Technologies Inc | | | 54,687 | | | | 4,265,586 | |
Gilead Sciences Inc | | | 149,683 | | | | 9,620,126 | |
IDEXX Laboratories Inc* | | | 9,889 | | | | 4,914,339 | |
Illumina Inc* | | | 18,611 | | | | 1,940,755 | |
Intuitive Surgical Inc* | | | 41,798 | | | | 16,807,812 | |
Keurig Dr Pepper Inc | | | 166,516 | | | | 5,703,173 | |
The Kraft Heinz Co | | | 146,058 | | | | 5,166,071 | |
Moderna Inc*,# | | | 45,129 | | | | 6,433,139 | |
Mondelez International Inc | | | 159,738 | | | | 10,946,845 | |
Monster Beverage Corp* | | | 123,897 | | | | 6,432,732 | |
PayPal Holdings Inc* | | | 128,387 | | | | 8,087,097 | |
PepsiCo Inc | | | 164,467 | | | | 28,436,344 | |
Regeneron Pharmaceuticals Inc* | | | 12,869 | | | | 12,613,679 | |
Verisk Analytics Inc | | | 17,161 | | | | 4,337,958 | |
Vertex Pharmaceuticals Inc* | | | 30,954 | | | | 14,094,594 | |
Total Consumer, Non-Cyclical | | | | | | | 201,878,979 | |
| | | | | | | | |
Energy (0.48%) | | | | | | | | |
Baker Hughes Co | | | 119,100 | | | | 3,987,468 | |
Diamondback Energy Inc | | | 20,977 | | | | 4,179,877 | |
Total Energy | | | | | | | 8,167,345 | |
| | | | | | | | |
| | | | | | | | |
Industrial (1.65%) | | | | | | | | |
CSX Corp | | | 235,321 | | | | 7,942,084 | |
Honeywell International Inc | | | 77,371 | | | | 15,643,642 | |
Old Dominion Freight Line Inc | | | 25,986 | | | | 4,554,047 | |
Total Industrial | | | | | | | 28,139,773 | |
| | | | | | | | |
Technology (48.19%) | | | | | | | | |
Computers (9.31%) | | | | | | | | |
Apple Inc(a) | | | 715,410 | | | | 137,537,573 | |
Cognizant Technology Solutions Corp | | | 59,348 | | | | 3,925,870 | |
Crowdstrike Holdings Inc* | | | 27,106 | | | | 8,502,339 | |
Fortinet Inc* | | | 90,892 | | | | 5,391,713 | |
Zscaler Inc* | | | 17,383 | | | | 2,954,415 | |
| | | | | | | 158,311,910 | |
Semiconductors (24.34%) | | | | | | | | |
Advanced Micro Devices Inc* | | | 193,348 | | | | 32,269,781 | |
Analog Devices Inc | | | 59,614 | | | | 13,978,887 | |
Applied Materials Inc | | | 99,426 | | | | 21,384,544 | |
ASML Holding NV | | | 10,246 | | | | 9,839,746 | |
Broadcom Inc | | | 55,453 | | | | 73,672,083 | |
GLOBALFOUNDRIES Inc*,# | | | 64,834 | | | | 3,176,866 | |
Intel Corp | | | 505,931 | | | | 15,607,971 | |
KLA Corp | | | 16,043 | | | | 12,185,140 | |
Lam Research Corp | | | 15,553 | | | | 14,502,239 | |
Marvell Technology Inc | | | 102,743 | | | | 7,069,746 | |
Microchip Technology Inc | | | 64,428 | | | | 6,264,334 | |
Micron Technology Inc | | | 132,588 | | | | 16,573,500 | |
NVIDIA Corp | | | 115,823 | | | | 126,980,230 | |
NXP Semiconductors NV | | | 30,694 | | | | 8,351,837 | |
ON Semiconductor Corp*,# | | | 50,478 | | | | 3,686,913 | |
QUALCOMM Inc | | | 133,542 | | | | 27,249,245 | |
Security Description | | Shares | | | Value | |
Common Stock (98.59%) | | | | | | | | |
| | | | | | | | |
Texas Instruments Inc | | | 108,807 | | | | 21,218,453 | |
| | | | | | | 414,011,515 | |
Software (14.55%) | | | | | | | | |
Adobe Inc* | | | 54,087 | | | | 24,055,734 | |
ANSYS Inc* | | | 10,181 | | | | 3,231,958 | |
Atlassian Corp* | | | 18,167 | | | | 2,849,676 | |
Autodesk Inc* | | | 25,455 | | | | 5,131,728 | |
Cadence Design Systems Inc* | | | 32,397 | | | | 9,275,585 | |
Datadog Inc* | | | 36,298 | | | | 3,999,314 | |
Electronic Arts Inc | | | 31,855 | | | | 4,232,892 | |
Intuit Inc | | | 33,502 | | | | 19,311,893 | |
Microsoft Corp(a) | | | 344,246 | | | | 142,906,842 | |
MongoDB Inc*,# | | | 8,361 | | | | 1,973,698 | |
Paychex Inc,# | | | 43,016 | | | | 5,168,803 | |
Roper Technologies Inc | | | 12,720 | | | | 6,776,707 | |
Synopsys Inc* | | | 18,110 | | | | 10,156,088 | |
Take-Two Interactive Software Inc* | | | 19,932 | | | | 3,196,296 | |
Workday Inc* | | | 24,888 | | | | 5,262,568 | |
| | | | | | | 247,529,782 | |
| | | | | | | | |
Total Technology | | | | | | | 819,853,207 | |
| | | | | | | | |
Utilities (1.29%) | | | | | | | | |
American Electric Power Co Inc | | | 62,622 | | | | 5,651,636 | |
Constellation Energy Corp | | | 37,802 | | | | 8,212,485 | |
Exelon Corp | | | 119,579 | | | | 4,490,191 | |
Xcel Energy Inc | | | 64,673 | | | | 3,586,118 | |
Total Utilities | | | | | | | 21,940,430 | |
| | | | | | | | |
Total Common Stock (Cost $754,330,015) | | | | | | | 1,677,325,254 | |
| | | | | | | | |
United States Treasury Bills (1.39%) | | | | | | | | |
United States Treasury Bill (Cost $23,658,415) | | | 23,700,000 | | | | 23,665,342 | |
| | | | | | | | |
Collateral Received for Securities on Loan (1.90%) | | | | | | | | |
Mount Vernon Liquid Assets Portfolio (Cost $32,355,514) | | | | | | | 32,355,514 | |
| | | | | | | | |
Total Investments (Cost $810,343,944) (101.88%) | | | | | | | 1,733,346,110 | |
Liabilities in Excess of Other Assets (-1.88%) | | | | | | | (32,061,272 | ) |
Net Assets (100.00%) | | | | | | $ | 1,701,284,837 | |
* Non-income producing security.
# Loaned security; a portion of the security is on loan at May 31, 2024.
(a) A portion of these securities, a total of $105,079,333, have been pledged or segregated in connection with obligations for futures contracts.
Futures contracts at May 31, 2024:
Contracts - $20 times premium / delivery month / commitment / exchange Nasdaq 100 E-MINI | | Notional Amount | | | Value | | | Unrealized Appreciation | |
62 / JUN 2024 / Long / CME | | $ | 22,645,900 | | | $ | 23,052,840 | | | $ | 406,940 | |
SHELTON SUSTAINABLE EQUITY FUND
Portfolio of Investments
May 31, 2024
Security Description | | Shares | | | Value | |
Common Stock (97.54%) | | | | | | | | |
| | | | | | | | |
Basic Materials (5.16%) | | | | | | | | |
Cabot Corp | | | 33,272 | | | | 3,403,726 | |
CF Industries Holdings Inc | | | 40,000 | | | | 3,189,200 | |
Total Basic Materials | | | | | | | 6,592,926 | |
| | | | | | | | |
Consumer, Cyclical (6.90%) | | | | | | | | |
Aramark | | | 130,000 | | | | 4,179,500 | |
H&E Equipment Services Inc | | | 80,000 | | | | 3,789,600 | |
On Holding AG* | | | 20,000 | | | | 850,800 | |
Total Consumer, Cyclical | | | | | | | 8,819,900 | |
| | | | | | | | |
Consumer, Non-Cyclical (14.36%) | | | | | | | | |
Bunge Global SA | | | 49,000 | | | | 5,271,910 | |
Darling Ingredients Inc* | | | 115,000 | | | | 4,646,000 | |
elf Beauty Inc* | | | 5,000 | | | | 934,550 | |
Moderna Inc* | | | 8,720 | | | | 1,243,036 | |
R1 RCM Inc* | | | 210,000 | | | | 2,700,600 | |
Siemens Healthineers AG (144A) | | | 20,000 | | | | 1,158,169 | |
Vestis Corp | | | 65,000 | | | | 800,800 | |
Viatris Inc | | | 150,000 | | | | 1,590,000 | |
Total Consumer, Non-Cyclical | | | | | | | 18,345,065 | |
| | | | | | | | |
Energy (13.46%) | | | | | | | | |
Enphase Energy Inc* | | | 33,200 | | | | 4,246,280 | |
First Solar Inc* | | | 32,322 | | | | 8,783,827 | |
Green Plains Inc* | | | 120,000 | | | | 2,060,400 | |
Shoals Technologies Group Inc* | | | 100,000 | | | | 787,000 | |
SolarEdge Technologies Inc* | | | 13,135 | | | | 643,484 | |
SunPower Corp* | | | 200,268 | | | | 668,895 | |
Total Energy | | | | | | | 17,189,886 | |
| | | | | | | | |
Financial (5.80%) | | | | | | | | |
Alexandria Real Estate Equities Inc | | | 8,400 | | | | 999,600 | |
Hannon Armstrong Sustainable Infrastructure Capital Inc | | | 192,500 | | | | 6,408,325 | |
Total Financial | | | | | | | 7,407,925 | |
| | | | | | | | |
Industrial (41.82%) | | | | | | | | |
Accelleron Industries AG | | | 4,875 | | | | 196,755 | |
Advanced Energy Industries Inc | | | 24,700 | | | | 2,653,521 | |
AECOM | | | 42,500 | | | | 3,711,950 | |
Ag Growth International Inc | | | 84,900 | | | | 3,240,030 | |
Clean Harbors Inc* | | | 25,000 | | | | 5,414,750 | |
Deere & Co | | | 12,000 | | | | 4,497,120 | |
Energy Recovery Inc* | | | 70,000 | | | | 945,000 | |
Gibraltar Industries Inc* | | | 45,000 | | | | 3,395,700 | |
Johnson Controls International plc | | | 70,000 | | | | 5,033,700 | |
Net Power Inc* | | | 100,000 | | | | 1,051,000 | |
Security Description | | Shares | | | Value | |
Common Stock (97.54%) | | | | | | | | |
| | | | | | | | |
Ryerson Holding Corp | | | 60,000 | | | | 1,425,000 | |
Schneider Electric SE | | | 20,000 | | | | 4,934,910 | |
Siemens AG | | | 20,000 | | | | 3,824,257 | |
Teledyne Technologies Inc* | | | 3,000 | | | | 1,190,850 | |
The Timken Co | | | 30,000 | | | | 2,606,700 | |
Valmont Industries Inc | | | 15,500 | | | | 3,896,700 | |
Veralto Corp | | | 8,333 | | | | 821,467 | |
Xylem Inc | | | 32,500 | | | | 4,583,150 | |
Total Industrial | | | | | | | 53,422,560 | |
| | | | | | | | |
Utilities (10.04%) | | | | | | | | |
Brookfield Renewable Corp | | | 186,700 | | | | 5,888,518 | |
Essential Utilities Inc | | | 40,000 | | | | 1,509,200 | |
Ormat Technologies Inc | | | 72,000 | | | | 5,428,800 | |
| | | | | | | 12,826,518 | |
| | | | | | | | |
Total Common Stock (Cost $112,062,203) | | | | | | | 124,604,780 | |
| | | | | | | | |
United States Treasury Bills (2.35%) | | | | | | | | |
United States Treasury Bill (Cost $2,994,740) | | | 3,000,000 | | | | 2,995,613 | |
| | | | | | | | |
| | | | | | | | |
Total Investments (Cost $115,056,944) (99.89%) | | | | | | | 127,600,393 | |
Other Net Assets (0.11%) | | | | | | | 138,309 | |
Net Assets (100.00%) | | | | | | $ | 127,738,702 | |
* Non-income producing security.
(144A) Security was purchased pursuant to Rule 144A or Section 4(a)(2) under the Securities Act of 1933 and may be resold in transactions exempt from registration only to qualified institutional buyers. As of May 31, 2024, these securities had a total aggregate market value of $1,158,169, which represented approximately 0.91% of net assets.